Rox-Ann REIFER, assignee of Donald Russo, Esquire v. WESTPORT INSURANCE CORPORATION, Appellant.
No. 13-2880.
United States Court of Appeals, Third Circuit.
Argued March 25, 2014. Filed: April 29, 2014.
751 F.3d 129
Here, although not explicitly alleged by Harris, the only procedural error he could attempt to argue is that the court did not properly consider all of the factors contained in
Harris asserted that his alcohol and drug problems were a significant part of his mental health issues. The district court correctly found that substance abuse problems, without more, do not necessarily justify a downward variance under the Guidelines.
Harris‘s sentence was also substantively reasonable. Substantive review of a district court‘s sentence “requires us not to focus on one or two factors, but on the totality of the circumstances.” Tomko, 562 F.3d at 567. Due to the district court‘s unique position as the sentencing court, “[w]e may not reverse [it] simply because we would have imposed a different sentence.” Wise, 515 F.3d at 218. Indeed, we “will affirm it unless no reasonable sentencing court would have imposed the same sentence on that particular defendant for the reasons the district court provided.” Tomko, 562 F.3d at 568. Here, in imposing the statutory maximum sentence on Harris, the district court adequately considered all of the
For these reasons, we will affirm the district court‘s sentence.
Robert P. Conlon, Esq., Christopher A. Wadley, Esq., [argued], Walker Wilcox Matousek, Chicago, IL, Mark T. Sheridan, Esq., Margolis Edelstein, Scranton, PA, Counsel for Appellant.
Deborah J. Dewart, Esq., Swansboro, NC Chester F. Dudick, Jr., Esq., Forty Fort, PA David W. Knauer, Esq., [argued], Knauer & Associates Colorado Springs, CO, Counsel for Appellee.
Before: FUENTES, GREENBERG and VAN ANTWERPEN, Circuit Judges.
OPINION
VAN ANTWERPEN, Circuit Judge.
I. BACKGROUND
Rox-Ann Reifer‘s (“Reifer“) Complaint avers the following: Reifer suffered a worker‘s compensation injury during the course of her employment at Intermediate Unit-20 (IU-20) where she provided special education to students. Her injuries
On March 18, 2008, Reifer commenced a malpractice claim against Russo in state court by Praecipe for Writ of Summons,1 which was served upon him. At the time of service, Russo carried a “claims-made” policy with Westport, which only covered losses claimed by him during the policy period or within 60 days of the policy‘s expiration. Despite this, Russo failed to inform Westport of the action. That August, Russo‘s policy lapsed and he failed to secure a replacement policy. Four months later, on December 29, 2008, Reifer filed a Complaint that was served upon Russo. Russo only then notified Westport of the claim against him.
Westport refused to defend Russo. Eventually, Russo admitted liability but the issue of damages was tried in state court. The jury awarded Reifer a judgment of $4,251,516.00 plus delay damages. Russo assigned to Reifer any rights he might have had under his legal malpractice insurance policy with Westport. On March 1, 2012, Reifer, as Russo‘s assignee, filed the instant action against Westport for a declaratory judgment pursuant to Pennsylvania‘s Declaratory Judgments Act,
In her declaratory judgment Complaint, Reifer argued that, under Pennsylvania case law and Pennsylvania Rule of Professional Conduct 1.4(c), Westport was required to show it was prejudiced by Russo‘s failure to notify it of her claim. Because Westport did not do so, Reifer argued it owed Russo a duty to defend and indemnify and requested a declaratory judgment that Westport “must pay” her judgment. (Compl.¶¶ 36-59.)
Reifer also filed another suit by Praecipe for Writ of Summons under a different case number. The summons was served but no complaint was filed.
On March 23, 2012, Westport removed the cases to federal court; no proceedings remained in state court. Westport moved to dismiss Reifer‘s action on the merits. Reifer opposed the motion and Westport replied. In response, Reifer moved to amend her Complaint, which Westport opposed. Neither party argued that the District Court should decline its discretionary jurisdiction under the Declaratory Judgment Act (“DJA“),
On May 1, 2012, the District Court sua sponte declined to exercise jurisdiction over the matter. Reifer, 943 F.Supp.2d at 508. It rejected the Magistrate‘s report and recommendation, dismissed the case without prejudice, and remanded it to the Court of Common Pleas of Lackawanna County, Pennsylvania. Id. Westport filed a Motion for Reconsideration, which the District Court denied. Reifer, 2013 WL 2650275, at *1. Westport appeals both decisions.
II. JURISDICTION
The District Court had jurisdiction pursuant to
We have jurisdiction to review “final decisions” of district courts under
As a threshold matter, we note that a remand under the DJA implicates neither a lack of subject matter jurisdiction nor a defect in removal procedure. Thus,
In Quackenbush, the Supreme Court held that an appeal is the appropriate procedural mechanism to review a remand order made pursuant to Burford abstention where the circumstances satisfy either of the alternate holdings of Moses H. Cone Memorial Hospital v. Mercury Construction Corp., 460 U.S. 1, 103 S.Ct. 927, 74 L.Ed.2d 765 (1983). Quackenbush, 517 U.S. at 712-15. First, a remand order is appealable where it effectively puts the litigants out of court so that “its effect is ‘precisely to surrender jurisdiction of a federal suit to a state court.‘” Id. at 714 (quoting Moses H. Cone, 460 U.S. at 10 n. 11). This effect is acutely felt in the context of remand orders whereby “the district court disassociates itself from the case entirely, retaining nothing of the matter on [its] docket.” Id.
Second, a remand order under the Burford abstention doctrine is appealable pur-
In Snodgrass, the Ninth Circuit held that a remand pursuant to the DJA satisfied both of these tests and was “functionally indistinguishable” from the remand order addressed in Quackenbush. 147 F.3d at 1167. We agree. The District Court‘s remand order surrenders to the state court jurisdiction to declare whether Westport‘s policy covered Reifer‘s legal malpractice claim against Russo. It denies Reifer and Westport access to the federal forum, placing them “effectively out of court.” Quackenbush, 517 U.S. at 714 (quoting Moses H. Cone, 460 U.S. at 10 n. 11). Additionally, it “conclusively determines an issue that is separate from the merits,” namely, whether the District Court should decline to exercise jurisdiction over Reifer‘s declaratory judgment action. Id. This decision is not reviewable on appeal from any final judgment eventually entered by the state court. Finally, we agree with our sister circuit that the propriety of a district court‘s discretionary decision to decline to exercise jurisdiction under the DJA “is too important to be denied review.” Snodgrass, 147 F.3d at 1166; see, e.g., State Auto Ins. Cos. v. Summy, 234 F.3d 131, 136 (3d Cir.2000) (emphasizing the duties of district courts in deciding whether to exercise jurisdiction over insurance coverage cases under the DJA). Because it is “functionally indistinguishable” from the remand order found appealable in Quackenbush, we hold that a remand order pursuant to a decision to decline jurisdiction under the DJA is a “final decision” under
III. DISCUSSION
Westport presents two main issues for consideration: (1) whether the DJA, the authority by which the District Court declined to exercise jurisdiction, applies; and (2) if so, whether the District Court abused its discretion in declining jurisdiction.
A. The DJA applies.3
Under the DJA, courts “may declare the rights and other legal relations of any interested party seeking such declaration, whether or not further relief is or could be sought.”
Westport claims that the District Court did not have discretion to decline jurisdiction because the requirements for diversity jurisdiction were satisfied and the DJA did not apply. It argues that, although Reifer‘s claim was couched in terms of a declaratory judgment, it was in reality a suit which sought a judgment compelling Westport to pay money damages.5 To Westport, the timing of the state court judgment establishing Russo‘s liability is crucial. Because Russo‘s liability had already been established, the declaratory judgment action was not prospective. Rather, Reifer‘s complaint simply sought a declaratory judgment that Westport “must pay” the damages already awarded to her. (See Compl. ¶¶ 82-88.) Because “[t]here is no meaningful difference between a complaint seeking a declaration that a defendant ‘must pay’ damages and a complaint seeking to recover such damages,” Westport contends Reifer‘s claim is legal in nature, not declaratory. (Brief of the Appellant (“Appellant Br.“) at 20-21.) Thus, Westport argues, the District Court had
The District Court rejected this argument, finding that the instant case was precisely a declaratory judgment action. Reifer wants the [District Court] to declare that Donald P. Russo, Esquire was covered by the malpractice insurance policy issued by Westport at the time he committed legal malpractice. Westport wants the undersigned to declare that Russo was not covered by the policy issued at that time. The award of damages has, of course, already been rendered by the Court of Common Pleas of Northampton County. The [District Court] is not being asked to award damages against Westport; [it] is instead merely being asked to determine if Russo was or was not covered under his legal malpractice insurance policy at the time he committed legal malpractice. Reifer, 2013 WL 2650275, at *2.7
We agree that the DJA applies because in reality Reifer sought only a declaratory judgment. While Reifer‘s Complaint admittedly uses the words “must pay,” in substance it requests a declaration that Russo was covered by the policy. Specifically, Reifer sought a declaration that, because Westport never showed that it was prejudiced by Russo‘s late notice, Russo was covered by Westport‘s policy at the time he reported Reifer‘s claim. As the District Court noted, it was not being asked to award damages; both parties well knew that damages had already been awarded in state court. Id. Westport‘s own filings indicate that the primary question was one of coverage, (Appendix (“App.“) at 97 (“This is an insurance action in which Rox-Ann Reifer seeks coverage for a legal malpractice claim.... Ms. Reifer‘s claim is not covered....“)), a common issue in declaratory judgments. See Allstate Ins. Co. v. Seelye, 198 F.Supp.2d 629, 631 (W.D.Pa.2002) (noting the “all too common case” of insurance companies using diversity jurisdiction to seek declarations on purely state law matters). Additionally, Reifer‘s status as Russo‘s assignee undercuts Westport‘s argument. In Westport‘s own words, “it cannot be disputed that Ms. Reifer ‘stands in Mr. Russo‘s shoes’ for purposes of pursuing coverage under the policy.” (App. at 188 (emphasis added).)
Moreover, simply because additional recovery would likely flow to Reifer as a result of a declaration in her favor does not preclude applicability of the DJA. Courts “may” grant declaratory judgments “whether or not further relief is or could be sought.”
B. The District Court did not abuse its discretion.
The instant case raises the question of the “outer boundar[y]” of a district court‘s discretion under the DJA, specifically whether a district court may decline jurisdiction over a declaratory judgment action when “there are no parallel state proceedings.” Wilton v. Seven Falls Co., 515 U.S. 277, 290, 115 S.Ct. 2137, 132 L.Ed.2d 214 (1995).9 It also presents an opportunity to help clarify this area of the law as many of our sister circuits have done. We ultimately conclude that declining to exercise jurisdiction over the instant case was not an abuse of discretion by the District Court because Reifer raises issues of state law peculiarly within the purview of the Pennsylvania court system which are better decided by that system.
1.
As a threshold matter, we must first address the appropriate standard of review, which the parties dispute. Invoking our holding in Exxon Corp. v. FTC, 588 F.2d 895, 900 (3d Cir.1978), Westport argues for heightened abuse of discretion review. There, we noted that due to our traditionally “liberal interpretation” of the DJA, “the ambit of the district court‘s discretion is somewhat circumscribed and the range of our review is correspondingly enlarged.” Id. (citing Simmonds Aerocessories v. Elastic Stop Nut Corp. of Am., 257 F.2d 485, 489 (3d Cir.1958); Dewey &
Subsequently, the Supreme Court in Wilton held that “district courts’ decisions about the propriety of hearing declaratory judgment actions ... should be reviewed for abuse of discretion.” 515 U.S. at 289-90, 115 S.Ct. 2137. In rejecting de novo appellate review of district courts’ exercise of DJA discretion, the Court reasoned it to be “more consistent with the statute to vest district courts with discretion in the first instance, because facts bearing on the usefulness of the declaratory judgment remedy, and the fitness of the case for resolution, are peculiarly within their grasp.” Id. at 289, 115 S.Ct. 2137. Since Wilton, this Court has applied Wilton‘s teachings rather than the standard articulated in Exxon Corp. See, e.g., Summy, 234 F.3d at 134.
The “closer scrutiny” required by Exxon Corp. and our subsequent case law expanding upon this “caveat” are irreconcilable with the Supreme Court‘s emphasis on traditional abuse of discretion review. To the extent that Exxon Corp. requires us to apply a standard of review more stringent than that articulated by the Supreme Court, we must deem it as overruled.10 We review a district court‘s decision to grant or withhold a declaratory judgment for abuse of discretion. Wilton, 515 U.S. at 289-90, 115 S.Ct. 2137; see also Summy, 234 F.3d at 134. Nevertheless, as discussed below, this does not
2.
Under the DJA, “any court of the United States ... may declare the rights and other legal relations of any interested party.”
Although an exercise of discretion must be “sound,” the Supreme Court has otherwise framed DJA discretion in broad terms: “[T]he propriety of declaratory relief in a particular case will depend upon a circumspect sense of its fitness informed by the teachings and experience concerning the functions and extent of federal judicial power.” Id. at 287, 115 S.Ct. 2137 (quoting Pub. Serv. Comm‘n of Utah v. Wycoff Co., 344 U.S. 237, 243, 73 S.Ct. 236, 97 L.Ed. 291 (1952)). Rather than being subject to the “normal principle that federal courts should adjudicate claims within their jurisdiction,” district courts exercising DJA discretion are governed by “considerations of practicality and wise judicial administration.” Id. at 288, 115 S.Ct. 2137.
Over seventy years ago, the Supreme Court in Brillhart discussed relevant considerations for a district court‘s sound exercise of discretion in a particular factual circumstance, namely, where “another proceeding was pending in a state court in which all the matters in controversy between the parties could be fully adjudicated.” 316 U.S. at 495, 62 S.Ct. 1173. The Court reasoned that the existence of such proceedings was relevant because
[o]rdinarily it would be uneconomical as well as vexatious for a federal court to proceed in a declaratory judgment suit where another suit is pending in a state court presenting the same issues, not governed by federal law, between the same parties. Gratuitous interference with the orderly and comprehensive disposition of a state court litigation should be avoided.
Id. The Court enumerated specific factors for courts to consider in such circumstances,11 but was careful to make clear that its list was non-exhaustive. Id. (“We do not now attempt a comprehensive enumeration of what in other cases may be revealed as relevant factors governing the exercise of a district court‘s discretion.“).
Brillhart and Wilton stand for at least two broad principles: (1) that federal courts have substantial discretion to decide whether to exercise DJA jurisdiction, and (2) that this discretion is bounded and reviewable. Accordingly, this Circuit has acknowledged the DJA‘s grant of discretion while cautioning that “what is granted is an opportunity to exercise a reasoned discretion.” Bituminous Coal Operators’ Assoc. v. Int‘l Union, United Mine Workers of Am., 585 F.2d 586, 596 (3d Cir.1978), abrogated on other grounds by Carbon Fuel Co. v. United Mine Workers of Am., 444 U.S. 212, 100 S.Ct. 410, 62 L.Ed.2d 394 (1979). Thus, over the years we have enumerated factors for district courts to consider when exercising DJA discretion. We have required district courts to consider four general factors:
- the likelihood that a federal court declaration will resolve the uncertainty of obligation which gave rise to the controversy;
- the convenience of the parties;
- the public interest in settlement of the uncertainty of obligation; and
- the availability and relative convenience of other remedies.
Pa., Dep‘t of Envtl. Res., 923 F.2d at 1075 (citing Terra Nova Ins. Co. v. 900 Bar, Inc., 887 F.2d 1213, 1224 (3d Cir.1989); Bituminous Coal Operators’ Assoc., 585 F.2d at 596). We have also suggested that courts “seek to prevent the use of the declaratory action as a method of procedural fencing, or as a means to provide another forum in a race for res judicata.” Terra Nova, 887 F.2d at 1225 (quoting 6A J. Moore, J. Lucas & G. Girtheer, Jr., Moore‘s Federal Practice ¶ 57.08[5], at 57-50 (2d ed.1987)).
Finally, in the insurance context, we have “suggested relevant considerations” for whether a court must decline jurisdiction under the DJA:
- A general policy of restraint when the same issues are pending in a state court;
- An inherent conflict of interest between an insurer‘s duty to defend in a state court and its attempt to characterize that suit in federal court as falling within the scope of a policy exclusion;
- Avoidance of duplicative litigation.
Summy, 234 F.3d at 134 (quoting Pa., Dep‘t of Envtl. Res., 923 F.2d at 1075).12
Summy provided other guidance as well. It concluded that when applicable state law is “uncertain or undetermined, district courts should be particularly reluctant” to exercise DJA jurisdiction. Id. at 135. Rather, the proper relationship between federal and state courts requires district courts to “step back” and permit state courts to resolve unsettled state law matters. Id. at 136. It found that “the state‘s interest in resolving its own law must not be given short shrift simply because [parties] perceive some advantage in the federal forum.” Id. Moreover, “[w]hen the state law is firmly established, there would seem to be even less reason for the parties to resort to the federal courts. Unusual circumstances may occasionally justify such action, but declaratory judgments in such cases should be rare.” Id.
Additionally, Summy concluded that federal courts should decline jurisdiction where “doing so would promote judicial economy by avoiding duplicative and piecemeal litigation.” Id. at 135. It also noted that such insurance cases lack a federal question or interest. Id. at 136. Finally, Summy found that district courts should weigh a party‘s “vigorous objection” to the district court‘s assumption of jurisdiction. Id.
3.
Of course, Summy involved the existence of a pending state court case involving the same issue. Id. at 131. We have never squarely addressed the contours of DJA discretion in the absence of pending parallel state proceedings. Facing this open question, our district courts have applied Summy with varying results.
In the instant matter, the District Court declined jurisdiction sua sponte, citing the “trend” of federal district courts in Penn-
Westport advances multiple arguments contending that the District Court abused its discretion. First, it argues that the three Summy factors enumerated above, which it claims “are controlling,” are not implicated in this case. (Appellant Br. 24-26, 28.) The issues are not pending in state court; there is no conflict between Westport‘s duty to defend, if any, and its claim of non-coverage; and there is no risk of duplicative litigation. Westport also argues that, because the District Court declined jurisdiction a year after removal, and after the Magistrate Judge issued a 39-page ruling, considerations of judicial economy and fairness militate toward exercising jurisdiction. Additionally, Westport contends that the issue of Pennsylvania law raised by Reifer‘s claim is well settled and that the District Court was sufficiently equipped to apply it.15
Finally, Westport argues that Owens was incorrectly decided and that the District Court abused its discretion in following its lead. The “trend” identified by the District Court is instead a “misappli[ca]tion] of Summy,” whereby district courts “dismiss, by rote, declaratory judgment suits involving insurance coverage without considering the particular facts of cases in light of the Summy factors.” (Reply Brief of the Appellant (“Appellant Reply Br.“) at 11.) Westport reads Summy only to apply when “a state court is poised to apply its law in a related proceeding and the federal court has no interest of its own.” (Id. at 12.) Thus, it concludes, Summy‘s three factors “pertain to situations in which related proceedings are or may be brought in state court.” (Id.)
Consequently, Westport contends that, in the absence of pending parallel state proceedings, “the district court should proceed to resolve the parties’ dispute, even in the absence of a federal question or interest.”16 (Appellant Br. at 29.) Specifically,
Westport‘s arguments and the District Court‘s decision require us to resolve two issues: (1) the effect on a district court‘s DJA discretion of the absence of pending parallel state proceedings, and (2) assuming the district court maintains discretion in such circumstances, the scope of that discretion.
4.
We have previously noted that, pursuant to Brillhart, “the mere existence of a related state court proceeding” does not require a district court to decline to exercise jurisdiction under the DJA. Pa., Dep‘t of Envtl. Res., 923 F.2d at 1075 (citing Brillhart, 316 U.S. at 495, 62 S.Ct. 1173). We have not yet addressed the related question of whether the mere non-existence of pending parallel state court proceedings requires the district court to exercise its jurisdiction and hear the case under the DJA. The Supreme Court and this Circuit have long noted the importance of pending parallel state proceedings as a consideration in a district court‘s exercise of jurisdictional discretion under the DJA. E.g., Brillhart, 316 U.S. at 494, 62 S.Ct. 1173; Terra Nova, 887 F.2d at 1224. Despite this focus, no binding authority has held that a district court has no—or less—discretion to decline jurisdiction in the absence of such proceedings.18 Brillhart and Wilton only discussed DJA discretion in the context of pending parallel state proceedings because that is the factual context with which they were faced. Thus, they illustrate only one application of DJA discretion to a fact pattern that included the existence of parallel state proceedings. They do not stand for the proposition that DJA discretion has no life beyond the circumstances to which they applied it. See Wilton, 515 U.S. at 288 n. 2, 115 S.Ct. 2137 (suggesting that pendency of a state proceeding is but one ground upon which jurisdiction may be declined); Brillhart, 316 U.S. at 495, 62 S.Ct. 1173 (“We do not now attempt a comprehensive enumeration of what in other cases may be revealed as relevant factors governing the exercise of a district court‘s discretion.“).
Many of our sister circuits have addressed this issue and explicitly held that the existence or non-existence of pending parallel state proceedings is but one factor
In light of the foregoing authorities, we conclude that it is not a per se abuse of discretion for a court to decline to exercise jurisdiction when pending parallel state proceedings do not exist. Nor is it a per se abuse of discretion for a court to exercise jurisdiction when pending parallel state proceedings do exist. Rather, the existence or non-existence of pending parallel state proceedings is but one factor for a district court to consider. We concur with the Fourth Circuit that holding otherwise would “be inconsistent with our longstanding belief that district courts should be afforded great latitude in determining whether to grant or deny declaratory relief.” Ind-Com Elec. Co., 139 F.3d at 423.
Although our sister circuits have found the existence or non-existence of pending parallel state proceedings only to be but one factor, they have placed upon it increased emphasis. E.g., Scottsdale Ins. Co., 426 F.3d at 997-98 (holding that DJA discretion is diminished in absence of parallel state proceedings); Sherwin-Williams Co., 343 F.3d at 394 (absence of parallel state proceeding is “important factor,” which weighs “strongly against dismissal“); Ind-Com Elec. Co., 139 F.3d at 423 (existence of state proceeding is “significant factor“); Golden Eagle Ins. Co., 103 F.3d at 754 (existence of parallel state proceeding is “major factor“). We agree and believe the absence of pending parallel state proceedings militates significantly in favor of exercising jurisdiction, although it alone does not require such an exercise. In this circumstance, as part of exercising sound and reasoned discretion, district courts declining jurisdiction should be rigorous in ensuring themselves that the lack of pending parallel state proceedings is outweighed by opposing factors. This same rationale applies when state proceedings do exist. The existence of pending parallel state proceedings militates signifi-
5.
When addressing this question, our sister circuits have commonly articulated anew or reiterated sets of factors for district courts to consider when exercising their sound and reasoned discretion.20 See, e.g., Scottsdale Ins. Co., 426 F.3d at 998-99 (collecting cases). We find that
Thus, when determining whether to exercise DJA jurisdiction, in addition to consulting the Brillhart factors,21 a district court should guide its exercise of sound and reasoned discretion by giving meaningful consideration to the following factors to the extent they are relevant:
- the likelihood that a federal court declaration will resolve the uncertainty of obligation which gave rise to the controversy;
- the convenience of the parties;
- the public interest in settlement of the uncertainty of obligation;
- the availability and relative convenience of other remedies;
- a general policy of restraint when the same issues are pending in a state court;
- avoidance of duplicative litigation;
- prevention of the use of the declaratory action as a method of procedural fencing or as a means to provide another forum in a race for res judicata; and
- (in the insurance context), an inherent conflict of interest between an insurer‘s duty to defend in a state court and its attempt to characterize that suit in federal court as falling within the scope of a policy exclusion.22
These factors are non-exhaustive, and there will be situations in which district courts must consult and address other relevant case law or considerations.23 For
Enumerating these factors requires us to address the Owens trend followed by the District Court. This trend could be problematic for two reasons. First, there is nothing to distinguish these cases from any other declaratory judgment action that invokes diversity jurisdiction and asks federal courts to declare the rights of parties under settled state law. Placing our imprimatur on this exercise of discretion might on its face appear to permit declining jurisdiction per se in every such case. We are less than confident that wholesale, “revolving door” dismissal of such cases evidences a discretion that is either “sound,” Wilton, 515 U.S. at 286, 115 S.Ct. 2137, or “reasoned,” Bituminous Coal Operators’ Assoc., 585 F.2d at 596. See, e.g., Vulcan Materials Co. v. City of Tehuacana, 238 F.3d 382, 390 (5th Cir.2001) (finding abuse of discretion where district court failed to consider relevant factors and dismissed declaratory judgment suit “simply because it [did] not involve a question of federal law” (quoting St. Paul Ins. Co. v. Trejo, 39 F.3d 585, 591 n. 10 (5th Cir.1994))). This is especially true where “[f]ederal and state courts are equally capable of applying settled state law to a difficult set of facts.” Heritage Farms Inc. v. Solebury Twp., 671 F.2d 743, 747 (3d Cir.1982) (quoting Note, Land Use Regulation, the Federal Courts and the Abstention Doctrine, 89 Yale L.J. 1134, 1143 n. 55 (1980)).
Second, these cases implicate neither an improper use of procedure by insurance companies nor unfairness to insureds. While we sympathize with our district courts’ apparent frustration over the volume of such cases, we, like our sister circuit, “know of no authority for the proposition that an insurer is barred from invoking diversity jurisdiction to bring a declaratory judgment action against an insured on an issue of coverage.” Dizol, 133 F.3d at 1225 (quoting Aetna Cas. & Sur. Co. v. Merritt, 974 F.2d 1196, 1199 (9th Cir.1992)); see also Sherwin-Williams Co., 343 F.3d at 398-400. Indeed, we know of no other circuit court which has approved the per se dismissal of declaratory judgment actions in these circumstances. Rather, as noted above, when pending parallel state proceedings do not exist, our sister circuits have articulated extensive, multi-factor tests for district courts to consider. See, e.g., Scottsdale Ins. Co., 426 F.3d at 998-99 (collecting cases).
These concerns do not conflict with our holding in Summy. Despite our statements noting that such cases have “no special call on the federal forum” and that even less reason for federal jurisdiction exists when state law is “firmly established,” Summy‘s holding specifically turned on considerations relevant to the pending state court suit. 234 F.3d at 135-36.
We reject any reading of Summy that supports per se automatic declining of jurisdiction in every such case. On the other side of the coin, we also reject Westport‘s argument to the extent that it implies that, when Summy‘s factors are not implicated, a district court must exercise its DJA jurisdiction. As our non-exhaustive, multi-factor test makes clear, there are many potential considerations that properly inform a district court‘s sound and reasoned discretion.
6.
Reifer argues that her claims raise “critical issues of state law and public policy that should be decided by Pennsylvania state courts.” (Brief of Appellee at 19.) She contends that the instant case exemplifies Pennsylvania‘s “broken state system,” which “[o]nly the state can repair.” (Id.) She notes that Russo‘s negligence deprived her of her livelihood, and that his failure to notify Westport of her claim will deprive her of a remedy unless Westport is required to show prejudice. Reifer‘s argument proceeds in five steps:
- Regulation of the practice of law is a matter of state law and the Pennsylvania Supreme Court “has inherent and exclusive power” to supervise attorney conduct, which it does by promulgating governing rules. (Id. at 19-20 (quoting
Pa. R.D.E. 103 ).) - Pennsylvania Rule of Professional Conduct 1.4(c) requires attorneys to disclose publically whether they maintain the mandatory minimum coverage and notify existing clients if their coverage falls below the minimum or lapses.
- These mandatory disclosures induce reasonable reliance on the belief that the public is protected against attorney malpractice.
- Claims-made policies are the only legal malpractice insurance policies available in Pennsylvania and, under current Pennsylvania law, insurers need not show prejudice before denying claims not made during the policy period.
- Thus, the protection the Pennsylvania Supreme Court intends Rule 1.4(c) to provide is illusory because a negligent attorney can commit malpractice and fail to report a malpractice claim, both harming the client and the client‘s prospect of recovery. This is true even if the attorney had malpractice insurance during the representation and when the malpractice claim was filed.
Reifer argues that Pennsylvania can and should fix this system by requiring insurance companies to cover late claims unless they can show prejudice. She contends that doing so would be a logical next step in Pennsylvania jurisprudence. For example, she invokes Brakeman v. Potomac Insurance Co., 472 Pa. 66, 371 A.2d 193 (1977), in which the Pennsylvania Supreme Court—for public policy reasons, among others—required insurance companies to show prejudice when tardily notified of claims pursuant to occurrence contracts. 472 Pa. 66, 371 A.2d at 198 n. 8. She admits that Pennsylvania courts have never applied Brakeman to claims-made policies such as the one in question here, but contends that protecting the public requires doing so.
Westport frames the case as a mundane question of insurance coverage. It argues that remand was inappropriate, in part,
While we express no opinion on the merits of Reifer‘s claim, we believe that, at minimum, she makes a nonfrivolous argument for possibly carving an exception to governing Pennsylvania law in the context of legal malpractice insurance contracts. Federal courts are, of course, perfectly capable of applying state law, Heritage Farms Inc., 671 F.2d at 747, even where nonfrivolous arguments are raised to change it; however, we believe this particular case is best decided in the state court system. Importantly, Reifer‘s argument implicates the policies underlying Pennsylvania‘s rules governing attorney conduct, which are promulgated by the Pennsylvania Supreme Court. See, e.g., Beyers v. Richmond, 594 Pa. 654, 937 A.2d 1082, 1090 (2007). Reifer‘s argument unmasks a potentially unintended and unforeseen consequence arising out of the nexus of those Rules and Pennsylvania insurance law, which places in the hands of negligent attorneys the responsibility of ensuring their clients receive a remedy. Reifer raises a legitimate concern that current Pennsylvania insurance law permits the fox to guard the henhouse and hinders realization of the Pennsylvania Supreme Court‘s intent. Thus, we believe her argument—whatever its merits—is best decided in the Pennsylvania court system because it directly raises a matter peculiarly within the purview of that state‘s highest court.24
Among other reasons, the District Court declined jurisdiction “[f]or the sake of comity.” Reifer, 943 F.Supp.2d at 511. It noted the importance of respecting the ability of the Pennsylvania court system “to enforce its own judgments decided by its own Courts of Common Pleas.” Reifer, 2013 WL 2650275, at *2. We would have preferred the District Court to squarely address the alleged novelty of Reifer‘s state law claims, an argument she raised below. In the future, district courts should meaningfully consider the guidance discussed above when relevant, as well as any other relevant considerations in their exercise of sound and reasoned discretion. But under these circumstances we find that neither the parties nor judicial efficiency would benefit from a remand where we take issue with the District Court‘s procedures but not its result. We find that the issues raised place this case peculiarly within the purview of the Pennsylvania courts and that the District Court‘s discretionary decision achieved the proper result: declining jurisdiction and remanding to the state court.25
IV. CONCLUSION
For the foregoing reasons, we affirm the decisions of the District Court to decline DJA jurisdiction and to deny reconsideration.
VAN ANTWERPEN
CIRCUIT JUDGE
