WARD v SIANO
Docket No. 265599
Court of Appeals of Michigan
Submitted July 31, 2006, at Lansing. Decided November 24, 2006, at 9:10 a.m.
272 Mich App 715
Leave to appeal sought.
After consideration by the special panel, the Court of Appeals held:
The plaintiff failed to demonstrate any inequity independent of his unknowing failure to comply with the retroactive time limits delineated in Waltz. Application of equitable tolling to every plaintiff in this situation would subvert the holding that Waltz applies retroactively. Accordingly, equitable tolling should not operate to relieve wrongful death plaintiffs from complying with the time constraints set forth in Waltz.
Affirmed.
FORT HOOD, J., concurred in the result only.
WILDER, J., concurred in the result reached by the majority, and also joined parts I and II(A) of Judge O‘CONNELL‘s concurrence on the ground that a plenary discussion by the Supreme Court concerning the propriety of prospectively applying Waltz would be of great benefit to the bench and bar.
NEGLIGENCE — WRONGFUL DEATH — MEDICAL MALPRACTICE — STATUTE OF LIMITATIONS — SAVING PROVISION — EQUITABLE TOLLING.
Equitable tolling does not operate to relieve wrongful-death medical-malpractice plaintiffs from complying with the retroactively applied time constraints set forth in Waltz v Wyse, 469 Mich 642 (2004) (
Mark Granzotto, P.C. (by Mark Granzotto and Elizabeth Gleicher), for Matt Ward.
Johnson & Wyngaarden, P.C. (by Michael L. Van Erp), for Dr. John Siano, Jr., M.D.; and Lansing Internal Medicine Associates, P.C.
Plunkett & Cooney, P.C. (by Robert G. Kamenec), for Edward W. Sparrow Hospital Association.
Amici Curiae:
Smith Haughey Rice & Roegge (by Richard C. Kraus) for University of Michigan Board of Regents; Mohamed Aziz, M.D.; and Stephan F. Taylor, M.D.
Before: SAWYER, P.J., and O‘CONNELL, SAAD, WILDER, ZAHRA, OWENS, and FORT HOOD, JJ.
The issue is whether a wrongful death plaintiff may rely on equitable tolling to escape the retroactive effect of our Supreme Court‘s decision in Waltz v Wyse, 469 Mich 642; 677 NW2d 813 (2004). In Waltz, our Supreme Court stated that the two-year period contained in the wrongful death saving statute,
Equitable or judicial tolling ordinarily applies to a specific extraordinary situation in which it would be unfair to allow a statute of limitations defense to prevail because of the defendant‘s bad faith or other рarticular and unusual inequities. See 51 Am Jur 2d, Limitation of Actions, § 174, pp 563-564. Absent statutory language allowing it, judicial tolling is generally unavailable to remedy a plaintiff‘s failure to comply with express statutory time requirements. See 51 Am Jur 2d, Limitation of Actions, § 177, p 565 (“Equitable tolling is not permissible if it is inconsistent with the text of the relevant statute.“); see also Secura Ins Co v Auto-Owners Ins Co, 461 Mich 382, 387-388; 605 NW2d 308 (2000); Garg v Macomb Co Community Mental Health Services, 472 Mich 263, 285 n 12; 696 NW2d 646 (2005). Inequities that justify judicial tolling must arise independently of the plaintiff‘s failure to diligently pursue the claim in accordance with the statute. See 51 Am Jur 2d, Limitation of Actions, § 174, pp 563-564, and § 177, p 565; see also Devillers v Auto Club Ins Ass‘n, 473 Mich 562, 586, 590-592; 702 NW2d 539 (2005).
In Waltz, supra, our Supreme Court held that the plain language of
Although a court may limit its novel interpretation of a statute to prospective application, Pohutski v City of Allen Park, 465 Mich 675, 696-697; 641 NW2d 219 (2002); see also Bryant v Oakpointe Villa Nursing Ctr, Inc, 471 Mich 411, 432; 684 NW2d 864 (2004), this Court has held that Waltz has full retroactive effect. Mullins, supra at 507-510. To allow a wholesale disregard of Waltz‘s retroactive application on the basis of individual “unfairness” to each plaintiff would allow the constant exceptions collectively to swallow the rule. See Devillers, supra at 586-587, 590 n 65. The delicate and specialized tool of judicial tolling is ill-suited to supplant the expansive, all-encompassing remedy of limiting a rule to prospective application. By proposing to apply judicial tolling to every medical malpractice wrongful death plaintiff who is “unfairly” subjected to the time limits clarified in Waltz, the rationale of Mazumder subverts, piecemeal, our decision that Waltz applies retroactively. Stated differently, if reliance on the pre-Waltz understanding of the law were alone sufficient to justify a litigant‘s failure to comply with Waltz‘s standards, our appellate courts would have limited the decision to prospective application. They did not. In our original decision in this case, as in Mazumder, plaintiff failed to demonstrate any inequity independent of his unknowing failure to comply with the retroactive time limits dеlineated in Waltz. This “inequity” is inadequate to sustain a claim for judicial tolling,
The circuit court‘s order granting summary disposition to defendants is affirmed.
SAWYER, P.J., and SAAD, ZAHRA, and OWENS, JJ., concurred.
FORT HOOD, J., concurred in the result only.
O‘CONNELL, J. (concurring). I concur with the majority‘s conclusion that Mazumder v Univ of Michigan Regents, 270 Mich App 42; 715 NW2d 96 (2006), inaptly applied judicial estoppel to alleviate the undesirable retroactive effects1 of Waltz v Wyse, 469 Mich 642; 677 NW2d 813 (2004). I write separately to ask the Supreme Court to grant leave and issue a full and final opinion (rather than a remand order) regarding the propriety of prospective or retroactive application of Waltz.
I. THE ISSUE
Unfortunately, much of the commotion created by Waltz has focused on one of two questions: whether
The issue that truly ignited the firestorm was the related holding that because
II. THE ROAD TO WALTZ
A
Before Waltz, our Supreme Court had consistently held that
There is no reason to doubt, as recognized by the Janes [v Sackman Bros Co, 177 F2d 928 (CA 2, 1949)] court, that statutory references to actions surviving by law include those actions brought under MCL 600.2922; MSA 27A.2922 for non-instantaneous death resulting from wrongful conduct. Therefore, MCL 600.5852; MSA 27A.5852 operates to extend the time in which to bring such suits. That statute . . . gives the fiduciary an additional two years from the date of issuance of letters testamentary in which to bring suit . . . . [Emphasis added.]
Justice RYAN‘s express use of the words “extend” and “additional” amply justified the common understanding in legal circles that
Adding to this perception of the statute‘s role was the generally accepted view of limitations on special rights. Legal authorities recognize that statutes that create new rights in derogation of the common law traditionally contain their own time limits, and those limits are categorized as either procedural or substantive statutes of limitations. See 54 CJS, Limitations of Actions, § 22, p 46. Because the saving statute,
“Since the present action is set up as a survival action under the combined remedy now granted by § 27.711, the three-year period of § 27.605 obviously applies, but is extended a maximum of three years by the provisions giving time for the appointment of an administrator in § 27.610 [the earlier MSA version of MCL 600.5852]. And plaintiff by his allegations has certainly brought his case within the limits which the combination of these two limitation statutes imposes.” [Emphasis added.]
By expressly adopting and applying this reasoning to the modern
B
The language of
If a person dies before the period of limitations has run or within 30 days after the period of limitations has run, an action which survives by law may be commenced by the personal representative of the deceased person at any time within 2 years after letters of authority are issued although the period of limitations has run. But an action shall not be brought under this provision unless the personal representative commences it within 3 years after the period of limitations has run.
Although the first part of the statute extends the statute of limitations and “saves” the cause of action by providing a personal representative with additional time to file suit, the second part, and certainly the last sentence, limits the amount of additional time available. This is important because when plaintiff filed his action, the relevant tolling provision,
The statutes of limitations or repose are tolled:
(a) At the time the complaint is filed and a copy of the summons and complaint are served on the defendant.
(b) At the time jurisdiction over the defendant is otherwise acquired.
(c) At the time the complaint is filed and a copy of the summons and complaint in good faith are placed in the hands of an officer for immediate service, but in this case the statute is not tolled longer than 90 days after the copy of the summons and complaint is received by the officer.
(d) If, during the applicable notice period under section 2912b, a claim would be barred by the statute of limitations or repose, for not longer than a number of days equal to the number of days in the applicable notice period after the date notice is given in compliance with section 2912b.
If the language in
C
I am further persuaded that the two-year and three-year time periods in
In the case of wrongful death, any injury to the deceased has already accrued, and the statute of limitations for any cause of action has already begun running. Therefore, the overall, three-year period in
Harmonizing all these legal principles would only bolster the perception, which Waltz would later prove mistaken, that § 5856 applied to the relevant portions of § 5852. It appeared that the Legislature intended the limitations period contained in § 5852 to limit the extended statute of limitations for prosecuting any civil action that survived death under
It oversimplifies the issue to assume that the Legislature‘s intent was obvious because § 5856 did not clearly include saving statutes among those that were
III. THE INTERPLAY BETWEEN SECTIONS 5852 AND 5856
Our Court‘s first experience with the interplay between § 5852 and § 5856 came in McNeil v Quines, 195 Mich App 199; 489 NW2d 180 (1992). In McNeil, supra at 202-204, we rejected a medical malpractice defendant‘s argument for dismissal desрite the fact that the original two-year statute of limitations, the two-year tolling provision in § 5852, and the three-year outside period of limitations in § 5852 all had expired before the plaintiff brought suit. The claim had accrued when the decedent died on June 20, 1981, but § 5852 preserved the claim when a personal representative was appointed on June 15, 1983, nearly two years later. McNeil, supra at 202-203. “Thus, on the facts of this case, the period of limitation was extended until June 15, 1985.” Id. at
McNeil‘s holding runs directly contrary to the Supreme Court‘s reasоning and ultimate decision in Waltz, and that inconsistent path was only further beaten and blazed in the first major Supreme Court case that directly addressed these issues, Omelenchuk v City of Warren, 461 Mich 567; 609 NW2d 177 (2000). In hindsight, Omelenchuk did not provide any indication that the Supreme Court was reconsidering the tradi-
After Omelenchuk, our Court issued Chernoff v Sinai Hosp of Greater Detroit, unpublished opinion per curiam of the Court of Appeals, issued March 22, 2002 (Docket No. 228014). We issued Chernoff only a few months before the Supreme Court decided Miller and only a few more months before we issued our opinion in Waltz. In Chernoff‘s first footnote, we reaffirmed our understanding of the correct legal approach by expressly holding that
In Miller, however, the Supreme Court followed up its rearview dicta regarding Omelenchuk with the cursory sleeping-giant observation that the wrongful-death statute was not a statute of limitations at all, but a saving provision.10 Miller, supra at 202. Although Mill-
Following this analysis, the Court observed, “Section 5852 is a saving provision, not a statute of limitations.” Id. at 202. Interestingly, the Court did not apply this observation to the discovery rule,
Except as otherwise provided in this subsection, an action involving a claim based on medical malpractice may be commenced at any time within the applicable period prescribed in section 5805 or sections 5851 to 5856, or within 6 months after the plaintiff discovers or should have discovered the existence of the claim, whichever is later. However, except as otherwise provided in section 5851(7) or (8), the claim shall not be commenced later than 6 years after the date of the act or omission that is the basis for the claim.
The clear language of this provision indicates that it “saves” a cause of action because it increases, or extends, the period for filing suit. Much like the “saving statute,” § 5838a(2) never operates to shorten the period of limitation. Miller, supra at 203. This point is further supported by a brief discussion in Miller of whether the Supreme Court should address the argument that
Careful comparison of § 5838a(2) and § 5852 reveals that the Legislature intended each statute to extend the underlying limitations period to allow litigants additional timе to pursue their cause of action. However, each statute also contains its own limitations periods. In Miller, supra at 202, the Supreme Court determined that the six-month discovery rule contained in
Although I can only guess at why Miller expressly removed § 5852 from the “statute of limitations” category of procedural devices, none of the possible explanations could forecast Waltz‘s application of the new, rеstrictive designation. Considering the context of Miller‘s novel legal distinction, the most likely reason for the reclassification was concern that courts would dismiss personal representatives because they had not filed suit within the two-year period provided in § 5852, even though the original statute of limitations had not yet expired. Borrowing bits of ideas from Hardy, the Court apparently wanted it understood that the time limits in
Six months after Miller, our Court again issued an opinion that conformed to the common understanding and totally contradicted the reasoning in Waltz. In Fournier v Mercy Community Health Care Sys-Port Huron, 254 Mich App 461, 468; 657 NW2d 550 (2002), our Court provided the following succinct analysis: “In this case, Fournier died on July 7, 1998. The letters of authority were issued on July 13, 1998. Therefore, the two-year statutory period of limitation began on July 13, 1998, and extended to July 13, 2000.” Moreover, we only held that
The only accurate statement that could be made about
The bench and bar use statutes and our opinions as maps to navigate the law. Before Waltz, two attorneys each could have read the maps with the goal of arriving at a certain city, say Mt. Pleasant. After Waltz established a series of unmarked detours, however, one
Only after Waltz was decided was it easy to spot where the attorneys made their wrong turns. Few lawyers, if any, could have predicted that
IV. OUR PART
Because of the contentious nature of these cases and the numerous filings and plethora of different opinions in this Court on what have now become known as Waltz issues, I believe that this Court‘s efforts have been exhausted. It is time for the Supreme Court to grant
What first strikes me about Miller, Waltz, and our Court‘s reaction tо them is the dearth of substantive analysis at every turn. Miller whispered, without even the inflection of citation, that
In its discussion of the relevant statutes, Waltz also omits any reference to the textualist‘s favored term, “unambiguous,” which might open the door to more expansive judicial interpretation. Most importantly, however, not one line in Waltz was devoted to the
After Waltz, we issued Ousley v McLaren, 264 Mich App 486; 691 NW2d 817 (2004) (adopting, without analyzing or elucidating, the Supreme Court‘s repudiation of Omelenchuk). As I have repeated ad nauseam, Ousley failed to look beyond the Supreme Court‘s demure declaration that Omelenchuk was wrongheaded, so it must have been unreliable dicta. Ousley summarily repeated Waltz‘s hindsight observations and indisputably allowed the Supreme Court‘s post hoc disapprobation of Omelenchuk to taint its evaluation of the relevant question: should Waltz apply retroactively? Whether this special brand of judicial restraint should control depends on the degree of shift in the law, the judicial (rather than legislative) cause of the shift, and the shift‘s effect on the legal bearings and practical expectations of the bench and bar.14 Pohutski, supra.
In Ousley, we adopted the Supreme Court‘s criticism of Omelenchuk‘s latent infirmities and transformed that criticism into an assumption that those flaws always lay blatantly exposed and embarrassingly apparent, stultifying Omelenchuk‘s authority ab initio. Although the Ousley panel correctly predicted the result that the Supreme Court would prefer, it could not predict the firestorm that would follow. Its general review of the elements of retroactivity and application of Waltz‘s condemnation of Omelenchuk did not, and probably could not, account for the fact that untold numbers of plaintiff and defense attorneys were surprised by what they perceived as a dramatic change in the law. I think it is important to note that most members of the bench, including myself, were also surprised to discover that
Our Supreme Court then issued a series of remand orders directing us to apply Waltz retroactively. These orders (some might say thankfully) did not require us to expend any more judicial or mental energy on the topic, nor did they require us to give a reasoned analysis for our decisions. While expressly avoiding the issue of the remand orders, the majority in McLean v McElhaney, 269 Mich App 196; 711 NW2d 775 (2005), failed to further the substantive analysis, partially due to its own reservations about whether the battle was too quixotic to join. This set the stage for Mullins v St Joseph Mercy Hosр, 269 Mich App 586; 711 NW2d 448 (2006) (Mullins I), vacated as to part III of the opinion, 269 Mich App 801 (2006), and, ultimately, for
With an anticlimactic sidestep, the majority opinion in Mullins II totally skirted the substantive issue of retroactivity.15 Instead, it decided that, in light of the Supreme Court remand orders, there was no need to address the retroactivity issue head-on. See Mullins II, supra at 508-510. Although this represented a practical solution in light of the three remand orders, the majority opinion failed to provide any additional substantive guidance on the primary issue presented. Moreover, it did not adequately address the dissents, which addressed all the issues and set forth scads of reasons why the remand orders should not bind this Court and why Waltz should not apply retroactively.16
From my perspective, I personally find it unfortunate
The primary problem with this approach is that we have not improved the clarity of the law, and we have saddled ourselves with a new, all-encompassing rule. Remand orders are now binding on this Court, and we must extrapolate from them and enforce whatever rule of law they may imply.17 In my opinion, this does both Courts an injustice. Our Court must now yield to unsubstantiated remand orders, and, even more disturbing, the dissenting voice of any Supreme Court justice is now effectively hushed in favor of expediency. In full defiance of the new arrangement and noting my preference for learned opinions over remand orders on unsettled issues, I add the following concise analysis.
Even after Miller,
As explained at oral argument in this case, reaching the correct rule in any area of the law requires a step-by-step process. Each step is a different case or point of law, and each case builds on the cases that came before it. In this regard, the Supreme Court admitted in Waltz, supra at 653-655, that it had strayed in Omelenchuk, and that it had done so without carеful analysis or serious thought. The cases leading to our conflict panels could be considered further missteps, but what is miss-
Now our path, and the path of all lower courts and litigants, will be further encumbered by the additional task of deciphering remand orders for substantive guidance.19 Coupled with our lack of analysis, this distillation process will suggest that all the members of our
V. CONCLUSION
With more than 60 cases involving Waltz issues in various stages of the appellate process, the time is ripe for the Supreme Court to address the substantive issue presented to the Mullins II conflict panel. Without a plenary discussion of the issues, we are left only with the remand orders. In my opinion, only a learned and exhaustive opinion will amicably put these and other unsettled issues to rest. I would simply ask that the Supreme Court grant leave to appeal in one of these cases and resolve the issue of whether Waltz should be applied prospectively or retroactively.20
WILDER, J. (concurring). I cоncur in the result reached in the majority opinion. I also join in parts I and II(A) of Judge O‘CONNELL‘s concurring opinion, for the reason that I agree with Judge O‘CONNELL‘s view that a plenary discussion by the Supreme Court concerning the propriety of prospective application of Waltz v Wyse, 469 Mich 642; 677 NW2d 813 (2004), would be of great benefit to the bench and bar.
