Slotkin v. Brookdale Hospital Center

377 F. Supp. 275, 18 Fed. R. Serv. 2d 1066, 1974 U.S. Dist. LEXIS 8510
CourtDistrict Court, S.D. New York
DecidedMay 16, 1974
Docket71 Civ. 4044 (WCC)
StatusPublished
Cited by12 cases

This text of 377 F. Supp. 275 (Slotkin v. Brookdale Hospital Center) is published on Counsel Stack Legal Research, covering District Court, S.D. New York primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Slotkin v. Brookdale Hospital Center, 377 F. Supp. 275, 18 Fed. R. Serv. 2d 1066, 1974 U.S. Dist. LEXIS 8510 (S.D.N.Y. 1974).

Opinion

CONNER, District Judge:

In this fraud action, plaintiffs charge that they were induced to settle a malpractice action against defendant Brook-dale Hospital and others for $185,000, upon the representation that Brookdale had no excess liability coverage above a. $200,000 policy. Defendant Paul Ratner, an officer of Citizens Casualty Insurance Company of New York, the primary insurer, and defendants John Mc-Grath, Esq., and Christopher McGrath, Jr., Esq. (“the McGraths”), designated as trial counsel for Brookdale Hospital in the state action by the New York State Superintendent of Insurance, as liquidator of Citizens Casualty Company, move this Court for an order vacating the dismissal of plaintiff’s action against Brookdale and two Brookdale executives, Morrell Goldberg and Bernard Fuss, and for leave to serve an amended answer asserting cross-claims against them; or, in the alternative, for leave to serve a third-party complaint. Additionally, defendants Ratner and George Berkowitz, Esq., Trustee of Brookdale and Vice-Chairman of its Legal Committee, move for leave to assert cross-claims against each other.

On December 28, 1971 Brookdale filed its answer to plaintiff’s complaint. Ratner and the McGraths had previously filed answers on November 4, 1971, but had failed to assert cross-claims against Brookdale. On January 26, 1972, plaintiff dismissed his action against Brook-dale with prejudice, pursuant to a stipulation approved by the Court pursuant to Rule 41(a)(2), F.R.Civ.P. Subsequently, Ratner and the McGraths retained new counsel, who now assert on behalf of. their clients that the dismissal of plaintiff’s action against Brookdale, without prior notice to other parties in the action, prejudiced their right to assert cross-claims against Brookdale.

According to the Court’s docket sheet and file of this case, on January 17, 1972, defendant American Mutual Insurance Company of Boston filed its answer to plaintiff’s complaint, and asserted a cross-claim against Brookdale. On January 28, 1972, defendants Arkwright-Boston Manufacturers Mutual Insurance Company, Allstate Insurance Company, Urbaine Fire Insurance Company, Grange League Insurance Company, and Employers Mutual Liability Insurance Company of Wisconsin filed answers and asserted cross-claims against Brookdale. Other defendants had also filed answers prior to the dismissal of plaintiff’s action against Brookdale, but had not asserted cross-claims against Brookdale.

It is clear that dismissal of an action with prejudice pursuant to Rule 41(a)(2) is a final adjudication of the issues presented by the pleadings and normally bars further suit between the parties on the same cause of action. Glick v. Ballentine Produce, Inc., 397 F.2d 590 (8th Cir. 1968); Cleveland v. Higgins, 148 F.2d 722, (2d Cir.), cert. denied, 326 U.S. 722, 66 S.Ct. 27, 90 L. Ed. 428 (1945). However, the stipulation of dismissal with prejudice of plaintiff’s action against Brookdale, endorsed “so ordered” by Judge MacMahon, 1 did *278 not operate to dismiss the cross-claim asserted by American Mutual Insurance Company of Boston which was filed prior to entry of the order of dismissal. Barker v. Louisiana & Arkansas Ry. Co., 57 F.R.D. 489 (D.La.1972); Aetna Insurance Co. v. Newton, 398 F.2d 729, 734 (3d Cir. 1968); Frommeyer v. L. & R. Construction Co., 139 F.Supp. 579 (D.N.J.1956), aff’d, 261 F.2d 879 (3rd Cir. 1958). Since this Court has retained jurisdiction over Brookdale by virtue of that cross-claim, Brookdale remains a co-defendant in this action and the movants may assert cross-claims pursuant to Rule 13(g), F.R.Civ.P. by amending their answers if leave of the Court is granted pursuant to Rule 15, F.R.Civ.P. Therefore, it is apparent that the order of dismissal need not be vacated 2 in order to grant the movants the relief requested.

Since jurisdiction of this action is based on diversity, it is necessary to determine whether the moving defendants have a substantive claim under New York law for indemnity against Brook-dale.

Brookdale opposes the motion on the ground that the movants have no substantive claim for contribution under N.Y.C.P.L.R. 1401 (McKinney 1963), because plaintiff has not obtained judgment against the movants, and neither Ratner nor either of the McGraths has paid more than his pro rata share of such a judgment. They further argue that, in any event, there is no right to contribution in fraud actions in New York.

While Brookdale correctly states the requirements for contribution pursuant to N.Y.C.P.L.R. 1401, it relies on cases which are no longer good law. Revolutionary changes in the substantive law of New York have resulted from the decision of the New York Court of Appeals in Dole v. Dow Chemical Co., 30 N.Y.2d 143, 331 N.Y.S.2d 382, 282 N.E.2d 288 (1972). In considering the impact of Dole and its progeny on the relief herein requested, this Court is pre *279 sented with the apparently novel question whether a cross-claim for indemnity should be permitted where an intentional tort is involved.

Under prior New York law, a plaintiff could choose which tortfeasors he would sue, since each was jointly and severally liable. Where joint tortfeasors had caused an injury, a plaintiff could sue only one, who would not have the right to implead others who may have contributed to the injury. The tortfeasor sued would have to bear full responsibility for the acts of others. The only exception to this rule was where a tortfeasor could demonstrate that he was only “passively” negligent. In such case, a third party he claimed to be “actively” negligent could then be impleaded. The rationale for prohibiting one tortfeasor from sharing liability with another where both were “active” wrongdoers, which was applicable to both intentional and unintentional torts, was the deterrence of wrongdoing.

Dole created the substantive law doctrine that a tortfeasor who is sued individually may implead others who have contributed to the plaintiff’s injury, rather than being forced to bear the responsibility alone. 3 The Dole doctrine is based on the principle that the damages should be fairly apportioned among those who participated in the wrong, regardless of whether or not they were “active” or “passive” tortfeasors. Thus, while the plaintiff may initiate his suit against any one or more of several tortfeasors, the defendants now have the right to implead any other tortfeasors who are or may be liable for all or part of the injury, or to assert cross-claims for indemnity against co-defendants already joined. Kelly v. Long Island Lighting Co., 31 N.Y.2d 25, 334 N.Y.S.2d 851, 286 N.E.2d 241 (1972).

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Bluebook (online)
377 F. Supp. 275, 18 Fed. R. Serv. 2d 1066, 1974 U.S. Dist. LEXIS 8510, Counsel Stack Legal Research, https://law.counselstack.com/opinion/slotkin-v-brookdale-hospital-center-nysd-1974.