Evon ROMSKA, Plaintiff-Appellant,
v.
David OPPER, d/b/a Dave Opper's Excavating, Defendant-Appellee.
Court of Appeals of Michigan.
*855 Michael McNamee, Port Huron, for the plaintiff.
Garan, Lucow, Miller, Seward & Becker, P.C. (by Randolph J. Martinek and Nancy J. Bourget), Detroit, for the defendant.
Before: MARKMAN, P.J., and SAAD and HOEKSTRA, JJ.
*854 MARKMAN, P.J.
Plaintiff appeals as of right from the order of the lower court granting defendant's motion for summary disposition pursuant to MCR 2.116(C)(7) (release). We affirm.
This case arises from a May 1994 automobile accident. Plaintiff's vehicle was struck by a vehicle owned by Boyan Daskal and driven by Veliko Velikov. Defendant David Opper allegedly caused Velikov to swerve into oncoming traffic and strike plaintiff's vehicle. Without bringing suit, plaintiff filed personal injury claims with Farm Bureau Insurance, the insurer of the Velikov vehicle, and American States Insurance Company, defendant's insurance carrier. Farm Bureau discussed a "package settlement" with American States, but *856 American States was not interested. Plaintiff ultimately settled with Farm Bureau for $45,000. Plaintiff and Farm Bureau executed a standard release form, which included the following provisions relevant to this appeal:
I/we hereby release and discharge Boyan Daskal and Veliko Velikov, his or her successors and assigns, and all other parties, firms, or corporations who are or might be liable, from all claims of any kind or character which I/we have or might have against him/her or them, and especially because of all damages, losses or injuries to person or property, or both, whether developed or undeveloped, resulting or to result, directly or indirectly, from an accident which occurred on or about May 16, 1994 at [left blank] and I/we hereby acknowledge full settlement and satisfaction of all claims of whatever kind or character which I/we may have against him/her or them by reason of the above-named damages, losses or injuries.
* * *
All agreements and understandings between the parties hereto are embodied and expressed herein and the terms of this release and agreement are contractual and not a mere recital. [Emphasis supplied.]
Plaintiff was subsequently unable to negotiate a settlement with American States and filed suit against defendant. Defendant filed an answer and affirmative defenses that did not include the affirmative defense of release; however, defendant subsequently moved for summary disposition on the basis of the release entered into by Farm Bureau and plaintiff. Defendant claimed that the clear and unambiguous language of the release discharged American States from liability, too, even though there was no evidence that it had paid any consideration to plaintiff for the release from liability. The trial court subsequently permitted defendant to file amended affirmative defenses. The trial court also granted defendant's motion for summary disposition, determining that the broad language of the above release also released defendant and American States from liability. Plaintiff now appeals.[1]
Plaintiff's principal contention is that the trial court erred in granting defendant summary disposition. We disagree. This Court reviews decisions on motions for summary disposition de novo to determine if the moving party was entitled to judgment as a matter of law. Rheaume v. Vandenberg,
Because defendant clearly fits within the class of "all other parties, firms or corporations who are or might be liable," we see no need to look beyond the plain, explicit, and unambiguous language of the release in order to conclude that he has been released from liability.[2] "There cannot be any broader classification than the word `all,' and `all' leaves room for no exceptions." Calladine v. Hyster Co.,
Concerning the analysis of the dissent, we offer the following observations:
*857 First, plaintiff provided and received consideration under the release and the release, therefore, was valid. The validity of the release having been established, we are aware of no legal rule in Michigan that precludes settling parties from waiving whatever rights they choose.
Second, for at least two reasons, it is inappropriate to look to parol evidence here in determining the scope of the release: (a) the language of the release is unambiguous and thereby precludes resort to allegedly contradictory parol evidence, Meagher v. Wayne State Univ.,
Third, while the dissent describes its own rule as an "intent" rule, we would respectfully disagree. Rather, in our judgment, the common-law rule better deserves this description. The common-law rule holds that a general release of "any and all persons" unambiguously releases "any and all parties." The common-law rule holds that the language of a release should be accorded meaning. It is predicated on the intentions of the parties but, unlike the rule of the dissent, derives such intentions from the language of the release to which they have freely assented. In particular, it is hard to comprehend the dissent's description of its own rule where it refuses to give effect to the parties' own merger clause, which specifies that disputes concerning the release are to be resolved exclusively by resort to the language of the release itself.[5]
Fourth, the dissent's rule gives little credence to the possibility that, by including broad language in the release, the settling parties wanted to avoid the possibility of future legal burdens potentially arising out of lawsuits by plaintiff against third parties. As the Eighth Circuit Court of Appeals has remarked:
The defendant who originally procures the release gains nothing if the plaintiff *858 can sue other joint or concurrent tortfeasors. In such a case, the original defendant is left open to claims for contribution and/or indemnity and may wind up having to litigate the case anyway. [Douglas v. United States Tobacco Co.,
Given the conclusion of the dissent that even clear release language, coupled with a merger clause, does not afford protection against this prospect, it is hard to understand how finality could ever be achieved through a negotiated release.
Fifth, while we agree with the dissent that this is a case of "first impression" in Michigan with regard to the explicit consideration of the various rules that have evolved concerning the effect of a general release clause, we do note that there are decisions in our state that have adopted the common-law rule. In Grzebik v. Kerr,
Sixth, we also disagree with the dissent that M.C.L. § 600.2925d; MSA 27A.2925(4),[7] which is based on the Uniform Contribution Among Tortfeasors Act, *859 12 ULA 194 et seq., in any way compels the result which it reaches. At common law, release of one joint tortfeasor automatically released all joint tortfeasors. The uniform act responded to what many felt was an unfair and inflexible common-law policyone which also worked to discourage settlementsby allowing a plaintiff to settle with less than all the alleged tortfeasors without discharging claims against the remaining tortfeasors. Rather than assisting in the resolution of the instant controversy, as the dissent suggests, the uniform act addresses an opposite controversy: the release given to only one joint tortfeasor. The act specifies that such a release does not discharge all others "unless its terms so provide." The instant controversy relates to the release given to "all" tortfeasors and whether such a release, in fact, discharges "all" tortfeasors. These are distinct matters.[8] However, even if the uniform act was thought to have some application by analogy to the instant controversy, its express focus is on the specific "terms" of the release. In place of the common-law presumption that the release of one joint tortfeasor releases alla presumption that was not necessarily compatible with the language of the release itselfthe uniform act substituted a different presumption, but also made clear that this new presumption was to be subordinate to the actual language of the release itself.[9]
Seventh, there is no evidence, as the plaintiff suggests, that the release here was not "fairly and knowingly made." Denton v. Utley,
In our judgment, the rule proposed by the dissent, and admittedly adopted by some other jurisdictions, would engender uncertainty among parties to releases where currently there is none, breed opportunities for litigation where currently there are none, and erode the ability of individuals to fashion their own rules for dispute resolution free of the uncertainties of judicial intervention. Because we believe that this rule is ill-advised, and represents an unwarranted departure from traditional common-law principles in Michigan, we affirm the order of the trial court granting summary disposition for the defendant.
Plaintiff also argues that the trial court erred in permitting defendant to amend his affirmative defenses. We again disagree. This Court will not reverse a trial court's decision to grant or deny a motion to amend a pleading absent an abuse of discretion. Weymers v. Khera,
Affirmed.
SAAD, J., concurs.
HOEKSTRA, J. (concurring in part and dissenting in part).
Although I agree with the majority that the trial court did not abuse its discretion in permitting defendant to amend his affirmative defenses, I disagree with the majority's conclusion that the trial court did not err in granting defendant summary disposition. A motion under MCR 2.116(C)(7) should be granted only if no factual development could provide a basis for recovery. Rheaume v. Vandenberg,
Plaintiff's release was typed on a printed form, which merely required her to fill in the blanks for the amount of consideration she received, the names of the parties she was releasing and indemnifying, the date of the accident, and where the accident occurred. The remaining language of the release, including the integration clause at the bottom of the form, was boilerplate wording. Thus, the completed release looked like the following:
FOR THE SOLE AND ONLY CONSIDERATION OF Forty-five thousand and 00/00 Dollars ($ 45,000.00) to me/us paid, receipt of which is hereby acknowledged, I/we hereby release and discharge Boyan Daskal and Veliko Velikov, his or her successors and assigns, and all other parties, firms, or corporations who are or might be liable, from all claims of any kind or character which I/we have or might have against him/her or them, and especially because of all damages, losses or injuries to person or property, or both, whether developed or undeveloped, resulting or to result, directly or indirectly, from an accident which occurred on or about May 16, 19 94 at [left blank] and I/we hereby acknowledge full settlement and satisfaction of all claims of whatever kind or character which I/we may have against him/her or them by reason of the above-named damages, losses or injuries.
* * *
Further, I/we hereby specifically agree to indemnify and hold harmless Boyan Daskal and Veliko Velikov from any and all claims brought by or on behalf of my/our children for any claims for loss of parental society and companionship arising out of the afore-described accident. It is specifically agreed and understood that this indemnification and hold harmless agreement includes repayment of any and all attorney fees and/or costs associated with or incurred by the herein indemnified person(s) or his/her or their insurance company in the processing, administration, and actual *861 legal defense of such claims, including all court costs associated with the defense of such claims.
All agreements and understandings between the parties hereto are embodied and expressed herein and the terms of this release and agreement are contractual and not a mere recital.
According to plaintiff, her counsel and the Farm Bureau insurance adjuster had no doubt that they intended for the document to operate only to release the insureds of Farm Bureau, who had struck plaintiff's vehicle. Negotiations continued with American States, the insurer of defendant Opper, who allegedly caused Velikov to strike plaintiff's vehicle. However, American States and plaintiff could not reach a settlement agreement. Plaintiff thereafter filed the complaint in this case. On appeal, defendant contends that the above release expressly dissolves his potential liability. Defendant argues that his interpretation of the release reflects the plain meaning of the document and, under the parol evidence rule, cannot be varied by reference to extrinsic evidence.
Discharge of all potential defendants may have far-reaching consequences for an injured plaintiff. Hurt v. Leatherby Ins. Co.,
Since 1971, these rules have been labeled by courts and commentators throughout the country as (1) the "flat bar rule, which most closely resembles the common law rule" and "holds that a general release is unambiguous as a matter of law and therefore provides for a complete discharge of all potential tortfeasors from within any enumerated classes," (2) the "specific identity rule, which strays the furthest from the common law rule" and "holds that a general release is limited in its scope and will not discharge other tortfeasors unless they are specifically named in the release," and (3) the "intent rule, which applies a middle of the road approach" and "holds that extrinsic evidence should be allowed to reveal the intentions of the parties as to the scope of the general *862 release." Bass, Tort Law, The General Release Forms: Three Distinct Views, 21 Am. J. Trial Advoc. 445 (1997) (citing cases therein).
Other courts have weighed the merits and failings of these three rules and specified the line of authority they favored, albeit without a clear majority rule among them emerging. Michigan has not wholly considered these three rules,[1] and, in that regard, this case represents one of first impression for this Court. Indeed, in cases applying Michigan law, release cases concerning broad language like that of the release before this Court have produced inherently conflicting results.[2] Consequently, this case presents an opportunity in which to weigh the merits and failings of these three rules and clearly declare a map for applying Michigan law to general release cases. I opine that in analyzing whether a stranger may rely on omnibus language in a general release, only the intent rule best effects the intentions of the parties between whom the document was negotiated.
One key reason for my rejection of the flat-bar rule is that it prolongs the legacy of an ancient principle that Michigan no longer acknowledges, namely, that a plaintiff suffers only a single and indivisible wrong and, therefore, the release of one joint tortfeasor is the release of all. "Under current Michigan law, the release of one of several joint tortfeasors does not release other joint tortfeasors unless the terms of the release so provide." Lincoln v. Gupta,
When a release or a covenant not to sue or not to enforce judgment is given in good faith to 1 of 2 or more persons liable in tort for the same injury or the same wrongful death:
(a) It does not discharge any of the other tort-feasors from liability for the injury or wrongful death unless its terms so provide.
* * *
(c) It discharges the tort-feasor to whom it is given from all liability for contribution to any other tort-feasor. [MCL 600.2925d; MSA 27A.2925(4) (emphasis added).]
This statute, which was derived from § 6 of the Uniform Comparative Fault Act (UCFA),[3] 12 ULA 147, is significant in recognizing legislative intent to abolish the *863 common-law view. See generally anno: Release of one joint tortfeasor as discharging liability of others under Uniform Contribution Among Tortfeasors Act and other statutes expressly governing effect of release,
Moreover, I am convinced that fundamental fairness obligates us to reject the flat-bar rule. Certainly, the flat-bar rule is the simplest of the three rules to apply to facts such as those in this case, but that criterion should not guide this decision. As the authors of one legal treatise opined, "[t]he only desirable rule would seem to be that a plaintiff should never be deprived of a cause of action against any wrongdoer when the plaintiff has neither intentionally surrendered the cause of action nor received substantially full compensation." Prosser & Keeton, Torts (5th ed.), § 49, p. 335. Thus, the federal district court in McInnis v. Harley-Davidson Motor Co., Inc.,
This analysis does not resolve the question of which of the two remaining rules, the specific identity rule and the intent rule, is the better rule. Indeed, as decisions from across the nation confirm, the operative statutory phrase from the release-contribution statute, "unless its terms so provide," can arguably support application of either the specific identity rule or the intent rule.[4] I am persuaded that only the intent rule of interpretation *864 ensures that injured plaintiffs will not be barred from recovery because they executed releases in which they unknowingly and unintentionally discharged joint tortfeasors.
When the United States Supreme Court deliberated over whether a stranger may rely on omnibus language within a general release, it, too, chose the intent rule. In Zenith, supra at 342-343,
Because the intent rule holds that extrinsic evidence should be allowed to reveal the intentions of the parties with respect to the scope of the general release, the majority concludes that it runs afoul of the parol evidence rule, which excludes evidence of prior contemporaneous agreements that contradict, vary, or modify an unambiguous writing intended as a final and complete expression of the agreement. See UAW-GM Human Resource Center v. KSL Recreation Corp.,
While it is generally correct that an unambiguous document must be interpreted solely on the basis of the information contained within its four corners, that is not always the case. Neves v. Potter,
Resort may be had to the contract in construing the release since the parol evidence rule is usually understood to be operative only as to parties to a document, and HRI here was not a party to the release. See Stern v. Comm'r,
The Supreme Court's opinion in Zenith has provided support for other courts to take the position that parol evidence is admissible to establish whether parties intended a release to apply to a nonparty. For example, the Supreme Court of Colorado in Neves, supra at 1054, stated that "[t]his exception to the parol evidence rule accurately reflects Colorado's unsympathetic position toward parties who seek to take gratuitous advantage of an agreement when they are not parties to the agreement."[5] Similarly, in rejecting the defendant's argument that the integration clause in the release required a holding in his favor, the Oregon Court of Appeals stated, "We see no possible relevance that that provision, agreed to by the parties to the release, can have on whether parol evidence is admissible to establish whether the parties intended the release to apply to a nonparty." Brackenbrough v. MacCloskey,
In applying the intent rule to the boilerplate wording that purported to release the vast array of "all other parties, firms or corporations" in this case, the trial court should have examined the intentions of the parties to the release with the aid of extrinsic evidence and determined whether plaintiff intended to release from liability American States, the insurance company that previously expressed no interest in settling with plaintiff. Of course, in doing so, the lower court would not have been constrained to find that the parties did not intend to release American States from liability. See, e.g., Chakov v. Outboard Marine Corp.,
NOTES
[1] Plaintiff also filed a motion for reformation of release, which was denied. Plaintiff has not challenged that order.
[2] As the trial court observed, "[T]his release is clear and unambiguous on its face, it was entered into knowingly and intelligently, and it is clear that the plaintiff acknowledged full settlement and satisfaction of all of her claims that may arise out of this accident."
[3] The parol evidence rule excludes evidence of prior contemporaneous agreements, whether oral or written, which contradict, vary or modify an unambiguous writing intended as a final and complete expression of the agreement. Ditzik v. Schaffer Lumber Co.,
[4] For the narrowly drawn fraud and "incompleteness on its face" exceptions to the parol evidence rule, see 3 Corbin, Contracts, § 578, pp. 402-411, cited at UAW, supra at 494-495,
[5] We believe that the dissent further errs in describing the common-law rule as the "flatbar" ruleand we recognize that this nomenclature is borrowed from the cited academic literaturebecause the common-law rule erects a "flat bar" only when this is consistent with the language of the release itself. If the release is drawn more specifically, then the more specific language would also presumably be given respect under the common-law rule. There is no presumption in favor of a "flat bar," merely a presumption that the language selected by the parties themselves is to be treated as binding.
Notes
[6] See also Taggart v. United States,
[7] At the time applicable in this case § 2925d provided, in relevant part:
When a release or a covenant not to sue or not to enforce judgment is given in good faith to 1 or 2 or more persons liable in tort for the same injury or the same wrongful death:
(a) It does not discharge any of the other tort-feasors from liability for the injury or wrongful death unless its terms so provide. [Emphasis supplied.]
[8] The dissent cites the plurality opinion in Theophelis v. Lansing General Hosp.,
[9] The dissent cites McInnis v. Harley-Davidson Motor Co., Inc.,
[1] In Theophelis v. Lansing General Hosp.,
[2] Compare Central States, Southeast & Southwest Areas Pension Fund v. Melody Farms, Inc.,
[3] In Dep't of Transportation v. Thrasher,
A release, covenant not to sue, or similar agreement entered into by a claimant and a person liable discharges that person from all liability for contribution, but it does not discharge any other persons liable upon the same claim unless it so provides. However, the claim of the releasing person against other persons is reduced by the amount of the released person's equitable share of the obligation, determined in accordance with the provisions of Section 2. [Id. at 67-68,
[4] Courts that were uniform in finding that the common-law view had been abolished by enacting a state statute based on either the UCFA or the Uniform Contribution Among Tortfeasors Act (UCATA), 12 ULA 185, nonetheless divided in their choice between the two remaining rules.
Courts finding support for the specific identity rule include Moore v. Missouri P. R. Co.,
Courts finding support for the intent rule include McInnis v. Harley-Davidson Motor Co, Inc, supra at 957 (concluding that "if faced with this stock release containing boilerplate verbiage purporting to acquit `all persons, firms or corporations,' the Rhode Island courts would examine the intentions of the parties to the release with the aid of extrinsic evidence)"; Sellon v. General Motors Co.,
[5] See also McInnis, supra at 952; Lemke v. Sears, Roebuck & Co.,
