AII1, LLC, ETC. VS. PINNACLE INSURANCE SOLUTIONS, LLC, ETC. (L-7808-14, ESSEX COUNTY AND STATEWIDE) (CONSOLIDATED) ( 2019 )


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  •                                 NOT FOR PUBLICATION WITHOUT THE
    APPROVAL OF THE APPELLATE DIVISION
    This opinion shall not "constitute precedent or be binding upon any court." Although it is posted on the
    internet, this opinion is binding only on the parties in the case and its use in other cases is limited. R. 1:36-3.
    SUPERIOR COURT OF NEW JERSEY
    APPELLATE DIVISION
    DOCKET NOS. A-2241-17T4
    A-2291-17T4
    AII1, LLC, as assignee of
    AUTOMOTIVE INNOVATIONS,
    INCORPORATED,
    Plaintiff-Appellant/
    Cross-Respondent,
    v.
    PINNACLE INSURANCE
    SOLUTIONS, LLC, d/b/a
    PINNACLE RISK SOLUTIONS,
    also d/b/a PINNACLE COMPANIES,
    Defendant-Respondent/
    Cross-Appellant.
    _________________________________
    Argued May 1, 2019 – Decided July 15, 2019
    Before Judges Accurso, Vernoia and Moynihan.
    On appeal from the Superior Court of New Jersey, Law
    Division, Essex County, Docket No. L-7808-14.
    Thomas S. Howard argued the cause for appellant/
    cross-respondent (Gartenberg Howard, LLP, attorneys;
    Thomas S. Howard and Michael C. Hughes, on the
    briefs).
    Diana C. Manning argued the cause for respondent/
    cross-appellant (Bressler, Amery & Ross, PC,
    attorneys; Diana C. Manning and Benjamin J.
    DiLorenzo, on the briefs).
    PER CURIAM
    In July 2013, Automotive Innovations, Inc., (Automotive), suffered a fire
    at one of its locations and later discovered its insurance coverage was inadequate
    to cover its property losses and the losses from the interruption of its business.
    Eight months later, it executed an Assignment for Benefit of Creditors pursuant
    to N.J.S.A. 2A:19-1 to -50, assigning its assets to a trustee pursuant to a
    Chancery Division order.     The court approved the sale and assignment of
    Automotive's assets to plaintiff AII1, LLC, 1 including an assignment of a
    "[p]otential [c]hose in [a]ction" against Automotive's insurance broker,
    defendant Pinnacle Insurance Solutions, LLC, "for underinsurance" in an
    "[u]ndetermined [a]mount."
    1
    Plaintiff was formed by Automotive's president for the purpose of acquiring
    Automotive's business.
    A-2241-17T4
    2
    In November 2014, plaintiff, as Automotive's assignee, filed a complaint
    against defendant asserting two claims. 2 In the first count, plaintiff alleged
    defendant "fail[ed] to exercise the requisite skill or diligence to ascertain
    Automotive's coverage needs and/or to supply the coverage it undertook to
    supply[,] advise Automotive of the limitations in the [p]olicy[,] familiarize itself
    with the coverage . . . and to . . . advise Automotive of the risks associated with
    the coverage." Plaintiff asserted that "[d]efendant's omissions, neglect, and
    failure[s] constituted professional malpractice that breached the duty it owed to
    Automotive as its insurance broker by causing Automotive to have inadequate,
    insufficient, and unsuitable insurance for the fire loss it suffered." Plaintiff
    claimed that "[a]s a result of defendant's breach of duty, Automotive was
    uninsured" for losses for its inventory, business interruption and business
    personal property.
    In the second count, plaintiff alleged defendant was liable for
    consequential damages, including the loss of good will, that Automotive
    sustained as a result of inadequate business interruption insurance. In its answer
    to the complaint, defendant generally denied the allegations.
    2
    Plaintiff filed its original complaint and then a first amended complaint in
    November 2014. We summarize the allegations in the first amended complaint,
    which was the operative complaint during the litigation.
    A-2241-17T4
    3
    In May 2017, defendant filed a motion for partial summary judgment
    arguing there was insufficient evidence establishing that it breached any duty to
    plaintiff concerning the amount and adequacy of the business interruption
    insurance coverage. Defendant further asserted the second count did not assert
    a cognizable legal claim because it sought consequential damages based on
    defendant's alleged failure to obtain adequate business interruption insurance for
    Automotive, the proceeds of which would have funded Automotive's continued
    operations following the fire.
    The court heard argument and, in a written decision, determined the
    second count did not assert a cognizable cause of action because in Rider v.
    Lynch, the Supreme Court held that "if [a] broker neglects to procure the
    coverage, or otherwise fails to act with proper skill and care, he becomes liable
    in damages not exceeding the amount of insurance he was employed to effect."
    
    42 N.J. 465
    , 480 (1964). Thus, the court reasoned that plaintiff could properly
    claim damages limited only to the amount of the insurance defendant was tasked
    to obtain, and could not recover consequential damages for losses proximately
    A-2241-17T4
    4
    caused by the alleged inadequate business interruption insurance. 3 The court
    entered an order granting defendant summary judgment on the second count.
    The trial on the claim asserted in the first count was conducted over eight
    days. At the conclusion of plaintiff's case, defendant moved for an involuntary
    dismissal, R. 4:37-2(b), and following the close of all of the evidence, defendant
    moved for entry of judgment in its favor, R. 4:40-1. In both motions, defendant
    argued that plaintiff, as Automotive's assignee, could not prosecute
    Automotive's claims because tort claims may not be validly assigned prior to
    judgment. The court reserved decisions on both motions4 and, following the
    jury's verdict, entered an order denying the motions without making any findings
    of fact or conclusions of law.
    The jury returned a verdict in plaintiff's favor. Defendant moved for
    judgment notwithstanding the verdict, R. 4:40-2, arguing in part, again, that
    3
    The court did not address defendant's alternative argument supporting its
    summary judgment motion—that the undisputed facts established that defendant
    did not provide erroneous advice concerning the adequacy of the business
    interruption insurance required or provided under the policy.
    4
    We remind the court that "it is a better practice . . . to decide" a motion for an
    involuntary dismissal under Rule 4:37-2(b) "at the time it is made." Verdicchio
    v. Ricca, 
    179 N.J. 1
    , 31 n.4 (2004).
    A-2241-17T4
    5
    Automotive could not properly assign tort claims against defendant to plai ntiff
    prior to judgment and, as a result, plaintiff could not prosecute the tort claims
    as Automotive's assignee. The court entered an order denying defendant's
    motion, again without offering any findings of fact or conclusions of law
    supporting its decision. 5 The court also entered a final judgment stating the jury
    found "defendant breached the standard of care it owed as an insurance broker
    for Automotive" and "proximately caused damages to plaintiff in the amount of
    $500,000," and awarding damages in that amount to plaintiff.
    In A-2241-17, plaintiff appealed from the court's order granting defendant
    summary judgment on the second count. In A-2291-17, defendant appealed
    5
    We review a court's orders, and not its reasoning, Do-Wop Corp. v. City of
    Rahway, 
    168 N.J. 191
    , 199 (2001), but that does not excuse the trial court's
    failure to make findings of fact and conclusions of law supporting its disposition
    of three separate dispositive motions in this matter. See R. 1:6-2(f). The making
    of such findings and conclusions is not only required, R. 1:6-2(f), it facilitates
    proper appellate review and supports confidence in the judiciary by providing
    the court's reasoning for its decisions that the parties deserve and are entitled to
    expect. Rather than remand for the court to provide the findings and conclusions
    supporting its disposition of the three motions at issue, and further delay the
    prompt disposition of this matter owed to the parties, we address the challenged
    court orders without the benefit of the court's reasoning because we conclude
    that the record supporting the disposition of the motions is undisputed and the
    issues presented are questions of law, which we decide de novo. See Manalapan
    Realty, LP v. Twp. Comm. of Manalapan, 
    140 N.J. 366
    , 378 (1995).
    A-2241-17T4
    6
    from the court's orders denying its motions for involuntary dismissal, for
    judgment following the presentation of the evidence and for judgment
    notwithstanding the verdict. 6 We consolidated the appeals. Based on our review
    of the record in light of the applicable law, we are convinced the court erred by
    denying defendant's motions for involuntary dismissal and for judgment
    following the presentation of the evidence because Automotive's assignment of
    its tort claims against defendant was invalid. We therefore reverse the court 's
    orders denying those motions, as well as the order for the final judgment, and
    dismiss as moot plaintiff's appeal of the court's order granting defendant's
    summary judgment on count two.
    Defendant moved for involuntary dismissal, R. 4:37-2(b), judgment
    following the presentation of the evidence, R. 4:40-1, and for judgment
    notwithstanding the jury's verdict, R. 4:40-2. Each of the motions was founded
    on the contention that plaintiff could not prosecute Automotive's claims against
    defendant because an assignment of tort claims prior to judgment is not
    permitted under N.J.S.A. 2A:25-1 and therefore is invalid. Plaintiff contends
    defendant waived the purported defense because it was not asserted in
    6
    Plaintiff filed a cross-appeal in A-2291-17, and later requested that the cross-
    appeal be withdrawn. We granted the request in a February 6, 2018 order.
    A-2241-17T4
    7
    defendant's answer, during discovery or in any pretrial proceedings, and was
    raised for the first time in defendant's motion for an involuntary dismissal
    following the presentation of plaintiff's case.
    When defendant moved for an involuntary dismissal, R. 4:37-2(b),
    plaintiff did not make the argument it makes here—that defendant waived the
    putative invalid assignment defense by failing to assert the defense in its answer
    or otherwise prior to the presentation of plaintiff's evidence. In fact, when
    defendant's counsel moved for an involuntary dismissal on that basis, plaintiff's
    counsel did not claim defendant waived the defense by failing to raise it earlier;
    instead, plaintiff's counsel's advised the court he "[was] prepared to respond" to
    defendant's argument. When defendant later moved for judgment following the
    presentation of all of the evidence, R. 4:40-1, plaintiff again did not argue
    defendant had waived the alleged defense. The record shows plaintiff waited
    until after the jury's verdict to assert for the first time, in its opposition to
    defendant's motion for judgment notwithstanding the verdict, R. 4:40-2, that
    defendant had waived its invalid assignment defense by not raising it earlier.
    Defendant appeals from the court's denial of its motions for an involuntary
    dismissal and for judgment following the close of all of the evidence. With
    regard to the order denying those motions, we do not consider plaintiff's
    A-2241-17T4
    8
    argument that defendant waived the putative invalid assignment defense because
    the argument was not made before the motion court and we generally do not
    consider arguments raised for the first time on appeal unless they go to
    jurisdiction or involve matters of great public concern. Nieder v. Royal Indem.
    Ins. Co., 
    62 N.J. 229
    , 234 (1973).
    Thus, we first address defendant's argument that the court erred by
    denying its motions for an involuntary dismissal and for a judgment at the
    conclusion of the presentation of the evidence. As noted, defendant contends
    the motions should have been granted because the assignment of Automotive's
    claims to plaintiff is invalid. We consider the court's disposition of those
    motions on the records extant before the motion court when the motions were
    made.     Lebron v. Sanchez, 
    407 N.J. Super. 204
    , 213 (App. Div. 2009)
    (explaining that we review a court's decision based solely on the motion record);
    see also Ji v. Palmer, 
    333 N.J. Super. 451
    , 463-64 (App. Div. 2000). As a result,
    we determine the validity of the court's order denying the motions without
    consideration of plaintiff's contention, which it did not raise before the court
    when the motions were argued, that defendant waived its right to challenge the
    validity of Automotive's assignment by failing to assert it prior to the close of
    plaintiff's case. 
    Lebron, 407 N.J. Super. at 213
    .
    A-2241-17T4
    9
    In our review of orders on a defendant's motions for involuntary dismissal,
    R. 4:37-2(b), and for judgment at the close of all of the evidence, R. 4:40-1, we
    employ the same standard as the trial court. Filgueiras v. Newark Pub. Sch.,
    
    426 N.J. Super. 449
    , 455 (App. Div. 2012). We apply the following evidential
    standard: "[i]f, accepting as true all the evidence which supports the position of
    the party defending against the motion and according him [or her] the benefit of
    all inferences which can reasonably and legitimately be deduced therefrom,
    reasonable minds could differ, the motion must be denied." 
    Id. at 456
    (quoting
    
    Verdicchio, 179 N.J. at 30
    ).
    Defendant argues the court erred by denying its motions because
    Automotive's assignment of the claims to plaintiff was invalid as a matter of
    law. Defendant relies on the well-settled principle that "[a] tort claim is not
    subject to assignment prior to judgment," Cherilus v. Fed. Express, 435 N.J.
    Super. 172, 178 (App. Div. 2014); see Di Tolvo v. Di Tolvo, 
    131 N.J. Super. 72
    ,
    79 (App. Div. 1974); see also Nationwide Mut. Ins. Co. v. Caris, 
    170 F. Supp. 3d
    740, 747 (D.N.J. 2016), and claims plaintiff could not prosecute the claims
    asserted in the complaint because Automotive could not lawfully assign those
    claims to plaintiff.
    A-2241-17T4
    10
    We reject plaintiff's assertion that the prohibition against the assignment
    of tort claims prior to judgment is inapplicable here because the claims asserted
    against defendant were not tort claims, but were instead contract claims. The
    assignment of choses in action 7 sounding in contract is expressly authorized by
    N.J.S.A. 2A:25-1, which provides, in pertinent part, that "all choses in action
    arising on contract shall be assignable."       The statute has been "broadly
    construed" to allow the assignment of choses in action based on contractual and
    quasi-contractual grounds. Kimball Int'l, Inc. v. Northfield Metal Prods., 
    334 N.J. Super. 582
    , 612 (App. Div. 2000). For example, in Kimball we determined
    that the plaintiff's indemnification claim had been properly assigned because
    "[i]ndemnity arises from contract, express or implied," 
    id. at 613
    (alteration in
    original) (quoting George M. Brewster & Son v. Catalytic Constr. Co., 
    17 N.J. 20
    , 28 (1954)), and the "foundation" of the plaintiff's claim was a contract to
    purchase a component part of the chair which caused plaintiff's assignor's
    injuries, 
    ibid. 7 "A chose
    in action is a personal right not reduced to possession but recoverable
    by a suit at law." In re Estate of Roche, 
    16 N.J. 579
    , 595 (1954); see also Black's
    Law Dictionary 294 (10th ed. 2014) (defining chose in action as "[a] proprietary
    right in personam, such as a debt owed by another person, a share in a joint-
    stock company, or a claim for damages in tort" and "[t]he right to bring an action
    to recover a debt, money, or thing.").
    A-2241-17T4
    11
    Here, plaintiff's complaint does not assert that Automotive and defendant
    were parties to any contract, express or implied, or that defendant breached a
    contract. The complaint alleges causes of action founded exclusively on the
    claim that defendant committed professional malpractice by negligently
    advising Automotive about its insurance needs and coverage and failing to
    obtain appropriate and necessary coverage for Automotive. In addition, the jury
    was instructed by the court solely on principles of negligence pertinent to a
    professional malpractice claim, and returned a verdict in accordance with the
    court's instructions finding defendant was negligent by deviating from the
    standard of care expected of insurance brokers. To be sure, a malpractice claim
    against an insurance broker might support contract and tort claims, see 
    Rider, 42 N.J. at 477
    (explaining that an insurance broker "is liable in tort or for breach
    of contract" by failing to exercise reasonable care in procuring appropriate
    insurance coverage for a client), but plaintiff opted to assert only to rt claims
    against defendant.    Plaintiff alleged "[d]efendant's omissions, neglect, and
    failure constituted professional malpractice that breached the duty it owed to
    Automotive as its insurance broker," and the jury was neither requested to find
    nor found defendant breached any purported contract with Automotive; the jury
    was asked to determine, and only determine, that defendant was negligent.
    A-2241-17T4
    12
    N.J.S.A. 2A:25-1 provides no refuge supporting Automotive's assignment of the
    claims asserted in the complaint because they are not choses in action arising on
    a contract.
    Plaintiff argues the prohibition against the assignment of tort claims prior
    to judgment is inapplicable because it is, or should be, limited to the assignment
    of tort claims involving personal injuries. We are not persuaded.
    The prohibition against the assignment of tort claims prior to judgment is
    founded on the principle that "[e]xcept when otherwise provided by statute,
    nothing is assignable, either at law or in equity, that does not directly or
    indirectly involve a right to property." Goldfarb v. Reicher, 
    112 N.J.L. 413
    , 414
    (Sup. Ct.), aff'd, 
    113 N.J.L. 399
    (E. & A. 1934). Thus, a chose in action
    unrelated to a right involving property may only be assigned if authorized by
    statute. In Goldfarb, the Court explained that "[i]t is a firmly established rule
    that a right of action for personal injuries cannot be made the subject of
    assignment before judgment, in the absence of a statutory provision to the
    contrary." 
    Ibid. Applying these principles
    in East Orange Lumber Co. v.
    Feiganspan, the court noted that "section 19 of the Practice Act" authorized the
    assignment of "all choses in action on contract" and held that the absence of any
    similar statutory authorization for the assignment of a negligence claim for
    A-2241-17T4
    13
    damage to personal business property "is sufficient to indicate that the
    Legislature did not mean that the same privilege should be had by the assignee
    of a chose in action arising out of tort." 
    120 N.J.L. 410
    , 412 (Sup. Ct.), aff'd,
    
    124 N.J.L. 127
    (E. & A. 1940).
    N.J.S.A. 2A:25-1 permits the assignment of certain claims, but does not
    authorize the assignment of choses in action arising out of tort and plaintiff cites
    to no statute authorizing the assignment of tort claims prior to judgment. We
    recently reiterated that "[i]t has always been held that the right to bring an action
    in the courts of this state is possessed by the injured person alone, unless the
    injured person assigns his [or her] right to someone else which cannot be done
    before judgment when the action sounds in tort." 
    Cherilus, 435 N.J. Super. at 178
    (quoting U.S. Cas. Co. v. Hyrne, 
    117 N.J.L. 547
    , 552 (E. & A. 1937)). And
    the assignment of tort claims has uniformly been deemed invalid by courts
    applying New Jersey law. See Vill. of Ridgewood v. Shell Oil Co., 289 N.J.
    Super. 181, 195-96 (App. Div. 1996) (finding invalid an assignment of tort
    claims for property damages and clean-up costs); Di 
    Tolvo, 131 N.J. Super. at 79
    (finding invalid the assignment of tort claim for personal injuries); Berkowitz
    v. Haigood, 
    256 N.J. Super. 342
    , 346 (Law Div. 1992) (explaining a claim for
    personal injury damages arising in tort "is not assignable before judgment");
    A-2241-17T4
    14
    Costanzo v. Costanzo, 
    248 N.J. Super. 116
    , 121 (Law Div. 1991) (finding
    invalid the assignment of a tort claim for personal injuries); see also Caris, 
    170 F. Supp. 3d
    at 747 (finding under New Jersey law that a tort claim for negligence
    arising under an alleged failure to properly handle an insurance claim may not
    be assigned prior to judgment); Alcman Servs. Corp. v. Bullock, 
    925 F. Supp. 252
    , 258 (D.N.J. 1996) (finding legal malpractice claim a tort action that could
    not be assigned prior to judgment under New Jersey law); Conopco, Inc. v.
    McCreadie, 
    826 F. Supp. 855
    , 867 (D.N.J. 1993) (finding that professional
    malpractice claims are choses in action arising out of tort and are therefore not
    assignable prior to judgment under New Jersey law).
    Plaintiff contends we should ignore this well-settled principle because the
    prohibition should be limited only to tort claims involving personal injuries. In
    Kimball, we noted that "[t]he limitation of the non-assignability rule to personal
    injury claims is consistent with the rule in most other jurisdictions which still
    maintain some restrictions upon the assignability of claims," but we expressly
    found we had "no need to determine whether the prohibition against the
    assignment of tort claims is limited to personal injury claims, because " the
    plaintiff's claim was "contractual in 
    nature." 334 N.J. Super. at 612
    n.6.
    A-2241-17T4
    15
    We find no basis to depart from the longstanding application of the non-
    assignability rule to all tort claims. To be sure, the prohibition has been applied
    to the assignment of tort claims involving personal injuries. See, e.g., 
    Cherilus, 435 N.J. Super. at 177
    (applying prohibition against assignment of tort claims
    to personal injury claim); Di 
    Tolvo, 131 N.J. Super. at 79
    . It has also been
    applied to tort claims that do not involve personal injuries.        See Vill. of
    
    Ridgewood, 289 N.J. Super. at 195-96
    (applying prohibition against assignment
    of tort claims to claim for property damage and clean-up costs); E. Orange
    Lumber 
    Co., 120 N.J.L. at 413
    (applying prohibition against assignment of tort
    claims to property damage claim and finding that the rule against the assignment
    of tort claims for damages to personal property is "firmly embedded in our
    jurisprudence"); see also Caris, 
    170 F. Supp. 3d
    at 747 (applying prohibition
    against assignment of tort claims to a claim for negligence in the handling of an
    insurance claim); Alcman Servs. 
    Corp., 925 F. Supp. at 258
    (applying
    prohibition against assignment of tort claims to a legal malpractice claim);
    
    Conopco, 826 F. Supp. at 867
    (applying prohibition against assignment of tort
    claims to a professional malpractice claim). Plaintiff does not cite to any New
    A-2241-17T4
    16
    Jersey cases allowing the assignment of tort claims, whether they be with or
    without alleged personal injuries.8
    Moreover, the prohibition against the assignment of tort claims is founded
    on the principles that actions should be brought only by the injured party and
    assignments of claims are barred unless expressly authorized by statute. 9 We
    8
    In Werrmann v. Aratusa, Ltd., we stated that the "plaintiff could have obtained
    an assignment" of a "broker[]-negligence claim . . . and pursued that claim as an
    assignee." 
    266 N.J. Super. 471
    , 476 (App. Div. 1993). We do not read this
    statement to allow or authorize the assignment of a tort claim because, as a
    matter of fact, there was no assignment of any claims in Werrmann and the
    validity of a non-existent assignment was not an issue. In Werrmann, we also
    determined that the putative assignee was a third-party beneficiary of a contract
    between the putative assignor and the broker. 
    Id. at 476-78.
    As such, any
    assignment of the putative assignor's claims against the broker would have been
    choses in action arising in contract and therefore valid under N.J.S.A. 2A:25 -1.
    9
    Plaintiff argues the prohibition against the assignment of tort claims should be
    limited to personal injury actions because the prohibition is intended to "prevent
    unscrupulous strangers to an occurrence from preying on the deprived circumstances
    of an injured person," 
    Kimball, 334 N.J. Super. at 611
    , (quoting Caldwell v. Ogden
    Sea Transp., Inc., 
    618 F.2d 1037
    , 1048 (4th Cir. 1980)) and that principle has no
    application where, as here, Automotive and defendant engaged in a commercial
    transaction for the purchase of insurance. Plaintiff views the policies underpinning
    the prohibition too narrowly; there are other policy considerations supporting
    application of the prohibition in a commercial setting. For example, in Alcman
    Services Corp., the court found that the assignment of a legal malpractice claim was
    invalid in part because the contrary conclusion "would lead to baseless and excessive
    legal malpractice claims and would undermine the personal confidence that must
    exist between lawyers and 
    clients." 925 F. Supp. at 258
    . In other words, the court
    found there was a valid policy supporting the prohibition against the assignment of
    a tort claim that did not involve personal injuries. In any event, the weighing of the
    A-2241-17T4
    17
    presume the Legislature was fully aware of those principles when it adopted
    N.J.S.A. 2A:25-1,10 see Farmers Mut. Fire Ins. Co. of Salem v. N.J. Prop.–
    Liability Ins. Guar. Ass'n, 
    215 N.J. 522
    , 543 (2013) ("The Legislature is
    presumed to be aware of the decisional law of this State."), and the Legislature
    nonetheless elected to exclude choses in action in tort from those for which
    assignments are authorized. We cannot expand the statutory authority to assign
    claims beyond that expressly allowed by the Legislature. See DiNapoli v. Bd.
    of Educ. of Verona, 
    434 N.J. Super. 233
    , 238 (App. Div. 2014) ("Courts are not
    permitted to . . . 'presume that the Legislature intended something other than
    that expressed by way of the plain language.'" (quoting O'Connell v. State, 171
    pertinent policies is for the Legislature and it has determined that tort claims are not
    included amongst those that may be assigned prior to judgment. If it were otherwise,
    N.J.S.A. 2A:25-1 would include choses in action arising in tort amongst those that
    may be assigned.
    10
    New Jersey statutes have never authorized the assignment of choses in action
    arising in tort. An 1898 statute permitted the assignment of "choses in action
    arising on contracts" and other designated claims but did not authorize the
    assignment of tort claims. L. 1898, c. 228, § 38. The statute was modified in
    1903, but did not authorize the assignment of tort claims. L. 1903, c. 247, §§ 19,
    20. In 1937, the statute was codified with modifications not pertinent here in
    R.S. 2:41-1. L. 1937, c. 188. In 1951, the Legislature repealed and replaced
    Title 2 with Title 2A. L. 1951, c. 344. As part of that revision, N.J.S.A. 2A:25-
    1 replaced R.S. 2:41-1, see L. 1951, c. 344, § 3, but, as noted, N.J.S.A. 2A:25-1
    does not authorize the assignment of choses in action arising in tort.
    A-2241-17T4
    
    18 N.J. 484
    , 488 (2002))). As noted many years ago in response to a similar claim
    that the non-assignability rule should be limited only to certain tort claims,
    "[i]f the present case were one of novel impression in
    this jurisdiction, there would seem to be little reason for
    the present rule that an assignee of a chose in action for
    injury to personal property cannot sue thereon, but the
    rule being so firmly embedded in our jurisprudence it
    will be necessary for the [L]egislature, if it sees fit, to
    alter the same."
    [E. Orange Lumber 
    Co., 120 N.J.L. at 413
    .]
    The assignment of the tort claims asserted in plaintiff's complaint against
    defendant was invalid. The court erred in finding otherwise in its denial of
    defendant's motions for involuntary dismissal and for judgment after the
    presentation of all of the evidence. We reverse the court's orders denying those
    motions, conclude the matter should not have been submitted to the jury for its
    determination, vacate the jury's verdict and reverse the court's order for final
    judgment. Because the court should have granted the motions for judgment in
    defendant's favor prior to submission of the matter for the jury's determination,
    we also reverse the court's order denying defendant's motion for judgment
    notwithstanding the verdict. 11 Our conclusion renders moot plaintiff's appeal of
    11
    We do not address plaintiff's claim, raised for the first time in response to
    defendant's motion for judgment notwithstanding the verdict, R. 4:40-2, that
    A-2241-17T4
    19
    the court's order granting defendant partial summary judgment on the claim for
    consequential damages in count two, and we do not consider the merits of the
    claim.
    In A-2291-17, reversed as to the court's orders denying defendant's
    motions for involuntary judgment, R. 4:37-2(b), for judgment following the
    presentation of the evidence, R. 4:40-1, and for judgment notwithstanding the
    verdict, R. 4:40-2, and the court's order for final judgment.
    In A-2241-17, dismissed as moot.
    defendant waived its right to challenge the validity of the assignment by making
    the challenge for the first time at trial. As noted, plaintiff did not make the
    waiver argument when defendant moved for an involuntary dismissal and for
    judgment following the presentation of the evidence, and those motions should
    have been granted based on the record and arguments before the court when they
    were made. Plaintiff's arguments concerning defendant's alleged waiver was
    made too late; it was first asserted following the court's erroneous denial of
    defendant's motions for an involuntary dismissal and for judgment after the
    presentation of the evidence.
    A-2241-17T4
    20