Lead Opinion
This case involves the proper application of MCL 600.8301, which grants the district court “exclusive jurisdiction in civil actions when the amount in controversy does not exceed $25,000.00.” For at least 160 years, Michigan courts have held that the allegations in the complaint establish the amount in controversy.
This case arises out of a lawsuit for no-fault damages filed in the 36th District Court. Plaintiff, Linda
During discovery, State Farm came to believe that Hodge would present at trial proof of damages in excess of $25,000. Such proofs, in State Farm’s view, would take the “amount in controversy” above the district court’s jurisdictional limit. State Farm, therefore, filed a motion in limine, seeking to prevent Hodge from presenting evidence of claims exceeding $25,000 and to prevent the jury from awarding damages above that limit. The district court denied the motion.
At trial, Hodge did present proof of injuries exceeding $25,000, including more than $150,000 in attendant-care services alone. At the conclusion of the trial, the jury returned a verdict of $85,957. The district court then reduced its judgment for Hodge to $25,000 in damages and $1,769 in no-fault interest.
State Farm appealed in the Wayne Circuit Court, claiming that the amount in controversy exceeded the district court’s jurisdictional limit and that capping Hodge’s recovery at $25,000 could not cure the defect. The circuit court agreed and reversed the district court’s order of judgment.
The Court of Appeals initially denied plaintiffs application for leave to appeal. After this Court re
The plaintiff in each of the consolidated cases sought leave to appeal in this Court. We initially granted leave to appeal in the companion case, Moody v Home Owners,
(1) whether a district court is divested of subject-matter jurisdiction when a plaintiff alleges less than $25,000 in damages in his or her complaint, but seeks more than $25,000 in damages at trial, i.e., whether the “amount in controversy” exceeds $25,000 under such circumstances ... and, if not, (2) whether such conduct nevertheless divests the district court of subject-matter jurisdiction*216 on the basis that the amount alleged in the complaint was made fraudulently or in bad faith.[9 ]
The 1963 Michigan Constitution, art 6, § 1, establishes the circuit court as a “trial court of general jurisdiction” and authorizes the Legislature to establish courts of limited jurisdiction. The Legislature exercised this constitutional authority in 1968 by creating the district court.
The district court has exclusive jurisdiction in civil actions when the amount in controversy does not exceed $25,000.00.[11 ]
The plain language of MCL 600.8301(1), read in conjunction with art 6, § 1 and MCL 600.605,
Our cases have long held that courts are to determine their subject-matter jurisdiction by reference to the pleadings. As far back as 1855, when determining whether the circuit court or the justice of peace had jurisdiction over a dispute,
borrows terms of art in which are accumulated the legal tradition and meaning of centuries of practice, it presumably knows and adopts the cluster of ideas that were attached to each borrowed word in the body of learning from which it was taken and the meaning its use will convey to the judicial mind unless otherwise instructed.[19 ]
Thus, it is not quite right to say, as did the Court of Appeals, that nothing in MCL 600.8301(1),
Both the Court of Appeals and defendant urge that dictionary definitions of statutory terms support a contrary result. We find the cited references unhelpful. The Court of Appeals noted that Black’s Law Dictionary defines “amount in controversy”
Defendant’s resort to the dictionary fares no better. MCR 2.227(A)(1) allows a court to transfer an action to another tribunal when it “determines that it lacks jurisdiction of the subject matter of the action.” Defendant cites multiple dictionaries for the proposition that “determines” implies the result of research or investigation. From this, defendant argues that a court may look beyond the pleadings to determine its jurisdiction. But the conclusion does not clearly follow from the premise. Even if “to determine” implies that inquiry will precede decision, neither the court rule nor com
We are left, therefore, with the firm impression that in adopting MCL 600.8301, the Legislature intended to continue the longstanding practice of determining the jurisdictional amount based on the amount prayed for in the complaint. The Court of Appeals was aware of this “ancient” common-law rule,
The common-law rule is marked not only by its longevity but by its simplicity. The ad damnum clause in the plaintiffs complaint is a straightforward mea
We, therefore, hold what the jurisprudence of this state has long established: in its subject-matter jurisdiction inquiry, a district court determines the amount in controversy using the prayer for relief set forth in the plaintiffs pleadings, calculated exclusive of fees,
We reverse the Court of Appeals’ decision that the district court lacked subject-matter jurisdiction, reinstate the judgment of the district court, and remand to the district court for further proceedings.
See Strong v Daniels, 3 Mich 466, 473 (1855).
Hodge v State Farm Mut Auto Ins Co, unpublished order of the Wayne Circuit Court, issued February 1, 2012 (Docket No. 10-012109-AV).
Hodge v State Farm Mut Auto Ins Co, 493 Mich 937 (2013).
Moody v Home Owners Ins Co, 304 Mich App 415, 430; 849 NW2d 31 (2014).
Id.
Moody v Home Owners Ins Co, 497 Mich 866 (2014).
Hodge v State Farm Mut Auto Ins Co, 853 NW2d 334 (Mich, 2014).
Moody v Home Owners Ins Co, 858 NW2d 462 (Mich, 2015).
Hodge v State Farm Mut Auto Ins Co, 497 Mich 957 (2015).
MCL 600.8101, as enacted by 1968 PA 154.
When the Legislature established the district court in 1968, it set the court’s jurisdictional limit at $3,000. See 1968 PA 154. The Legislature has twice raised the jurisdictional limit: to $10,000 in 1971, see 1971 PA 148, and to $25,000 in 1996, see 1996 PA 388.
“Circuit courts have original jurisdiction to hear and determine all civil claims and remedies, except where exclusive jurisdiction is given in the constitution or by statute to some other court or where the circuit courts are denied jurisdiction by the constitution or statutes of this state.”
The 1963 Michigan Constitution, art 6, § 1 dictates that the circuit court is to be the only court of general jurisdiction, but that the Legislature may establish courts of limited jurisdiction. The Legislature slightly restricted the circuit court’s jurisdiction in MCL 600.605 by removing the circuit court’s original jurisdiction in cases “where exclusive jurisdiction is given in the constitution or by statute to some other court. . . .” The Legislature granted such exclusive jurisdiction to the district court in MCL 600.8301(1). However, because the Legislature only has the authority to establish courts of limited jurisdiction, the
See Zimmer v Schindehette, 272 Mich 407, 409; 262 NW 379 (1935) (declaring void a judgment rendered by a justice of the peace that was in excess of his jurisdiction). See also Clohset v No Name Corp (On Remand), 302 Mich App 550, 567; 840 NW2d 375 (2013) (“We are cognizant of the fact that, generally speaking, a district court cannot render a judgment that exceeds its jurisdictional limit.”).
The 1850 Michigan Constitution, art 6, § 18, specified that “justices of the peace shall have exclusive jurisdiction to the amount of one hundred dollars . . . .” The 1908 Michigan Constitution had a similar clause. See Const 1908, art 7, § 16.
Strong, 3 Mich at 472. This rule appears to be even older than Strong. The Court in Strong noted that even before the adoption of the 1850 Constitution, at issue in that case, “it was never doubted, that the test of jurisdiction was the amount claimed in the plaintiffs writ.” Id. at 470.
Id. at 473 (“[T]he justice will not be ousted of his jurisdiction by the jury returning a verdict, or by proof of damages beyond his jurisdiction.”).
We note that the federal courts also apply this principle. See, e.g., St Paul Mercury Indem Co v Red Cab Co, 303 US 283, 288; 58 S Ct 586; 82
Sekhar v United States, 570 US _, _; 133 S Ct 2720, 2724; 186 L Ed 2d 794 (2013), quoting Morissette v United States, 342 US 246, 263; 72 S Ct 240; 96 L Ed 288 (1952). See also In re Bradley Estate, 494 Mich 367, 377; 835 NW2d 545 (2013) (“[W]hen the Legislature chooses to
“Pursuant to MCL 8.3a, undefined statutory terms are to be given their plain and ordinary meaning, unless the undefined word or phrase is a term of art.” People v Thompson, 477 Mich 146, 151; 730 NW2d 708 (2007). If a word or phrase is a term of art, it “shall be construed and understood according to [its] peculiar and appropriate meaning.” MCL 8.3a. Although the term “amount in controversy” was not specifically used in the 1850 or 1908 Constitutions, it has long been a part of our state’s legal lexicon and was used in nineteenth-century Court opinions to indicate the amount at stake in the suit. See, e.g., Olcott v Hanson, 12 Mich 452, 455 (1864) (opinion by Martin, J.); Truesdail v Ward, 24 Mich 117, 120 (1871) (opinion by Graves, J.). That amount was always determined based upon the amount claimed in the pleadings. See, e.g., Strong, 3 Mich at 470.
“The district court has exclusive jurisdiction in civil actions when the amount in controversy does not exceed $25,000.00.”
“When the court in which a civil action is pending determines that it lacks jurisdiction of the subject matter of the action, but that some other Michigan court would have jurisdiction of the action, the court may order the action transferred to the other court in a place where venue would be proper. If the question of jurisdiction is raised by the court on its own initiative, the action may not be transferred until the parties are given notice and an opportunity to be heard on the jurisdictional issue.”
“¶⅛ moyon [for summary disposition] may be based on one or more of these grounds, and must specify the grounds on which it is based: . . . The court lacks jurisdiction of the subject matter.”
Moody, 304 Mich App at 426.
When defining a legal term or phrase with a pedigree as long as “amount in controversy,” little is likely to be gained from defining the individual words it comprises. Thus, we find unpersuasive the Court of Appeals’ close examination of the individual words “amount” and “controversy.”
Id. at 430, quoting Black’s Law Dictionary (9th ed).
Id. at 432.
Id. at 433.
Id.
For example, an unscrupulous attorney might, without fully informing his client, limit his client’s recovery to $25,000 by filing in district court but then seek attorney fees based on the full amount of damages returned by the jury, thereby sacrificing his client’s interests to his own. In this regard, we remind the trial courts that an attorney is entitled to recover a reasonable fee for advising and representing a client in a personal protection insurance (PIP) action. MCL 500.3148(1). After calculating the baseline attorney fee figure, the trial court should consider, though is not limited to, a number of factors when determining a reasonable fee for such representation. Pirgu v United Servs Auto Ass’n, 499 Mich 269, 281; 884 NW2d 257 (2016). These factors are:
(1) the experience, reputation, and ability of the lawyer or lawyers performing the services,
*222 (2) the difficulty of the case, i.e., the novelty and difficulty of the questions involved, and the skill requisite to perforin the legal service properly,
(3) the amount in question and the results obtained,
(4) the expenses incurred,
(5) the nature and length of the professional relationship with the client,
(6) the likelihood, if apparent to the client, that acceptance of the particular employment will preclude other employment by the lawyer,
(7) the time limitations imposed by the client or by the circumstances, and
(8) whether the fee is fixed or contingent. [Id. at 282.]
Factor (3) suggests that the fees awarded must be reasonable in light of the $25,000 limit on a plaintiffs recovery in district court.
This Court has held that a court will not retain subject-matter jurisdiction over a case “when . . . fraud upon the court is apparent” from allegations pleaded in bad faith. Fix v Sissung, 83 Mich 561, 563; 47 NW 340 (1890). In Fix, this Court dismissed the plaintiffs suit as being brought in bad faith because the amount claimed was “unjustifiable” and could not be proved. Id. However, beyond that holding, our cases give no indication of what would constitute bad faith sufficient to oust the court of jurisdiction. The Court of Appeals seemed concerned with plaintiffs filing in district court knowing that provable actual damages exceeded the $25,000 jurisdictional limit. See Moody, 304 Mich App at 431. We question, but do not decide, whether a fully-informed plaintiff acts in bad faith by filing a claim in district court, thereby limiting his own recovery to $25,000. In this case, defendant made no allegation of bad faith in the pleadings, and there has been no finding of bad faith by the district court.
Moody, 304 Mich App at 430-431.
See Krawczyk v Detroit Auto Inter-Ins Exch, 117 Mich App 155, 163; 323 NW2d 633 (1982) (“As a general rule, neither costs, attorney fees nor interest is considered in determining the jurisdictional amount.”), affirmed in part, reversed in part on other grounds, 418 Mich 231 (1983).
Concurrence Opinion
(concurring). At issue here is the subject-matter jurisdiction of the district court, which is exclusive in “civil actions when the amount in controversy does not exceed $25,000.00.” MCL 600.8301(1). I join the majority because I agree that “amount in controversy” as used in MCL 600.8301(1) refers to the “prayer for relief set forth in the plaintiffs pleadings . ...” I further agree that a trial court may be ousted of subject-matter jurisdiction when “fraud upon the court is apparent” from pleadings made in “bad faith.” I write separately only to identify circumstances that, in my view, might raise questions concerning “bad faith” pleading and thereby warrant dismissal of a case for lack of jurisdiction. While
I. FACTS AND HISTORY
This case arose when plaintiff sued defendant in the 36th District Court for first-party no-fault benefits after plaintiff had been struck by a vehicle driven by a person insured by defendant. Plaintiffs complaint alleged bodily injury, including a “closed head injury,” “pains in left shoulder, back, neck area, [and] lower back,” and a “bruise on [the] left ankle.” She also alleged financial injury, including “expenses for care, recovery, or rehabilitation,” “loss of wages,” “replacement services,” and “attendant care.” In her complaint’s prayer for relief, plaintiff sought “damages in whatever amount Plaintiff is found to be entitled not in excess of 25,000.00 . . . .” The parties then engaged in discovery, and, based on information provided by plaintiff, defendant estimated that plaintiffs claim was worth nearly $250,000. As a result, defendant filed a motion in limine to prevent plaintiff from offering at trial evidence that her claim exceeded $25,000, but the district court denied that motion. Plaintiff eventually submitted evidence at trial of injuries exceeding $25,000, including more than $150,000 in attendant-care services. The jury returned a verdict of $85,957, which the district court duly reduced to $25,000.
Defendant appealed in the Wayne Circuit Court, arguing that the district court lacked subject-matter jurisdiction. The circuit court concluded that plaintiff claimed damages exceeding $25,000 and thus reversed the district court. Plaintiff then appealed in the Court of Appeals. After we directed that Court to consider the
(1) whether a district court is divested of subject-matter jurisdiction when a plaintiff alleges less than $25,000 in damages in his or her complaint, but seeks more than $25,000 in damages at trial, i.e., whether the “amount in controversy” exceeds $25,000 under such circumstances, see MCL 600.8301(1); and, if not, (2) whether such conduct nevertheless divests the district court of subject-matter jurisdiction on the basis that the amount alleged in the complaint was made fraudulently or in bad faith. [Hodge v State Farm Mut Auto Ins Co, 497 Mich 957, 957-958 (2015).]
II. ANALYSIS
I agree with the majority’s analysis of the two issues on which this Court granted leave. I write separately only to elaborate on my views as to the second issue— under what circumstances may a prayer for relief, although nominally falling within the district court’s statutory “amount in controversy” requirement, nonetheless clearly exhibit bad faith and thereby warrant dismissal.
A. BAD FAITH
Subject-matter jurisdiction “is the power to hear and determine a cause or matter.” Bowie v Arder, 441 Mich 23, 36; 490 NW2d 568 (1992) (quotation marks and citation omitted). Because a court has no inherent subject-matter jurisdiction, such jurisdiction must be
This Court has long recognized that when a plaintiffs pleadings are clearly made in bad faith for the purpose of satisfying a trial court’s subject-matter jurisdiction, the trial court is ousted of jurisdiction and must dismiss the matter. See Fix v Sissung, 83 Mich 561, 563; 47 NW 340 (1890). Fix concerned a dispute between neighbors stemming from a gaggle of the plaintiffs geese “trespassing” on the defendant’s property. The defendant took possession of the geese and refused to return them unless the plaintiff first paid for property damage caused by the geese and for the cost of feeding them. The plaintiff then sued the defendant in the circuit court for return of the geese. The defendant moved to dismiss for lack of subject-matter jurisdiction, arguing that because the geese were worth less than $100, only a state justice of the peace could hear the case.
The plaintiff appealed in this Court, arguing that his case fell within the circuit court’s jurisdiction because he had alleged the geese’s value to be $200, well above the $100 jurisdictional limit of state justices of the peace. We acknowledged that a trial court’s jurisdiction may be properly retained on the basis of a good-faith allegation of property value exceeding the jurisdictional limit, even where the value proved at trial does not ultimately exceed the jurisdictional limit. But because the plaintiffs declaration that the geese were worth $200 was “unjustifiable,” we concluded that “the value alleged . . . was made in bad faith, and was a fraud upon the court.” Id. Accordingly, we affirmed the trial court’s dismissal. Fix thus stands for the proposition that a court subject to a jurisdictional limit may dismiss a complaint for lack of subject-matter jurisdiction, notwithstanding that the jurisdictional allegations are nominally valid, when the court concludes that those allegations were clearly made in bad faith.
As Fix demonstrates, a plaintiff pleads in bad faith by pleading an amount in controversy with an intention to present evidence and argument—i.e., to litigate
The plaintiff in Fix thus inflated the value of his claim to exceed a court’s minimum jurisdictional limit. By contrast, plaintiff in the instant case may have diminished the value of her claim to avoid exceeding a court’s maximum jurisdictional limit.
B. DISTRICT COURT JURISDICTION
Having set forth Fix’s general principle that pleading in bad faith ousts a trial court of jurisdiction, I turn then to the specific question of the jurisdiction of the court at issue in this case, the district court. Our Constitution establishes “one trial court of general jurisdiction known as the circuit court” and authorizes the Legislature to further establish “courts of limited jurisdiction.” Const 1963, art 6, § 1 (emphasis added).
By separating disputes according to whether the amount in controversy exceeds or does not exceed $25,000, § 8301(1) reflects the Legislature’s intention to classify civil cases according to their value.
But, of course, it may come to pass as a result of evolving circumstances, as perhaps it has in the instant case, that a party will plead an amount in controversy not exceeding $25,000 and yet litigate what is a “circuit court case”—one with a value exceeding $25,000—in the district court. Such a pleading would not then reflect the bona fide value of the case. Nonetheless, such a pleading is not necessarily one made in bad faith because the plaintiff may intend to litigate the “circuit court case” as a “district court case” by presenting only the arguments and evidence needed to demonstrate entitlement to the lower damages re-
However, when a plaintiff pleads an amount in controversy with the intention to litigate a case inconsistent with that amount, the plaintiff has thwarted the Legislature’s intention, and the pleading has been made in bad faith. In other words, while the plaintiff may have nominally pleaded a case within the district court’s jurisdiction by alleging an amount in controversy not exceeding $25,000, he or she did so with the intention of litigating a “circuit court case” in the district court in contravention of the Legislature’s intention that such a case belongs in the circuit court. A plaintiff does not, at least in my judgment, comply with § 8301(1) merely by pleading—and thus being willing to accept—an amount in controversy not exceeding $25,000; rather, to avoid a finding of bad faith, the plaintiff must plead with the intention to comply with the legal obligation to litigate that case in a manner consistent with the jurisdictional limit set by the Legislature. So when a plaintiff has a case with a value exceeding $25,000—that is, a “circuit court case”—and wishes to litigate in the district court by pleading an amount in controversy not exceeding $25,000, he or she may do so consistent with the Legislature’s intentions only by litigating
Pleading an amount in controversy in bad faith not only is incompatible with the Legislature’s intention, but also is incompatible with the integrity of the judicial process, which requires the district court to exercise only the power “conferred upon it by” the Legislature. Rabaut, 389 Mich at 331. When a plaintiff pleads in good faith, a court can effectively police the boundaries of its jurisdiction simply by examining the face of the pleadings, but when a plaintiff pleads in bad faith, because the pleadings fall only nominally within the court’s power, the court risks, through no fault of its own, exercising authority that the Legislature did not intend it to exercise. Such an exercise of power is incompatible with the integrity of our judicial process, and when it is a function of the plaintiffs own conduct in the pleadings, the court is justified in finding that he or she has pleaded in bad faith.
As suggested above, litigating a “circuit court case” in the district court is incompatible with both the Legislature’s intention and the integrity of the judicial process, and, consequently, a pleading intended to facilitate this as a litigation strategy is a pleading made in bad faith. That bad faith is further exemplified
This Court’s own rules underscore the different levels of complexity inherent in typical “district court cases” and typical “circuit court cases.” For example, the discovery rule permits discovery as a matter of course in “circuit court cases” while permitting it only with the court’s leave or by the parties’ stipulation in district court cases. See MCR 2.302(A)(2). The case-evaluation rule is another example of a rule distinguishing between the two types of cases; the rule authorizes the shortening of deadlines for hearings
The district court’s jurisdictional limit, and what this requires of a plaintiff, can be appreciated perhaps by considering the following hypothetical. A plaintiff wishes to bring a personal-injury claim of less than $25,000 based on an injury to a single arm. This “one-arm case” may be brought in the district court, and the plaintiff will be free to fully present arguments and evidence as to the full extent of the injury. By contrast, another plaintiff wishes to bring a personal-injury claim that exceeds $25,000 based on injuries to both arms and both legs. In order to recover the full measure of damages, this “four-limb case” must be brought in the circuit court, because that court alone can award relief in an amount exceeding $25,000. The question posed by the instant case is whether the
However, whether the plaintiff intends to present a case consistent with the amount in controversy pleaded may be a difficult question because the plaintiffs intention to engage in litigation tactics illustrative of bad faith will not often be obvious from the face of the complaint. The trial court therefore must be attentive to assessing the presentation of arguments and evidence that may reasonably communicate that the plaintiff in reality has pursued a “circuit court
C. EVIDENCE OF BAD-FAITH PLEADING
A plaintiff acts in bad faith when he or she litigates a “circuit court case” in the district court for the purpose of obtaining some litigation advantage. The district court must be vigilant to such conduct, which, because it may suggest the plaintiffs intentions at the time of his or her pleadings, may constitute evidence of the plaintiffs pleading in bad faith. I offer an illustrative listing of circumstances that may support a finding of bad faith in the amount in controversy pleaded.
1. EXCESSIVE EVIDENCE
One way by which a plaintiff may achieve an unfair advantage by litigating a “circuit court case” in the district court is, despite having pleaded an amount in controversy not exceeding $25,000, by presenting evidence of injuries that do exceed $25,000. Such conduct places the defendant at a disadvantage because although liability is limited to $25,000, the defendant
2. ABSENCE OF DISCOVERY
Similar unfair advantage in arguing a “circuit court case” in the district court may be gained by the absence of mandatory discovery in the district court. As a general rule, “parties may obtain discovery by any
But where the plaintiff seeks to litigate a “circuit court case” in the district court, the absence of discovery could greatly hinder a defending party. When a plaintiff pleads an amount in controversy for the purpose of obtaining district court jurisdiction, yet is allowed to present argument and evidence significantly exceeding $25,000, the defendant could face a hardship because of an inability to learn more about the claim and to present a complete defense. In the absence of discovery, the plaintiffs settlement leverage described above is further magnified because the defendant must then weigh the potentially disproportionate costs of litigating a “circuit court case” against the financial exposure of a “district court case” and must do so without full knowledge of the plaintiffs claim. Thus, not only has the plaintiff gained an unfair advantage by our rules of jurisdiction, he or she has gained an unfair advantage by our rules of procedure. In the instant case, for example, it is possible that plaintiff may have withheld most of, if not all, the details of her injuries and their treatment, because the full extent of plaintiffs injuries—amounting to as
3. OFFER OF JUDGMENT
A plaintiff may further obtain an unfair advantage in arguing a “circuit court case” in the district court through the offer-of-judgment rule, MCR 2.405. Under that rule, one party (the offeror) may make a settlement offer, and if the other party (the offeree) rejects the offer, the offeree may be liable for the offeror’s litigation costs unless the offeree improves his or her position at trial. The rule thereby “encourage [s] settlement and . . . deter [s] protracted litigation.” Hamilton v Becker Orthopedic Appliance Co, 214 Mich App 593, 596; 543 NW2d 60 (1995) (quotation marks and citation omitted). But an unfair advantage may also be gained because offers of judgment “are formulated by the parties themselves, creating the possibility that a party may make an offer not in a bona fide attempt to settle the case, but merely to create the possibility of securing an award of costs.” Freeman v Consumers Power Co, 437 Mich 514, 519 n 8; 473 NW2d 63
Pleading a jurisdictional amount in bad faith in the district court may also entail interference with the jury function. The presentation of evidence of injury typical of a “circuit court case” may, as explained above, unfairly and directly disadvantage the defendant. It may also unfairly and indirectly disadvantage the defendant by skewing in plaintiffs favor a jury finding of liability, despite the fact that findings of injury and liability are distinct considerations. Professor Brian Bornstein, for example, asserted this result after presenting mock jurors with factual scenarios in which evidence of liability was held constant while evidence of the magnitude of injury varied. Bornstein concluded that fact-finders “will make different [liability] judgments depending upon the severity of the plaintiff[’]s injury.”
5. JURY INFLUENCING
By litigating a “circuit court case” in the district court, the plaintiff may also take advantage of another cognitive bias, known as the “anchoring effect,” that could affect the jury. According to Professor Daniel Kahneman, this “occurs when people consider a particular value for an unknown quantity before estimating that quantity.”
III. CONCLUSION
A party pleads in bad faith by setting forth an amount in controversy within the district court’s jurisdiction while intending to litigate a “circuit court case” in the district court. See Fix, 83 Mich at 563. While bad-faith pleadings are rare, when they do occur, they undermine the law of our state and the integrity of our judicial process, and they give rise to conditions at trial in which a party may be unfairly prejudiced. In particular, because each of the parties may, under some circumstances, view litigating a “circuit court case” in the district court as being within the party’s interest,
See, e.g., 20 Am Jur 2d, Courts, § 103 (“The plaintiffs pleadings are generally determinative as to the amount in controversy unless the defendant specifically alleges and proves the amount was pleaded merely as a sham for the purpose of wrong fully obtaining jurisdiction or can readily establish that the amount in controversy does not fall within the court’s jurisdictional limits.”) (emphasis added).
One federal practice treatise states that “[u]nder well-settled principles of pleading, the plaintiff is the master of the statement of his claim.” 14AA Fed Prac & Proc Juris (4th ed), § 3702. But the treatise goes on to note that the plaintiffs choice controls only “absent a showing of bad faith.” Id. In the instant case, because the present record does not sufficiently reflect that plaintiffs allegations were made in bad faith, because “defendant made no allegation of bad faith in the pleadings,” and because “there has been no finding of bad faith by the district court,” see the majority opinion at note 31,1 believe that this Court currently lacks a basis to conclude that plaintiff pleaded in bad faith.
Two other such cases recently have come before the Court. Moody v Home Owners Ins Co, 497 Mich 866; 858 NW2d 462 (2015); Madison v AAA of Mich, 858 NW2d 463 (2015). Counsel in these two cases is also plaintiffs counsel in the instant case.
Const 1850, art 6, § 18 (“In civil cases justices of the peace shall have exclusive jurisdiction to the amount of one hundred dollars . . .
Plaintiff sought $25,000 in damages, yet discovery and evidence subsequently indicated that her claim may have been worth as much as $250,000. Questions of bad faith aside, why a plaintiff might be prompted to reduce recovery by as much as 90% in order to have it heard in one judicial venue instead of another is itself a matter of considerable consequence for the fairness of the justice system and the equal rule of law, although beyond the scope of inquiry in this case. At the very least, however, I do believe that plaintiffs attorney had a professional and ethical obligation to explain clearly to the client both the rationale for such a substantial reduction in recovery and the likely waiver of the right to sue for the balance of the claim in excess of the jurisdictional maximum. MRPC 1.4(b) (“A lawyer shall explain a matter to the extent reasonably necessary to permit the client to make informed decisions regarding the representation.”); see also MRPC 1.7(b).
See also MCL 600.605 (“Circuit courts have original jurisdiction to hear and determine all civil claims and remedies, except where exclusive jurisdiction is given in the constitution or by statute to some other court or where the circuit courts are denied jurisdiction by the constitution or statutes of this state.”).
MCL 600.8101(1) (“A district court is established in the state.”).
Many other states have trial courts whose jurisdictions are limited by dollar thresholds. See Dollar Amount Jurisdiction for Tort, Contract, Real Property, and Small Claims Filings in State Trial Courts, 2010, available at <http://www.courtstatistics.Org/~/media/Microsites/Files/CSP/SCCS/ 2010/Civil-Dollar_Amount_Jurisdiction> [https://perma.cc/69K6-MM8A]; see also 21 CJS, Courts, § 22, pp 31-32 (“Under various constitutional or statutory provisions, superior courts of general jurisdiction are limited in their jurisdiction to cases involving amounts in excess of a specified
See, e.g., 21 CJS, Courts, § 22, at 32 (“[T]he policy [of specifying a jurisdictional amount] is to force litigants whose disputes involve only comparatively trifling amounts to resort to inferior courts .. ..”).
It is also possible that a plaintiff could file a case in the district court in the good-faith, but incorrect, belief that the case has a value not exceeding $25,000 and learn only later in the proceedings that the case, in fact, has a value exceeding $25,000. Such a plaintiff could not be said to have pleaded the amount in controversy in bad faith. Although the trial court is not ousted of jurisdiction in such circumstances, it remains responsible for enforcing its procedural and evidentiary rules, and for exercising its trial-management prerogatives, in a manner that ensures that any inconsistency between the amount in controversy pleaded and the actual value of the case does not prejudice or disadvantage the defendant.
A court must continually question its jurisdiction at every “stage of the proceeding.” In re Estate of Fraser, 288 Mich 392, 394; 285 NW 1 (1939). The district court in particular must be vigilant in assessing its own jurisdiction because under some circumstances both parties may have an interest in litigating a “circuit court case” in the district court—the plaintiffs own decision would initiate the litigation in that venue, and the defendant might prefer the capped liability that results when a higher-value “circuit court case” is brought in the district court. Under such circumstances, the district court might be alone in upholding the integrity of the legislative and judicial processes. Id. (“Courts are bound to take notice of the limits of their authority . . .
The Legislature also has directed to the district court criminal matters of relatively lesser complexity. See MCL 600.8311 (giving the district court jurisdiction over “[m]isdemeanors punishable by a fine or imprisonment not exceeding 1 year”; “[ordinance and charter violations punishable by a fine or imprisonment”; “[ajrraignments, the fixing of bail and the accepting of bonds”; certain “[p]robable cause conferences”; “[p]reliminary examinations”; and “[c]ircuit court arraignments”). The district court’s civil and criminal jurisdictional statutes clearly indicate the Legislature’s intention to direct toward that court relatively less complex, less consequential, and more straightforward cases and controversies.
That the district court is intended to hear relatively less complex matters is further evidenced by the fact that the court rules direct to the district court summary landlord-tenant proceedings, MCR 4.201 to MCR 4.202, and small-claims actions, MCR 4.301 to MCR 4.306.
In the instant case, plaintiff alleged a “closed head injury,” “pains in left shoulder, back, neck area, [and] lower back,” and a “bruise on [the] left anide,” as well as “expenses for care, recovery, or rehabilitation,” “loss of wages,” “replacement services,” and “attendant care.” It is not clear from these allegations that plaintiffs claim had a value exceeding $25,000; nor is it clear that by filing the case she intended to litigate a “circuit court case” in the district court. But had the district court inquired into the issue of bad faith at the pleadings, it may nonetheless have concluded, similar to the court in Fix, that plaintiff clearly had no intention of litigating a case consistent with the amount in controversy pleaded. Such an inquiry may have revealed that plaintiff intended from the outset to litigate a “circuit court case” in the district court by presenting evidence of injuries exceeding $25,000. As in Fix, evidence of such an intention might show that the pleadings themselves were clearly made in bad faith and thus warrant dismissal.
I am cognizant that the backdrop of such a case will always be that a $25,000 maximum settlement may be significantly less than the defendant might have faced in the circuit court. However, once filed in the district court, a case becomes a “district court case,” and a defendant should not have to settle on the basis of “circuit court case” considerations. More importantly, whatever the practical equities facing the two parties, the people of this state are entitled to have the laws of their representatives respected and the jurisdiction of their courts honored.
The offer-of-judgment rule may be contrasted with the case-evaluation rule, MCR 2.403. The latter also seeks to shift fees to a party that refuses to accept an offered “case-evaluation award.” But unlike an offer of judgment, which is formulated by the offering party itself and may not always reflect “a bona fide attempt to settle the case,” a case-evaluation award is formulated “by three lawyers who are wholly uninvolved in the litigation” and thus not susceptible to a plaintiffs gamesmanship. Freeman, 437 Mich at 519 n 8. Case evaluation is prominent in the circuit court. See MCR 2.403(A)(2) (“Case evaluation of tort cases filed in circuit court is mandatory .. . .”); ICLE, Michigan Civil Procedure (April 2014), § 14.1, p 1034 (“Most cases in circuit court in which monetary relief is sought are submitted to case evaluation.”). It is not, however, required in the district court. See MCR 2.403(A)(4).
Bornstein, From Compassion to Compensation: The Effect of Injury Severity on Mock Jurors’ Liability Judgments, 28:16 J Applied Soc Psychol 1477, 1478, 1485 (1998).
Defendant here challenged plaintiffs offering of “excessive” evidence of injury as “cumulative.” The motion was opposed by plaintiff and denied by the trial court.
Kahneman, Thinking, Fast and Slow (Farrar, Straus, and Giroux, 2011), p 119.
See, e.g., Chopra, The Psychology of Asking a Jury for a Damage Award, Plaintiff Magazine, March 2013, p 7 (“Early research looking at the way jurors used anchoring in the context of jury damage awards suggested that the larger the lump sum request made by plaintiffs counsel, the larger the average award.”); Sunstein et al, Assessing Punitive Damages (With Notes on Cognition and Valuation in Law), Behavioral Law & Economics (Sunstein ed) (Cambridge University Press, 2000), p 235 (“The amount demanded by the plaintiff also affected the size of the awards, most likely an anchoring effect, which influences the award directly . . . .”).
See Sunstein et al, Assessing Punitive Damages, p 243.
