State Farm Fire & Casualty Co. v. Dunn-Edwards Corp.

728 F. Supp. 2d 1273, 2010 U.S. Dist. LEXIS 89659, 2010 WL 3033561
CourtDistrict Court, D. New Mexico
DecidedJuly 23, 2010
DocketCase 10-336 BB/LFG
StatusPublished
Cited by5 cases

This text of 728 F. Supp. 2d 1273 (State Farm Fire & Casualty Co. v. Dunn-Edwards Corp.) is published on Counsel Stack Legal Research, covering District Court, D. New Mexico primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
State Farm Fire & Casualty Co. v. Dunn-Edwards Corp., 728 F. Supp. 2d 1273, 2010 U.S. Dist. LEXIS 89659, 2010 WL 3033561 (D.N.M. 2010).

Opinion

MEMORANDUM OPINION

BRUCE D. BLACK, District Judge.

This matter comes before the Court on Plaintiff State Farm’s motion to remand (Doc. 16). The motion will be granted.

Factual and Procedural Background

Plaintiff State Farm brought suit in state court in July 2009 alleging liability for damages that its insured suffered from a fire purportedly caused by Defendants Dunn-Edwards and Smith. Though three Defendants were named, only two were served prior to removal: Dunn-Edwards on March 11, 2010 and Affiliated on March 23.

On April 9, Affiliated filed a notice of removal (Doc. 1) alleging diversity jurisdiction under 28 U.S.C. § 1332. Though the notice recognized Dunn-Edwards as a named, served defendant, it gave no indication that Dunn-Edwards consented to the removal. Dunn-Edwards took no part in the removal itself, but much later filed a *1275 consent to proceed before the Magistrate (Doc. 7).

On April 23, State Farm moved for remand based, inter alia, on Defendants’ failure to comply with the unanimity rule, which requires all served defendants to give timely consent to removal. That motion is now before the Court.

Affiliated opposes remand (Doc. 20) and argues that Dunn-Edwards communicated its consent to Affiliated during a private telephone conversation in April. In support, Affiliated offers an affidavit from Dunn-Edwards’ counsel stating that she did, in fact, consent to removal during their telephone conversation. Affiliated also points to Dunn-Edwards’ willingness to proceed before the Magistrate, contending that it sufficiently evinced Dunn-Edwards’ consent to federal jurisdiction. Based on these arguments, Affiliated seeks to cure what it terms the “technical deficiencies” of its removal through amendment.

Issue

The outcome of State Farm’s motion turns on the unanimity rule. Simply stated, the unanimity rule requires all served defendants to assure the court— generally by joining in the removal itself, filing their own notice of removal, or filing a notice of consent — that they consent to removal. 1 Derived from removal procedure set forth in 28 U.S.C. § 1446, a defendant’s consent must be filed with the court within 1446(b)’s thirty-day removal period. 2

Discussion

The need for timely consent is easy to understand: A valid removal requires the consent of all served defendants. 3 If a served defendant withholds consent, the removal is procedurally deficient and the parties have thirty days to seek remand. 4 If the parties do not seek remand within thirty days, the procedural deficiency is waived. 5 Thus, in order to make informed, timely decisions about remand, parties must be able to tell whether all of the served defendants consented during the thirty-day removal period.

To preserve the removed-parties’ rights, most courts require defendants to indicate their consent in a written filing. 6 Such filings bind defendants to their choice and, through CM/ECF, give all parties notice that consent has been received. Requiring written notice does not burden defendants because compliance requires very little effort or expense: signing the notice of removal, filing their own notice of removal, or filing a one-page notice of consent is sufficient. 7 Courts — including, at times, this Court — have occasionally relaxed this *1276 rule by, inter alia, allowing a defendant to attest to the consent of its co-defendants. 8 Other courts have been even more lenient. 9

Though leniency is understandable, it has not been beneficial in this area. At present, parties before one judge may find that strict compliance is required, while litigants before another — even in the same district — may find that it is not. 10 They are thus left to guess at the scope of the unanimity rule’s mandate on the front end, and pay for motions exploring the rule’s contours on the back end. Under the current ambiguity, whether a case remains in federal court may hinge on something as random as the judge to whom has been assigned.

It need not be so confusing. Our jurisprudence has long held that the procedural requirements for removal are to be “strictly enforced” and that “all doubts are to be resolved against removal.” 11 Thus, courts must require removing parties to show that removal was properly accomplished. 12 “There is a presumption against removal jurisdiction.” 13 By equivocating on unanimity, courts ignore this presumption and inject uncertainty into an otherwise clear rule. By doing so they impose needless costs on the parties and endanger the credibility of the courts. Rather than simply review the notice of removal and docket for each defendant’s explicit consent, removed plaintiffs must parse each line of each filing — and perhaps of each *1277 hearing before the court 14 — with an eye to both the ever-shifting jurisprudence of what constitutes sufficient consent and the judge to whom the case has been assigned.

Our jurisprudence supports an almost foolproof directive, which follows the clear language of the rule and should satisfy every judge: If you represent a served, properly joined defendant who consents to a co-defendant’s removal, you must sign the notice of removal on behalf of your client, file your own notice of removal, or file a notice of consent to removal within the thirty-day removal period. Do not rely on phone calls or emails or handshakes. Do not rely on a co-defendant’s counsel to say something on your client’s behalf. File something with the Court. Anything less may be insufficient.

Indeed, the majority of circuit courts require written, timely consent from each defendant. 15 In so doing, these courts reject the notion that an attorney may offer consent for anyone beyond her own client(s). 16 There is no reason why an attorney cannot be called upon to speak on her client’s behalf. Nor does some courts’ reliance on Rule 11 to ensure that one attorney does not falsely aver a non-client’s consent seem well-advised. 17

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Bluebook (online)
728 F. Supp. 2d 1273, 2010 U.S. Dist. LEXIS 89659, 2010 WL 3033561, Counsel Stack Legal Research, https://law.counselstack.com/opinion/state-farm-fire-casualty-co-v-dunn-edwards-corp-nmd-2010.