OPINION OF THE COURT
Thе motion of the defendant for an order pursuant to CPLR 3212 dismissing the claim as time barred pursuant to CPLR 215 is granted.
Claimant was employed by the Department of Environmental Conservation (DEC) from October 29, 1964 to January 31, 1997 and during the last 13 years of his employment held the position of Director of the Division of Law Enforcement (DLE). DEC is the agency charged by ECL 3-0301 (1) to “carry out the environmental policy of the state” which is “to conserve, improve and protect its natural resources and envirоnment and control water, land and air pollution, in order to enhance the health, safety and welfare of the people of the state and their overall economic and social well being” (ECL 1-0101 [1]). The DLE is comprised of approximately 300 members charged with the responsibility of enforcing the Environmental Conservation Law. DEC divides the State into nine regions within which the members of DLE are deployed. Each region has a DLE office staffed by a captain, a lieutenant, and, in some cases, an environmental conservation officer (ECO). Most ECOs work out of their homes and are assigned to patrol specific areas. In the course of discharging their responsibilities, ECOs are often called upon to kill wildlife and to make arrests for violations of the Environmental Conservation Law. From 1981 to 1990, DLE members were armed with Smith & Wesson .357 magnum revolvers. During the late 1980s, claimant recommended to his superiors at DEC that the members of DLE be equipped with 9 mm. semi-automatic pistols in place of the Smith & Wesson revolvers.
The recommendation was approved and in January of 1990, through the New York State Office of General Services, DEC invited bids for 9 mm. semi-automatic pistols. Northeast Gun & Supply Co., Inc. (Northeast) submitted the winning bid and entered into a contract to supply 305 Glock Model 17 semiautomatic 9 mm. pistols at a cost of $315.77 per weapon and to accept 333 Smith & Wesson or Colt revolvers as trade-ins together with other miscellanеous weapons and equipment. Thereafter, the number of guns to be supplied was modified to
During 1993, DEC decided to upgrade the 9 mm. Glock pistols to .40 caliber Glock pistols and bids were once again solicited through the Office of General Services. Glock, Inc., the manufacturer of Glock weapons, was the winning bidder at a price of $314.70 per weapon for 264 Glock Model 22s and 62 Glock Model 23s. The contract again contained a trade-in provision for the 326 used 9 mm. Glock pistols that had been purchased in 1990. Again, DLE officers were given the option of purchasing the used 9 mm. pistols аt the trade-in price and 325 pistols were purchased by officers rather than being sent to Glock. Claimant purchased five of those pistols, in addition to a revolver he had purchased during the 1990 trade-in process.
Section 6 of the Executive Law authorizes the Governor or any one or more persons appointed by him to investigate “the management and affairs of any department, board, bureau or commission of the state.” Pursuant to that authority, Governоr Pataki and his predecessors issued executive orders forming the Office of the State Inspector General within the Executive Department (see, Executive Order No. 39, dated June 17, 1996). The State Inspector General is appointed by and serves at the pleasure of the Governor and employs a staff of attorneys, investigators and support personnel to perform its assigned function of investigating State agencies. The Inspector General is charged with the duties of investigating complaints from any source, or upon his or her own initiative, concerning allegations of fraud, conflicts of interest, corruption or criminal activity in any covered agency, issuing written public reports of such investigations and recommending remedial actions to eliminate such practices.
During May of 1992, Investigator Charles R. Norfleet of the Office of the Inspector General was assigned to investigate an alleged theft of DEC property, including a DEC pistol. The inquiry subsequently expanded into an investigation of the 1990 and 1993 pistol purchases by DEC and the manner in which the trade-in and buy-back of used weapons was undertaken. At a press conference held on December 16, 1996, the Inspector General issued a report entitled “The Best Bang for Their
“[Firth] knowingly tolerated repeated breaches of law and policy. The citizens of this state demand of our law enforcement officers the highest degree of integrity, honesty and trustworthiness * * * George Firth fall [s] short in every category * ^ *
“the 1990 and 1993 weapons transactions [were] fraught with violations of law. This misсonduct, committed by Director George Firth and other members of LED, raises disturbing questions concerning the fitness of these individuals to perform their duties as law enforcement officers * * * Their lack of responsibility and disregard for the law call into question their ability to serve this state as police officers.”
On March 18, 1998, claimant filed a claim alleging that he was defamed by the two portions of the Report quoted above, both at the time of the initial publication and thereаfter through daily republication upon the Internet. The first cause of action seeks to recover the sum of $2,500,000 upon a defamation theory due to the alleged injury to claimant’s reputation in the Capital District. The second cause of action seeks $2,500,000 alleging that defendant’s publication of defamatory statements upon the Internet has impugned his reputation worldwide and prevented him from securing new employment within the law enforcement community. The third cause of action seeks $5,000,000 in punitive damages.
The third cause of action is quickly disposed of as the law is settled that there is not a separate cause of action for punitive damages. That element of relief is available only as a part of some other underlying cause of action (APS Food Sys. v Ward Foods,
As to the timeliness issue, Court of Claims Act § 10 (3-b) provides, in pertinent part, as follows: “3-b. A claim to recover damages for injuries to property or for personal injuries caused
Apparent from the above is that when a claimant serves a notice of intention to file a claim asserting an intentional tort cause of action, such as defamation, the claim itself must be filed within one year of the accrual of the claim. The failure to comply with a time limitation set forth in Court of Claims Act § 10 deprives this court of jurisdiction to decide the claim (State of New York v Dewey,
In this case, a notice of intention was received (the date of receipt is the dispositive date [Mallory v State of New York,
The answer does not contain an affirmative defense
The above holding establishes that a claimant asserting an intentional tort claim against the State must meet both the time limitations contained in Court of Claims Act § 10 (3-b), if they have not been waived as they have here, and CPLR 215 (3). Although Trayer (supra) was decided prior to the 1985 enactment adding subdivision (3-b) to section 10 of the Court of Claims Act (L 1985, ch 645) which reduced the time to serve and file a claim asserting an intentional tort from two years to one year, its analysis determining that a claimant asserting an intentional tort cause of action in the Court of Claims must comply with the Statute of Limitations set forth in CPLR 215 (3) or risk having his or her claim dismissed pursuant to a timely defense remains good law. As a result, any claim asserting a cause of action encompassed within CPLR 215 (3) must be dismissed if not commenced within one year of accrual if the Statute of Limitations defense is properly pleaded in the answer (as it is here in the fifth affirmative defense [see, Immediate v St. John’s Queens Hosp.,
Claimant makes two arguments in support of his position that the claim is timely. Both arguments are based upon the fact that subsequent to the release of the Report at the press conference on December 16, 1996 the Inspector General caused the Report to be placеd upon the Internet where to this day it remains available to the public. Indeed, at paragraph 32 of the claim it is alleged that by “publishing initially and republishing each and every day since then on the Internet the defamatory, libelous and slanderous statements cited above, Defendant has injured and continues to injure my reputation generally throughout the community in which I reside, the capital district area.” Likewise, paragraph 35 states that, “[b]y publishing initially and republishing each аnd every day since
“This Claim clearly asserted defamation by virtue of Internet publication as well as paper publication. Thus, at the very least, this Claim is valid as to 90 days of Internet publication through and including the day that the Claim was filed and may not be dismissed as time-barred for that period.
“Moreover, the defamation has been continuous. As a consequence, the Claim — indeed, even the Notice of Intention to File Claim — may be filed at any time within 90 days following the State’s ceasing to publish the defamatory Report.”
Claimant’s argument asserting that the ongoing avаilability of the Report via the Internet constitutes a continuing wrong is without merit. In Mahoney v Temporary Commn. of Investigation (
In Mahoney (supra), where it applied the continuing wrong theory to a defamation claim, the Third Department specifically held that the publication of the final report of the investigation signaled the point in time at which the claim ac
Claimant’s final argument is that each day that the article is available upon the Internet constitutes a new publication triggering a new accrual date.
The accrual of a defamation cause of action occurs upon the original publication of the offending material for purposes of computing the running of the one-year Statute of Limitations (Hochberg v Nissen,
At common law the “multiple publication rule,” first pronounced in Duke of Brunswick v Harmer (14 QB 185, 177 Eng Rep 75), held that a defamatory article is published anew for Statute of Limitations purposes each time a copy of it is delivered to a third person. That rule has been limited in New York through recognition of the “single publication rule” first made applicable to newspapers and magazines (Wolfson v Syracuse Newspapers,
Under the single publication rule, publication occurs at the time the defamatory article is made available to the public and actual sales of the article (the equivalent of “hits” on the Internet) are unnecessary (Tomasino v Morrow & Co.,
The issue becomes whether the single publication rule applies to defamatory publications upon the Internet. Claimant cites the unreported decision of the Court of Appeals of Tennessee in Swafford v Memphis Individual Practice Assn. (
In Lunney (supra), an imposter opened several accounts with Prodigy Services Company (an Internet service providеr or
Although addressed to an issue separate and apart from that requiring determination herein, Lunney (supra) is an important guide in establishing the intellectual framework within which the law will be applied to the unique and rapidly evolving technological advancements centered around the dissemination of information via the Internet. In Lunney the Court of Appeals undertook a comparative analysis in which it examined the mode (e-mail and bulletin board posting) and methodology (use of an'ISP) of dissemination against historical precedents. In so doing, the Court found e-mail to be “the day’s evolutionary hybrid of traditional telephone line communications and regular postal service mail.” Importantly, the Court went on to state: “Because Lunney’s defamation action is grounded in New York common law, we evaluate it in accordance with our established tort principles (see, Foster v Churchill,
Applying existing decisional law to the controversy confronting it the Court affirmed the Appellate Division, equating Prodigy’s role in transmitting the offending e-mail to that of a telephone company which exercises no influence or control over
Applying established rules of law applicable to the accrual of defamation actions in this State requires a finding that the one-year Statute of Limitations began to run on December 16, 1996, the date of the Report’s original publication and the date when the Report was first made available on the Internet where it has remained unaltered to this date. Concerns regarding the rapid pace of changes in the way information is disseminated, the desire to avoid multiplicity of suits and the need to give effect to relevant Statutеs of Limitation which gave rise to the single publication rule enunciated in Gregoire v Putnam’s Sons (
Applying the single publication rule to the facts of this case requires that the defendant’s dismissal motion be granted.
Notes
The sixth affirmative defense referring to a failure to serve a claim or notice of intention within 90 days of the accrual of the claim is of no value to the defendant as a notice of intention was in fact timely served within 90 days of the accrual date.
