WALDEN et al. v. JOHN D. ARCHBOLD MEMORIAL HOSPITAL, INC. et al.
A90A0824
Court of Appeals of Georgia
OCTOBER 16, 1990
398 SE2d 271 | 275 Ga. App. 275
SOGNIER, Judge.
In the renewed complaint, plaintiffs identified themselves as “next of kin and heirs.” Defendants moved in August 1989 to dismiss the complaint for failure to state a claim upon which the relief demanded could be granted, based on the failure of plaintiffs to name the real parties in interest to the varying claims and on the running of the statute of limitation. The trial court granted the motion in part, holding that in the absence of a surviving spouse, the wrongful death claim could be brought only by McIntyre and Mitchell (by next friend Pauline Mitchell), as Anderson‘s illegitimate children, in effect dismissing the remaining plaintiffs. The trial court directed plaintiffs’ counsel to recast the complaint to reflect that McIntyre and Mitchell b/n/f Mitchell were the plaintiffs in the wrongful death action and to file and serve the complaint within 15 days. The trial court also granted defendants’ motion to dismiss as to the remaining claims on the basis that those claims had not been prosecuted within the statutory period by any person having the right to do so, and directed that the recast complaint not include any claims for those other damages.
No express determination of finality was included in the order, see
1. Appellants contend the trial court erred by ruling that Anderson‘s illegitimate children (in the absence of a surviving spouse) had the exclusive right of action on the wrongful death claim under
The constitutionality of
2. Contrary to the dissent‘s assertion, a review of the errors enumerated and the arguments raised by the parties in their briefs reveals that the trial court‘s ruling that the wrongful death suit be recast in the names of appellants McIntyre and Mitchell b/n/f Mitchell is not challenged by any of the parties to this appeal. Rather, appellant siblings argue that they should be allowed to maintain the wrongful death suit as plaintiffs because the siblings “are fearful that should [McIntyre and Mitchell, the illegitimate children], to whom the trial court has given the exclusive cause of action, be unable to prove their right to sue and inherit as ‘children’ of the decedent, that [appellant siblings] will be forever barred by the statute of limitations from pursuing their claim as the next of kin of the decedent.” Although appellant siblings assert that they should remain as plaintiffs in the wrongful death suit “until it is determined whether or not there is a surviving child,” since appellant siblings can never qualify
3. Appellants contend the trial court erred by dismissing their causes of action for negligence and medical malpractice and the damages sought for medical and funeral expenses, the decedent‘s pain and suffering, attorney fees, and punitive damages. Under the plain language in
Accordingly, since appellants were not the proper parties to assert the causes of action under
4. The dissent contends that the trial court should be ordered to substitute the administrator of Anderson‘s estate to prosecute the causes of action under
The record establishes that appellees moved to dismiss appellants’ complaint under
While a liberal construction of the Civil Practice Act is the rule in the appellate courts of this State, Franklyn Gesner Fine Paintings v. Ketcham, 252 Ga. 537 (314 SE2d 903) (1984), the trial court here cannot be held to have erred after a motion to dismiss was made in August 1989, by not allowing appellants in November 1989 to join or substitute as plaintiff a party that did not exist at that time, and did not exist as a matter of law until April 1990. The fact that the indispensable party or real party in interest did not exist to be substituted into this action at the time the judgments below were rendered distinguishes this case from Amica Mut. Ins. Co. v. Fleet Multi Fuel Corp., 178 Ga. App. 859 (344 SE2d 742) (1986), cited by the dissent, and Dover Place Apts. v. A & M Plumbing &c. Co., 255 Ga. 27 (335 SE2d 113) (1985), discussed therein. That fact also distinguishes the case at bar from S. D. H. Co. v. Stewart, 135 Ga. App. 505, 508 (2) (218 SE2d 268) (1975), in which this court, after noting the defendant‘s failure to pursue its “real party in interest” defense under
It thus affirmatively appears of record that at the time the trial court took appellees’ motion to dismiss under advisement, the proper party to pursue the claims pursuant to
This is not to say, however, that the trial court did not err by holding that appellants in any representative capacity they might assume are barred from asserting the claims personal to Anderson because the statute of limitation had run prior to the appointment of an administrator to Anderson‘s estate.
In summary: (1) Since appellant siblings cannot pursue a wrongful death claim against appellees under
Judgment affirmed. Carley, C. J., Birdsong, Pope, Beasley and Cooper, JJ., concur. Deen, P. J., McMurray, P. J., and Banke, P. J., dissent.
MCMURRAY, Presiding Judge, dissenting.
As I am not disposed to concur in the majority view, I must respectfully dissent and set forth my views herein.
On December 2, 1988, Delores Walden, Alberta Glenn, Willie Lee Anderson, Willie Bell Johnson, Zion Anderson, Jonathan Anderson, Charles McIntyre and Wayne Mitchell (plaintiffs), “individually and as next of kin and heirs . . .” of James Edward Anderson, filed an action against John D. Archbold Memorial Hospital, Inc., and members of the hospital‘s staff (defendants) for allegedly causing the death of James Edward Anderson on January 14, 1987. More specifically, plaintiffs alleged that James Edward Anderson died after he was severely burned while a patient of defendant hospital and that the fire was the result of “negligent” patient treatment; “negligent” patient supervision and sub-standard medical care, provisions and facilities. Plaintiffs’ complaint was not set-out in counts, nor were damages segregated according to cause of action. Instead, plaintiff alleged general negligence and sought “compensatory and punitive damages,” damages for “great physical and mental pain and suffering, . . . permanent scarring, medical expenses, loss of life, loss of enjoyment of life, funeral expenses, and lost earnings.” Plaintiffs also sought “reasonable attorney‘s fees and costs. . . .”
On February 8, 1989, plaintiffs dismissed the complaint without prejudice and on August 3, 1989, they filed a renewal action “individually and as next of kin . . .” of James Edward Anderson. (Plaintiff Willie Lee Anderson was not included as a party to the renewal action.) Plaintiffs sought the same damages as alleged in the original complaint, but alleged medical malpractice, negligence and wrongful death in separate counts. Defendants later answered and moved to dismiss, claiming that plaintiffs “have no cognizable right to recover for the wrongful death of James Edward Anderson, or his conscious
In response, plaintiffs argued that “there is no requirement that they plead their capacity with any more specificity [and that they are] the real parties in interest in this case.” However, plaintiffs went on and stated that if they “have failed in any manner on any cause of action to properly allege their capacity to maintain the actions, [then] the same can and should be cured by amendment [so that subsequent actions by the proper party will] not be barred by the statute of limitations.” Plaintiffs subsequently amended the renewed complaint and named Wayne Mitchell and Charles McIntyre as illegitimate children of James Edward Anderson and designated Alberta Glenn “as Personal Representative of the estate of JAMES EDWARD ANDERSON. . . .”
On November 28, 1989, the trial court entered a “FINAL ORDER ON DEFENDANTS’ MOTION TO DISMISS” and found, in pertinent part, that “[t]here are two allegedly illegitimate children of James Edward Anderson among the group of plaintiffs who denominated themselves as heirs and next of kin of James Edward Anderson . . .; [that there] has been no administrator appointed to the estate of James Edward Anderson . . . as of the date of this order[; that the] statute of limitations for a suit alleging personal injuries . . . ran on December 5, 1988; [that the] statute of limitations for a suit alleging wrongful death ran on January 13, 1989; [that the] right of action for personal injuries under the survival statute (
“A. Any and all claims for the wrongful death of James Edward Anderson are in [Wayne] Mitchell and Charles McIntyre, his alleged illegitimate children.
“B. The plaintiffs’ amendment to their renewed and recommenced complaint to reflect that this is an action by [Wayne] Mitchell, by Pauline Mitchell, his next friend, and Charles McIntyre, made prior to the entry of this pre-trial order, is hereby allowed and ordered.
“C. The plaintiffs’ amendment to their renewed and recommenced complaint to change the capacity of Alberta Glenn to administrator of the estate of James Edward Anderson, deceased, to include claims for conscious pain and suffering, funeral, medical and other expenses, punitive damages, and attorneys’ fees and costs, is barred by the statute of limitations, and even though made prior to the entry of this pre-trial order, is hereby disallowed and dismissed upon defendants’ motion.
“D. Since the statute of limitations ran prior to the appointment of any administrator of the estate of James Edward Anderson, deceased, plaintiffs, in their individual or representative capacities, are forever barred from claims for recovery of conscious pain and suffering, funeral, medical and other expenses, punitive damages, and attorneys’ fees and costs.
“E. Plaintiffs shall be given the opportunity of immediate review by the Court of Appeals of my findings of fact and conclusions of law, including my disallowance of the amended complaint to the extent that it seeks to maintain an action by an administrator seeking recovery for claims of conscious pain and suffering, funeral, medical and other expenses, punitive damages, and attorney fees and cost.”
In my view, this Court granted plaintiffs’ appeal to determine whether the trial court erred in failing to substitute proper parties to the various causes of action and in holding that the statutes of limitation cut off the administrator‘s claims for statutory damages under
“Every action shall be prosecuted in the name of the real party in interest. . . . No action shall be dismissed on the ground that it is not prosecuted in the name of the real party in interest until a reasonable time has been allowed after objection for ratification of commencement of the action by, or joinder or substitution of, the real party in interest; and such ratification, joinder, or substitution shall have the same effect as if the action had been commenced in the name of the real party in interest.”
Therefore, I would hold that the trial court erred in entering judgment for defendants based on expirations of the applicable statutes of limitation and in failing to substitute the real parties in interest to the various causes of action. More specifically, in my view, the record indicates that an administrator of the decedent‘s estate should have been appointed and substituted to prosecute the
I am authorized to state that Presiding Judge Deen and Presiding Judge Banke join in this dissent.
DECIDED OCTOBER 16, 1990.
James C. Banks, for appellants.
William U. Norwood III, for appellees.
