Moore v. Ball, Janik & Novack

852 P.2d 937, 120 Or. App. 466, 1993 Ore. App. LEXIS 741
CourtCourt of Appeals of Oregon
DecidedMay 19, 1993
Docket9110-06566; CA A73705
StatusPublished
Cited by6 cases

This text of 852 P.2d 937 (Moore v. Ball, Janik & Novack) is published on Counsel Stack Legal Research, covering Court of Appeals of Oregon primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Moore v. Ball, Janik & Novack, 852 P.2d 937, 120 Or. App. 466, 1993 Ore. App. LEXIS 741 (Or. Ct. App. 1993).

Opinions

[468]*468DURHAM, J.

Plaintiff appeals from a summary judgment for defendants in this legal malpractice action. The basis for the trial court’s ruling was that the action is barred by the two-year Statute of Limitations. ORS 12.110. However, plaintiff contends that he filed a new complaint within one year after the dismissal of a timely earlier complaint stating the same claim and, therefore, that the limitation period was extended by ORS 12.220. We reverse and remand.

We take the facts as stated in plaintiffs brief and as accepted by defendants:

“Plaintiff claims that defendants, a Portland law firm, negligently failed to file claims against two individuals, Richard and Bernard Wade. In September 1988, plaintiff brought an action against defendants in Multnomah County Circuit Court alleging that their legal malpractice occurred between October 1984 and the summer of 1987.
“Subsequently, by a removal order dated June 2, 1989, the trial court removed the action from the active docket for a period not to exceed two years (or until June 2, 1991). The order also stated that the action would be dismissed:
“ ‘without further notice to the parties, two years from the date of this Order, unless the matter has been returned to the active caseload of this Court upon motion of the parties prior to the expiration of said two-year period.,1
“No statute or court rule was cited as authority for the order.
“No party returned the action to the active docket before the end of the period set forth in the order. Without notice, the action was dismissed on July 1, 1991. The dismissal shows only as a computer entry on the trial court register; it appears nowhere else.
“In September 1991, plaintiff moved to reinstate the action to the active docket. The presiding judge denied the [469]*469motion, but, in colloquy with counsel, stated that the dismissal was ‘without prejudice.’
“Plaintiff then filed this action — i.e., he refiled what is essentially the original action — on October 9, 1991. He alleges that the refiled action is timely under ORS 12.220 because it was filed within one year of the dismissal of the original action.” (Footnotes omitted.)

ORS 12.220 provides:

“Except as otherwise provided in ORS 72.7250, if an action is commenced within the time prescribed therefor and the action is dismissed upon the trial thereof, or upon appeal, after the time limited for bringing a new action, the plaintiff, or if the plaintiff dies and any cause of action in the favor of the plaintiff survives, the heirs or personal representatives of the plaintiff, may commence a new action upon such cause of action within one year after the dismissal or reversal on appeal; however, all defenses that would have been available against the action, if brought within the time limited for the . bringing of the action, shall be available against the new action when brought under this section.”

Defendant contends that ORS 12.220 is not applicable because the July 1,1991, dismissal of the prior action was for want of prosecution. See Hatley v. Truck Insurance Exchange, 261 Or 606, 614, 494 P2d 426, 495 P2d 1196 (1972). In assessing that contention, we must “review the record in the light most favorable to plaintiff.” Fiedler v. Bowler, 117 Or App 162, 164, 843 P2d 961 (1992). We note, at the outset, that the issue before us is whether the dismissal is properly characterized as one for want of prosecution, not whether the dismissal is erroneous or appealable. The issue is governed by ORCP 54B(3), which provides:

• “Not less than 60 days prior to the first regular motion day in each calendar year, unless the court has sent an earlier notice on its own initiative, the clerk of the court shall mail notice to the attorneys of record in each pending case in which no action has been taken for one year immediately prior to the mailing of such notice, that a judgment of dismissal will be entered in each such case by the court for want of prosecution, unless on or before such first regular motion day, application, either oral or written, is made to the court and good cause shown why it should be continued as a pending case. If such application is not made or good cause shown, the court shall enter a judgment of dismissal in each [470]*470such case. Nothing contained in this subsection shall prevent the dismissal by the court at any time, for want of prosecution of any action upon motion of any party thereto.”

The rule prescribes a notice and show cause procedure for a dismissal for want of prosecution that the court initiates. In addition, the rule does not prevent the court from dismissing an action for want of prosecution upon the motion of a party. Each method affords the responding party an opportunity to demonstrate, on the record, that he has diligently prosecuted the action notwithstanding the passage of time since the action was filed. If the court dismisses the action, the adversely affected party can appeal and argue that the record shows an abuse of discretion.

The Oregon Rules of Civil Procedure, which govern practice and procedure in the circuit and district courts, ORCP 1A, do not mention, let alone authorize, the trial court’s procedure here as a method of dismissing cases for want of prosecution. The court’s procedure deprived plaintiff of rights afforded by ORCP 54B(3), including notice that a dismissal for want of prosecution is at stake, an opportunity to show that good cause exists to continue the proceeding as a pending case, and a determination by the court on the merits of that issue. We decline to characterize this dismissal as one “for want of prosecution” because the court’s dismissal procedure materially deviated from the requirements in ORCP 54B(3).

Defendant is not aided by Te-Ta-Ma Truth Foundation v. Vaughan, 114 Or App 448, 835 P2d 938 (1992). In that case we upheld a trial court’s decision denying the benefit of ORS 12.220 to plaintiffs, whose complaint was stricken and their action dismissed because they were not ready to proceed on their complaint in intervention. We said:

“Although plaintiffs’ complaint in intervention was not expressly dismissed for failure to prosecute, the circumstances are analogous.” 114 Or App at 452.

By that comment, we meant to demonstrate that the absence of the label “failure to prosecute” from the court’s dismissal order was not controlling. We were not required to decide, and did not decide, whether the court’s procedure must satisfy ORCP 54B(3). However, the court acted in response to the

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Moore v. Ball, Janik & Novack
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Bluebook (online)
852 P.2d 937, 120 Or. App. 466, 1993 Ore. App. LEXIS 741, Counsel Stack Legal Research, https://law.counselstack.com/opinion/moore-v-ball-janik-novack-orctapp-1993.