Lead Opinion
Pursuant to M.R.Civ.P. 72(c),
In December 1987, the plaintiffs filed a claim for property damage and loss of income with the DEP pursuant to the Oil Discharge Prevention and Pollution Control Act, 38 M.R.S.A. §§ 541-560 (1964 & Supp. 1989), and the Underground Oil Storage Facilities and Ground Water Protection Act, 38 M.R.S.A. §§ 561 to 570-G (1964 & Supp.1989) (the Acts), alleging that leaking gasoline tanks on Winslow’s property had contaminated their property. In February 1989, the plaintiffs filed the present action against Winslow in the Superior Court alleging trespass, nuisance and negligence and seeking damages for physical and emotional injuries and injuries to their property claimed to have been suffered as a result of the leaking gasoline tanks. Winslow filed a motion to dismiss the plaintiffs’ complaint on the grounds that the plaintiffs’ previously filed claim before the DEP sought recovery for the same damages and that the exclusivity provisions of the Acts, sections 551(2)(D) and 569(2-A)(E),
After a hearing,
We have repeatedly stated that the report of a question of law prior to the final disposition of a case by the trial court is a departure from the final judgment rule barring piecemeal appeals and should be used only on extraordinary occasions. Accordingly, we retain the power to make our own independent determination whether in all the circumstances of a given case our decision on a report would be consistent with our basic function as an appellate court and we would not be cast in the role
Viewing the present report in the light of these policy considerations, we conclude that the procedure of report is an improper method for deciding the constitutional issue presented. The plaintiffs have yet to establish by either the DEP proceeding or the action in the Superior Court that the alleged contamination occurred or that Winslow was responsible for the contamination. To prevail in their claim for personal injuries, the plaintiffs must establish these two facts. If the plaintiffs are successful in doing so, they can then challenge the interlocutory ruling. If at the trial of this matter, Winslow is absolved of liability for the plaintiffs’ claimed personal injuries, the plaintiffs will be precluded from asserting their common law claim for property damage. Here, as in Matheson, the constitutional issue posed is in the abstract and the possibility is evident that but for the report by the Superior Court this case and its constitutional question would never reach this court.
The entry is:
Report discharged. Remanded to the Superior Court for further proceedings.
McKUSICK, C.J., and ROBERTS and WATHEN, JJ., concur.
Notes
. M.R.Civ.P. 72(c) provides:
(c) Report of Interlocutory Rulings. If the court is of the opinion that a question of law involved in an interlocutory order or ruling made by it in any action in the Superior Court ought to be determined by the Law Court before any further proceedings are taken therein, it may on motion of the aggrieved party report the case to the Law Court for that purpose and stay all further proceedings except such as are necessary to preserve the rights of the parties without making any decision therein.
.After the complaint in the instant case was filed in the Superior Court, we note that P.L. 1989, ch. 865, § 16, effective July 1, 1990 under an emergency preamble, repealed the exclusivity provision contained in the Underground Oil Storage Facilities and Ground Water Protection Act, 38 M.R.S.A. § 569(2-A)(E), and added a new provision, § 569(2-A)(G), expressly declaring that the third-party damage remedies under that Act were nonexclusive. P.L.1989, ch. 890, § B-148, effective July 14, 1990, without referring to P.L.1989, ch. 865, reenacted the Act with the original exclusivity provision intact. The exclusivity provision in the Oil Discharge Prevention and Pollution Control Act, 38 M.R.S.A. § 551(2)(D), remains unchanged. See P.L.1989, ch. 890, § B-117.
. Winslow conceded at the hearing on his motion to dismiss that the Acts, which address only property damage and loss of income claims, could not preempt the plaintiffs' common law action for personal injuries. See 38 M.R.S.A. §§ 551(2), 569(2-A) (1964).
. The court stated that because the facts of this case did not present the issue, it need not address whether a property damage claim filed in the Superior Court and seeking a jury trial without a previous claim having been presented to the DEP would be precluded by the exclusivity provisions of the Acts.
Dissenting Opinion
dissenting.
I respectfully dissent. Ip my opinion, this case is a proper one for interlocutory report. I would reach the constitutional question the Court declines to address.
I.
We have considerable discretion in considering issues raised on interlocutory report. See Laverdiere v. Marden,
Judicial restraint and maintaining our appellate function, the primary reasons for the Court’s decision not to consider the present question, are prudential considerations. They can be, and have on occasion been, overcome by competing considerations. Compare Toussaint v. Perreault,
While we must always be vigilant in our efforts to avoid issuing advisory opinions, we have entertained a broad spectrum of
The Court relies on the possibility that a trial of the personal injury issues remaining in this case after the Superior Court’s partial dismissal might resolve factual issues against the plaintiffs, such that the case would not reach us on appeal. We do not require the discharge of every question on report when the case might be finally disposed of by a jury verdict. See, e.g., Gendron v. Pawtucket Mut. Ins. Co.,
One of two things is now likely to happen. Either the plaintiffs will dismiss their outstanding personal injury claims pursuant to M.R.Civ.P. 41(a)(2), so as to have an appealable final judgment on the issues now presented, or they will proceed to trial on the outstanding personal injury issues. Upon the entry of final judgment, they will again have the ability to appeal, assuming they can establish contamination and the defendants’ responsibility. In either case, the process will needlessly consume judicial resources, without altering the issues before us.
The question presented in this report is one we have not previously considered, and is of significant importance, governing what forum is available for plaintiffs seeking compensation for oil spill contamination. I respectfully disagree with the Court’s refusal to consider this issue on interlocutory report on the basis that the plaintiffs may be unable to establish at trial that the contamination occurred or that the defendant was responsible.
II.
The Superior Court refused to read the Acts as abrogating trespass, nuisance, and negligence actions within the scope of their coverage, in light of the maxim that legislation in derogation of the common law must be narrowly construed. But this maxim is inapposite here. Both statutes contain an explicit rule of liberal construction:
This subchapter, being necessary for the general welfare, the public health and the public safety of the State and its inhabitants, shall be liberally construed to effect the purposes set forth under this subchapter.
38 M.R.S.A. § 557 (1989 & Supp.1990).
III.
Applying the maxim of statutory construction that, where two interpretations are possible, the proper construction of a statute is the one that renders the statute
Any person, claiming to have suffered damages to real estate or personal property or loss of income directly or indirectly as a result of a discharge of oil ... may apply within 6 months after the occurrence of such discharge to the commissioner stating the amount of damage alleged to be suffered as a result of such discharge.
38 M.R.S.A. § 551(2) (1989 & Supp.1990) (emphasis added).
A more appropriate reading is that the Legislature intended by the use of the word “may” to create a right, not to require an election. Perhaps “is entitled to” would have been more precise, but “may” is sufficient, since what is being conferred is a right, not a duty. See R. Dickerson, The Fundamentals of Legal Drafting § 9.4 at 213-14 (2d ed. 1986). The use of the word “may,” without more, does not necessarily imply an election of remedies.
The Superior Court relied also on the set-off provisions in each statute. The Oil Discharge Act provides that “[a]wards ... shall not include any amount which the claimant has recovered, on account of the same damage, by way of settlement with or judgment of the federal courts against the person causing or otherwise responsible for the discharge.” 38 M.R.S.A. § 551(2)(E) (1989 & Supp.1990). This provision is necessary because in some cases there exists a federal right of action and the Legislature, although unable to preempt federal law, can prevent an unfair double recovery. “The forum provided by the Act ... is intended to be the ‘exclusive’ state forum for resolving damage claims from oil spills.” ^ Portland Pipe Line Corp.,
IV.
I find it unnecessary to adopt the Superi- or Court’s construction of the exclusivity provisions of the two Acts as mandating a voluntary election of remedies, because I disagree with the Superior Court’s premise that the exclusivity provisions would violate jury trial rights under article I, section 20 of the Maine Constitution
The Superior Court followed our most recent articulation of the proper test for a jury trial right under article I, section 20 of the Maine Constitution, as put forth in City of Portland v. DePaolo,
In State v. Anton,
DePaolo overruled Anton without citing it.
If an action is civil in nature, exclusively seeking a money recovery, the parties are entitled to a jury trial even if that type of action was unknown at the time the Maine Constitution was adopted, unless at the time the Maine Constitution was adopted that action or its pre-1820 analogue was not tried to a jury either in the first instance or on an appeal. We today overrule any intimations or statements in our earlier cases that are incompatible with the broad view of the guarantee of a jury trial in civil cases contained in article I, section 20 of the Maine Constitution.
In my view, it does not, because I read the word “cases” in the exception to refer directly to the term “civil suits.” So understood, article I, section 20 does not forbid the Legislature to create new tribunals to administer new remedies; instead, the import of the exception is to save from the effect of the “plain and broad” language of the preceding clauses those actions, such as flowage or eminent domain, which were arguably within the scope of the term “civil suits” as then understood, but which were tried without a jury prior to 1820.
If it does, however, then DePaolo calls into question, among other things, the constitutionality of the Workers’ Compensation Act.
Even the most zealous advocates of jury trial rights have stopped short of such an interpretation; for instance, one article written largely in anticipation of the De-Paolo case specifically suggested that jury trial rights are inapplicable to “newly established rights and remedies or inherently administrative matters ... properly assigned to administrative bodies.” Petrucelli & McKay, The Right to Jury Trial Under the Maine Constitution, 1 Maine B.J. 240, 245-46 (1986). We should not lightly suggest the possibility that a workers’ compensation litigant is entitled to demand a jury trial, thereby increasing the cost and delay associated with the resolution of such claims.
If applied to a case like this one, DePao-lo sets up a test for entitlement to jury trial that I find too restrictive of the Legislature’s ability to commit new kinds of problems to specialized tribunals administering new remedies unknown to the common law. Such a specialized tribunal may bring to bear a technical expertise not necessarily to be found in the courts. I suggest that we should take this occasion to consider whether DePaolo affects the Legislature’s ability to address new problems with new remedies and tribunals. We would do well to remember that commitment of remedial power, even to the courts of this state, is by legislative act.
I would entertain the report and give the Acts their plain meaning, finding no conflict with jury trial rights.
. In Portland Pipe Line Corp., the question was whether the Oil Discharge Act unconstitutionally denied a jury trial to those responsible for oil spills. We construed the Act to require a jury trial, not at the stage of the arbitration of the third-party claim, but in the reimbursement proceeding against the responsible party, and, as so construed, not to violate jury trial rights.
. Section 570-G is substantially similar.
. Section 569(2-A) is substantially similar.
. Me.Const. art. I, § 20 states in pertinent part: “In all civil suits, and in all controversies concerning property, the parties shall have a right to a trial by jury, except in cases where it has heretofore been otherwise practiced ..."
Contrary to the appellants’ assertions, the "controversies concerning property" clause has no application to this case. Cf. Ingram v. Maine Water Co.,
. Thus, for example, in Portland Pipe Line Corp. we labelled the money damages proceedings at issue in Ingram as "equitable” but the trust fund supervision provisions at issue in Portland Pipe Line Corp. as “legal.” Id. at 29. Cf. also Bean v. Central Maine Power Co.,
. For a criticism of this aspect of our decision in DePaolo, see Note, City of Portland v. DePaolo: Defining the Role of Stare Decisis in State Constitutional Decisionmaking, 41 Me.L.Rev. 201 (1989).
. Workers’ compensation, however, is not the only statutory remedy that could be affected by such a broad reading of DePaolo. See, e.g., 26 M.R.S.A. § 968 (1988 & Supp.1990) (Maine Labor Relations Board's award of back pay to public employee); 26 M.R.S.A. §§ 979-D(4), 979-M (1988 & Supp.1990) (compulsory arbitration in public employee collective bargaining, reviewable only as to questions of law); 35-A M.R.S.A. § 1510 (Supp.1990) (Public Utilities Commission penalty for failure to file); 38 M.R. S.A. §§ 355-357 (1989 & Supp.1990) (municipality’s entitlement to reimbursement for attorney fees from Lake Environmental Protection Fund).
. Workers’ compensation had previously been elective in nature; we held it consistent with jury trial rights on a waiver theory. Mailman’s Case,
.The Legislature did not vest the courts of this state with full equitable jurisdiction until 1874. See L. Emery, The Growth of the Equity Powers of the Maine Courts, 9 Me.L.Rev. 1 (1915). Cf. also Sawyer v. Gilmore,
. "[I]f the power to do away with a cause of action in any case exists at all ... then the right of trial by jury is thereafter no longer involved in such cases. The right of jury trial being incidental to the right of action, to destroy the one is to leave the other nothing upon which to operate.” 81 Am.Jur.2d 714, Workmen’s Compensation § 19 (1976).
Dissenting Opinion
with whom CLIFFORD, Justice, joins, dissenting.
I agree with Justice Collins that the report should be accepted by the Court. Because the majority of the Court has discharged the report, however, I do not express an opinion on the merits of this case.
