MYSTIC ISLE DEVELOPMENT CORPORATION V. PERSKIE & NEHMAD
Case Date: 08/01/1995
Docket No: SYLLABUS
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(This syllabus is not part of the opinion of the Court. It has been prepared by the Office of the Clerk for
the convenience of the reader. It has been neither reviewed nor approved by the Supreme Court. Please
note that, in the interests of brevity, portions of any opinion may not have been summarized).
MYSTIC ISLE DEVELOPMENT CORPORATION, ET AL. V. PERSKIE & NEHMAD, ET AL.
(NOTE: This is a companion case to Circle Chevrolet v. Giordano, Halleran & Ciesla, DiTrolio v.
Antiles, and Mortgagelinq Corp. v. Commonwealth Title Insurance Co., also decided today.)
Argued March 28, 1995 -- Decided August 1, 1995
HANDLER, J., writing for a unanimous Court.
Mystic Isle Development Corporation (Mystic), a real estate developer, purchased property from
J.K. Development Company (J.K.). The property, known as "Lenape Landing," was to be developed as a
residential apartment complex. Mystic purchased the rights to construct 78 townhouses or Phases II and III
of the complex. According to Mystic, its agreement of sale obligated J.K. to obtain 78 sewer permits from
the local municipal utilities authority (MUA) so that Mystic could proceed with developing Phases II and III
of the complex. The law firm of Perskie & Nehmad (P & N) represented J.K. in its efforts to obtain the
appropriate zoning approval and sewer permits.
On April 30, 1986, Mystic, represented by Michael McKenna, filed suit in Atlantic County against
the MUA, J.K., Carole Houser and James Kenneally, the principals of J.K., and others (hereinafter "the
Atlantic County action"), seeking to determine who was at fault for the insufficient number of sewer permits.
On February 1, 1991, Mystic filed in Camden County a legal malpractice action against P & N (and two attorneys associated with the firm). P & N moved for summary judgment, arguing that they did not represent Mystic and that Cogdell v. Hospital Center and the entire controversy doctrine mandated dismissal of Mystic's lawsuit. The trial court denied the motion, concluding that Mystic's malpractice cause of action did not ripen and become cognizable until the Atlantic County matter had been resolved. Because that case
had never ultimately been disposed of, due to the dismissal without prejudice with respect to Houser, the
trial court ruled that the entire controversy doctrine did not apply.
P & N moved for reconsideration, which was denied. The court, relying on Woodward-Clyde
Consultants v. Chemical and Pollution Sciences, Inc., held that the entire controversy doctrine did not compel
dismissal of Mystic's claim because a dismissal without prejudice is not an adjudication on the merits and,
therefore, does not bar reinstitution of the same claim in a later action. The Appellate Division denied P &
N's motion for leave to appeal the trial court order. The Supreme Court granted P & N's motion for
interlocutory review of the Appellate Division's denial of the motion.
HELD: In the circumstances of this case, Mystic's causes of action against the attorney-defendants and the
other defendants sued in a previous action arose simultaneously and are based on the same facts.
Therefore, the entire controversy doctrine required joinder of the attorney-defendants in that
original action.
1. P & N did not represent Mystic in the Atlantic County litigation. Thus, the risks inherent in a client's
decision to sue his or her current attorney are not present. Mystic had no fear that revealing attorney-client
confidences would prejudice its case against the other Atlantic County defendants. (pp. 10-15)
2. Application of the discovery rule to the facts of this case mandates the preclusion of Mystic's malpractice
claim against P & N. The record indicates that by at least 1989 Mystic knew of the existence of a
malpractice claim while its original Atlantic County action was pending. Applying the entire controversy
doctrine to bar Mystic's legal malpractice action furthers the goals of the doctrine. Requiring Mystic to join
P & N would have resulted in a more comprehensive determination of the underlying legal controversy that
sought to determine who was responsible for the insufficient number of sewer permits. The malpractice
claim involves the same exact set of facts as the original action and joinder of P & N would have clarified the
respective roles and responsibilities of J.K., Houser, Kenneally and P & N with respect to the agreement and
who specifically made what misrepresentations. (pp. 15-18)
3. Party fairness concerns justify the joinder of P & N. The fact that Mystic instituted the Atlantic County
action prior to the decision in the Cogdell does not affect the applicability of the entire controversy bar for
failure to join related parties. Although the Atlantic County action was initially filed before Cogdell was
decided, the suit was not terminated until one year after Cogdell was decided. Pleadings were filed and
depositions were taken after the Cogdell decision. Mystic had ample opportunity to amend its complaint and
add P & N in the underlying transaction in order to avoid risking the entire controversy bar. Moreover, the
record indicates that Mystic knew of the joinder implications when it sought to have the dismissal in favor of
Houser changed. Notwithstanding the lack of resolution, undertaking an unnecessary second litigation that
requires a repetition of discovery would constitute a waste of resources and an inefficient administration of
justice. Mystic made the tactical decision to dismiss the Atlantic County action because of its economic cost,
even though it was aware of the malpractice claim against P & N at the time of the Atlantic County action
was pending. (pp. 18-22)
4. Mystic's reliance on Woodward-Clyde is misplaced. The entire controversy doctrine does not
require that all claims be adjudicated in one proceeding, it merely requires that a party assert those claims at
the outset. The court can structure the litigation at its discretion to assure efficient administration, clarity,
and fairness. It is the party's original compliance with the doctrine, rather than the absence of a conclusive
determination of a claim, that insures preservation of the claim. Mystic deliberately contrived to have one
claim dismissed in the Atlantic County action in order to circumvent the preclusive effect of the entire
controversy doctrine on its subsequent malpractice claim. (pp. 22-27) For the reasons expressed, the order of the trial court of June 14, 1991 denying P & N's motion for summary judgment and of January 24, 1994 denying P & N's motion for reconsideration and denying Mystic's
motion for partial summary judgment are REVERSED, and in accordance with Rule 4:30-A, it is ordered
that summary judgment be entered in favor of P & N dismissing the action against them.
JUSTICE O'HERN, concurring, writes separately to urge the Court to reconsider its holding in
Grunwald v. Bronkesh in which it was held that a cause of action for attorney malpractice arises when a
client reasonably believes that an attorney's erroneous opinion has resulted in the client suffering injury, such
as an adverse ruling. Under the theory that the Court adopts today, a client's attorney-malpractice claim
may arise before a trial judge's ruling has been appealed, and that claim must be joined with the pending
action, one that may be en route to an appeal. It makes more sense for an attorney and client to maintain a
relationship until it is determined whether the attorney's opinion will stand up on appeal.
CHIEF JUSTICE WILENTZ and JUSTICES POLLOCK, GARIBALDI, STEIN and COLEMAN
join in JUSTICE HANDLER's opinion. JUSTICE O'HERN filed a separate concurring opinion.
SUPREME COURT OF NEW JERSEY
MYSTIC ISLE DEVELOPMENT
Plaintiffs-Respondents,
v.
PERSKIE & NEHMAD, a professional
Defendants-Appellants
and
JOHN DOES 1 - 50, inclusive,
Defendants.
Argued March 28, 1995 -- Decided August 1, 1995
On appeal from the Superior Court, Appellate
Division. John L. Slimm argued the cause for appellants and cross-respondents Perskie & Nehmad, etc., and Benjamin Zeltner, Esquire (Slimm & Goldberg, attorneys; Mr. Slimm, Lila Wynne
Williams, and Peter S. Cuddihy, on the
briefs).
Carl D. Poplar argued the cause for appellant
and cross-respondent Stephen R. Nehmad,
Esquire (Poplar & Eastlack, attorneys).
Clifford L. Van Syoc argued the cause for
respondents and cross-appellants (Mr. Van
Syoc, attorney; Mr. Van Syoc, Evan A. Blaker,
and Margaret M. Allen, on the briefs).
The opinion of the Court was delivered by
This case, as does the case of Circle Chevrolet v. Giordano,
Halleran & Ciesta, __ N.J. __, also decided today, raises the
issue of whether the entire controversy doctrine, as it applies
to the joinder of parties, is applicable to attorney-malpractice
actions. Plaintiff Mystic Isle Development Corporation (Mystic), a real estate developer, purchased property from J.K. Development Company (J.K.). The property, located in Weymouth Township, Atlantic County and known as "Lenape Landing," was to be developed as a residential apartment complex. Mystic purchased the rights to construct 78 townhouses or Phases II and III of the complex. Mystic and its principals, Stanley Drinkwater, Jr., Stanley Drinkwater, III, and Patrick Drinkwater, acquired title to the property on May 10, 1985. According to Mystic, its agreement of sale obligated J.K. to obtain 78 sewer permits from the Weymouth Township Municipal Utilities Authority (MUA) so that Mystic could proceed with developing Phases II and III of the complex. Mystic states that an April 15, 1985 letter signed by James Kenneally, a principal of the J.K. Corporation, assigned 78 sewer permits to Mystic. J.K. claims that it did not write this letter. Defendant law firm, Perskie & Nehmad (P & N), represented J.K. in its efforts to obtain the appropriate zoning approval and sewer permits. Because the MUA would allocate only 38 Domestic Consumer Units (DCUs) of sewerage capacity to J.K. for Lenape Landing, which was only enough to accommodate Phase I of the development, J.K. filed suit against the MUA to compel the MUA to allocate sewer permits for the remainder of the development. P & N later timely amended the complaint to name Mystic as an additional plaintiff because Mystic had recently acquired title
to a portion of the property. At his deposition, Stephen Nehmad
testified that Mystic was added to the complaint "simply for
technical reasons . . . because they were the parties that had
standing to whatever phase of the real estate was allocable to
that amount of allocation which we were seeking to obtain." In
or about May 1985, J.K. sold Phase I of the development to Lenape
Landing Association, a limited partnership. On July 16, 1985, P
& N's motion for partial summary judgment was granted. The trial
court voided the MUA's reservation of sewerage capacity and
ordered the MUA to reconsider J.K.'s application. As a result,
the MUA adopted a resolution that allocated 18 additional DCUs to
the development, bringing the total of approved DCUs to 56.
Consequently, on April 30, 1986, Mystic, represented by
Michael McKenna, filed suit in Atlantic County against the MUA,
individual members of the MUA, the State of New Jersey Department
of Community Affairs, Lenape Landing Association, the D'Anastasio
Corporation, John D'Anastasio, J.K., and Carole Houser and James
Kenneally, the principals of J.K (hereinafter the "Atlantic
County action"). Mystic did not bring suit against P & N.
Mystic alleged that: (1) the MUA had wrongfully refused to issue
sewer permits and had ignored an assignment of permits to Phases
II and III of the development and instead issued permits to the
Lenape Lending Association, owner of Phase I of the Development;
(2) J.K. and Carole Houser had fraudulently misrepresented the
status of the sewer permits and J.K.'s ability to obtain those
permits; (3) Houser, Kenneally, and J.K. breached the terms of
the assignment, which required allocation of the first 78 permits
to Mystic, by tendering 36 permits to the Lenape Landing
Association; (4) Houser, Kenneally, and J.K. had sought to sell
the same sewerage permits twice, with full knowledge of the MUA;
and (5) D'Anastasio and his companies misrepresented that they
owned the capacity while knowing of plaintiff's assignment. In
bringing suit, Mystic relied on an April 1, 1985 MUA resolution
that awarded J.K. 89 DCUs. That resolution was later determined
to be a forgery. It was investigated by the Atlantic County
Prosecutor's Office, but no indictments were issued. In short,
the Atlantic County action sought to determine who was at fault
for the insufficient number of sewer permits.
During the course of discovery, Mystic deposed Stephen
Nehmad, the attorney who had represented J.K. and Mystic in the
sewerage litigation against the MUA. Nehmad testified that he
was retained by J.K. to handle the municipal, land use and
environmental permits and approvals for the project that J.K. was
developing in Weymouth Township. He testified that at the time
he amended the complaint to include Mystic he was unaware of the
potential conflict concerning J.K.'s allocation of the sewer
permits. He also testified that he told Mystic several times
that there was insufficient sewerage capacity to support the full
three phases of the development.
for an order entering final judgment of dismissal with prejudice.
The order was granted on December 22, 1989.
Nehmad establishes that Mystic was aware of and considering the
possibility of a malpractice claim against P & N. McKenna sent
Drinkwater a copy of Nehmad's deposition transcript. Drinkwater
also admitted at deposition that McKenna had opined that Nehmad
could be liable for legal malpractice and thus he agreed with
McKenna's judgment that "we let [the Atlantic County lawsuit] be
dismissed . . . ." In short, defendants allege that Mystic
elected not to join them in the original action for purely
strategic reasons.
best efforts on behalf of Mystic; and (4) conspired with J.K.,
Kenneally and Houser to commit fraud.
citing Woodward-Clyde Consultants v. Chemical & Pollution
Sciences, Inc.,
105 N.J. 464 (1987), held that the entire
controversy doctrine did not compel dismissal of Mystic's claim
because a dismissal without prejudice is not an adjudication on
the merits and therefore does not bar reinstitution of the same
claim in a later action. Also at that time, the court denied
plaintiff's motion for partial summary judgment.
The fundamental principle behind the inclusion policy of the entire controversy doctrine is that the adjudication of a legal controversy should occur in one litigation in only one court; accordingly, all parties involved in the litigation should at the very least present in that proceeding all of their claims and defenses that are related to the underlying controversy.
The doctrine is a reflection of the constitutional unification of the state courts and the comprehensive jurisdiction vested in the Superior Court established under our Constitution, which recognized the value in resolving related claims in one adjudication so that "all matters in controversy
between parties may be completely determined." N.J. Const., art.
VI, § 3, ¶ 4.
Chevrolet, __ N.J. at __ (slip op at 9-10) (citing Brown v.
Brown,
208 N.J. Super. 372, 382 (App. Div. 1986); Busch v. Biggs,
264 N.J. Super. 385, 398-99 (App. Div. 1993); Bendar v. Rosen,
247 N.J. Super. 219, 237 (App. Div. 1991)). In essence, it is
the factual circumstances giving rise to the controversy itself,
rather than a commonality of claims, issues or parties, that
triggers the requirement of joinder to create a cohesive and
complete litigation. DiTrolio, supra, __ N.J. at __ (slip op. at
16). However, because the entire controversy doctrine is an
equitable principle, its applicability is left to judicial
discretion based on the particular circumstances inherent in a
given case. Id. at __ (slip op. at 26); Cogdell, supra, 116 N.J.
at 27.
concurring)). However, joinder is not a matter of party
autonomy. It is for trial court to determine whether or not
joinder is appropriate in a given case, and thus litigants should
be compelled to bring all actions at one time. DiTrolio, supra,
__ N.J. at ___ (slip op. at 26) (citing Brown, supra, 208 N.J.
Super. at 381). A trial court is empowered to segregate
different claims to assure manageability, clarity and fairness.
Id. at __ (slip op. at 26). A plaintiff who fails to allow the
trial court the opportunity to supervise the entire controversy
risks losing the right to bring that claim later. Id. at ___
(slip op. at 26). Plaintiff urges the Court to make an exception for claims involving an attorney's malpractice. Plaintiff argues that requiring a client to bring an attorney-malpractice claim at the same time he or she brings claims against other parties for actions related to the same underlying transaction is against public policy. It contends that such a requirement presents a conflict for a referred attorney being forced to inform the client about a potential claim against that client's prior attorney who had referred the case. Plaintiff maintains that including legal malpractice claims in the same controversy with other claims will chill attorney-client relations because clients will hesitate to reveal confidentialities that could later be revealed during litigation if that client seeks to sue the attorney for malpractice. Plaintiff also argues that requiring
malpractice claims to be joined with the underlying litigation
will create frivolous litigation in an effort to ensure that no
potential claims are lost. It also claims that the requirement
may encourage defendants to counter-claim against a plaintiff's
attorney in the hopes of revealing confidentialities. Mystic
further maintains that application of the entire controversy
doctrine to legal malpractice actions does not serve the purpose
of furthering judicial economy and efficiency because in most
cases, the resolution of the main action, whether by judgment or
settlement, moots any potential claims against non-parties.
Although we recognize that the circumstances surrounding the
attorney-client relationship require a trial court's special and
thorough consideration in its determination of whether certain
claims should be litigated together, we do not believe that those
considerations merit excluding attorney-malpractice claims from
the mandates of the entire controversy doctrine. Circle
Chevrolet, supra, __ N.J. at __ (slip op. at 10-12). Trial
courts have the appropriate tools at their disposal to address
and accommodate these concerns and to remedy any inequities. Id.
at __ (slip. op. at 12-14).
initially by Michael McKenna and later by Clifford Van Syoc.
Thus, Mystic's claims against defendants, although sounding in
the negligence associated with attorney malpractice, are actually
claims against an alleged primary tortfeasor. The risks and
considerations inherent in a client's decision to sue his or her
current attorney are not present here. Mystic had no fear that
revealing attorney-client confidences would prejudice its case
against the other defendants because it claimed that the
attorney-defendants conspired with J.K. and its principals to
defraud Mystic of its contractual rights to the sewerage permits.
Application of the discovery rule to the facts of this case
mandates the preclusion of plaintiff's malpractice claim against
defendants. The record indicates Mystic knew of the existence of
a malpractice claim while its original Atlantic County action was
pending. Depositions taken during the discovery phase of the
Atlantic County action reveal that one of Mystic's principals,
Stanley Drinkwater, was aware in 1989 of a possible malpractice
claim against defendants. A copy of the July 31, 1989 deposition
of Stephen Nehmad was immediately forwarded to Drinkwater who
then considered whether defendants should be sued. Drinkwater
stated that his attorney, McKenna, opined at the time that Nehmad
"did not represent our interest in the way he handle[d] his
file." Moreover, in his deposition, McKenna testified that his
1989 deposition of Nehmad "put a totally different spin on
things" because of "Nehmad's involvement." Consequently, at that
point, he advised Mystic to seek a malpractice attorney "if they
wanted to pursue that." McKenna also testified that Mystic then
asked Clifford Van Syoc to look at the file to determine if there
had been malpractice by Nehmad. A December 11, 1989 letter from
McKenna to Van Syoc confirms that Van Syoc received affidavits
and other materials in relation to Mystic's file at that time.
Van Syoc subsequently agreed to take Mystic's legal malpractice
case. In sum, the record establishes that Mystic was not only
aware of its injury during its original action but was also aware
that defendants were potentially liable for its injury.
Applying the entire controversy doctrine to bar Mystic's malpractice suit furthers the goals of the doctrine. First, requiring Mystic to join the attorney-defendants would have resulted in a more comprehensive determination of the underlying legal controversy that sought to determine who was responsible for the insufficient number of sewer permits. Mystic alleged in it's original action that it was entitled to sewer permits either: (1) through an agreement with J.K. and its principals, Houser and Kenneally; or (2) through the Weymouth MUA, which held back sewers for other members of the community; or (3) through John D'Anastasio and Lenape Landing Association who obtained permits that they knew had been allegedly assigned to Mystic. Mystic's malpractice action contends that defendants, acting as legal representatives for J.K., Houser, and Kenneally, had misrepresented the status of J.K.'s agreement with Mystic and the MUA. Moreover, the second action also alleged that defendants conspired with J.K., Houser and Kenneally to defraud Mystic. Thus, the malpractice claim involves the exact same set of facts as the original action. Joinder of defendants would have clarified the respective roles and responsibilities of J.K., Houser, Kenneally and the attorney-defendants with respect to the agreement and who specifically made what misrepresentations. Second, party fairness concerns justify the joinder of defendants. As we have repeatedly stated, "considerations of fairness and justness extend to those potentially affected
persons who should, because of their stake in a given proceeding,
or by virtue of their potential liability, be joined in a single
action and given the opportune forum to defend their interests."
Crispin, supra, 96 N.J. at 353 (Handler, J., concurring); see
DiTrolio, supra, __ N.J. at __ (slip op. at 23). Defendants are
now disadvantaged by Mystic's failure to join them in the
Atlantic County action. They have lost the opportunity to
participate in discovery and to develop defenses in the broader
litigation context involving all of the responsible participants
in the tortious actions giving rise to Mystic's claims. In
addition, they have suffered real prejudice. Defendants contend
that, despite diligent efforts, James Kenneally cannot be
located. They maintain that Kenneally's testimony is essential
because he was a principal of J.K. Development Corporation, which
entered into the agreement of sale with Mystic. Mystic claims
that its agreement of sale provided for sewer approvals for
Phases II and III. Defendants maintain that had they been
parties to the original suit, they could have questioned
Kenneally with regard to the misrepresentations made to Mystic.
In sum, joinder would have resulted in a more comprehensive and
accurate record and better enabled the relevant parties to
apportion liability among themselves.
information to have included these defendants in the earlier
lawsuit." 116 N.J. at 25; see DiTrolio, supra, __ N.J. __ (slip
op. at 24-25). Plaintiff became aware of the potential claim
against defendants during discovery. It could readily have
amended its complaint and added the attorneys as defendants in
that action. Plaintiff had a full and reasonable opportunity in
the first action to litigate against all of the implicated
parties the issue of responsibility for the lack of permits; it
simply chose not to. Plaintiff purposefully let the action be
dismissed by refusing to answer interrogatories. Plaintiff
attempted to circumvent the applicability of the joinder rule by
ensuring that the dismissal would be without prejudice as to at
least one defendant in the belief that the dismissal without
prejudice would preserve plaintiff's ability to later reinstate
the same claim with respect to a different defendant. The
outstanding dismissal without prejudice, however, does not
disturb our finding that plaintiff was already given one
opportunity to fully and completely litigate the claim arising
from the Lenape Landing debacle, it cannot now claim that it was
treated unfairly.
dissenting in part) (urging that the interests of fairness
require retrospective application of the decision). "[A]ll cases
not already on appeal" means pending cases involving "the first
lawsuit arising out of a common occurrence or transaction."
Circle Chevrolet Co., supra, __ N.J. at __ (slip op. at 24)
(quoting Reno Auto Sales, Inc. v. Prospect Park Sav. & Loan
Ass'n,
243 N.J. Super. 624, 627 n.2, 630 (App. Div. 1990)).
contractual rights to sewer permits. It also alleges that
defendants, as representatives of J.K. and its principals,
misrepresented the status of the permits. The claims involve the
same factual proofs as Mystic's prior claims against J.K., Houser
and Kenneally. Although plaintiff's additional professional
malpractice claims may involve expert legal-malpractice testimony
not directly relevant to the Atlantic County transaction, the
fact that evidence relevant to all defendants is not identical
and that some additional evidence is required as to certain
defendants does not warrant a wholly separate suit if the claim
arises from the same set of factual circumstances and
substantially relies on the evidence adduced in the first
litigation. DiTrolio, supra, __ N.J. at __ (slip op. at 30).
the substantive claim, undertaking an unnecessary second
litigation that requires a repetition of essentially all of the
discovery fueled by the first action would constitute a waste of
resources and an inefficient administration of justice. As we
have consistently noted:
[Crispin, supra, 96 N.J. at 356
(Handler, J., concurring).]
At his deposition, Mystic's attorney admitted that Mystic decided
to dismiss the Atlantic County action because the "most culpable
parties," Houser and Kenneally were insolvent in bankruptcy.
McKenna also felt that the litigation "wasn't going to go away,"
that its adversary, the MUA, "was funding the fight out of the
public trough which knows no limits," that he told his clients,
"You're looking at years," and that "the real smoking gun is in
the hands of the non-collectible defendants." In short, Mystic
made the tactical decision to dismiss the Atlantic County action
because of its economic costs, even though it was aware of a
malpractice claim against defendants at the time the Atlantic
County action was pending. Plaintiff contends that because the original action was not adjudicated on the merits, the entire controversy doctrine does not prevent reinstitution of its earlier claims and therefore should not bar its malpractice claim against these defendants. Plaintiff cites to Woodward-Clyde, supra, 105 N.J. at 464, for the proposition that the entire controversy doctrine does not bar a plaintiff from reinstituting a claim previously dismissed without prejudice. See also Mason v. Nabisco Brands, Inc., 233 N.J. Super. 263, 267 (App. Div. 1989) ("[t]ypically, 'without prejudice' means that there has been no adjudication on the merits of the claim and that a subsequent complaint alleging the same cause of action will not be barred simply by reason of its prior dismissal"); Malhame v. Borough of Demarest, 174 N.J. Super. 28, 30 (App. Div. 1980) (holding Borough could not appeal dismissal of complaint without prejudice because "'dismissal without prejudice is comparable to a nonsuit under the former practice of law'"). We conclude, however, that plaintiff's reliance upon the Woodward-Clyde line of cases is misplaced. In Woodward-Clyde, we held that a defendant, whose counterclaim was previously dismissed without prejudice for failure to comply with an order of discovery, could reinstate that claim in a later action without violating the entire controversy doctrine. 105 N.J. at 475. The reasoning behind the holding was that the defendant had previously complied with the joinder requirement by asserting the
counterclaim in the original action. Id. at 474. Because the
trial court, in its discretion, dismissed the claim without
prejudice, the defendant was allowed to reassert that claim
later. Id. at 472. The entire controversy doctrine does not
require that all claims be adjudicated in one proceeding, it
merely requires that a party assert those claims at the outset.
The trial court has the discretion to structure the litigation to
assure efficient administration, clarity and fairness. Thus, it
is the party's original compliance with the doctrine, rather than
the absence of a conclusive determination of a claim, that
ensures preservation of that claim.
without prejudice as to Houser is relevant to plaintiff's ability
to reinstate an action against Houser or perhaps even an unknown
defendant who was undiscoverable during the pendency of the
Atlantic County action. The dismissal without prejudice is
immaterial to the assertion of plaintiff's present claim because
clearly Mystic was aware of its claim against defendants at that
time.
[Restatement (Second) of Judgments,
§ 19, comment a (1982) (emphasis
added).]
The record indicates that Mystic deliberately contrived to
have one claim dismissed in the Atlantic County action in order
to circumvent the preclusive effect of the entire controversy
doctrine on its subsequent malpractice claim. The dismissal of
plaintiff's claim against Carole Houser was changed to a
dismissal without prejudice only after Mystic represented to the
Law Division that it did not have notice of Houser's motion to
dismiss the claim with prejudice. Depositions taken during
Mystic's subsequent malpractice action have revealed that Mystic
did have notice of the motion. Deposition statements by
Drinkwater and McKenna, Mystic's former counsel, indicate that
Mystic deliberately ignored the notice because it had decided at
that time to let the Atlantic County action be dismissed so that
it could cut its litigational economic losses in that action and
pursue a malpractice cause of action against attorney-defendants.
of Nehmad's involvement," obtained through his July 31, 1989
deposition, "put a totally different spin on things."
For the reasons expressed, the order of the trial court of June 14, 1991 denying defendants' motion for summary judgment and of January 24, 1994 denying defendant's motion for reconsideration and denying plaintiff's motion for partial summary judgment are reversed and in accordance with Rule 4:30A, it is ordered that summary judgment be entered in favor of defendants dismissing the action against them. So ordered. CHIEF JUSTICE WILENTZ and JUSTICES POLLOCK, GARIBALDI, STEIN and COLEMAN join in JUSTICE HANDLER's opinion. JUSTICE O'HERN filed a separate concurring opinion.
SUPREME COURT OF NEW JERSEY
MYSTIC ISLE DEVELOPMENT
Plaintiffs-Respondents,
v.
PERSKIE & NEHMAD, a professional
Defendants-Appellants
and
JOHN DOES 1 - 50, inclusive,
Defendants.
O'HERN, J., concurring.
controversy doctrine required joinder of the attorney-defendants
in the plaintiffs' action against the other conspirators. The
attorney-defendants, Perskie & Nehmad (a professional
corporation), Steven R. Nehmad, and Benjamin Zeltner nominally
represented plaintiffs in the permitting process. That
representation did not alter the attorneys' status as potential
defendants whose interests could be adverse to plaintiffs'
interests.
predicting the path of the law can be as difficult as predicting
the path of a storm. The forecaster may have all the data and
theories at hand, but the outcome may not be as predicted.
[Id. at 503 (quoting Laird v. Blacker,
828 P.2d 691, 703 (Mosk, J., dissenting), cert.
denied, ___ U.S. ___,
113 S. Ct. 658,
121 L.
Ed.2d 584 (1992)).]
As Justice Mosk points out:
To force malpractice plaintiffs to file their
actions before they know the outcome of the
case upon which their claim is based does not
promote judicial economy. The status of the
malpractice claim is uncertain until the
appeal in the underlying case is resolved,
because if it is ultimately decided in the
client's favor the malpractice suit may well
become moot for lack of damages.
NO. A-141/142/143 SEPTEMBER TERM 1994
MYSTIC ISLE DEVELOPMENT
Plaintiffs-Respondents,
v.
PERSKIE & NEHMAD, etc., et al.,
Defendants-Appellants
and
JOHN DOES 1 - 50, etc., et al.,
Defendants.
DECIDED August 1, 1995
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