Walter E. Campbell Co., Inc. v. Hartford Financial Services Group, Inc , 48 F. Supp. 3d 53 ( 2014 )


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  •                           UNITED STATES DISTRICT COURT
    FOR THE DISTRICT OF COLUMBIA
    ____________________________________
    )
    WALTER E. CAMPBELL CO., INC.,         )
    )
    Plaintiff,       )
    )
    v.                              )    Civil Action No. 13-2062 (ABJ)
    )
    HARTFORD FINANCIAL SERVICES           )
    GROUP, INC., et al.,                  )
    )
    Defendants.      )
    ____________________________________)
    MEMORANDUM OPINION
    Plaintiff Walter E. Campbell Company (“WECCO”) originally brought this action in the
    Superior Court of the District of Columbia, seeking a declaratory judgment to resolve an
    insurance dispute between WECCO and eight insurance company defendants, as well as former
    defendant Property and Casualty Insurance Guaranty Corporation (“PCIGC”).             Walter E.
    Campbell Co. v. Hartford Fin. Servs. Grp., Inc., 
    959 F. Supp. 2d 166
    , 168 (D.D.C. 2013); see
    also Walter E. Campbell Co. v. Gen. Ins., No. 2013 CA 109 B (D.C. Super. Ct. Dec. 26, 2013)
    (dismissing defendant PCIGC for lack of personal jurisdiction) [Dkt. # 1-2] (“Super. Ct. Order”).
    Both WECCO and PCIGC are Maryland corporations with Maryland as their principal place of
    business. Walter E. Campbell Co., 959 F. Supp. 2d at 168. None of the other defendants is
    incorporated in Maryland. Compl. ¶¶ 5–13 [Dkt. # 1-1].
    Defendants first removed this action to this court on February 11, 2013, arguing that
    WECCO had fraudulently joined PCIGC, and that therefore, there was complete diversity among
    the parties for purposes of 
    28 U.S.C. § 1332
    (a). Walter E. Campbell Co., 959 F. Supp. 2d at 168.
    The Court disagreed, finding that defendants had not proven that PCIGC was fraudulently
    joined, and remanded the case. Id. at 168. The Superior Court then held that it lacked personal
    jurisdiction over PCIGC and dismissed PCIGC from the case. Super. Ct. Order at 10.
    The remaining defendants removed the case to this court again on December 30, 2013.
    Notice of Removal at 1 [Dkt. # 1]. WECCO has again moved to remand the case back to the
    Superior Court, invoking the “well-established ‘voluntary-involuntary’ rule,” Shepherd v. Am.
    Broad. Cos., Inc., No. 88-0954 (RCL), 
    1988 WL 110602
    , at *1 (D.D.C. Oct. 11, 1988), which
    holds that federal diversity jurisdiction cannot be created by the dismissal of a defendant when
    that dismissal is against the will of the plaintiff. Mot. to Remand at 1 [Dkt. # 3]; see also
    Whitcomb v. Smithson, 
    175 U.S. 635
    , 638 (1900) (holding that a “ruling on the merits . . .
    adverse to plaintiff, and without his assent . . . did not operate to make the cause then
    removable”). Defendants counter that the voluntary-involuntary rule does not apply in this case
    because PCIGC was fraudulently joined at the outset. Defs.’ Mem. in Opp. to Pl.’s Mot. to
    Remand at 8 [Dkt. # 16] (“Defs.’ Opp.”); see also Insinga v. LaBella, 
    845 F.2d 249
    , 254 (11th
    Cir. 1988) (“Fraudulent joinder is a well established exception to the voluntary-involuntary
    rule.”). The Court finds that the Superior Court’s dismissal of PCIGC does not compel a finding
    that PCIGC was fraudulently joined, and so the voluntary-involuntary rule does bar removal of
    this case. For that reason, the Court will again remand the case to the Superior Court of the
    District of Columbia.
    STANDARD OF REVIEW
    A defendant may remove a state court action to federal court only when the case
    originally might have been brought in the federal court, including on the basis of diversity of
    citizenship. 
    28 U.S.C. § 1441
    (a); see also Neal v. Brown, 
    980 F.2d 747
    , 747–48 (D.C. Cir. 1992)
    (permitting removal where there is “complete diversity of citizenship and no defendant properly
    2
    joined and served is a citizen of the state in which the action is brought”); Busby v. Capital One,
    N.A., 
    932 F. Supp. 2d 114
    , 126 (D.D.C. 2013) (“A defendant has the right to remove to federal
    court an action brought in state court where the federal court has original subject matter
    jurisdiction . . . .”). Diversity jurisdiction exists when the amount in controversy exceeds
    $75,000 per plaintiff, exclusive of interest and costs, and when the matter in controversy is
    between citizens of different states. 
    28 U.S.C. § 1332
    (a). When a federal court lacks subject
    matter jurisdiction over a dispute removed from state court, the court must remand the action
    back to the state court. 
    28 U.S.C. § 1447
    (c). The removing party bears the burden of showing
    that the federal court has subject matter jurisdiction over the action. Wexler v. United Air Lines,
    
    496 F. Supp. 2d 150
    , 152 (D.D.C. 2007). “[I]f federal jurisdiction is doubtful, a remand to state
    court is necessary.” Breakman v. AOL, LLC, 
    545 F. Supp. 2d 96
    , 100 (D.D.C. 2008), quoting
    Dixon v. Coburg Dairy, Inc., 
    369 F.3d 811
    , 816 (4th Cir. 2003) (en banc); see also Republic of
    Venezuela v. Philip Morris Inc., 
    287 F.3d 192
    , 196 (D.C. Cir. 2002) (“When it appears that a
    district court lacks subject matter jurisdiction over a case that has been removed from a state
    court, the district court must remand the case . . . .”).
    In support of a removal petition, defendants may submit affidavits and deposition
    transcripts; and in support of a motion for remand, a plaintiff may submit affidavits and
    deposition transcripts to supplement the factual allegations contained in the verified complaint.
    B., Inc. v. Miller Brewing Co., 
    663 F.2d 545
    , 549 (5th Cir. 1981). In assessing the motion for
    remand, the court must assume all of the facts set forth by plaintiff to be true and resolve all
    uncertainties as to state substantive law in favor of the plaintiff. See Burden v. Gen. Dynamics
    Corp., 
    60 F.3d 213
    , 216 (5th Cir. 1995); Boyer v. Snap-on Tools Corp., 
    913 F.2d 108
    , 111 (3d
    Cir. 1990).
    3
    ANALYSIS
    The “well-established ‘voluntary-involuntary’ rule” provides that a district court may not
    exercise diversity jurisdiction over a case when the diversity was created by the “involuntary”
    dismissal of a defendant. Shepherd, 
    1988 WL 110602
     at *1; see also Great N. Ry. Co. v.
    Alexander, 
    246 U.S. 276
    , 281 (1918) (stating that a case cannot become removable unless by
    “voluntary amendment of his pleadings by the plaintiff” or “by voluntary dismissal” of a party
    by the plaintiff); Am. Car & Foundry Co. v. Kettelhake, 
    236 U.S. 311
    , 316 (1915) (noting that
    “the discontinuance as to [the non-diverse defendant must be] voluntary on the part of the
    plaintiff”); Cartier v. Wells Fargo Bank, N.A., 
    547 F. App'x 800
    , 804 (8th Cir. 2013) (applying
    the voluntary-involuntary rule); Pretka v. Kolter City Plaza II, Inc., 
    608 F.3d 744
    , 761 (11th Cir.
    2010) (“The traditional rule is that only a voluntary act by the plaintiff may convert a non-
    removable case into a removable one.”). A defendant’s dismissal is “involuntary” if it is against
    the will of the plaintiff, such as when it was the result of the unilateral action of a court. See Self
    v. Gen. Motors Corp., 
    588 F.2d 655
    , 660 (9th Cir. 1978) (holding that a final judgment is an
    involuntary dismissal); Weems v. Louis Dreyfus Corp., 
    380 F.2d 545
    , 548 (5th Cir. 1967) (ruling
    that dismissal by directed verdict was involuntary). If, however, the involuntarily-dismissed
    defendant was fraudulently joined – and, therefore, did not belong in the case to begin with –
    then the voluntary-involuntary rule does not prevent a district court from exercising diversity
    jurisdiction when the other requirements of 
    28 U.S.C. § 1332
    (a) are met. Chesapeake & Ohio
    Ry. Co. v. Cockrell, 
    232 U.S. 146
    , 152 (1914) (“[The] right of removal cannot be defeated by a
    4
    fraudulent joinder of a resident defendant having no real connection with the controversy.”); see
    also Insinga, 
    845 F.2d at 254
    . 1
    In bringing a claim of fraudulent joinder, the removing party bears the heavy burden of
    proving that either: “(1) there is no possibility the plaintiff can establish a cause of action against
    the resident defendant; or (2) the plaintiff has fraudulently pled jurisdictional facts to bring
    the . . . defendant into state court.” In re Tobacco/Governmental Health Care Costs Litig., 
    100 F. Supp. 2d 31
    , 39 (D.D.C. 2000), quoting Crowe v. Coleman, 
    113 F.3d 1536
    , 1538 (11th Cir.
    1997). In other words, the defendant must show that the plaintiff has “no possibility of a right to
    relief.” Brown v. Brown & Williamson Tobacco Corp., 
    26 F. Supp. 2d 74
    , 77 (D.D.C. 1998),
    quoting Richardson v. Phillip Morris Inc., 
    950 F. Supp. 700
    , 702 (D. Md. 1997); see also Sid
    Richardson Carbon & Gasoline Co. v. Interenergy Res., Ltd., 
    99 F.3d 746
    , 751 (5th Cir. 1996)
    (“Our evaluation of fraudulent joinder claims . . . merely considers whether there is any
    possibility that the plaintiff might prevail.”). Fraudulent joinder, however, is not equivalent to
    improper joinder: “[a] party . . . can be improperly joined without being fraudulently joined.”
    Crockett v. R.J. Reynolds Tobacco Co., 
    436 F.3d 529
    , 533 (5th Cir. 2006).
    Defendants do not dispute that PCIGC was involuntarily dismissed from this case. Defs.’
    Opp. at 4–5. Rather, they renew their argument that PCIGC was fraudulently joined at the
    outset. 
    Id.
     Therefore they contend that the voluntary-involuntary rule does not bar removal in
    1      In 1949, the statute governing the removal of cases, 
    28 U.S.C. § 1446
    (b) (2012), was
    amended to allow for removal of cases that are not removable when filed, but become removable
    at some point after filing. Poulos v. Naas Foods, Inc., 
    959 F.2d 69
    , 71–72 (7th Cir. 1992).
    Every court to consider whether the voluntary-involuntary rule survived the 1949 amendment
    has held that it did. 
    Id. at 72
    ; see also Davis v. McCourt, 
    226 F.3d 506
    , 510 n.3 (6th Cir. 2000);
    Higgins v. E.I. DuPont de Nemours & Co., 
    863 F.2d 1162
    , 1166 (4th Cir. 1988); Insinga, 
    845 F.2d at
    252–55; Gould v. Mut. Life Ins. Co. of N.Y., 
    790 F.2d 769
    , 773 (9th Cir. 1986); In re
    Iowa Mfg. Co. of Cedar Rapids, Iowa, 
    747 F.2d 462
    , 464 (8th Cir. 1984); Quinn v. Aetna Life &
    Cas. Co., 
    616 F.2d 38
    , 40 n.2 (2d Cir. 1980); DeBry v. Transamerica Corp., 
    601 F.2d 480
    , 487–
    88 (10th Cir. 1979); Weems, 
    380 F.2d at
    548–49.
    5
    this case. Id. at 12; see also Mayes v. Rapoport, 
    198 F.3d 457
    , 461 n.9 (4th Cir. 1999) (noting
    that the fraudulent joinder doctrine has been applied as an exception to the voluntary-involuntary
    rule).
    The Court previously rejected defendants’ contention that PCGIC was fraudulently joined
    because defendants had failed to establish that PCIGC would not be subject to personal
    jurisdiction in the District of Columbia, and therefore had not proven that there was “no
    possibility” that WECCO could establish a cause of action against PCIGC. Walter E. Campbell
    Co., 959 F. Supp. 2d at 173–74. Now, defendants claim that, “equipped with the D.C. Superior
    Court’s . . . Order, this Court knows” that there is no personal jurisdiction over PCIGC in the
    District. Defs.’ Opp. at 6–7. Therefore, they argue, PCIGC was fraudulently joined, after all. 2
    Id. at 12.
    But improper joinder is not the same as fraudulent joinder. See Crockett, 
    436 F.3d at 533
    . The Superior Court’s detailed decision hinged on the court’s determinations that PCIGC’s
    role as the guarantor of insurance contracts does not constitute “contracting to insure” under the
    District of Columbia long-arm statute, 
    D.C. Code § 13-423
    (a)(6) (2012), and that PCIGC lacked
    sufficient minimum contacts with the District for purposes of due process. Super. Ct. Order at
    7–10, 11–12. The Superior Court’s opinion dismissing PCIGC for lack of personal jurisdiction
    is not proof that there was “no possibility” that plaintiff could have established a cause of action
    against PCIGC and, if anything, it indicates that the question was close. Therefore, the dismissal
    of PCIGC does not undermine this Court’s previous ruling that defendants have not met their
    2      Defendants also argue that the Superior Court’s finding of lack of personal jurisdiction
    over PCIGC should constitute per se fraudulent joinder, citing Insinga, 
    845 F.2d at 254
    . Defs.’
    Opp. at 8. But the portion of Insinga that defendants cite is merely dicta and has not been
    followed by other circuits. See, e.g., Knudson v. Sys. Painters, Inc., 
    634 F.3d 968
    , 978 (8th Cir.
    2011); see also Greco v. Beccia, No. 99-CV-2136, 
    2001 WL 121887
    , at *4–5 (M.D. Pa. Feb. 13,
    2001).
    6
    burden to establish that PCIGC was fraudulently joined. See Walter E. Campbell Co., 959 F.
    Supp. 2d. at 174.
    As there is no dispute that PCIGC was involuntarily dismissed, the voluntary-involuntary
    rule prevents this Court from assuming diversity jurisdiction over this case. See Poulos v. Naas
    Foods, Inc., 
    959 F.2d 69
    , 72 (7th Cir. 1992) (applying the voluntary-involuntary rule and finding
    remand appropriate); Weems, 
    380 F.2d at 546
     (holding remand not proper after applying the
    voluntary-involuntary rule). Therefore, the Court will grant plaintiff’s motion and remand this
    case to the Superior Court of the District of Columbia.
    CONCLUSION
    Because the Court finds that the Superior Court’s ruling does not indicate that PCIGC
    was fraudulently joined at the outset of this case, the voluntary-involuntary rule prevents the
    Court from assuming diversity jurisdiction now. Accordingly, the Court will grant plaintiff’s
    motion and will remand this case to the Superior Court of the District of Columbia. A separate
    order will issue.
    AMY BERMAN JACKSON
    United States District Judge
    DATE: June 12, 2014
    7
    

Document Info

Docket Number: Civil Action No. 2013-2062

Citation Numbers: 48 F. Supp. 3d 53

Judges: Judge Amy Berman Jackson

Filed Date: 6/12/2014

Precedential Status: Precedential

Modified Date: 8/31/2023

Authorities (27)

James Debry, Robert J. Debry and Lynn M. Hilton v. ... , 601 F.2d 480 ( 1979 )

Crowe v. Coleman , 113 F.3d 1536 ( 1997 )

Dorothy Quinn, Jacqueline Marchese and Nina Assajew v. ... , 616 F.2d 38 ( 1980 )

John Insinga, as Personal Representative of the Estate of ... , 845 F.2d 249 ( 1988 )

James F. Boyer and Mary R. Boyer v. Snap-On Tools ... , 913 F.2d 108 ( 1990 )

Patricia J. Mayes v. Stanley Rapoport Judith Rapoport David ... , 198 F.3d 457 ( 1999 )

Crockett v. R.J. Reynolds Tobacco Co. , 436 F.3d 529 ( 2006 )

In Re Iowa Manufacturing Company of Cedar Rapids, Iowa , 747 F.2d 462 ( 1984 )

Luther Weems v. Louis Dreyfus Corporation , 380 F.2d 545 ( 1967 )

Gus Poulos and A.G.P. Marketing v. Naas Foods, Incorporated ... , 959 F.2d 69 ( 1992 )

B., Inc. v. Miller Brewing Company , 663 F.2d 545 ( 1981 )

Sid Richardson Carbon & Gasoline Co. v. Interenergy ... , 99 F.3d 746 ( 1996 )

Burden v. General Dynamics Corp. , 60 F.3d 213 ( 1995 )

Knudson v. Systems Painters, Inc. , 634 F.3d 968 ( 2011 )

Jacquelyne L. Neal v. William H. Brown, III , 980 F.2d 747 ( 1992 )

Harriet M. Gould, an Unremarried Widow v. Mutual Life ... , 790 F.2d 769 ( 1986 )

thomas-l-self-norman-self-and-deborah-j-self-a-minor-by-her-guardian , 588 F.2d 655 ( 1978 )

Republic of Venezuela v. Philip Morris Incorporated , 287 F.3d 192 ( 2002 )

Wexler v. United Air Lines, Inc. , 496 F. Supp. 2d 150 ( 2007 )

Breakman v. AOL LLC , 545 F. Supp. 2d 96 ( 2008 )

View All Authorities »