Martin v. Lincoln Bar, Inc.

622 A.2d 464, 1993 R.I. LEXIS 93, 1993 WL 85911
CourtSupreme Court of Rhode Island
DecidedMarch 25, 1993
Docket92-14-M.P.
StatusPublished
Cited by18 cases

This text of 622 A.2d 464 (Martin v. Lincoln Bar, Inc.) is published on Counsel Stack Legal Research, covering Supreme Court of Rhode Island primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Martin v. Lincoln Bar, Inc., 622 A.2d 464, 1993 R.I. LEXIS 93, 1993 WL 85911 (R.I. 1993).

Opinion

OPINION

MURRAY, Justice.

This case comes before this court pursuant to a writ of certiorari filed by the plaintiff, John T. Martin, alleging that a Superior Court justice erred in denying his motion for a prejudgment writ of attachment on a piece of real estate owned by the defendant, Lincoln Bar, Inc. (Lincoln Bar). In addition, the plaintiff alleges that the Superior Court justice erred in denying his request for a temporary restraining order preventing Lincoln Bar from transferring this real estate. For the reasons set forth in this opinion, we deny the plaintiffs petition for certiorari.

The facts in this case are as follows. On December 22, 1986, Michael Farnsworth (Farnsworth), also a defendant in this case, operated a pickup truck owned by defendant Lincoln Bar and struck a vehicle owned by plaintiff’s employer. This accident caused plaintiff serious and permanent injuries. The plaintiff thereafter sought recovery from Rumford Insurance Company (Rumford), the company that insured Lincoln Bar. Rumford provided Lincoln Bar with insurance coverage with a policy limit of $300,000. During the course of this litigation, Rumford became insolvent and the Rhode Island Insurers Insolvency Fund stepped in to assume Rum-ford’s financial obligations. General Laws 1956 (1989 Reenactment) § 27-34-12 required plaintiff to proceed against his own insurance carrier prior to seeking compensation from the Rhode Island Insurers Insolvency Fund. Through compliance with this requirement, plaintiff received $350,-000 from his own insurance carrier.

Notwithstanding this partial recovery, plaintiff continued to pursue a negligence action against Farnsworth and Lincoln Bar, alleging that plaintiff has incurred damages in excess of $750,000. The plaintiff’s wife, Jean Martin, and plaintiff’s two children joined in this action, seeking recovery for loss of consortium and loss of society.

Prior to trial plaintiff moved to attach real estate owned by Lincoln Bar. The plaintiff asserted that he has a strong likelihood of success on the merits and that if the court denies his motion for a prejudgment writ of attachment, plaintiff runs the risk of being unable to enforce his judgment against defendants. In addition, plaintiff sought a temporary restraining order under the Uniform Fraudulent Transfer Act, G.L.1956 (1992 Reenactment) chapter 16 of title 6, that would prevent Lincoln Bar from transferring the real estate. The trial justice denied both of these prejudgment motions. We address the propriety of these rulings on this petition for certio-rari.

*466 I

■The first issue we consider is whether the trial justice erred in denying plaintiffs motion to attach the real estate owned by Lincoln Bar. Rhode Island law regarding the availability of the attachment remedy, and the procedure a party must follow in seeking to obtain a writ of attachment, has developed dramatically over the last twenty-five years, and it is helpful to begin with a review of this development.

Prior to 1972, Rhode Island had both case law and statutory law regarding writs of attachment. Three pre-1972 statutory provisions are pertinent to our review. General Laws 1956 (1969 Reenactment) § 10-5-2 governed the procedure a party must follow in seeking a writ of attachment. This provision simply required the moving party to file an affidavit, demonstrating “that the plaintiff has a just claim against the defendant, that is due, upon which the plaintiff expects to recover in such action a sum sufficient to give jurisdiction to the court to which such writ is returnable.” This 1969 version of § 10-5-2 did not require notice to a defendant and a hearing before a court attached the property of a defendant.

A second pre-1972 statutory provision, G.L.1956 (1969 Reenactment) § 10-5-5, governs attachments in suits based in equity-

A third pre-1972 provision, G.L.1956 (1969 Reenactment) § 10-5-6, governed suits based in tort filed against nonresidents of Rhode Island. This provision, still in effect today, authorizes a court to issue a writ of attachment against a nonresident tort defendant whenever “the plaintiff has a just cause of action against the defendant, upon which the plaintiff expects to recover a sum sufficient to give jurisdiction to the court.”

Pre-1972 Rhode Island case law significantly supplemented this statutory law. Most importantly, this court refused to allow the issuance of writs of attachment in cases arising in tort because the extent of damages in tort cases cannot be reduced to a sum that is certain prior to the return of a jury verdict. Marsh v. Moore, 52 R.I. 458, 459, 161 A. 227, 228 (1932); Mainz v. Lederer, 24 R.I. 23, 25-26, 51 A. 1044, 1045 (1902). In United States v. J. Tirocchi & Sons, Inc., 180 F.Supp. 645 (D.R.I.1960), the Federal District Court in Rhode Island, interpreting Rhode Island law, reaffirmed this principle by holding that in order to qualify for a writ of attachment, a moving party must demonstrate (1) that the cause of action sounds in contract and (2) that the damages “are susceptible of estimation and determination under the ordinary and well-understood commercial and business rules which apply to contracts proper.” Id. at 650.

The court in J. Tirocchi & Sons also concluded that Rhode Island statutory law compelled courts to deny prejudgment writs of attachment in tort cases filed against in-state defendants. The court stated:

“It is to be noted that the language of § 10-5-2 makes no express provision for attachment in actions ex delicto [in tort]; and the complete statutory scheme, especially the provisions of § 10-5-6 (which authorized the issuance of an original writ of attachment in tort actions against nonresidents), manifestly indicates a legislative intent that the remedy of attachment shall not be generally available under the provisions of § 10-5-2 when the cause of action is one sounding in tort.” 180 F. Supp. at 650.

The court in J. Tirocchi & Sons reasoned that if the General Assembly saw fit to create an attachment remedy in tort cases filed against nonresidents, by negative implication the General Assembly intended to prohibit the attachment remedy in actions against in-state tort defendants. Id.

In 1972 the United States Supreme Court decided Fuentes v. Shevin, 407 U.S. 67, 92 S.Ct.1983, 32 L.Ed.2d 556 (1972). In Fuentes the Court held that the due process clause of the Fifth and Fourteenth Amendments to the United States Constitution required notice and a hearing prior to the issuance of a writ of replevin, absent extraordinary circumstances. Id. at 96-97, 92 S.Ct. at 2002-03, 32 L.Ed.2d at 579. In light of Fuentes the Federal District'Court *467 in Rhode Island found Rhode Island’s attachment procedures unconstitutional because the 1969 version of § 10-5-2 permitted a plaintiff to obtain a prejudgment writ of attachment without providing a defendant with notice and a proper hearing. McClellan v. Commercial Credit Corp., 350 F.Supp. 1013, 1014 (D.R.I.1972), aff'd sub nom., Georges v. McClellan,

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Cite This Page — Counsel Stack

Bluebook (online)
622 A.2d 464, 1993 R.I. LEXIS 93, 1993 WL 85911, Counsel Stack Legal Research, https://law.counselstack.com/opinion/martin-v-lincoln-bar-inc-ri-1993.