Najda v. Sheiman, No. Cv 95052292 (Sep. 6, 1996)

1996 Conn. Super. Ct. 5522, 17 Conn. L. Rptr. 535
CourtConnecticut Superior Court
DecidedSeptember 6, 1996
DocketNo. CV 95052292
StatusUnpublished
Cited by2 cases

This text of 1996 Conn. Super. Ct. 5522 (Najda v. Sheiman, No. Cv 95052292 (Sep. 6, 1996)) is published on Counsel Stack Legal Research, covering Connecticut Superior Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Najda v. Sheiman, No. Cv 95052292 (Sep. 6, 1996), 1996 Conn. Super. Ct. 5522, 17 Conn. L. Rptr. 535 (Colo. Ct. App. 1996).

Opinion

[EDITOR'S NOTE: This case is unpublished as indicated by the issuing court.] Memorandum Filed September 6, 1996 In this case the defendant has filed a motion to strike directed to the complaint. On a motion to strike the facts alleged in the complaint must be construed in a manner most favorable to the pleader. Amodio v. Cunningham, 182 Conn. 80, 82 (1980). The complaint alleges that in 1989 the plaintiff listed a CT Page 5523 home in Shelton for sale and that three related individuals agreed to buy it. The buyers' attorney contracted with the defendant attorney to conduct a title search in connection with the closing. The complaint further alleges that the plaintiff and the plaintiff's attorney at the closing relied upon the defendant attorney's title search and the description attached to it to draft the deed of conveyance to the buyers of the property from the plaintiff and such reliance was reasonably foreseeable.

The complaint goes on to allege the defendant attorney failed to examine the tax assessor's field cards and discover that the subject property had been divided into two lots in 1987, failed to examine the index of maps which would have shown the property had been divided into two lots, neglected to note on his abstract of title the existence of this map, failed to note this information on his certificate of title, or make further inquiry of the parties as to which one of the parcels was involved in the sale.

As a result of the purported negligence of the defendant the plaintiff and his lawyer were unaware that the description attached to the defendant's title search encompassed the two subdivided parcels not just the .26 acre lot which was listed for sale and which was the only lot the plaintiff intended to sell. Thus the defendant's negligence according to the complaint caused the plaintiff to inadvertently execute and deliver a deed to the buyers conveying title to both the .26 acre lot and another .187 acre lot. He thereby lost title to the .187 acre lot and incurred various expenses in an attempt to recover title to this lot.

The defendant has filed a motion to strike. He claims that he owed no duty to the plaintiff so that there is no basis for this action in negligence and that in any event the claim is barred by the applicable statute of limitations, § 52-584(b) of the General Statutes.

Whether There Was a Duty Owed to the Plaintiff

The defendant quotes from two cases for the basis of his argument. In Leavenworth v. Mathes, 38 Conn. App. 476, 479 (1995) the court said:

To recover on a theory of negligence, the plaintiffs must establish that the defendant owed a duty to CT Page 5524 them and that he breached that duty . . .

. . . The existence of a duty is a question of law, and only if such a duty is found to exist does the trier of fact then determine whether the defendant violated that duty in the particular situation . . .

Thus: "If a court determines, as a matter of law, that a defendant owed no duty to a plaintiff, the plaintiff cannot recover in negligence from the defendant." R.K. Constructors,Inc. v. Fusco Corp. 231 Conn. 381, 384-85 (1994).

The case at 231 Conn. pages 385-86, then goes on to define duty which basically has two components.

First a court must determine whether the specific harm alleged by the plaintiff was foreseeable. Thus, initially, if it is not foreseeable to a reasonable person in the defendant's position that harm of the type alleged would result from the defendant's actions to a particular plaintiff the question of the existence of a duty to use care is foreclosed and no cause of action can be maintained by the plaintiff, id, pp. 385-86, because no duty can be found.

Secondly, however, "A simple conclusion that the harm to the plaintiff was foreseeable . . . cannot by itself mandate a determination that a legal duty exists," id p. 386. That is, pragmatic reasons may exist that will bar recovery even when a harm is foreseeable, cf Maloney v. Conroy, 208 Conn. 392, 400-01 (1988). Thus "the final step of the duty inquiry . . . is to make a determination of the fundamental policy of the law, as to whether the defendant's responsibility should extend to such results," i.e. imposing liability on the defendant for a particular activity, id p. 386.

From this perspective cases like Coburn v. Lenox Homes, Inc.,173 Conn. 567 (1977), and Zapata v. Burns, 207 Conn. 496 (1988), can be appropriately analyzed.1 Thus in Coburn the Court held that a home builder, depending on the factual circumstances of a case, could be found to have foreseen the consequences of his or her negligent activity to a subsequent property purchaser. And no policy consideration, such as the absence of privity between the builder and a purchaser subsequent to the party for whom the work was done, would prevent the bringing of the action. On the contrary, analogizing the situation to the policy considerations CT Page 5525 behind product liability actions, there are policy reasons why liability should be imposed. A skilled or trained businessperson puts a product on the market and that person has complete control over the actual production or delivery of the product. The purchaser of the product, whether it's a house or a car, has no expertise or skill in discovering hidden defects. These two factors when considered together dictate in negligence actions that privity is no bar where a builder is sued by a subsequent purchaser for what to the builder was foreseeable harm that could be expected to result from his or her own negligence. The same result has been reached in Zapata v. Burns, 207 Conn. 496, 517,517 (1988), where it was recognized that the elimination of the privity requirement in negligence cases applied not only to building contractors but also to architects and engineers.

On the other hand, the fact that harm is foreseeable at some level and that the party against whom the negligence is brought is a professional does not mean a cause of action is therefore allowed if policy reasons suggest that it would not be wise to permit it. Thus, in actions against attorneys the court inKrawczyk v. Stingle, 208 Conn. 239, 246 (1988), noted that "Courts have refrained from imposing liability when such liability had the potential of interfering with the ethical obligations owed by an attorney to his or her client." There the court decided that the imposition of liability to third persons "for negligent delay in the execution of estate planning documents would not comport with a lawyer's duty of undivided loyalty to the client," id, p. 246, also see Maloney v. Conroy,208 Conn. 392, 401-02 (1988), where the court looked beyond foreseeability in imposing limitations on bystander emotional distress allegedly resulting from the malpractice of doctors in treating the mother of the plaintiff.

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Cite This Page — Counsel Stack

Bluebook (online)
1996 Conn. Super. Ct. 5522, 17 Conn. L. Rptr. 535, Counsel Stack Legal Research, https://law.counselstack.com/opinion/najda-v-sheiman-no-cv-95052292-sep-6-1996-connsuperct-1996.