Herman HOWZE, Appellant, v. ARROW TRANSPORTATION COMPANY and Zurich Insurance Company, Appellees.
No. 18299.
United States Court of Appeals Fifth Circuit.
June 30, 1960.
280 F.2d 403
The judgment appealed from is Affirmed.
John R. Brown, Circuit Judge, dissented.
Ross Diamond, Jr., Mobile, Ala., Jacob Rassner, New York City, for appellant.
P. A. Gaudet, New Orleans, La., Charles B. Bailey, Jr., Mobile, Ala., for appellees.
Before HUTCHESON, BROWN and WISDOM, Circuit Judges.
WISDOM, Circuit Judge.
The question before us is the applicability of Rule 54(b), Fed.Rules Civ. Proc. 28 U.S.C.A. covering multiple claims, when there is only a single cause of action.1
Arrow answered, denying that Howze‘s injury was caused by Arrow‘s negligence or that the barge was unseaworthy. Arrow also filed a third-party complaint against Zurich Insurance Company, the insurer of the Alabama State Docks Department, alleging that at the time Howze was injured the barge was in the exclusive custody and control of the Alabama State Docks Department and that if there was any liability to Howze, only the State Docks Department was liable. Arrow‘s third-party complaint against Zurich, the insurer, was filed under a policy provision allowing a direct action against Zurich for indemnity for any amounts for which Arrow might be held liable for such accidents as Howze suffered. The prayer in the third-party complaint is in the usual form for indemnity “for such sum, if any, as plaintiff may be awarded against Arrow“.
Howze did not amend his complaint to assert a cause of action against Zurich. Zurich answered the third-party complaint, denying liability but asserting the right to be reimbursed for workmen‘s compensation benefits paid to Howze or for the benefit of Howze—in the event Howze should recover from Arrow.
Thus, Arrow‘s claim against Zurich and Zurich‘s right to reimbursement from Howze are both conditioned and dependent on the success of Howze‘s action against Arrow. And, of course, judgment in favor of Arrow would dispose of Arrow‘s claim against Zurich and Zurich‘s claim against Howze.
The district court granted Arrow‘s motion for summary judgment August 5, 1959. Howze filed a notice of appeal December 28, 1959, long after expiration of the thirty day period for appeal provided in Rule 73(a).
Appellant contends that the action involves multiple claims and under
There is no doubt that in a case involving multiple claims a dismissal as to one of the claims without complying with
In granting summary judgment in favor of Arrow and in dismissing Howze‘s complaint, the trial judge decided the only question before him for decision. There was no occasion, therefore, for any further action to render it final under
The order of December 4, 1959, did not change the legal effect of judgment of August 5, 1959.3 The August judgment disposed of the case and was the judgment from which Howze should have appealed.4 In view of his failure to appeal from that judgment within thirty days, this present appeal must be dismissed.
JOHN R. BROWN, Circuit Judge (dissenting).
If I were a lawyer interested in (a) a timely appeal but (b) not imposing unnecessary labor on overworked appellate courts, I would be confused.
A complaint followed by an answer and an impleader of a third party defendant is either a multiple claim under
If, on the other hand, as the court‘s opinion seems to imply there was but “one cause of action” with a party and conditional parties, our prior decisions require that the whole thing await the final action as to all. Nettles v. General Accident Fire & Life Assur. Corp., 5 Cir., 1956, 234 F.2d 243, with which I did not agree but which now binds me, was almost simultaneous with Meadows v. Greyhound Corp., 5 Cir., 1956, 235 F.2d 233. In the Meadows case the Court set forth that if it is but a single cause of action involving multiple parties, it is not a multiple claim. So much is that so that a certification under 54(b) is completely ineffectual.
Now we come up with something in between. It is not a single cause of action a la Meadows “involving” maybe multiple parties depending on some judicial action somewhere down the line.
What does the lawyer do? He must appeal from every possible order—even those that name but some of the parties. When he does so, the whole case stops—but not the judicial machine. Its wheels spin merrily along. The District Clerk‘s office is diverted for preparation of the appellate record. It is lodged with the Court of Appeals. Then comes the motion to dismiss. We have many of these every year. E. g., Jewell v. Grain Dealers Mutual Ins. Co., 5 Cir., 1959, 273 F.2d 422. Sustained as the motion must be, the case goes back for the “first” trial and a second appeal. A year has generally run out and the statistics reflect the added work.
Conscientious lawyers deplore this. But it is not of their making. And we must acknowledge that a prudent advocate will not run the risk of outguessing the Court of Appeals on when a many-partied-case is a multiple claim or merely a multiple-party-single-claim affair.
To his quandry we now add a new wrinkle. Appealability depends on the legal consequences of a ruling concerning the rights of others as it bears on other parties to the litigation even though they are not named or referred to in the order. Here the Court reasons that since dismissal of Arrow made the third party claim an academic one, the order dismissing Arrow only dismissed Zurich as well.
But just how does one determine this? For example, a complaint in a diversity suit against a servant and his corporate employer as principal carefully restricts allegations of negligence to acts of the servant only so that the corporation‘s liability is derivative only. The Court, say, on summary judgment, dismisses the case as to the servant. The legal consequence of that ruling is that the corporate principal has no liability. See, Seaboard Air Line R. Co. v. George F. McCourt Trucking, 5 Cir., 1960, 277 F.2d 593. But the case is still on the docket and the corporation appears as a defendant. Was that corporate defendant dismissed though not named? Was the whole case adjudicated? Under the Meadows-Nettles concept it would be a multi-party single cause of action and all would have to await the final gong. But now the parties have to figure out what neither the judge by formal order nor the Clerk by docket entry have revealed in any way.
The legal consequences of a judge‘s previous holding on the ultimate disposition of the case as to other parties should have no more effect on the parties not specified in the order than would, for example, an intervening authoritative ruling of the appropriate appellate court on a controlling substantive issue.
Sound judicial administration—an element certainly worthy of note as judges construe judge-made rules—ought carefully to distinguish between a judicial action and its legal consequences.
On all tests there were clearly two “claims” here—the plaintiff‘s case against Arrow and Arrow‘s case for indemnity. There may well have been nothing left to the merits of the third party claim but until it was disposed of, it was still pending and an appeal could not be taken from the order of dismissal. Indeed, while it is the sort of question-begging problem the law deals with all the time, with the third party complaint undisposed of the order on the main claim was still in the bosom of the Court. As the Rule states, it was “subject to revision at any time.”
I think that where there is a reasonable basis for choice, constructions of
I dissent.
