SENTRY SELECT INSURANCE COMPANY v. CLARK

CourtDistrict Court, D. New Jersey
DecidedJune 17, 2021
Docket1:20-cv-09754
StatusUnknown

This text of SENTRY SELECT INSURANCE COMPANY v. CLARK (SENTRY SELECT INSURANCE COMPANY v. CLARK) is published on Counsel Stack Legal Research, covering District Court, D. New Jersey primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
SENTRY SELECT INSURANCE COMPANY v. CLARK, (D.N.J. 2021).

Opinion

UNITED STATES DISTRICT COURT DISTRICT OF NEW JERSEY

SENTRY SELECT INSURANCE : Hon. Joseph H. Rodriguez COMPANY : : Plaintiff, : Civil Action No. 1:20-CV-9754 : v. : OPINION : DELIA CLARK, Individually, and : RAWLE & HENDERSON, LP : : Defendants. :

This matter is before the Court on the motion filed by Defendants Delia Clark (“Clark”) and Rawle & Henderson, LP (collectively “Defendants”) to dismiss the Amended Complaint filed by Sentry Select Insurance Company (“SSI”) [Dkt. 20], and SSI’s Motion for Leave to File a Second Amended Complaint (“Motion for Leave”). [Dkt. 30]. For the reasons discussed below, the Court will deny Defendants’ motion and grant SSI’s Motion for Leave. I. Factual Background SSI is an insurance company that provided insurance to JTP Management LLC (“JTP”), a trucking transportation company. [Dkt. 12, Am. Compl. ¶ 8]. SSI retained Defendant Clark, Counsel at the law firm Rawle & Henderson, LP (“the Firm”), to represent JTP in two lawsuits after Jeffrey Gaines (“Gaines”), a driver for JTP, crashed his tractor trailer on Interstate 295 on May 31, 2012 (collectively the “Underlying Litigation”). [Am. Compl. ¶ 8–10]. In the Underlying Litigation, two firefighters sought to recover from JTP, Gaines, Gaines’s company (“Gaines Trucking”), and other defendants for injuries suffered while responding to the crash. [Am. Compl. ¶ 9]. The present lawsuit concerns Clark’s handling of the Underlying Litigation. a. Contract Terms and Relationships SSI and JTP entered into an insurance contract (the “SSI Policy”) whereby SSI agreed to insure JTP when JTP leased its own vehicles to another “moto carrier” or when it leased vehicles from another “moto carrier.” [Dkt. 25-3 at 7]. The SSI Policy states, among other things, that it would be JTP’s primary insurance policy “if a written agreement between the other ‘motor

carrier’ as the lessee does not require the lessor to hold you harmless….” and would be “[e]xcess over any other collectible insurance if a written agreement between the other ‘motor carrier’ as the lessor and you as the lessee requires the lessor to hold you harmless.” [Dkt. 25-3 at 7]. SSI also entered an “independent authority agreement” (the “IAA”) with Gaines whereby JTP leased one “motor truck” from Gaines. [Dkt. 25-3 at 2]. The IAA states, in pertinent part, that Gaines agreed “to carry public liability insurance with proper rider or omnibus clause so as to fully protect [JTP] in the amount of $1,000,000 auto liability … for any accidents that may occur while under JTP request service.” [Id.]. Gaines contracted with the Owner-Operator Independent Drivers’ Association

(“OOIDA”) to insure Gaines, his truck, and Gaines Trucking (the “OOIDA Policy”). [Am. Compl. ¶ 11]. The OOIDA Policy states, in pertinent part, that [w]hile any covered “auto” is hired or borrowed from you by another “motor carrier” for hire, this Coverage Form’s liability coverage [is]:

(1) Primary if a written agreement between you as the lessor and the other “motor carrier” for hire as the lessee requires you to hold the lessee harmless.

(2) Excess over any other collectible insurance if a written agreement between you as the lessor and the other “motor carrier” for hire as the lessee does not require you to hold the lessee harmless.

[Dkt. 25-3 at 3]. b. Clark’s Representation in the Underlying Litigation

Clark received a copy of the OOIDA Policy on or around July 3, 2017, approximately three years after the Underlying Litigation commenced. [Am. Compl. ¶ 11.]. The Amended Complaint does not indicate if or when Clark received the IAA, or explain Clark’s delayed receipt of the OOIDA Policy. SSI retained separate coverage counsel to analyze the OOIDA Policy and to seek reimbursement from OOIDA for the costs and fees incurred in defending the Underlying Litigation. [Id. ¶¶ 13–14]. SSI’s coverage counsel sent letters to OOIDA on October 10, 2017 and December 5, 2017 concerning OOIDA’s coverage obligations but did not receive immediate responses. [Id. ¶¶ 14–15]. According to the Amended Complaint, Clark knew of the OOIDA Policy, knew that the OOIDA Policy was a primary coverage policy that would apply to the Underlying Litigation, knew that coverage counsel was analyzing the OOIDA policy, and communicated with coverage counsel about the OOIDA Policy. [Id. ¶¶ 12–13]. Clark represented JTP at a mediation session on December 17, 2017, where she settled the Underlying Litigation. [Id. ¶ 16]. As part of the settlement, Clark signed a release (“the Release”) on behalf of Gaines, Gaines Trucking, JTP, and SSI. [Id. ¶¶ 16–17]. Pursuant to the Release, the co-defendants “generally and completely release[d] and discharge[d] each other and every other Released Party of and from any and all claims (including attorney’s fees and costs of suit)…..” [Dkt. 24 Exh. D]. The Amended Complaint alleges that Clark and her firm “knew, or should have known, that there was a claim for reimbursement/contribution towards the OOIDA

[P]olicy.” [Am. Compl. ¶ 20]. The Amended Complaint also alleges that Clark signed the release on behalf of SSI even though she only had authority to settle the Underlying Lawsuit for JTP. [Id. ¶¶ 16–17]. On February 20, 2018, Counsel for OOIDA finally responded to SSI’s coverage counsel and indicated that the Release defeated all claims for contribution against OOIDA. [Id. ¶ 19]. Thus, the Amended Complaint alleges that, by signing the Release, Clark “did not preserve the indemnification and coverage claims against OOIDA.” [Id. ¶ 18]. As a result, SSI paid the first $1,000,000 of settlement and incurred approximately $750,000 in legal fees in the Underlying

Litigation without any payment from OOIDA. [Id. ¶ 21]. SSI filed this lawsuit against Clark and the Firm alleging that Clark’s failure to preserve claims against OOIDA constitutes professional negligence (Count I) and breach of fiduciary duty (Count II). [See generally id.]. II. Procedural History SSI filed its first complaint in this case on July 31, 2020. [See Dkt. 1, Compl.]. On August 4, 2020, the Court issued an Order to Show Cause as to why the complaint should not be dismissed for lack of diversity jurisdiction due to a failure to plead complete diversity. [Dkt. 3]. On August 17, 2020, SSI filed the Amended Complaint to cure the jurisdictional deficiencies in

its initial pleading. [Dkt. 12, Am. Compl.]. On October 13, 2020, Defendants filed the present motion to dismiss the Amended Complaint. [Dkt. 13]. SSI appointed new counsel [Dkt. 27] who filed this Motion for Leave on February 19, 2021. [Dkt. 30]. The proposed Second Amended Complaint recites the same facts, professional negligence claim, and breach of fiduciary duty claim alleged in the Amended Complaint, but adds a claim for negligence as to a third-party beneficiary. [See id., Exh. 1]. Defendants have opposed SSI’s motion. [Dkt. 35]. The Court heard argument from the parties on both motions via a virtual hearing on May 25, 2021. [See Dkt. 44]. III. Standard of review Federal Rule of Civil Procedure 12(b)(6) permits dismissal for “failure to state a claim upon which relief can be granted.” Fed. R. Civ. P. 12(b)(6). A complaint should be dismissed pursuant to Rule 12(b)(6) if the alleged facts, taken as true, fail to state a claim. Id. In general, only the allegations in the complaint, matters of public record, orders, and exhibits attached to

the complaint, are taken into consideration when deciding a motion to dismiss under Rule 12(b)(6). See Chester County Intermediate Unit v. Pa. Blue Shield, 896 F.2d 808, 812 (3d Cir. 1990). It is not necessary for the plaintiff to plead evidence. Bogosian v. Gulf Oil Corp., 561 F.2d 434, 446 (3d Cir. 1977).

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