Searcy Healthcare Ctr. LLC v. Murphy

2013 Ark. 463
CourtSupreme Court of Arkansas
DecidedNovember 14, 2013
DocketCV-13-210
StatusPublished
Cited by16 cases

This text of 2013 Ark. 463 (Searcy Healthcare Ctr. LLC v. Murphy) is published on Counsel Stack Legal Research, covering Supreme Court of Arkansas primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Searcy Healthcare Ctr. LLC v. Murphy, 2013 Ark. 463 (Ark. 2013).

Opinion

Cite as 2013 Ark. 463

SUPREME COURT OF ARKANSAS No. CV-13-210

SEARCY HEALTHCARE CENTER, Opinion Delivered November 14, 2013 LLC D/B/A SEARCY HEALTHCARE CENTER; SEARCY HC HOLDINGS, APPEAL FROM THE WHITE LLC; PERENNIAL BUSINESS COUNTY CIRCUIT COURT SERVICES, LLC; PERENNIAL [NO. CV-2011-13] CONSULTING SERVICES, LLC; PERENNIAL LEASING, LLC; SHC HONORABLE THOMAS M. PROPERTIES, LLC; V. JAMES HUGHES, JUDGE SANTARSIERO, INDIVIDUALLY, AND AS THE GOVERNING BODY OF REVERSED AND REMANDED; SEARCY HEALTHCARE CENTER; CROSS-APPEAL DISMISSED. JEANNE BUTTERWORTH, INDIVIDUALLY, AND AS THE GOVERNING BODY OF SEARCY HEALTHCARE CENTER; AND PAMELA MURPHY, IN HER CAPACITY AS ADMINISTRATOR OF SEARCY HEALTHCARE CENTER APPELLANTS

V.

JOHN MURPHY, AS ADMINISTRATOR OF THE ESTATE OF JOHN WESLEY MURPHY, DECEASED, AND ON BEHALF OF THE WRONGFUL DEATH BENEFICIARIES OF JOHN WESLEY MURPHY APPELLEE

KAREN R. BAKER, Associate Justice

Searcy Healthcare Center, LLC d/b/a Searcy Healthcare Center, Searcy HC Holdings, Cite as 2013 Ark. 463

LLC, Perennial Business Services, LLC, Perennial Consulting Services, LLC, Perennial

Leasing, LLC, SHC Properties, LLC, V. James Santarsiero, individually, and as governing

body of Searcy Healthcare Center, Jeanne Butterworth, individually, and as governing body

of Searcy Healthcare Center, and Pamela Murphy, in her capacity as administrator of Searcy

Healthcare Center (“SHC”), appeal from the decision of the White County circuit court

denying SHC’s motion to compel arbitration. We reverse and remand.

John Wesley Murphy was a resident of SHC from January 7, 2010, until January 29,

2010. He died on February 12, 2010.

On January 8, 2010, John Wesley Murphy executed a written arbitration agreement

with SHC. The arbitration agreement was not a requirement for John Wesley Murphy to

become a resident at SHC, and testimony showed that John Wesley Murphy had thirty days

from the time of his signature to revoke the agreement. The agreement stated as follows:

Any controversy, claim, or dispute (“claim”) between the parties arising under the Admissions Agreement, breaches of the Admissions Agreement, the care the Resident received or does not receive, or in any way arising out of or relating to the Resident’s stay at SEARCY HEALTHCARE CENTER, LLC shall be settled by arbitration.

The agreement also stated that it was binding on the Resident, the Resident’s representative,

and SHC, as well as the resident’s “spouse, children, heirs, personal representatives, assigns,

guardians, persons appointed pursuant to a power of attorney, and administrators of the

Resident’s estate.”

On January 11, 2011, John Murphy (Murphy) filed a nursing-home-malpractice action

against SHC, as administrator of John Wesley Murphy’s estate and on behalf of the statutory

wrongful-death beneficiaries. SHC filed a motion to stay proceedings and compel arbitration

2 Cite as 2013 Ark. 463

based on the arbitration agreement John Wesley Murphy had signed.

On November 9, 2011, the circuit court held a hearing over the motion to compel

arbitration. After the hearing, the circuit court entered a written order denying the motion

to compel arbitration as to the wrongful-death beneficiaries. The circuit court found that

John Wesley Murphy was competent when he signed the agreement, that it was not

unconscionable, and that the Federal Arbitration Act controlled the agreement. However,

the circuit court found that John Wesley Murphy had not extinguished the substantive rights

of the wrongful-death beneficiaries by signing the arbitration agreement. The circuit court

therefore denied the motion to compel arbitration against the wrongful-death beneficiaries.

On appeal, SHC asserts that the circuit court erred in finding that the wrongful-death

beneficiaries were not required to arbitrate their claims. Murphy cross-appeals, arguing that

the circuit court erred in finding that: (1) the Federal Arbitration Act governed the agreement,

and (2) John Wesley Murphy was competent to agree to arbitration.

An order denying a motion to compel arbitration is an immediately appealable order

under Arkansas Rule of Appellate Procedure–Civil 2(a)(12) (2013). We review a circuit

court’s order denying a motion to compel arbitration de novo on the record. HPD, LLC v.

Tetra Techs., Inc., 2012 Ark. 408, ___ S.W.3d ___.

On appeal, SHC contends that the circuit court erred in denying the motion to

compel arbitration as to the wrongful-death beneficiaries. SHC contends that, because a

wrongful-death claim is derivative to the injury claim that the decedent could have brought

had he survived, the wrongful-death beneficiaries are bound by the arbitration agreement.

3 Cite as 2013 Ark. 463

SHC asserts that John Wesley Murphy contracted away his right to a jury trial by signing the

arbitration agreement and that the wrongful-death beneficiaries stand in his legal shoes.

Murphy argues that while the wrongful-death claim is derivative of the survivorship claim,

they remain two separate claims with separate plaintiffs and separate rights, and therefore John

Wesley Murphy could not have contracted away the rights of those who were not party to

the arbitration agreement.

The Arkansas wrongful-death statute states as follows:

Whenever the death of a person . . . is caused by a wrongful act, neglect, or default and the act, neglect, or default would have entitled the party injured to maintain an action and recover damages in respect thereof if death had not ensued, then and in every such case, the person or company or corporation that would have been liable if death had not ensued shall be liable to an action for damages.

Arkansas Code Annotated section 16-62-102(a)(1) (Supp. 2013). The wrongful-death action

is a statutory creation, and since it is in derogation of or at variance with the common law,

we construe it strictly. Estate of Hull v. Union Pac. R.R. Co., 355 Ark. 547, 141 S.W.3d 356

(2004). Strict construction requires that nothing be taken as intended that is not clearly

expressed. Id.

A wrongful-death claim is derivative of the claim that the decedent would have had,

had he survived. See Hull, supra. The right of the next of kin to recover under the Arkansas

death statute is not a mere continuation of the original right of the decedent; it is a new action

in the sense that it arises at a different time, the beneficiaries are different, and the measure of

damages is different. Id. However, it is still a derivative action, and arises only where the

original right of the decedent has been preserved. Id.

4 Cite as 2013 Ark. 463

In Hull, we cited comment b of section 46 of the Restatement (Second) of Judgments

(1982) to explain the difference between derivative and independent claims for wrongful

death. That comment states, in part, as follows:

If the claim for wrongful death is treated as wholly derivative, the beneficiaries of the death action can only sue if the decedent would still be in a position to sue. In this approach, the decedent’s action for personal injuries during his lifetime has the same consequences as it does under the survival statute. Accordingly, settlement of the decedent’s personal injury claims or its reduction to judgment for or against the alleged tortfeasor extinguishes the wrongful death claim against the tortfeasor.

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