Universal Motors, Inc. v. Neary

984 P.2d 515, 1999 Alas. LEXIS 109, 1999 WL 632286
CourtAlaska Supreme Court
DecidedAugust 20, 1999
DocketS-8349
StatusPublished
Cited by14 cases

This text of 984 P.2d 515 (Universal Motors, Inc. v. Neary) is published on Counsel Stack Legal Research, covering Alaska Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Universal Motors, Inc. v. Neary, 984 P.2d 515, 1999 Alas. LEXIS 109, 1999 WL 632286 (Ala. 1999).

Opinion

OPINION

MATTHEWS, Chief Justice.

On July 30, 1994, Daniel Neary was injured when he was struck by a vehicle driven by eighteen-year-old Bobbie McDonald, Jr., who lacked both a driver’s license and insurance. Neary sued McDonald for negligence and McDonald’s parents for negligent en-trustment. After the suit against McDonald’s parents was dismissed by summary judgment, 1 Neary filed a separate suit against Universal Motors alleging that it had negligently sold the vehicle involved in the accident to an unlicensed driver. The actions were subsequently consolidated. Universal moved for summary judgment, contending that the superior court should adopt the “one-action rule.” From the denial of this motion we granted Universal’s petition for review. We now affirm.

Universal describes the one-action rule as follows: “[I]f a plaintiff brings a tort action against one potential tortfeasor and the merits of that claim are adjudicated by a court or jury, he may not subsequently bring a separate tort action against another potential tortfeasor for the same accident and injuries.” Universal argues that the 1989 version of our comparative fault statute requires the one-action rule by implication. 2

The 1989 statute provided:

Apportionment of Damages.
(a)In all actions involving fault of more than one party to the action, including third-party defendants and persons who have been released under AS 09.16.040, the court, unless otherwise agreed by all parties, shall instruct the jury to answer special interrogatories or, if there is no jury, shall make findings, indicating
(1) the amount of damages each claimant would be entitled to recover if contributory fault is disregarded; and
(2) the percentage of the total fault of all of the parties to each claim that is allocated to each claimant, defendant, third-party defendant, and person who has been released from liability under AS 09.16.040.
(b) In determining the percentages of fault, the trier of fact shall consider both the nature of the conduct of each party at fault, and the extent of the causal relation between the conduct and the damages claimed. The trier of fact may determine that two or more persons are to be treated as a single party if their conduct was a cause of the damages claimed and the separate act or omission of each person cannot be distinguished.
(c) The court shall determine the award of damages to each claimant in accordance with the findings, subject to a reduction under AS 09.16.040, and enter judgment against each party liable. The court also shall determine and state in the judgment each party’s equitable share of the obligation to each claimant in accordance with the respective percentages of fault.
(d) The court shall enter judgment against each party liable on the basis of several liability in accordance with that party’s percentage of fault.

Specifically, Universal contends that “[t]he only reasonable method of litigating in a pure comparative fault jurisdiction ... is to require the parties to bring all potential tort-feasors into a single action.” It argues that the one-action rule promotes judicial economy, avoids inconsistent judgments, and precludes double recoveries.

In our view AS 09.17.080 does not mandate a single action for each injury or accident. Subsection (a) of the statute derives from Section 2(a) of the Uniform Com *517 parative Fault Act of 1977. 3 The comment pertaining to the latter indicates that the drafters of the Uniform Act contemplated the possibility of subsequent suits against other potential tortfeasors:

The limitation to parties to the action means ignoring other persons who may have been at fault with regard to the particular injury but who have not been joined as parties. This is a deliberate decision. It cannot be told with certainty whether that person was actually at fault or what amount of fault should be attributed to him, or whether he will ever be sued, or whether the statute of limitations will run on him, etc. An attempt to settle these matters in a suit to which he is not a party would not be binding on him.[ 4 ]

In construing statutes taken from model acts we generally regard the commentary to the model act as a reliable guide to the statute’s meaning. 5 We so regard the commentary quoted above and conclude that our statute was not intended to preclude separate actions against different tortfeasors.

Our conclusion is supported by Selchert v. State. 6 Iowa’s comparative fault act is also modeled on the Uniform Act. The Selchert court declined to interpret the act as encompassing a one-action rule, observing that to do so would be “to rewrite our comparative fault act.” 7

We also do not accept Universal’s argument that the one-action rule represents the only reasonable method of conducting litigation in a comparative negligence jurisdiction.

From a judicial economy standpoint, it is generally true that one trial is preferable to multiple trials. But existing parties already possess a strong incentive to name all potential tortfeasors. As we observed in Benner:

Both plaintiff and defendants will have significant incentive for joining available defendants who may be hable. The more parties joined whose fault contributed to the injury, the smaller the percentage of fault allocated to each of the other parties, whether plaintiff or defendant.[ 8 ]

Further, one drawback of the one-action rule is that it may result in the needless joinder of parties whose fault is remote. Whether the benefit from the additional incentive for joining all potentially liable actors supplied by the one-action rule is outweighed by the detriment resulting from the complications of multi-party litigation is a policy question best left to the legislature. 9

*518 We remain unconvinced that the one-action rule represents a necessary guard against inconsistent results or double recoveries. Universal hypothesizes that a creative plaintiff (P) could sue one defendant (Dl), obtain an award holding that he and Dl are both fifty percent at fault, subsequently sue a second defendant (D2), obtain another fifty-fifty allocation and thus recover one hundred percent of his total damages. Applying customary rules of offset and collateral estoppel, however, would prevent this result.

Starting with Universal’s hypothetical, assume $1,000,000 in damages in the first trial.

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Bluebook (online)
984 P.2d 515, 1999 Alas. LEXIS 109, 1999 WL 632286, Counsel Stack Legal Research, https://law.counselstack.com/opinion/universal-motors-inc-v-neary-alaska-1999.