Agic v. Natl. Union Fire Ins., Co of Pittsburgh , 2014 Ohio 4205 ( 2014 )


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  • [Cite as Agic v. Natl. Union Fire Ins., Co of Pittsburgh, 2014-Ohio-4205.]
    Court of Appeals of Ohio
    EIGHTH APPELLATE DISTRICT
    COUNTY OF CUYAHOGA
    JOURNAL ENTRY AND OPINION
    No. 100679
    EDIN AGIC
    PLAINTIFF-APPELLANT
    vs.
    NATIONAL UNION FIRE INSURANCE
    COMPANY OF PITTSBURGH, ET AL.
    DEFENDANTS-APPELLEES
    JUDGMENT:
    AFFIRMED
    Civil Appeal from the
    Cuyahoga County Court of Common Pleas
    Case No. CV-12-798311
    BEFORE: McCormack, J., Boyle, A.J., and Rocco, J.
    RELEASED AND JOURNALIZED: September 25, 2014
    ATTORNEYS FOR APPELLANT
    Kenneth C. Podor
    Wesley Alton Johnston
    The Podor Law Firm, L.L.C.
    33565 Solon Road
    Solon, Ohio 44139
    ATTORNEYS FOR APPELLEES
    For National Union Fire Insurance Co.
    Steven G. Janik
    Crystal Lynn Maluchnik
    Janik, L.L.P.
    9200 South Hills Boulevard
    Suite 300
    Broadview Heights, Ohio 44147
    For Consolidated Benefits Resources, L.L.C.
    Jay Clinton Rice
    Mark D. Thompson
    D. John Travis
    Gallagher Sharp
    6th Floor - Bulkley Building
    1501 Euclid Avenue
    Cleveland, Ohio 44115
    TIM McCORMACK, J.:
    {¶1} Plaintiff-appellant, Edin Agic, appeals the judgment of the common pleas
    court granting summary judgment in favor of defendants-appellees, National Union Fire
    Insurance Company of Pittsburgh (“National Union”) and Consolidated Benefits
    Resources, L.L.C. (“CBR”). After a careful review of the record and relevant case law,
    we affirm the trial court’s judgment.
    I. Factual and Procedural History
    {¶2} On January 3, 2008, while operating his tractor trailer in the course and scope
    of his employment, appellant was involved in a motor vehicle accident in Seattle,
    Washington.    Following the accident, appellant made a claim for temporary total
    disability and medical expense benefits under policy No. TRK 0009102454 (the “Policy”)
    issued by National Union. CBR served as the third-party administrator with respect to
    appellant’s claims. Appellant’s claims were initially paid under the Policy, however, in a
    letter dated July 21, 2008, appellant was informed that he was no longer entitled to
    ongoing benefits. The letter stated that the decision to terminate his insurance benefits
    was supported by an investigation and an independent medical evaluation by Dr. John
    Dunne, which found that “[appellant] no longer suffers from any injuries associated with
    the motor vehicle accident which would prevent him from his return from gainful
    employment.”
    {¶3} On January 21, 2011, appellant filed a personal injury action in the Superior
    Court of King County, Washington (Case No. 11-2-03851), against two drivers involved
    in the January 3, 2008 accident. Prior to trial, one of the drivers, Timothy Coy, admitted
    that his negligence was the cause of the accident. Thus, the sole issue of whether Coy’s
    negligence was the proximate cause of any injury to appellant was tried to a jury on
    February 13, 2013. At the conclusion of the trial, the jury found that appellant sustained
    no injuries as a result of the January 3, 2008 accident and awarded no damages.
    {¶4} On February 11, 2011, appellant filed a complaint in Cuyahoga County
    (Cuyahoga C.P. No. CV-11-774339) asserting causes of action for declaratory judgment,
    breach of contract, bad faith, civil conspiracy, and intentional and/or negligent infliction
    of emotional distress. The original lawsuit named 11 defendants, including National
    Union and CBR. On December 23, 2011, appellant filed a voluntary dismissal pursuant
    to Civ.R. 41(A).     On December 28, 2012, more that one year after the voluntary
    dismissal, appellant refiled his complaint against National Union and CBR for declaratory
    judgment, breach of contract, bad faith, civil conspiracy, and intentional and/or negligent
    infliction of emotional distress. On March 1, 2013, he voluntarily dismissed his claims
    against National Union and CBR for intentional and negligent infliction of emotional
    distress. Thus, his remaining claims against defendants were for declaratory judgment,
    breach of contract, bad faith, and civil conspiracy.
    {¶5} On August 26, 2013, National Union moved for partial summary judgment on
    appellant’s claims for bad faith and civil conspiracy, asserting that such claims were
    “barred as having been filed beyond the statute of limitations.” On August 28, 2013, CBR
    moved for partial summary judgment on the same basis.
    {¶6} On September 4, 2013, CBR moved for summary judgment on appellant’s
    claims for breach of contract, bad faith, and civil conspiracy, asserting that such claims
    were barred by the doctrine of collateral estoppel. On September 6, 2013, National
    Union moved for summary judgment on the same basis.
    {¶7} On November 5, 2013, the trial court entered summary judgment in favor of
    National Union and CBR on all of appellant’s claims. The trial court found that because
    appellant “failed to refile the case within the confines of the savings statute, [his] breach
    of the duty of good faith and fair dealing claim is defeated by the statute of limitations.”
    The court further ordered, “[a]s [appellant]’s sole tort claim is dismissed, [his] claim for
    conspiracy must also fail.”
    {¶8} Moreover, the trial court held that appellant’s claims for bad faith and breach
    of contract were collaterally estopped by the previously adjudicated negligence suit in
    Washington.     The court explained that appellant was estopped from claiming that
    defendants treated him in bad faith or breached their contract by denying benefits under
    the Policy where a jury had previously determined that appellant did not suffer any injury
    as a result of the accident.
    {¶9} Finally, the trial court sua sponte ruled that “although [appellant]’s claims fail
    on their merits, this court also finds that there are insufficient minimum contacts for
    jurisdiction to be proper in Ohio for Defendant CBR.”
    {¶10} Appellant now brings this timely appeal, raising four assignments of error
    for review:
    I. The trial court committed prejudicial error in granting motions for
    summary judgment because there are genuine issues of material fact and
    defendants are not entitled to judgment as a matter of law.
    II. The trial court committed prejudicial error in determining that
    appellant’s bad faith and conspiracy claims are barred by the statute of
    limitations.
    III. The trial court erred in determining that appellant’s claims are
    collaterally estopped by the previously adjudicated negligence suit.
    IV. The trial court erred in determining that personal jurisdiction was
    lacking over defendant CBR.
    {¶11} Furthermore, CBR raises alternative grounds for judgment as a matter of
    law in the following four cross-assignments of error:
    I. The trial court should have further held that appellant’s claims for
    breach of contract and declaratory judgment claims against CBR fail as a
    matter of law.
    II. The trial court should have held that appellant’s bad faith claim against
    CBR fails as a matter of law.
    III. The trial court should have further held that appellant’s civil
    conspiracy claim is barred by the statute of limitations and otherwise fails as
    a matter of law.
    IV. The trial court’s advisory opinion provides alternative grounds for the
    dismissal of CBR: there are insufficient minimum contacts for jurisdiction
    to be proper in Ohio.
    II. Law and Analysis
    {¶12} In his first assignment of error, appellant broadly argues that the trial court
    committed prejudicial error in granting motions for summary judgment in favor of
    National Union and CBR because there are genuine issues of material fact in dispute as to
    whether he was injured in the January 3, 2008 accident.
    {¶13} An appellate court reviews a trial court’s decision on a motion for summary
    judgment de novo. Grafton v. Ohio Edison Co., 
    77 Ohio St. 3d 102
    , 105, 
    671 N.E.2d 241
    (1996). Summary judgment is appropriate when, construing the evidence most strongly
    in favor of the nonmoving party, (1) there is no genuine issue of material fact; (2) the
    moving party is entitled to judgment as a matter of law; and (3) reasonable minds can
    come to but one conclusion, that conclusion being adverse to the nonmoving party.
    Zivich v. Mentor Soccer Club, Inc., 
    82 Ohio St. 3d 367
    , 369-370, 
    696 N.E.2d 201
    (1998),
    citing Horton v. Harwick Chem. Corp., 
    73 Ohio St. 3d 679
    , 
    653 N.E.2d 1196
    (1995),
    paragraph three of the syllabus.
    {¶14} In challenging the trial court’s judgment, appellant argues more specifically
    in his third assignment of error that the trial court committed prejudicial error in finding
    that he was collaterally estopped from pursuing his claims based on the previously
    adjudicated negligence suit in Washington.
    {¶15} Based on the following, we agree with the trial court and find that
    appellant’s claims for bad faith, breach of contract, and civil conspiracy are barred by
    collateral estoppel.
    A. Collateral Estoppel
    {¶16} The doctrine of res judicata consists of two branches: (1) “claim
    preclusion,” also known as “estoppel by judgment,” and (2) “issue preclusion,” also
    known as “collateral estoppel.”      Chibinda v. Depositors Ins., 12th Dist. Butler No.
    CA2012-04-073, 2013-Ohio-526, ¶ 34. Claim preclusion or estoppel by judgment bars
    the relitigation of the same cause of action between the same parties.             
    Id. Issue preclusion
    or collateral estoppel precludes a party from relitigating issues of fact or law
    that have been actually and necessarily litigated and determined in a different cause of
    action. 
    Id. {¶17} Offensive
    use of collateral estoppel occurs when the plaintiff seeks to
    prevent the defendant from relitigating a fact or issue that the defendant has previously
    litigated unsuccessfully in another action. 
    Id., citing Providence
    Manor Homeowners
    Assn., Inc. v. Rogers, 12th Dist. Butler No. CA2011-10-189, 2012-Ohio-3532, ¶ 40.
    Defensive use of collateral estoppel occurs when the defendant seeks to prevent the
    plaintiff from relitigating a fact or issue that the plaintiff has previously litigated
    unsuccessfully in another action. 
    Id. {¶18} To
    successfully assert collateral estoppel, a party must show that (1) the fact
    or issue in question was passed upon and determined by a court of competent jurisdiction,
    (2) there was a final judgment on the merits in the previous case after a full and fair
    opportunity to litigate the fact or issue in question, (3) the fact or issue in question was
    either admitted or actually tried and decided and was necessary to the final judgment, (4)
    the fact or issue in question is identical to the fact or issue involved in the prior suit, and
    (5) there is a “mutuality of parties.” See Rogers at ¶ 43. Mutuality of parties exists
    when all parties or their privies to the present proceedings were bound by the prior
    judgment.     Therefore, in order to preclude either party from relitigating an issue, a
    judgment must be preclusive upon both. Goodson v. McDonough Power Equip., Inc., 
    2 Ohio St. 3d 193
    , 195-196, 
    443 N.E.2d 978
    (1983).
    {¶19} However, relevant to the case at hand, the Ohio Supreme Court indicated in
    Goodson that the mutuality requirement could be relaxed “where justice would
    reasonably require it.” 
    Id. at 199.
    A number of appellate courts, relying on language in
    Goodson, have relaxed the mutuality requirement and allowed the nonmutual defensive
    use of collateral estoppel when a party against whom the doctrine is asserted previously
    had his day in court and was permitted to fully litigate the “specific issue” sought to be
    raised in the later action. Rogers at ¶ 40, citing Hoover v. Transcontinental Ins. Co., 2d
    Dist. Greene No. 2003-CA-46, 2004-Ohio-72, ¶ 17; Frank v. Simon, 6th Dist. Lucas No.
    L-06-1185, 2007-Ohio-1324, ¶ 12; Michell v. Internatl. Flavors & Fragrances, Inc., 
    179 Ohio App. 3d 365
    , 2008-Ohio-3697, 
    902 N.E.2d 37
    (1st Dist.); see also Michaels Bldg.
    Co. v. Akron, 9th Dist. Summit No. 13061, 1987 Ohio App. LEXIS 9881, *9 (Nov. 25,
    1987) (“[N]onmutuality of parties has been acceptable where it is shown that the party
    seeking to avoid collateral estoppel clearly had his day in court on the specific issue
    brought into litigation within the later proceeding”).
    {¶20} In the instant case, the trial court applied the doctrine of defensive collateral
    estoppel and determined that, although National Union and CBR were not parties to the
    litigation in Washington, appellant was “estopped from claiming that defendants treated
    him in bad faith or breached their contract by denying disability payments under his
    employer’s policy for an occupational injury arising out of the same occurrence.” We
    agree.
    {¶21} Here, appellant brought causes of action for breach of contract, bad faith,
    and civil conspiracy against National Union and CBR, alleging that defendants
    improperly terminated his insurance benefits under the Policy. In support of his claims,
    appellant contends that he is entitled to disability and medical benefits under the Policy
    based on the injuries he sustained as a result of the January 3, 2008 accident.
    {¶22} The Policy provides, in pertinent part:
    Temporary Total Disability Benefit
    If Injury to the Insured Person results in Temporary Total Disability
    * * * the Company [National Union] will pay the Temporary Total
    Disability Benefit specified below * * * the Temporary Total Disability
    Benefit shall be payable, retroactively, from the date that disability began,
    provided the Insured Person remains Temporarily Totally Disabled.
    ***
    Continuous Total Disability Benefit
    If Injury to the Insured Person, resulting in Temporary Total
    Disability, subsequently results in Continuous Total Disability, the
    Company will pay the Continuous Total Disability specified below * * *.
    ***
    Accident Medical Expense Benefit
    If an Insured Person suffers an Injury that requires him or her to be
    treated by a physician * * * the Company will pay the Usual and Customary
    Charges incurred for Medically Necessary Covered Accident Medical
    Services received due to that Injury * * *.
    {¶23} Relevant to the arguments raised herein, the term “injury” is defined in the
    Policy as “bodily injury to an Insured Person caused by an Occupational accident while
    coverage is in force under this Policy * * * .” (Emphasis added.) “Occupational” means
    “that activity, accident, incident, circumstance or condition [that] occurs or arises out of
    or in the course of the Insured performing services within the course and scope of
    contractual obligations for the Policyholder, while under Dispatch.”
    {¶24} Thus, in order to receive disability and medical benefits, the clear and
    unambiguous language of the Policy requires appellant to have suffered an injury caused
    by an occupational accident. Accordingly, the “specific issue” in dispute in this case is
    whether the January 3, 2008 occupational accident caused the injuries that appellant
    argues entitle him to benefits under the Policy.
    {¶25} After a careful review of the record, we find that the issue of causation has
    already been determined by a court of competent jurisdiction. In his 2011 personal
    injury lawsuit in the Superior Court of King County, Washington, appellant alleged that
    he suffered injuries and damages proximately caused by the negligence of Timothy Coy.
    However, the jury returned a verdict finding that appellant’s alleged injuries were not
    proximately caused by the accident. Based on the jury’s resolution of causation in his
    personal injury suit, appellant cannot now relitigate the issue of whether his injuries were
    caused by the accident, a finding that is necessary for entitlement to benefits under the
    Policy.
    {¶26} While National Union and CBR were not parties to the Washington
    litigation, the issue of causation was “actually and directly litigated” in a court of
    competent jurisdiction, and appellant had the opportunity to fully litigate the issue while
    represented by competent counsel. Because the requirements for defensive collateral
    estoppel have been satisfied, the trial court correctly determined that National Union and
    CBR were entitled to judgment as a matter of law on appellant’s claims that they acted in
    bad faith and breached the contract by denying coverage under the Policy.
    {¶27} For these same reasons, defendants were entitled to judgment as a matter of
    law on appellant’s civil conspiracy claim. Generally, “[a] claim for conspiracy cannot be
    made [the] subject of a civil action unless something is done which, in the absence of the
    conspiracy allegations, would give rise to an independent cause of action.” Ford Motor
    Credit Co. v. Jones, 8th Dist. Cuyahoga No. 92428, 2009-Ohio-3298, ¶ 24. Because we
    have already held that appellant’s bad faith and breach of contract claims are barred by
    the doctrine of collateral estoppel, we find that the trial court properly determined that
    there was no longer an independent cause of action to which the conspiracy claim could
    be coupled. Therefore, appellant’s civil conspiracy claim fails as a matter of law.
    III. Conclusion
    {¶28} Based on the foregoing, the trial court did not err in granting summary
    judgment in favor of National Union and CBR. Appellant’s first and third assignments
    of error are overruled. We further find that, because our resolution of appellant’s first
    and third assignments of error are dispositive, appellant’s remaining assignments of error
    and CBR’s cross-assignments of error are moot.
    {¶29} Judgment affirmed.
    It is ordered that appellees recover from appellant costs herein taxed.
    The court finds there were reasonable grounds for this appeal.
    It is ordered that a special mandate be sent to the common pleas court to carry this
    judgment into execution.
    A certified copy of this entry shall constitute the mandate pursuant to Rule 27 of
    the Rules of Appellate Procedure.
    TIM McCORMACK, JUDGE
    MARY J. BOYLE, A.J., CONCURS;
    KENNETH A. ROCCO, J., DISSENTS WITH SEPARATE OPINION
    KENNETH A. ROCCO, J., DISSENTING:
    {¶30} I disagree with the majority’s determination that Agic is collaterally
    estopped from bringing the instant lawsuit. According to the majority, the jury’s special
    verdict form establishes that the issue in the instant case was actually and directly litigated
    in the Washington state case.    The issue in the instant case is whether Agic sustained an
    injury in the accident.    The special verdict form in the Washington case read, “was
    [Defendant’s] fault the proximate cause of the injury to * * * Agic?”      The jury answered
    “no.” In my view, this does not conclusively establish that Agic did not sustain an injury
    in that accident.
    {¶31} While it is true that the Policy covers only those injuries “caused by an
    occupational accident,” the special verdict form in the Washington case merely
    established that one of the defendants in that lawsuit was not the proximate cause of
    Agic’s injury. Washington courts “recognize[] two elements of causation: cause in fact
    (sometimes called “actual” or “but for” cause); and legal cause (sometimes called
    “proximate” cause).”      (Citations omitted.) State v. Bauer, 
    180 Wash. 2d 929
    , 
    329 P.3d 67
    (2014), ¶ 13, fn. 5. Unlike other jurisdictions, Washington refers to both elements
    together as “proximate cause.” 
    Id. While “cause
    in fact” refers to “the physical
    connection between an act and an injury,” whether a defendant is the “legal cause” of an
    injury “depends on mixed considerations of logic, common sense, justice, policy, and
    precedent.”     (Internal citations omitted.) 
    Id. at ¶
    14.
    {¶32} Given the multitude of considerations that go into determining proximate
    cause, we cannot know why the jury determined that one of the defendants was not the
    proximate cause of Agic’s injuries. But it is certainly possible that the jury could find
    that Agic was injured in the accident and also find that this one defendant was not the
    proximate cause of Agic’s injury. Further muddying the waters is the fact that the
    accident involved multiple vehicles, but the special verdict form pertains only to one
    driver.
    {¶33} Because the jury was not called upon to determine whether Agic was injured
    in the accident, that issue was not actually and directly litigated in the previous case.
    Because injury is the pivotal issue in the instant case, I would hold that collateral estoppel
    does not bar Agic from bringing his claims.           I would, therefore, sustain the third
    assignment of error and would go on to reach the remaining assignments of error.          For
    the aforementioned reasons, I respectfully dissent.
    

Document Info

Docket Number: 100679

Citation Numbers: 2014 Ohio 4205

Judges: McCormack

Filed Date: 9/25/2014

Precedential Status: Precedential

Modified Date: 10/30/2014