OPINION
for the Court.
This appeal emanates from a tragic automobile accident that occurred on the evening of March 9, 2003, in Coventry, Rhode Island.
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Maureen O’Connell and Paul Ro-berti (plaintiffs) challenge the hearing justice’s grant of summary judgment in favor of William Walmsley (Walmsley or defendant). This matter came before the Su
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Facts and Travel
At about 10:30 p.m. on March 9, 2003, Jason Goffe (operating a Toyota Corolla) and Michael Petrarca (operating a Ford F-350) were high-speed racing on the New London Turnpike in a westerly direction. Also present in Goffe’s car was passenger Brendan O’Connell Roberti. After losing control of his vehicle, Goffe whirled into the eastbound lane. At this juncture, Walmsley, who had been driving his vehicle eastbound, struck Goffe’s vehicle. This tragedy resulted in the deaths of Goffe and Roberti.
The plaintiffs (Roberti’s parents), in their capacities as co-administrators of Ro-berti’s Estate, initiated suit against several defendants, including Walmsley. The plaintiffs also sued Donald Goffe, Goffe’s father, who owned the vehicle he drove, and Geico General Insurance Company (GEICO), which insured the same vehicle. Moreover, Walmsley joined Petrarca and Tapco, Inc., which owned the truck driven by Petrarca, by way of a third-party complaint for indemnification and contribution alleging that Petrarca’s negligence was a contributing cause of Roberti’s death.
Donald Goffe and GEICO settled with plaintiffs prior to trial for $145,000 (Goffe Release) whereby plaintiffs released both parties from future-damages claims stemming from the accident. Additionally, plaintiffs agreed that all potentially recoverable claims by plaintiffs were “hereby reduced by the statutory pro rata share of negligence of * * * Goffe * * * under the Uniform Contribution Among Joint Tort-feasors Act of the State of Rhode Island, or the sum of * * * $145,000 * * * whichever is the greater reduction.” Similarly, before trial, plaintiffs entered into a settlement agreement with Petrarca and Tapco, Inc. for $250,000 (Petrarca Release), which released Petrarca and Tapco, Inc. from future claims arising out of the accident. In the Petrarca Release, plaintiffs also promised to reduce “any damage recoverable by [pjlaintiffs against all other persons * * * jointly or severally liable” to plaintiffs by the “pro rata share of liability of [Petrarca and Tapco, Inc.] * * * or in the amount of the consideration paid” under the agreement, “whichever amount is greater[.]”
Because of the settlement releases, Walmsley was the sole defendant who advanced to trial, which began on June 21, 2010. The defendant moved for judgment as a matter of law at the conclusion of plaintiffs’ case; however, the trial justice reserved ruling on the issue to permit the case to go before the jury. On July 2, 2010, the jury found Walmsley negligent and deemed his negligence a proximate cause of Roberti’s death. The jury also apportioned fault among each driver and deemed Walmsley 3 percent at fault. 2 The jury assessed the estate’s total damages and awarded $10,000 against Walmsley without modifying this figure to account for liability percentages.
The defendant then renewed his motion for judgment as a matter of law, which the trial justice granted. The plaintiffs moved
On remand before a different justice, plaintiffs sought judgment for $250,000 entered against Walmsley per the additur. Conversely, Walmsley moved for summary judgment and sought a finding by the Superior Court that he was not required to pay any sum to plaintiffs, based on the two releases that he asserted fully satisfied the damages award.
The plaintiffs asserted that § 10-7-2 mandated a finding that defendant was liable to them for at least $250,000, irrespective of the minor percentage of fault attributed to defendant and the other sums received under the Goffe and Petrarca Releases. The plaintiffs further averred that G.L. 1956 § 10-6-7, which governs the “[ejffect of release of one tortfeasor on [the] liability of others[,]” did not mandate a reduction in damages upon a joint tort-feasor’s release. Instead, plaintiffs suggested that the language of the applicable releases governed only the effect of a joint tortfeasor’s release, if any. Lastly, plaintiffs argued that, because they read § 10-7-2 as a special provision that contradicted § 10-6-7, which they described as a general provision, § 10-7-2 prevailed and rendered Walmsley liable for the $250,000 minimum.
In contrast, Walmsley asserted that the court should enforce the clear contractual language of the Goffe and Petrarca Releases, which he averred would reduce his payment obligation to plaintiffs as an “other tortfeasor[ ].” Walmsley further posited that, because plaintiffs had already, received aggregated damages in excess of $250,000, reducing his liability under § 10-6-7 would not defy the minimum recovery provision in § 10-7-2.
In a written decision filed on May 6, 2015, the hearing justice found that the Goffe and Petrarca Releases fully satisfied the judgment against Walmsley. He began with the premise that a court does not interpret a statute literally when doing so leads to an absurd result. With respect to the legislative intent of § 10-7-2, the hearing justice opined: “Based on the remedial and compensatory nature of the statute and damages principles generally, it is clear that the purpose of the minimum damages requirement in § 10-7-2 is to provide a fixed, baseline recovery amount for any wrongful death plaintiff.” The hearing justice relied on Petro v. Town of West Warwick ex. rel. Moore,
Again citing Petro, the hearing justice iterated that joint tortfeasors are “jointly and severally liable” for the $250,000 minimum amount reflected in § 10-7-2. Thus, because plaintiffs settled their claims against Goffe and Petrarca in the amount of $395,000, the hearing justice deemed § 10-7-2 satisfied and concluded that “there is no basis for holding Walmsley individually liable for $250,000.” Finally, the hearing justice reasoned that state law clearly provided that the release of one joint tortfeasor reduces the claim against other joint tortfeasors. The hearing justice cited to § 10-6-7 and the Goffe and Pet-rarca Releases to pronounce that any judgment obtained by plaintiffs against Walms-ley “must be reduced by $395,000 (the sum of the joint tortfeasor settlements).” Accordingly, summary judgment was granted in defendant’s favor, and plaintiffs timely appealed.
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Standard of Review
“This Court reviews a trial justice’s decision to grant summary judgment de novo.” High Steel Structures, Inc. v. Cardi Corp.,
Statutes and court rules are also reviewed de novo. Raiche v. Scott,
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Discussion
On appeal, plaintiffs assert a rigid and technical plain-language reading of § 10-7-2, maintaining that the Legislature intended that each tortfeasor be held to a damages amount of no less than $250,000. In support of this assertion, plaintiffs parse through the provision’s language and submit that, because the Legislature used the singular form, “he or she or it” rather than “they,” it must have intended § 10-7-2’s minimum-damages amount to apply to each individual defendant. The plaintiffs aver that the inclusion of the word “shall”
Additionally, plaintiffs declare that § 10-7-2 cannot be reconciled with § 10-6-7 because the latter discusses joint and several liability. Citing to G.L. 1956 § 43-3-26 for the principle that when two statutes clash, a “general provision” yields to a “special provision,” plaintiffs aver that § 10-6-7, a general provision, should give way to § 10-7-2, a special one. The plaintiffs assert that this Court should not read language into the statute “[a]s the plain language of § 10-7-2 does not provide for such joint and several liability of the minimum recovery * * Finally, plaintiffs allege that the hearing justice erred in referencing the language of the Goffe and Petrarca Releases because they exceeded the scope of § 10-7-2.
We begin our task of statutory interpretation with a keen awareness that our chief goal is to effectuate the purpose underlying the Wrongful Death Act. To this end, this Court has recognized that the Wrongful Death Act’s “primary intent [was] the compensation for the loss sustained by widows and children in the eventuality of the death of the family breadwinner.” Presley v. Newport Hospital,
We note, however, this case’s unique posture, which sits at a crossroads between two diverging legal principles. On one hand, we have recognized that the Wrongful Death Act is “in derogation of the common law,” which necessitates that we strictly construe its language.
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In pertinent part, § 10-7-2 provides:
“Whenever any person or corporation is found liable under §§ 10-7-1 — 10-7-4 he or she or it shall be liable in damages in the sum of not less than two hundred fifty thousand dollars ($250,000).”
Here, we decline to indulge in a rigid and technical reading of § 10-7-2. Although we acknowledge that a strict reading of the above language might arguably suggest a minimum-damages amount of $250,000 per defendant because the statute uses singular language when referencing defendants, we deem such an interpretation unreasonable. From a review of the entire statutory scheme in light of common sense, we conclude that the Legislature intended the minimum-damages provision of § 10-7-2 to apply on a per-claim — rather than per-defendant — basis.
We find further support for our statutory construction in the principle that “words importing the singular number may be extended or applied to several persons or things unless such construction would be repugnant to the context of the statute or inconsistent with the manifest intention of the legislature.” Van Arsdale, et al., 73 Am. Jur. 2d Statutes § 145 at 381 (2012); see also Public Citizen, Inc. v. Mineta,
Both the Wrongful Death Act’s focus on the act that caused the death (rather than the actors) and the statute’s general compensatory purpose reinforce this conclusion. The statute, which prioritizes compensating the deceased’s family for its loss, does not differentiate as to how many defendants caused the loss. Whether the decedent’s death was caused by one tort-feasor or multiple tortfeasors, the act’s remedial goal — and the amount of loss endured by the estate — remains the same. The plaintiffs’ proposed statutory interpretation could yield absurd results in that the estate’s loss in a wrongful-death case could depend on the number of defendants. That a decedent’s death was caused by ten defendants rather than one would produce ten times more damages despite the estate enduring an identical loss. Such a result surely was not intended by the General Assembly.
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Conclusion
Therefore, we affirm the judgment of the Superior Court. The record shall be remanded to that tribunal.
Notes
. The facts pertinent to this case are outlined at length in O'Connell v. Walmsley,
. The jury also assigned Petrarca 3 percent fault and Goffe 94 percent fault.
. O’Connell,
. We briefly pause to reference O'Sullivan v. Rhode Island Hospital,
