Sibley v. Sixth RMA Partners, L.P.

105 S.W.3d 1, 2001 Tex. App. LEXIS 8073, 2001 WL 1549230
CourtCourt of Appeals of Texas
DecidedDecember 6, 2001
Docket09-00-523 CV
StatusPublished
Cited by7 cases

This text of 105 S.W.3d 1 (Sibley v. Sixth RMA Partners, L.P.) is published on Counsel Stack Legal Research, covering Court of Appeals of Texas primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Sibley v. Sixth RMA Partners, L.P., 105 S.W.3d 1, 2001 Tex. App. LEXIS 8073, 2001 WL 1549230 (Tex. Ct. App. 2001).

Opinion

OPINION

DON BURGESS, Justice.

Bringing four issues, Thomas J. Sibley appeals the trial court’s judgment in favor of Sixth RMA Partners, L.P., a/k/a RMA Partners, L.P. In 1991, Sibley, who had executed two promissory notes in favor of First Federal Savings and Loan Association of Beaumont (“First Federal”), sued RMA Partners, L.P. (“RMA”) for a declaratory judgment, alleging limitations and *3 offset. RMA, who had made demand on Sibley for payment, promptly filed its own suit against Sibley seeking recovery on the First Federal notes, which RMA alleged that it had purchased from the Resolution Trust Corporation (“RTC”) after First Federal was placed in receivership. Actually, Sixth RMA was the purchaser. In 1996, RMA supplemented its original petition to include an “a/k/a” designation naming “RMA Partners, L.P., a/k/a Sixth RMA Partners, L.P.” as the plaintiff. On July 6, 1999, RMA then supplemented its original petition again to state that the correct name of the plaintiff was “Sixth RMA Partners, L.P., a/k/a RMA Partners, L.P.” In March, 2000, the declaratory judgment suit and the suit on the two notes were consolidated. Several months later, the consolidated cause was tried to the court.

In his first issue, Sibley maintains that the trial court erred in not finding the claims against him barred by limitations as the wrong entity asserted Sixth RMA’s claims and the correct entity never properly entered the proceeding through an amended petition. RTC had endorsed the notes to “Sixth RMA Partners, L.P.” — not RMA Partners. The notes matured on March 1, 1992, and were purchased from the RTC on March 12, 1993, after Sibley defaulted around March 1, 1992. Thus, the holder and owner of Sibley’s notes had six years from the date of default to bring suit, or until March 1, 1998. See Jackson v. Thweatt, 883 S.W.2d 171, 178 (Tex.1994); 12 U.S.C.A. § 1821 (d)(14)(A)(i)(I). Sibley contends the statute of limitations bars Sixth RMA’s claims because it was never properly made a party. We agree.

Under issue one, Sibley argues RMA and Sixth RMA are two legally distinct entities. Sibley notes the Delaware certificate of limited partnership for RMA was filed on June 7, 1991, and for Sixth RMA on March 15, 1993. Records from the Delaware Secretary of State show the two entities had different general partners. In addition, while Sixth RMA maintained its Delaware charter in good standing, RMA’s Delaware charter became void on December 31, 1995. Thus, when RMA filed its first supplemental petition on July 3, 1996, stating that it was suing as “RMA Partners, L.P., a/k/a Sixth RMA Partners, L.P.,” its charter already was void. Neither party briefed the question of whether RMA’s void charter affected this cause.

Sixth RMA concedes that, at one time, RMA and Sixth RMA were distinct legal entities. Testimony from employees further demonstrates that the two were not “one and the same,” as contended by RMA in its supplemental petition. Elizabeth Schaefer, the assistant general counsel of RMA when it was still active, and the general counsel of Sixth RMA, testified she did not know whether there was any written authorization allowing the operation of Sixth RMA’s business under any other name. She was not aware that any assumed name certificates had ever been filed on behalf of Sixth RMA, and also stated that Sixth RMA and RMA had separate and distinct tax identification numbers. Priscilla Stevens, testifying as a representative of Sixth RMA Partners, stated that Sixth RMA and RMA were separate legal entities; each had its own taxpayer identification number, and were formed by separate partnership agreements, and that while some of the limited partners in the two might be mutual, others were different. Further, she was not aware of any documents giving RMA the authority to file suit on behalf of Sixth RMA.

Still, Sixth RMA contends the distinct legal existence of the two entities does not matter because the claims on the notes were never RMA’s; instead they were always Sixth RMA’s, who argues the *4 naming of RMA as plaintiff was a misnomer. However, when a plaintiffs cause of action should have been brought against a separate and distinct entity other than the one sued, there is no misnomer. Matsushita Elec. Corp. of America v. McAllen Copy Data, Inc., 815 S.W.2d 850, 852-53 (Tex.App.—Corpus Christi 1991, writ denied). “Rather, there is a mistake in identity, and the wrong party is under no obligation to correct that mistake.” Id. (citing Trailways, Inc. v. Clark, 794 S.W.2d 479, 489 (Tex.App.—Corpus Christi 1990, writ denied)). Conversely then, when, as here, the entity named as plaintiff is separate and distinct from the entity that should be named plaintiff, there is no misnomer, but rather a mistake in identity. Sixth RMA’s misnomer argument is not persuasive.

Further, we consider the misnomer argument within the parameters of Rule 28, as explained in Chilkewitz v. Hyson, 22 S.W.3d 825 (Tex.1999). “Our common-law decisions have recognized that a misidenti-fication arises when two separate legal entities actually exist and a plaintiff mistakenly sues the entity with a name similar to that of the correct entity. Misidentification is generally distinct from misnomer. Misnomer arises when a plaintiff sues the correct entity but misnames it.” Id. at 828 (citations omitted). In Chilkewitz, two distinct legal entities with similar names existed — (1) Morton Hyson, M.D. in his individual capacity, and (2) his professional association, Morton Hyson, M.D., P.A. Id. The Court, however, declined to decide whether a misidentification or misnomer was involved “because neither of those common-law doctrines operates to the exclusion of Rule 28 when there are facts that call Rule 28 into play.” Id. Under Rule 28, “[a]ny partnership, unincorporated association, private corporation, or individual doing business under an assumed name may sue or be sued in its partnership, assumed or common name for the purpose of enforcing for or against it a substantive right, but on a motion by any party or on the court’s own motion the true name may be substituted.” Tex.R. Civ. P. 28.

Rule 28 allows a plaintiff to bring suit against an individual doing business under the name of an association, partnership, or corporation, even if the association, partnership, or corporation does not exist. Chilkewitz, 22 S.W.3d at 828-29. “Of course, at some point before judgment, the plaintiff must amend the petition to add the correct legal name of the actual defendant.” Id. at 829 (citing Bailey v. Vanscot Concrete Co., 894 S.W.2d 757, 760-61 (Tex.1995)). And that-amending the petition to add the correct legal name of the notes’ holder-is what Sibley maintains was not done here. We agree.

Sixth RMA relies on several cases in which a plaintiff was misnamed or misidentified: (1) Pierson v. SMS Financial II, L.L.C.,

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Cite This Page — Counsel Stack

Bluebook (online)
105 S.W.3d 1, 2001 Tex. App. LEXIS 8073, 2001 WL 1549230, Counsel Stack Legal Research, https://law.counselstack.com/opinion/sibley-v-sixth-rma-partners-lp-texapp-2001.