Michael S. Becker v. Ford Motor Company ( 2014 )


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  •                   IN THE SUPREME COURT OF TENNESSEE
    AT NASHVILLE
    MICHAEL S. BECKER ET AL. v. FORD MOTOR COMPANY
    Rule 23 Certified Question of Law
    United States District Court for the Eastern District of Tennessee
    No. 1:13-cv-276-SKL      Susan K. Lee, Magistrate Judge
    No. M2013-02546-SC-R23-CV
    March 7, 2014
    This appeal involves a question of law concerning the interpretation and application of Tenn.
    Code Ann. § 20-1-119 (2009) certified by the United States District Court for the Eastern
    District of Tennessee. Based on the undisputed facts, the District Court has asked this Court
    to determine whether, after a defendant asserts a comparative fault claim against a non-party
    tortfeasor who was known to the plaintiff when the original suit was filed, Tenn. Code Ann.
    § 20-1-119 permits the plaintiff to amend its complaint to assert a claim directly against the
    tortfeasor named by the defendant, even though the statute of limitations on that claim has
    expired. We hold that the application of Tenn. Code Ann. § 20-1-119 is not restricted to
    tortfeasors who were unknown to the plaintiff when its original complaint was filed.
    Therefore, Tenn. Code Ann. § 20-1-119 permits a plaintiff to file an amended complaint
    against the tortfeasor named by the defendant within ninety days after the filing of the answer
    or amended answer in which the defendant first asserts a comparative fault claim against the
    tortfeasor.
    Tenn. Sup. Ct. R. 23 Certified Question of Law
    W ILLIAM C. K OCH, J R., J., delivered the opinion of the Court, in which G ARY R. W ADE, C.J.,
    J ANICE M. H OLDER, C ORNELIA A. C LARK, and S HARON G. L EE, JJ., joined.
    H. Franklin Chancey, Bert H. Bates, and B. Lynn Perry, Cleveland, Tennessee, for the
    petitioners, Michael S. Becker and Lorraine Becker.
    J. Randolph Bibb, Jr., Robert F. Chapski, and Whitney Henry Kimerling, Nashville,
    Tennessee, for the respondent, Ford Motor Company.
    OPINION
    I.
    On July 28, 2012, Michael S. Becker was injured when a Ford F150 truck driven by
    his son, Phillip Becker, left the road and struck a light pole at the intersection of East Third
    Street and Central Avenue in Chattanooga. Phillip Becker was uninjured, but Michael
    Becker, who was riding in the front passenger seat, sustained several fractures and a mid-
    thoracic spinal cord injury.
    On July 24, 2013, Michael Becker and his wife, Lorraine Becker, filed suit against
    Ford Motor Company (“Ford”) in the Circuit Court for Hamilton County, asserting products
    liability and breach of warranty claims. The Beckers’ complaint stated that Phillip Becker
    was driving the truck when the accident occurred but did not assert a claim against him. On
    August 22, 2013, Ford filed a notice removing the case to the United States District Court
    for the Eastern District of Tennessee. Four days later, Ford filed its answer which, among
    other things, claimed that “the accident or incident that is the subject matter of th[is]
    [c]omplaint was caused or brought about by a person or persons . . . other than Ford.” Ford
    identified Michael Becker, Lorraine Becker, Phillip Becker, and “known or unknown third
    parties” as the persons who caused or brought about the accident.
    On October 1, 2013, the Beckers filed two motions: a motion to join Phillip Becker
    as a party to whom fault could be apportioned and a motion to file an amended complaint.
    Ford opposed these motions on the ground that the Beckers could not invoke Tenn. Code
    Ann. § 20-1-119 because the identity of their son and the role he played in the accident were
    known to them before the expiration of the original statute of limitations. In response to
    Ford’s opposition to their motions, the Beckers requested the District Court to certify a
    question of law to this Court in accordance with Tenn. Sup. Ct. R. 23.
    The United States District Court referred the Beckers’ motions to a United States
    Magistrate Judge for a report and recommendation. The Magistrate Judge filed a report and
    recommendation on October 28, 2013. This report recommended that
    Plaintiffs’ motion to join . . . be [denied] and Plaintiffs’ motion
    to amend . . . be [denied] as futile. If, however, the Court
    decides to certify a question of law on this issue to the
    Tennessee Supreme Court, I also [recommend] that the Court
    provisionally [grant] Plaintiffs’ motion to amend . . ., allowing
    Plaintiffs to add Phillip Becker as a defendant pending the
    -2-
    Tennessee Supreme Court’s acceptance, if any, of a certified
    question and decision on this issue.
    Thereafter, the parties consented to the Magistrate Judge conducting all further proceedings
    in the case. On November 13, 2013, the Magistrate Judge filed a certification order
    provisionally granting the Beckers’ motions to join and to amend and certifying the following
    issue of law to this Court:
    When a plaintiff knows the identity of a potential tortfeasor at
    the time of the filing of plaintiff’s original complaint and prior
    to the running of the applicable statute of limitations and the
    plaintiff chooses not to sue said known potential tortfeasor, can
    the plaintiff then later rely on the 90-day savings provision of
    Tenn. Code Ann. § 20-1-119 in order to add the previously
    known potential tortfeasor to the existing lawsuit after the
    defendant alleges comparative fault against the known potential
    tortfeasor notwithstanding the expiration of the statute of
    limitations?
    On November 14, 2013, the Beckers filed an amended complaint in the District Court
    naming their son as a defendant and asserting that his negligence was the “approximate [sic]
    cause of the injuries sustained by the [p]laintiff[s] and complained for herein.” This
    amended complaint was served on Phillip Becker on November 15, 2013.1
    The Magistrate Judge’s certification order was filed with this Court on November 18,
    2013. The Beckers filed their brief on December 6, 2013, and Ford filed its brief on January
    9, 2014.
    II.
    Although well-settled in state courts, the proper application of Tenn. Code Ann. § 20-
    1-119 remains unresolved in the federal courts. In diversity cases, “the outcome of the
    litigation in the federal court should be substantially the same, so far as legal rules determine
    the outcome of a litigation, as it would be if tried in a State court.” Guaranty Trust Co. of
    N.Y. v. York, 
    326 U.S. 99
    , 109 (1945). Accordingly, we accepted certification to resolve the
    federal courts’ uncertainty surrounding Tenn. Code Ann. § 20-1-119.
    1
    Phillip Becker, representing himself, filed an answer to his parents’ amended complaint on
    December 4, 2013. He denied “any negligence in his operation of the motor vehicle involved in the accident”
    and asserted, as an affirmative defense, that his parents’ damages were caused by their own negligence.
    -3-
    A.
    Over twenty years ago, this Court replaced the “outdated doctrine of contributory
    negligence”2 with the doctrine of comparative fault when it decided McIntyre v. Balentine,
    
    833 S.W.2d 52
    (Tenn. 1992). Comparative fault, as the Court envisioned it, would (1) enable
    plaintiffs to recover fully for their injuries, (2) fairly allocate liability for the plaintiff’s
    injuries among the persons at fault, (3) conserve judicial resources, and (4) avoid inconsistent
    judgments. See Samuelson v. McMurtry, 
    962 S.W.2d 473
    , 476 (Tenn. 1998). Since 1992,
    the Court has undertaken to mold and apply the comparative fault doctrine in a way that
    strikes the proper balance between an injured plaintiff’s interest in being made whole and a
    defendant’s interest in being held liable only for the damages for which it is responsible.
    Brown v. Wal-Mart Discount Cities, 
    12 S.W.3d 785
    , 787 (Tenn. 2000). We have found this
    balance by recognizing the following four principles:
    (1) that when “the separate, independent negligent acts of more
    than one tortfeasor combine to cause a single, indivisible injury,
    all tortfeasors must be joined in the same action, unless joinder
    is specifically prohibited by law”; (2) that when “the separate,
    independent negligent acts of more than one tortfeasor combine
    to cause a single, indivisible injury, each tortfeasor will be liable
    only for that proportion of the damages attributed to its fault”;
    (3) that the goal of linking liability with fault is not furthered by
    a rule that allows a defendant’s liability to be determined by the
    happenstance of the financial wherewithall of the other
    defendants; and (4) that the purpose of the comparative fault
    regime is to prevent fortuitously imposing a degree of liability
    that is out of all proportion to fault.
    Banks v. Elks Club Pride of Tenn. 1102, 
    301 S.W.3d 214
    , 220 (Tenn. 2010) (footnotes
    omitted).
    In addition to abandoning the doctrine of contributory negligence, the McIntyre v.
    Balentine decision altered the operation of the doctrine of joint and several liability as it had
    been traditionally understood. The Court noted that its effort to more closely link liability
    and fault could not be reconciled with joint and several liability which could “fortuitously
    impose a degree of liability that is out of all proportion to fault.” McIntyre v. 
    Balentine, 833 S.W.2d at 58
    . Thus, except for several well-defined circumstances, the doctrine of joint and
    2
    Turner v. Jordan, 
    957 S.W.2d 815
    , 821 (Tenn. 1997).
    -4-
    several liability became obsolete. Banks v. Elks Club Pride of Tenn. 
    1102, 301 S.W.3d at 219
    .
    Thus, the McIntyre v. Balentine decision created a new predicament for plaintiffs.
    The decision did not directly address the circumstance where a defendant, in its answer,
    asserts a comparative fault claim against a non-party after the statute of limitations has run
    on the plaintiff’s claim against that non-party. In 1993, the General Assembly, responding
    to McIntyre v. Balentine, addressed this problem by enacting Tenn. Code Ann. § 20-1-119.3
    As amended, Tenn. Code Ann. § 20-1-119 provides:
    (a)     In civil actions where comparative fault is or becomes an
    issue, if a defendant named in an original complaint initiating a
    suit filed within the applicable statute of limitations, or named
    in an amended complaint filed within the applicable statute of
    limitations, alleges in an answer or amended answer to the
    original or amended complaint that a person not a party to the
    suit caused or contributed to the injury or damage for which the
    plaintiff seeks recovery, and if the plaintiff’s cause or causes of
    action against that person would be barred by any applicable
    statute of limitations but for the operation of this section, the
    plaintiff may, within ninety (90) days of the filing of the first
    answer or first amended answer alleging that person’s fault,
    either:
    (1)     Amend the complaint to add the person as a
    defendant pursuant to Tenn. R. Civ. P. 15 and cause process to
    be issued for that person; or
    (2)     Institute a separate action against that person by
    filing a summons and complaint. If the plaintiff elects to
    proceed under this section by filing a separate action, the
    complaint so filed shall not be considered an original complaint
    initiating the suit or an amended complaint for purposes of this
    subsection (a).
    (b)     A cause of action brought within ninety (90) days
    pursuant to subsection (a) shall not be barred by any statute of
    limitations. This section shall not extend any applicable statute
    of repose, nor shall this section permit the plaintiff to maintain
    3
    See Act of May 13, 1993, ch. 407, 1993 Tenn. Pub. Acts 699. The General Assembly amended
    Tenn. Code Ann. § 20-1-119 in 1999 to clarify that the statute applied to suits involving governmental
    entities. See Act of May 27, 1999, ch. 485, 1999 Tenn. Pub. Acts 1198.
    -5-
    an action against a person when such an action is barred by an
    applicable statute of repose.
    (c)     This section shall neither shorten nor lengthen the
    applicable statute of limitations for any cause of action, other
    than as provided in subsection (a).
    (d)     Subsections (a) and (b) shall not apply to any civil action
    commenced pursuant to § 28-1-105, except an action originally
    commenced in general sessions court and subsequently
    recommenced in circuit or chancery court.
    (e)     This section shall not limit the right of any defendant to
    allege in an answer or amended answer that a person not a party
    to the suit caused or contributed to the injury for which the
    plaintiff seeks recovery.
    (f)     As used in this section, “person” means any individual or
    legal entity.
    (g)     Notwithstanding any law to the contrary, this section
    applies to suits involving governmental entities.
    Consistent with the four core principles undergirding the comparative fault doctrine, the
    purpose of this statute was to provide a plaintiff “with a fair opportunity to bring before the
    [trial] court all persons who caused or contributed to the [plaintiff’s] injuries.” Mann v.
    Alpha Tau Omega Fraternity, 
    380 S.W.3d 42
    , 50 (Tenn. 2012) (quoting Townes v. Sunbeam
    Oster Co., 
    50 S.W.3d 446
    , 451 (Tenn. Ct. App. 2001)). It enables a plaintiff to amend its
    complaint to add any non-party, alleged by another defendant to have caused or contributed
    to the plaintiff’s injury, even if the applicable statute of limitations would otherwise bar the
    plaintiff’s claim against the non-party. Jones v. Professional Motorcycle Escort Serv.,
    L.L.C., 
    193 S.W.3d 564
    , 567-68 (Tenn. 2006). This Court has stated repeatedly that Tenn.
    Code Ann. § 20-1-119 should not be construed narrowly because it is an integral part of a
    comparative fault system that is built on the concepts of fairness and efficiency. Mann v.
    Alpha Tau Omega 
    Fraternity, 380 S.W.3d at 50
    ; Browder v. Morris, 
    975 S.W.2d 308
    , 312
    (Tenn. 1998).
    Following the enactment of Tenn. Code Ann. § 20-1-119, a question arose concerning
    whether a plaintiff should be permitted to invoke Tenn. Code Ann. § 20-1-119 to file an
    amended complaint naming as a defendant a third party that the plaintiff was aware of but
    did not name as a defendant in its original complaint. The first appellate court to address this
    issue was the United States Court of Appeals for the Sixth Circuit. Even though Tenn. Code
    Ann. § 20-1-119 had not yet been interpreted by Tennessee’s appellate courts, the United
    States Court of Appeals elected not to certify the question to this Court in accordance with
    -6-
    Tenn. Sup. Ct. R. 23.4 Accordingly, in 1998, the United States Court of Appeals for the Sixth
    Circuit, assuming that the purpose of Tenn. Code Ann. § 20-1-119 was to prevent a
    defendant from “naming and attributing fault to a previously unknown responsible party,”
    held that “[i]t is . . . plain that § 20-1-119 was not intended to apply to a plaintiff . . . who,
    long before the defendant’s answer to the complaint, had knowledge that a third party may
    be at fault for the complained of injuries.” Whittlesey v. Cole, 
    142 F.3d 340
    , 345 (6th Cir.
    1998).
    Approximately eight months later, the Western Section of the Court of Appeals
    adopted the United States Court of Appeals’s interpretation of Tenn. Code Ann. § 20-1-119.
    Lipscomb v. Doe, No. 02A01-9711-CV-00293, 
    1998 WL 886601
    , at *4 (Tenn. Ct. App. Dec.
    16, 1998). This Court granted the plaintiff’s application for permission to appeal, but the
    majority opinion reversed the intermediate appellate court’s decision without directly
    addressing the application of Tenn. Code Ann. § 20-1-119. Lipscomb v. Doe, 
    32 S.W.3d 840
    , 848-49 (Tenn. 2000). However, in a separate opinion, Justice Holder stated that the
    plaintiff was entitled to take advantage of Tenn. Code Ann. § 20-1-119 because “[n]othing
    in the statute requires that the party sought to be added be unknown at the time of the filing
    of the complaint.” Lipscomb v. 
    Doe, 32 S.W.3d at 851
    (Holder, J., concurring and
    dissenting).
    In 2001, the question regarding Tenn. Code Ann. § 20-1-119 resurfaced twice before
    the Court of Appeals. First, the Middle Section of the Court of Appeals, rejecting the
    reasoning of both Whittlesey v. Cole and the Court of Appeals opinion in Lipscomb v. Doe,
    held that Tenn. Code Ann. § 20-1-119 made “no reference to a plaintiff’s diligence in
    discovering the identity of potentially liable parties” and, therefore, that “a plaintiff’s
    knowledge of the existence of other persons who might be liable for the plaintiff’s injuries
    is irrelevant [to the operation of Tenn. Code Ann. § 20-1-119].” Townes v. Sunbeam Oster
    
    Co., 50 S.W.3d at 452-53
    . Approximately three months later, the Western Section of the
    Court of Appeals, while acknowledging Townes v. Sunbeam Oster Co., adhered to its opinion
    in Lipscomb v. Doe adopting the United States Court of Appeals for the Sixth Circuit’s
    interpretation of Tenn. Code Ann. § 20-1-119 in Whittlesey v. Cole. McClendon v. Bunick,
    No. E1999-02814-COA-R3-CV, 
    2001 WL 536614
    , at *4-6 (Tenn. Ct. App. May 21, 2001).
    4
    Tenn. Sup. Ct. R. 23, § 1, which was adopted in 1989, explicitly permits the United States Court
    of Appeals to certify to this Court questions regarding the interpretation of state law when it appears that
    “there is no controlling precedent in the decisions of the Supreme Court of Tennessee.” This procedure
    avoids a federal court’s diminishment of state sovereignty by making state law. Haley v. University of
    Tennessee-Knoxville, 
    188 S.W.3d 518
    , 521 (Tenn. 2006).
    -7-
    Applications for permission to appeal pursuant to Tenn. R. App. P. 11 were filed in
    both Townes v. Sunbeam Oster Co. and McClendon v. Bunick. On July 16, 2001, this Court
    entered an order denying the Tenn. R. App. P. 11 application in Townes v. Sunbeam Oster
    Co. and recommending, pursuant to Tenn. Sup. Ct. R. 4(D),5 that the Court of Appeals
    opinion be published. In accordance with Tenn. Sup. Ct. R. 4(H)(2) (currently Rule 4(G)(2)),
    the publication of Townes v. Sunbeam Oster Co. rendered that opinion “controlling authority
    for all purposes unless and until such opinion is reversed or modified by a court of competent
    jurisdiction.”
    Two months later, this Court granted the Tenn. R. App. P. 11 application in
    McClendon v. Bunick and summarily remanded the case to the Court of Appeals for
    reconsideration in light of Townes v. Sunbeam Oster Co. McClendon v. Bunick, No. E1999-
    02814-SC-R11-CV (Tenn. Sept. 24, 2001). On December 28, 2001, the Court of Appeals
    filed a memorandum opinion adopting the reasoning in Townes v. Sunbeam Oster Co. and
    reversing the trial court’s judgment and its earlier opinion. McClendon v. Bunick, No.
    E2001-02816-COA-RM-CV, 
    2001 WL 1660845
    (Tenn. Ct. App. Dec. 28, 2001).
    The combined effect of this Court’s orders in Townes v. Sunbeam Oster Co. and
    McClendon v. Bunick established beyond peradventure that the holding of Townes v.
    Sunbeam Oster Co. is the controlling authority in Tennessee with regard to the interpretation
    of Tenn. Code Ann. § 20-1-119. At no time during the intervening thirteen years has a state
    court of competent jurisdiction reversed or modified the holding in Townes. To the contrary,
    Tennessee courts have continued to follow Townes and to cite it with approval. See, e.g.,
    Austin v. State, 
    222 S.W.3d 354
    , 357 (Tenn. 2007). Nevertheless, in 2007, the United States
    Court of Appeals for the Sixth Circuit continued to adhere to its Whittlesey v. Cole decision.
    Schultz v. Davis, 
    495 F.3d 289
    , 294-95 (6th Cir. 2007).6
    5
    At the time, Tenn. Sup. Ct. R. 4(D) stated: “If an application for permission to appeal is filed and
    denied with the recommendation that the intermediate appellate court opinion be published, the author of the
    intermediate appellate court opinion shall ensure that the opinion is published in the official reporter.”
    6
    The Sixth Circuit in Schultz v. Davis went so far as to state that “the Tennessee Supreme Court has
    been clear that this savings statute applies only when the new defendant is discovered in the answer after the
    statute of limitations has run.” Schultz v. 
    Davis, 495 F.3d at 294
    . Accordingly, the Sixth Circuit again
    rejected the notion that Tenn. Code Ann. § 20-1-119 applies to any tortfeasor identified in the defendant’s
    answer, regardless of whether that tortfeasor was known or unknown to the plaintiff before the statute of
    limitations expired. As the foregoing discussion illustrates, the Sixth Circuit’s view is incorrect. Equally
    unconvincing are Ford’s arguments that the statute exists to remedy the unfairness that occurs when a
    defendant identifies an unknown tortfeasor after the statute of limitations has expired and that construing the
    statute to cover any comparatively negligent party named in the answer disregards the limited purpose served
    by the statute. Accepting Ford’s argument would require us to read a requirement into the statute that is
    (continued...)
    -8-
    B.
    Based upon the long-established allocation of adjudicatory power between the state
    courts and the federal courts, this Court is the final arbiter of the meaning of Tennessee law.
    Our decisions on matters of state law are final and conclusive. See Barger v. Brock, 
    535 S.W.2d 337
    , 340 (Tenn. 1976); Memphis St. Ry. Co. v. Byrne, 
    119 Tenn. 278
    , 320, 
    104 S.W. 460
    , 470 (1907). Accordingly, as we did in 2001 when we recommended the publication of
    the Court of Appeals’s decision in Townes v. Sunbeam Oster Co., we find that a plaintiff’s
    ability to utilize Tenn. Code Ann. § 20-1-119 to amend its complaint to assert a claim against
    a non-party against whom a defendant has asserted a comparative fault claim or to file a
    separate new complaint against such a non-party does not depend on whether the non-party
    was either known or unknown to the plaintiff when its original complaint was filed. As
    Justice Holder stated fourteen years ago, “[n]othing in the statute requires that the party
    sought to be added be unknown at the time of the filing of the complaint.” Lipscomb v. 
    Doe, 32 S.W.3d at 851
    (Holder, J., concurring and dissenting).
    III.
    Having determined that the interpretation of Tenn. Code Ann. § 20-1-119 in Townes
    v. Sunbeam Oster Co. is “controlling authority for all purposes,” Tenn. Sup. Ct. R. 4(G)(2),
    we answer the certified question as follows: a plaintiff may rely on the ninety-day savings
    provision in Tenn. Code Ann. § 20-1-119 in order to add a previously known potential non-
    party tortfeasor to an existing lawsuit even when the plaintiff knew the identity of the
    potential tortfeasor at the time of the filing of the plaintiff’s original complaint but chose not
    to sue the potential tortfeasor. The costs of this proceeding are taxed to Ford Motor
    Company for which execution, if necessary, may issue.
    _______________________________
    WILLIAM C. KOCH, JR., JUSTICE
    6
    (...continued)
    simply not there.
    -9-