Moon v. McDonald, Carano & Wilson, LLP

245 P.3d 1138, 126 Nev. 510, 126 Nev. Adv. Rep. 47, 2010 Nev. LEXIS 53
CourtNevada Supreme Court
DecidedDecember 16, 2010
Docket51124
StatusPublished
Cited by4 cases

This text of 245 P.3d 1138 (Moon v. McDonald, Carano & Wilson, LLP) is published on Counsel Stack Legal Research, covering Nevada Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Moon v. McDonald, Carano & Wilson, LLP, 245 P.3d 1138, 126 Nev. 510, 126 Nev. Adv. Rep. 47, 2010 Nev. LEXIS 53 (Neb. 2010).

Opinions

[511]*511OPINION

By the Court,

Douglas, J.;

In this appeal, we address the interaction of NRCP 16.1 mandatory pretrial discovery requirements with the Nevada Arbitration Rules. Specifically, we determine whether cases not automatically exempted from the court-annexed arbitration program by designation on the initial pleading, which are ultimately exempted from the program by the arbitration commissioner under the procedures outlined in NAR 5(A), are actually in the program during the time prior to their exemption and are thus not subject to the requirements of NRCP 16.1 during this time period. We conclude that cases are not actually in the court-annexed arbitration program until they are assigned to an arbitrator, or ordered or remanded into the program by the district court. As a result, such cases that are awaiting exemption are not actually in the program during the period prior to exemption, and thus, we hold that the deadlines and requirements of NRCP 16.1 continue to apply during this time period.

BACKGROUND

On November 3, 2006, appellants Joon S. Moon and Patterson Laboratories, Inc., filed their district court complaint against respondents McDonald, Carano & Wilson, LLP; William A.S. Magrath; and John J. Laxague. Respondents jointly filed their answer to the complaint on January 10, 2007. On March 29, 2007, the arbitration commissioner entered an order exempting the case from the mandatory court-annexed arbitration program on the [512]*512basis that its probable jury award value exceeded the jurisdictional threshold set by rule.

On November 6, 2007, respondents moved to dismiss appellants’ complaint, arguing, among other things, that appellants had failed to comply with NRCP 16.1(e)(2), which authorizes the dismissal of a complaint, without prejudice, as a sanction for failing to timely file a case conference report. Appellants subsequently filed an individual case conference report on November 21, 2007, and opposed the motion to dismiss, claiming that they had timely complied with NRCP 16.1(e)(2). On January 14, 2008, the district court entered an order granting respondents’ motion to dismiss. This appeal followed.

DISCUSSION

This court reviews a district court’s dismissal of a case for failure to comply with the requirements of NRCP 16.1(e)(2) for an abuse of discretion. Arnold v. Kip, 123 Nev. 410, 414, 168 P.3d 1050, 1052 (2007). A district court’s interpretation of court rules is reviewed de novo. Marquis & Aurbach v. Dist. Ct., 122 Nev. 1147, 1156, 146 P.3d 1130, 1136 (2006).

NAR 3(A) provides that any civil case commenced in the district court that has a “probable jury award value not in excess of $50,000 per plaintiff, exclusive of interest and costs, . . . [is] subject to the [court-annexed arbitration] program,” unless it falls into one of the enumerated categories excluded from the program by that rule.1 A party claiming exemption under certain of the enumerated categories may be automatically excluded from the program by expressly designating the reason for exemption on the initial pleading filed in district court. NAR 5(A). Cases not eligible for automatic exclusion from the program can only be exempted if a request for exemption is granted by the arbitration commissioner or, if denied by the commissioner, by the district court after an objection to the commissioner’s ruling has been filed.2 NAR 5.

This appeal presents an important procedural issue of first impression with regard to those cases not automatically excluded from the program by designation on the initial pleading, which are ultimately exempted from the program by the arbitration commis[513]*513sioner or the district court under the procedures outlined in NAR 5(A). In particular, this case requires that we determine whether the deadlines and requirements of NRCP 16.1, including NRCP 16.1(e)(2)’s deadline for filing a case conference report, apply and begin to run during the time prior to the arbitration commissioner’s or district court’s grant of the exemption request.

Relevant to this determination, NRCP 16.1(b)(1) provides that the parties to a case are required to hold an early case conference within 30 days after the filing of an answer by the first answering defendant,3 “[u]nless the case is in the court annexed, arbitration program or short trial program.” (Emphasis added.) Once a case conference has been held, NRCP 16.1(c) requires that a case conference report be filed within 30 days from when the conference was held. Failure to hold the case conference within 180 days of the first appearance by a defendant, and file the case conference report with 240 days of the first appearance by a defendant, subjects the plaintiff to the possible dismissal of his or her complaint as to that defendant pursuant to NRCP 16.1(e)(1) and (2), respectively. Also at play in evaluating the issue before us is NAR 4(C), which provides that the NRCP apply “[bjefore a case is submitted or ordered to the program, and after a request for trial de novo is filed” and that “once a case is accepted or remanded into the program, the requirements of N.R.C.P. 16.1 do not apply.”4 In light of the language contained in NRCP 16.1(b)(1) and NAR 4(C) providing that NRCP 16.1’s requirements do not apply during the time that a case is actually in the program, whether NRCP 16.1’s deadlines and requirements apply and begin to run during the time prior to the grant of an exemption by the arbitration commissioner or the district court for cases not automatically excluded from the program that are ultimately exempted from the program by the grant of an exemption is dependent on a determination as to when a case is actually in the court-annexed arbitration program.

In addressing this issue in the underlying proceedings, the district court determined that appellants’ case, which was exempted from the program by the arbitration commissioner on March 29, 2007, had never been submitted, ordered, accepted, or remanded into the program. Based on this conclusion, that the case was never [514]*514actually in the program, the district court held that no suspension of NRCP 16.1’s requirements had occurred, and thus, effectively concluded that NRCP 16.1(e)(2)’s 240-day period for filing a case conference report ran, without interruption, from the starting date set forth in that rule. After concluding that appellants had failed to timely file their case conference report within this period, the district court exercised its discretion to dismiss their case, without prejudice, under NRCP 16.1(e)(2). Because we agree with the district court’s conclusions in this regard, we affirm its dismissal of appellants’ case.5

Here, appellants’ complaint was not eligible for automatic exemption, and thus, could only avoid arbitration if the arbitration commissioner or district court exempted it from the program. NAR 5(A). Appellants maintain that, until they were exempted from the program, on March 29, 2007, their case was considered to be in the program, and thus, under NRCP 16.1(b)(1) and NAR 4(C) they were not subject to the requirements of NRCP 16.1, including NRCP 16.1(e)(2)’s 240-day period for filing a case conference report. We disagree.

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Bluebook (online)
245 P.3d 1138, 126 Nev. 510, 126 Nev. Adv. Rep. 47, 2010 Nev. LEXIS 53, Counsel Stack Legal Research, https://law.counselstack.com/opinion/moon-v-mcdonald-carano-wilson-llp-nev-2010.