Summit Electric Supply Co. v. Rhodes & Salmon, P.C.

2010 NMCA 086, 241 P.3d 188, 148 N.M. 590
CourtNew Mexico Court of Appeals
DecidedJuly 8, 2010
Docket28,284; 32,540
StatusPublished
Cited by29 cases

This text of 2010 NMCA 086 (Summit Electric Supply Co. v. Rhodes & Salmon, P.C.) is published on Counsel Stack Legal Research, covering New Mexico Court of Appeals primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Summit Electric Supply Co. v. Rhodes & Salmon, P.C., 2010 NMCA 086, 241 P.3d 188, 148 N.M. 590 (N.M. Ct. App. 2010).

Opinion

OPINION

ROBLES, Judge.

{1} Summit Electric Supply Company, Inc. (Summit) and SE Technologies, Inc. (SE) (collectively, Plaintiffs) appeal the district court’s dismissal for failure to prosecute pursuant to Rule 1-041(E) NMRA. After review, we reverse the district court.

I. BACKGROUND

{2} Plaintiffs, represented by the same attorney, filed a complaint on July 18, 2002. The record reveals that Plaintiffs pursued their claim for nearly a year before SE filed for bankruptcy in federal court on June 27, 2003 and notified the district court of the bankruptcy action on July 8, 2003. Rhodes & Salmon, P.C. (Defendant) filed a motion, arguing that the bankruptcy proceeding automatically stayed the case as to both Plaintiffs and, in the alternative, requested that if the district court were to hold that the bankruptcy proceeding did not stay the case as to Summit, that the district court certify interlocutory appeal as to the issue. Summit filed a brief in opposition to certification for interlocutory appeal, arguing, inter alia, that the case was not automatically stayed. The district court set a hearing on the issue for November 13, 2003. The day before the hearing, Plaintiffs’ counsel filed a motion to vacate the hearing because SE had asserted a claim against Summit in the bankruptcy proceedings and claimed sole ownership of the legal malpractice claim against Defendant. From Plaintiffs’ counsel’s perspective, he was uncertain whether he could represent both Plaintiffs in the claim asserted in this action if they were adversarial in satellite litigation, which concerned ownership of this claim. In his motion to vacate, Plaintiffs’ counsel stated: “Unless and until the bankruptcy court approves the undersigned to act as counsel for [both Plaintiffs] in these proceedings, counsel may not proceed further.”

{3} No further action took place on this case in state court for two years and six months. The district judge presiding over this case retired, and the cause was assigned to a new district judge. On May 23, 2006, in an apparent effort to manage its docket, the district court entered an order on its own motion, which stated, in pertinent part:

[T]he [e]ourt[,] having been advised that a bankruptcy petition has been filed[, orders] that this case is closed as to all pending claims. No reopen fee shall be required if the movant seeks reinstatement within sixty days after termination of the bankruptcy stay. Movant shall comply with [Local Rule] 2-301.

{4} One year later, on May 25, 2007, Plaintiffs filed a motion to reinstate the action. Their motion stated that the bankruptcy proceedings had concluded on May 16, 2007 in Connecticut, and a settlement had been reached between Plaintiffs under which both Summit and SE would be pursuing the claims in this case. Attached to the motion was an order from the federal bankruptcy court approving the settlement, as well as a request for a trial setting in accordance with Rule 1-016 NMRA (outlining the procedures for pretrial conferences, scheduling, and management); Local Rule 2-125(A) NMRA (“[A]ny party may request a trial by filing a request for hearing with the clerk.”); Local Rule 2-131 NMRA (“Cases and parts of cases closed for lack of prosecution shall be reinstated only by court order to reinstate upon agreement of the parties or good cause shown.”); and Local Rule 2-301(B) NMRA (“A party seeking to reinstate a case pursuant to Rule 1-041(E)(2) ... shall attach a copy of a proposed pretrial scheduling order to the motion to reinstate.”). In' response, Defendant filed a motion to dismiss the suit for failure to prosecute in accordance with Rule 1 — 041(E)(1). Defendant argued that more than two years had passed from filing the action, and Plaintiffs had failed to take significant action to bring the case to final disposition. Following a hearing and a subsequent motion for reconsideration, the district court granted Defendant’s motion to dismiss and denied Plaintiffs’ motion for reconsideration. This appeal followed.

II. DISCUSSION

{5} The question in the instant case is whether the district court’s order correctly denied Plaintiffs’ motion to reinstate and correctly granted Defendant’s motion to dismiss. Rule 1-041(E) states:

(1) Any party may move to dismiss the action, or any counterclaim, cross-claim or third-party claim with prejudice if the party asserting the claim has failed to take any significant action to bring such claim to trial or other final disposition within two (2) years from the filing of such action or claim. An action or claim shall not be dismissed if the party opposing the motion is in compliance with an order entered pursuant to Rule 1-016 ... or with any written stipulation approved by the court.
(2) Unless a pretrial scheduling order has been entered pursuant to Rule 1-016 ..., the court on its own motion or upon the motion of a party may dismiss without prejudice the action or any counterclaim, cross-claim or third[-]party claim if the party filing the action or asserting the claim has failed to take any significant action in connection with the action or claim within the previous one hundred and eighty (180) days. A copy of the order of dismissal shall be forthwith mailed by the court to all parties of record in the case. Within thirty (30) days after service of the order of dismissal, any party may move for reinstatement of the ease. Upon good cause shown, the court shall reinstate the case and shall enter a pretrial scheduling order pursuant to Rule 1-016.... At least twice during each calendar year, the court shall review all actions governed by this paragraph.

{6} District courts have discretion in determining whether to dismiss a ease for inactivity, and their decisions shall be reversed if they abuse their discretion. N.M. Water Quality Control Comm’n v. Emerald Corp., 113 N.M. 144, 146, 823 P.2d 944, 946 (Ct.App.1991). Discretion is abused “when the court exceeds the bounds of reason, all the circumstances before it being considered.” Dunham-Bush, Inc. v. Palkovic, 84 N.M. 547, 550, 505 P.2d 1223, 1226 (1973) (internal quotation marks and citation omitted). “[W]e make no attempt to fix a standard of what action is sufficient to satisfy the requirement of the rule, for each case must be determined upon its own particular facts and circumstances.” Martin v. Leonard Motor-El Paso, 75 N.M. 219, 222, 402 P.2d 954, 956-57 (1965).

A. Plaintiffs’ Motion to Reinstate Under Rule 1-041(E)(2)

{7} On May 23, 2006, the district court on its own motion “closed” the instant case. We conclude that the only way the district court may have closed the case on its own motion for inactivity would be pursuant to Rule 1-041(E)(2). Likewise, it appears that the district court believed it was acting pursuant to Rule 1 — 041(E)(2) because it stated in its order that the “[mjovant shall comply with ... LR2-301.” LR2-301(B) provides that “[a] party seeking to reinstate a case pursuant to Rule 1 — 041(E)(2) ...

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Cite This Page — Counsel Stack

Bluebook (online)
2010 NMCA 086, 241 P.3d 188, 148 N.M. 590, Counsel Stack Legal Research, https://law.counselstack.com/opinion/summit-electric-supply-co-v-rhodes-salmon-pc-nmctapp-2010.