Nash v. Jewell

315 S.E.2d 825, 227 Va. 230, 1984 Va. LEXIS 237
CourtSupreme Court of Virginia
DecidedApril 27, 1984
DocketRecord 811247
StatusPublished
Cited by41 cases

This text of 315 S.E.2d 825 (Nash v. Jewell) is published on Counsel Stack Legal Research, covering Supreme Court of Virginia primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Nash v. Jewell, 315 S.E.2d 825, 227 Va. 230, 1984 Va. LEXIS 237 (Va. 1984).

Opinion

COCHRAN, J.,

delivered the opinion of the Court.

Essie Mae Nash filed a motion for judgment in 1977 against Leslie Curtis Jewell seeking to recover damages for personal injuries allegedly arising from a 1975 automobile accident caused by Jewell’s negligence. After service of process was obtained by serving the Commissioner of the Division of Motor Vehicles, Jewell’s counsel filed grounds of defense on April 11, 1978. During the next two years no orders were entered or proceedings initiated in the action. On May 27, 1980, Nash filed a praecipe requesting that her case be set for trial; at the docket call on June 5, over Jewell’s objection, trial was set for August 21. On July 8, Jewell filed a motion to discontinue the action pursuant to Code § 8.01-335A. Nash’s answers to interrogatories which Jewell had delivered or mailed to her on July 7 were filed on or about August 1.

At a hearing on the motion to discontinue, Nash’s counsel stated that he would take a nonsuit. Later on the same day, he reconsidered and informed the trial judge that he desired to with *233 draw the nonsuit. After Jewell’s counsel had been notified a hearing was conducted. By order entered September 1, 1980, over Jewell’s objection, the trial court granted Nash’s motion to withdraw the nonsuit but continued the hearing on her motion for a rehearing of Jewell’s motion to discontinue the action. On April 9, 1981, after a hearing, the trial court granted Jewell’s motion to discontinue on the ground that Nash had “slept” on her rights too long. The court then denied Nash’s motion to reinstate the case and, after a rehearing, over Nash’s objection, again denied her motion.

Code § 8.01-335 provides in pertinent part as follows:
§ 8.01-335. Certain cases struck from dockets after certain period; reinstatement. — A. Any court in which is pending an action, wherein for more than two years there has been no order or proceeding, except to continue it, may, in its discretion, order it to be struck from its docket; and it shall thereby be discontinued. The clerk of the court shall notify the parties in interest if known, or their counsel of record at his last known address, at least fifteen days before the entry of such order of discontinuance so that all parties may have an opportunity to be heard on it. Any case discontinued under the provisions of this subsection may be reinstated, on motion, and after notice to the parties in interest if known or their counsel of record, within one year from the date of such order but not after.
B. Any court in which is pending a case wherein for more than five years there has been no order or proceeding, except to continue it, may, in its discretion, order it to be struck from its docket; and it shall thereby be dismissed.

On appeal, Nash argues that Code § 8.01-335 was inapplicable because the filing of a praecipe and the setting of a trial date demonstrated that the action had not been dormant for two years before Jewell filed his motion to discontinue. Nash further contends that the trial court abused its discretion in discontinuing the action and then refusing to reinstate it. Jewell has assigned cross-error to the trial court’s order permitting Nash to withdraw her nonsuit.

We do not agree with Nash that Code § 8.01-335 was inapplicable. We will assume, without deciding, that filing the prae *234 cipe and setting the case for trial were “proceedings” within the meaning of the statute. The action, however, had been pending for more than two years before these steps were taken. Under the statute, once the two-year period of inactivity had passed, the trial court had discretionary authority to discontinue the action.

The crucial question is whether the trial court’s discontinuance of this action constituted an abuse of discretion. In resolving this question we will review the language of the statute to determine the legislative intent.

There are significant differences between subsections A and B of the statute. Under the five-year provision of Subsection B, a trial court may, in its discretion, without notice to parties to the litigation or their counsel, order a case struck from the docket. The effect of such an order is to dismiss the action. It is apparent that the purpose of this subsection of the statute is to enable trial courts to eliminate from their dockets cases for which there is no reasonable prospect of trial. In summarily dismissing such cases, trial courts may thus promote efficiency in the administration of justice by saving the time of court personnel which would otherwise be required to preserve on the courts’ dockets actions long forgotten or abandoned by litigants and lawyers.

Subsection A provides for less drastic action by trial courts in controlling their dockets and requiring that law actions be moved along with reasonable diligence. This subsection gives trial courts discretionary authority to order law actions, dormant for more than two years, struck from the dockets. The effect of such an order, however, is to discontinue, not dismiss, the action. More importantly, such an order may not be entered until the parties, or their counsel of record, have been given at least fifteen days notice and an opportunity to be heard. Moreover, any discontinued case may be reinstated within one year on motion and after notice to interested parties or their counsel of record.

It thus appears that the purpose of Subsection A is to enable trial courts to identify cases which litigants or their counsel are not interested in pursuing to a conclusion. Subsection B permits courts to dismiss inactive cases without notice; by contrast, the purpose of Subsection A is to enable courts to ascertain from the plaintiffs whether there is a desire and intent to try cases which have been dormant for two or more but less than five years. Subsection A provides a device designed to benefit the trial courts in setting cases for trial and expediting litigation; it does not provide *235 substantive rights to litigants to have cases dismissed for failure to prosecute within two years.

When the trial court had before it Jewell’s motion to discontinue, Nash had filed a praecipe and obtained a trial date. The purpose of Subsection A, therefore, was served. The trial court knew that Nash had not abandoned the case, was ready for trial, and had arranged for an early trial date. There was no reason, therefore, for the trial court to put Nash on terms to try the case. We have no desire to inhibit the trial courts in their laudable efforts to clear their dockets and move litigation to a conclusion. But, on the record in this case, we are compelled to conclude that the trial court failed to perceive that the proper use of the two-year statute is to expedite rather than to terminate litigation.

The issue of dismissal for want of diligent prosecution has arisen in chancery causes and law actions. In Binkley v. Parker, 190 Va. 380, 57 S.E.2d 106 (1950), the trial court dismissed plaintiffs bill without giving her the opportunity to take evidence, though she appeared to have been willing to do so.

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Bluebook (online)
315 S.E.2d 825, 227 Va. 230, 1984 Va. LEXIS 237, Counsel Stack Legal Research, https://law.counselstack.com/opinion/nash-v-jewell-va-1984.