Triplett v. Farmers Insurance Exchange

24 Cal. App. 4th 1415, 29 Cal. Rptr. 2d 741, 94 Daily Journal DAR 6168, 94 Cal. Daily Op. Serv. 3276, 1994 Cal. App. LEXIS 452
CourtCalifornia Court of Appeal
DecidedMay 5, 1994
DocketD016849
StatusPublished
Cited by31 cases

This text of 24 Cal. App. 4th 1415 (Triplett v. Farmers Insurance Exchange) is published on Counsel Stack Legal Research, covering California Court of Appeal primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Triplett v. Farmers Insurance Exchange, 24 Cal. App. 4th 1415, 29 Cal. Rptr. 2d 741, 94 Daily Journal DAR 6168, 94 Cal. Daily Op. Serv. 3276, 1994 Cal. App. LEXIS 452 (Cal. Ct. App. 1994).

Opinion

Opinion

FROEHLICH, J.

In a personal injury action, plaintiff and respondent Elizabeth Triplett (Triplett) recovered a jury verdict against defendant Thomas Simko (Simko). After the verdict was entered, the court ordered that *1418 Simko’s insurer, appellant Farmers Insurance Exchange (Farmers) be added as an additional defendant, and then sanctioned Farmers over $15,000 for refusing to settle before trial. Farmers appeals, raising a number of challenges to the sanctions order.

We conclude that, however salutary the benefits of encouraging pretrial settlements, the court is not empowered to sanction a defendant under Code of Civil Procedure 1 section 128.5 for defending an action rather than settling, much less to add an insurer after judgment as a party in order to impose such a sanction.

I. The Genesis of the Action

A. Pretrial Proceedings

In September 1990, Triplett sued Simko for injuries she sustained when his truck rear-ended her car.

During the pretrial discovery the defense’s medical expert, Dr. William Curran (Curran), examined Triplett. At his deposition in October 1991, Curran opined that the duration of the therapy appeared excessive, and hence so did the charges incurred therefor, further opining that Triplett should have been able to return to work earlier than she actually did.

The matter was arbitrated on May 10, 1991. At that time Triplett testified her injuries prevented her from participating in the activities she had enjoyed before the accident, one of which was tennis. However, the defense impeached her with entries on her medical chart which indicated she had resumed full activities, including tennis, less than two months after the accident. Triplett stated she could not explain the entries because she did not play tennis. When cross-examined against her deposition testimony, which indicated she did play tennis, she could not explain why she had listed tennis as one of her activities.

The arbitrator awarded Triplett $17,500, and Simko filed a request for trial de novo. Shortly thereafter, Triplett filed a section 998 offer for $17,500.

A de novo settlement conference was held in October 1991. At that time Simko’s counsel appeared along with a Farmers representative, whose settlement authority was limited to $7,500. Judge Pate, the settlement judge, told defense counsel the matter had a value somewhere between $10,000 and $12,000, but defense counsel declined to offer more than $7,500, believing *1419 they had significant impeachment evidence against Triplett regarding her sports activities. Pate also told Triplett she should accept $12,000, and she was prepared to accept that amount. However, defense counsel were never told Triplett was prepared to accept anything less than $17,500.

B. Trial Events

At trial, changes in anticipated testimony forced defense counsel to argue to the jury that the proper award should be between $10,000 and $12,000. First, Triplett undermined Simko’s ability to impeach her by completely reversing her testimony about her sports activities. 2 Second, the defense expert, whose earlier report had doubted that medical care in the April through June 1990 period was appropriate, softened his opinion on cross-examination and refiised to criticize the need for medical care, thus forcing the defense to concede additional “special” damages.

The refusal to settle for more than $7,500 prior to trial, coupled with other factors, apparently led the judge to conclude the insurer had acted in bad faith. 3 Recognizing that Moradi-Shalal v. Fireman’s Fund Ins. Companies (1988) 46 Cal.3d 287 [250 Cal.Rptr. 116, 758 P.2d 58] barred a bad faith claim by Triplett, the trial judge announced she would examine alternative ways to sanction the insurer for defending rather than settling the action.

Against this backdrop, we now examine the court’s effort to sanction Farmers.

II. The Court Lacked Jurisdiction Over Farmers

The first obstacle the court faced and tried to overcome was how to impose sanctions on a nonparty. After the jury returned its award, the court immediately set an order to show cause re sanctions for the purpose of determining whether defending the action was sanctionable conduct by *1420 Farmers. 4 At the first hearing the court concluded sanctions under section 128.5 were proper, effectively rejecting the argument that the defense had a basis for believing Triplett’s settlement demand was too high. However, recognizing such sanctions were proper only against a party, the court then set a second hearing to determine whether to “add” Farmers as an additional defendant, under the aegis of section 187.

At this second hearing the court ordered that Farmers be added as a defendant. The court concluded it had the power to add Farmers under section 187 because Farmers controlled the litigation, financed it and hired the attorneys, and therefore due process would not be offended if Farmers were added postjudgment.

We conclude the trial court could not add Farmers as a defendant under section 187. That section provides: “When jurisdiction is, by the constitution or this code, or by any other statute, conferred on a court or judicial officer, all the means necessary to carry it into effect are also given; and in the exercise of this jurisdiction, if the course of proceeding be not specifically pointed out by this code or the statute, any suitable process or mode of proceeding may be adopted which may appear most conformable to the spirit of this code.”

Although section 187 has been interpreted to allow flexibility in proceedings, it has never been construed to allow imposition of liability on an entity which was never a party to the action. Cases which have used section 187 to add new parties as additional judgment debtors have always been rooted in the “alter ego” concept that the original party and the new party were one and the same. Adding the alter ego entity after judgment, therefore, amounted to little more than correcting a misnomer in naming the defendant. (See, e.g„ Mirabito v. San Francisco Dairy Co. (1935) 8 Cal.App.2d 54, 60 [47 P.2d 530].) Triplett has not cited, nor has our research uncovered, any case extending section 187 to permit addition of a defendant by postjudgment motion except where the added defendant was found to be the alter ego of the original defendant.

*1421 The trial court, citing NEC Electronics Inc. v. Hurt (1989) 208 Cal.App.3d 772 [256 Cal.Rptr.

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24 Cal. App. 4th 1415, 29 Cal. Rptr. 2d 741, 94 Daily Journal DAR 6168, 94 Cal. Daily Op. Serv. 3276, 1994 Cal. App. LEXIS 452, Counsel Stack Legal Research, https://law.counselstack.com/opinion/triplett-v-farmers-insurance-exchange-calctapp-1994.