The Lawletter Vol 37 No 11
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Gale Burns
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EMPLOYMENT LAW: The American Taxpayer Relief Act of 2012
Posted by Gale Burns on Mon, Jan 28, 2013 @ 12:01 PM
Topics: legal research, employment law, John Buckley, The Lawletter Vol 37 No 11, American Taxpayer Relief Act of 2012, extended some Bush-era tax cuts, SS withholding increased, increased credit for employer-provided child-care, education assistance, and transit/carpool benefits, extension of federally funded unemployment compens
MEDICAL MALPRACTICE: Montana Supreme Court Recognizes Cause of Action for Negligent Credentialing
Posted by Gale Burns on Mon, Jan 28, 2013 @ 12:01 PM
The Lawletter Vol 37 No 11
Topics: legal research, The Lawletter Vol 37 No 11, Fred Shackelford, medical malpractice, negligent credentialing, Brookins v. Mote, Montana Supreme Court, must establish standard of care, departure from standard, and proximate injury
TRUSTS & ESTATES: Creation of Beneficial Interests Through Adult Adoption
Posted by Gale Burns on Mon, Jan 28, 2013 @ 12:01 PM
The Lawletter Vol 37 No 11
Matt McDavitt, Senior Attorney, National Legal Research Group
The situation occasionally arises wherein one or more parties interested in a decedent's estate or trust challenge the right of certain other beneficiaries to take via the will or trust on the ground that these other beneficiaries were allegedly recently adopted through adult adoption for the express purpose of creating a beneficial interest in the estate or trust. Two recent opinions reveal the factors reviewing courts examine to resolve such claims, which, if proven true, would amount to fraudulent interference with a gift or inheritance.
In Otto v. Gore, 45 A.3d 120 (Del. Super. Ct. 2012), for instance, a woman with three children from her former marriage adopted her 65-year-old ex-husband as her fourth "child." This adult adoption potentially created an interest in the ex-husband in a family trust created by the woman's parents, a trust granting shares to the settlors' "grandchildren." The court observed, however, that an ambiguity existed in the trust instrument because, while the descriptor "children" was defined as including adopted children, no such definition was included regarding "grandchildren," so extrinsic evidence was properly examined to determine whether the settlors intended adult adoptees to take. To find this intent regarding the adoption of grandchildren, the court referenced a letter sent by the settlors to their drafting attorney, which the court interpreted as indicating settlor intent that the class of grandchildren was to include solely minors who had a parent-child relationship with their parents.
The Otto court concluded that the adult adoption at issue had been effectuated specifically to create an interest in the trust and that, as this intention would have thwarted the settlors' intent to benefit only minor grandchildren in a true parent-child relationship, equity would intervene to prevent the ex-husband's taking under the trust, despite the fact that the adoption complied with state law.
A contrary result was reached in In re Estate of Fenton, 901 A.2d 455 (N.J. Super. Ct. App. Div. 2006). Whereas the court in Otto examined the timing and impact of the adult adoption to determine whether an ulterior motive demanded that equity prevent that adoption from creating a beneficial interest in the subject trust, the court in Fenton refused to speculate regarding the motives of the adoptive child and/or parent, instead relying on the adoptive mother's own statements in court indicating that she had effectuated the adoption of her 37-year-old second cousin in order to create a close family.
The Fenton court noted that the adoption was valid under the applicable state law and that the adoption statutes do not demand inquiry as to the purpose of the adoption. The adult adoption in Fenton created $30,000 in annual income in the adoptee for life. The court noted that the plaintiffs had failed to offer evidence of an ulterior motive, aside from the circumstantial evidence that the adoption created a substantial interest in the trust, although evidence was developed indicating that the adoptive mother had, prior to the adoption, specifically written to the trustee to see if the adoption would create an interest in her new daughter.
Topics: legal research, The Lawletter Vol 37 No 11, Matt McDavitt, estates, beneficial interests through adult adoption, Otto v. Gore, Delware Superior Court, ambiguity in trust instrument required inquiry, In re Estate of Fenton, NJ Superior Court, trust language not ambiguous
PROPERTY LAW UPDATE: A Brief Synopsis of RESPA's "Qualified Written Request"
Posted by Gale Burns on Mon, Jan 7, 2013 @ 12:01 PM
January 8, 2012
Steve Friedman, Senior Attorney, National Legal Research Group
The Real Estate Settlement Procedures Act ("RESPA"), 12 U.S.C. §§ 2601B2617, is a federal consumer protection statute that regulates, among other things, the servicing of mortgage loans. Among the several duties RESPA imposes is that loan servicers must respond promptly to any "qualified written request from the borrower (or an agent of the borrower) for information relating to the servicing of such loan." 12 U.S.C. § 2605(e)(1)(A). If the servicer fails to adequately respond to such a request, then the borrower may recover actual damages, statutory damages if there is "a pattern or practice of noncompliance," id. § 2605(f), and the costs of suit, including reasonable attorney's fees.
The threshold inquiry for this statutory scheme is the "qualified written request."
For purposes of this subsection, a qualified written request shall be a written correspondence, other than notice on a payment coupon or other payment medium supplied by the servicer, thatC
(i) includes, or otherwise enables the servicer to identify, the name and account of the borrower; and
(ii) includes a statement of the reasons for the belief of the borrower, to the extent applicable, that the account is in error or provides sufficient detail to the servicer regarding other information sought by the borrower.
Id. § 2605(e)(1)(B).
With regard to the statutory definition of a "qualified written request," two federal courts of appeals have recently stated as follows:
RESPA does not require any magic language before a servicer must construe a written communication from a borrower as a qualified written request and respond accordingly. The language of the provision is broad and clear. To be a qualified written request, a written correspondence must reasonably identify the borrower and account and must "include a statement of the reasons for the belief of the borrower, to the extent applicable, that the account is in error or provides sufficient detail to the servicer regarding other information sought by the borrower." 12 U.S.C. § 2605(e)(1)(B) (emphasis added). Any reasonably stated written request for account information can be a qualified written request. To the extent that a borrower is able to provide reasons for a belief that the account is in error, the borrower should provide them, but any request for information made with sufficient detail is enough under RESPA to be a qualified written request and thus to trigger the servicer's obligations to respond.
Catalan v. GMAC Mortg. Corp., 629 F.3d 676, 687 (7th Cir. 2011); Medrano v. Flagstar Bank FSB, No. 11-55412, 2012 WL 6183549, at *3 (9th Cir. filed Dec. 11, 2012) (quoting Catalan, 629 F.3d at 687).
Furthermore, the Ninth Circuit opinion went a step further than the Seventh Circuit one had and explicitly articulated a three-part test:
Topics: legal research, property law, Steve Friedman, RESPA, qualified written request, prompt response by loan servicers required, request must be detailed/request specific informat, terms of loan and documents are not part of servic, 7th Circuit case, Catalan v. GMAC Mortg. Corp., 9th Circuit case, Medrano v. Flagstar BANK FSB
CIVIL PROCEDURE: Recovery of Costs in Federal Court by Prevailing Party
Posted by Gale Burns on Thu, Jan 3, 2013 @ 09:01 AM
The Lawletter Vol 37 No 10
Paul Ferrer, Senior Attorney, National Legal Research Group
Parties who secure a favorable judgment in federal court may be happy with the outcome but should not forgo seeking their recoverable costs as well. The Federal Rules of Civil Procedure specifically provide that "[u]nless a federal statute, these rules, or a court order provides otherwise, costs—other than attorney's fees—should be allowed to the prevailing party." Fed. R. Civ. P. 54(d)(1). The threshold question for any court prior to awarding costs under Rule 54(d) involves a determination of who the "prevailing party" is in the lawsuit. In general, a party prevails for purposes of Rule 54(d) when a final judgment awards it "substantial relief." Smart v. Local 702 Int'l Bhd. of Elec. Workers, 573 F.3d 523, 525 (7th Cir. 2009). A party that gets substantial relief prevails "even if it doesn't win on every claim." Slane v. Mariah Boats, Inc., 164 F.3d 1065, 1068 (7th Cir.), cert. denied, 527 U.S. 1005 (1999).
In Sommerfield v. City of Chicago, No. 06 C 3132, 2012 WL 5381255, at *2 (N.D. Ill. Oct. 31, 2012), for example, the plaintiff was determined to be the prevailing party because the jury had returned a verdict in his favor on two counts, awarding him $30,000, even though the jury had found against him on a third count and two other counts had been dismissed at the summary judgment stage. Sommerfield also exemplifies the concept that "a determination of who is the prevailing party for purposes of awarding costs should not depend on the position of the parties at each stage of the litigation but should be made when the controversy is finally decided." Repub. Tobacco Co. v. N. Atl. Trading Co., 481 F.3d 442, 446 (7th Cir. 2007) (quoting 10 Charles A. Wright et al., Federal Practice and Procedure § 2667 (3d ed. 2006)); see also Smart, 573 F.3d at 525 (a "final judgment" awarding substantial relief is "one that resolves all claims against all parties"). In Republic Tobacco, the court held that a party that had succeeded on a posttrial motion in having damages awarded against it reduced from $18.6 million to $7.44 million was not a prevailing party that could recover its costs in the district court under Rule 54(d). 481 F.3d at 446-47.
Topics: legal research, Paul Ferrer, ND Illinois, The Lawletter Vol 37 No 10, civil procedure, recovering costs by party receiving substantial re, district court has wide discretion in awarding cos, Sommerfield v. City of Chicago
FAMILY LAW: Common-Law Marriage—Mistaken Belief in Validity of Marriage
Posted by Gale Burns on Thu, Jan 3, 2013 @ 08:01 AM
The Lawletter Vol 37 No 10
Sandra Thomas, Senior Attorney, National Legal Research Group
Confirming the rule that Massachusetts does not recognize common-law marriage, the Appeals Court of Massachusetts, in Bedard v. Corliss, 973 N.E.2d 691, 693 (Mass. App. Ct. 2012), has refused to find a common-law marriage in a case in which the parties themselves believed they were married and had lived together for 21 years.
In 1983, Ethan Corliss and Carol Bedard took part in a marriage ceremony in Tijuana, Mexico, that was conducted by a man holding himself out as an attorney. His secretary acted as a witness. Ethan and Carol signed papers that were written in Spanish, which they did not understand. A few weeks later, a certificate of marriage written in English was mailed to them at their home in Massachusetts. During the 21 years that followed, the parties filed joint tax returns, bought property as husband and wife, held themselves out as husband and wife, and listed each other as spouses on employment and other documents.
Following Carol's death in 2004, Ethan was appointed as administrator of Carol's estate, listing himself as Carol's spouse. Carol's three adult children from a prior marriage had each given signed assent to his appointment.
One of the children subsequently changed her mind and challenged the validity of Ethan and Carol's marriage. Following an investigation, the parties stipulated that the marriage had not been a valid marriage under the law of Mexico. The marriage therefore could not be recognized by Massachusetts as a valid foreign marriage, and because Massachusetts does not recognize common-law marriage, the trial court concluded that there was no valid marriage. The court entered judgment revoking the decree appointing Ethan as administrator. Ethan appealed from this order.
In the meantime, Ethan had voluntarily distributed to Carol's children $120,000 that had been in a joint account that had become Ethan's property on Carol's death. Ethan had given the funds to Carol's children, although he was not legally obligated to do so, because it was his understanding that that was what Carol had wanted.
Ethan subsequently filed a complaint in equity to recover those funds. The trial court concluded that Ethan's gift had been based on the mistaken beliefs that Carol's children considered him to be Carol's husband and that they would follow through with their mother's wishes. The court held that these mistakes resulted in unjust enrichment, and it ordered the children to return those funds to Ethan. The children appealed from this order.
The appellate court reversed the judgment removing Ethan as administrator. Citing the decision in Poor v. Poor, 409 N.E.2d 758 (Mass. 1980), which held that an individual who has obtained the benefits of marriage is estopped from later denying that marriage, the court concluded that Carol would have been estopped from denying the existence of the marriage under the circumstances and, therefore, her children were estopped as well. The court reasoned that the intestacy statute was designed in part to protect the spouse of a person who has not written a will and concluded that "[t]he statute thus provides the kind of benefit of marriage that Carol herself would have been estopped from attempting to deny to Ethan through a challenge to the validity of their marriage." Bedard, 973 N.E.2d at 695.
Topics: legal research, family law, Sandra Thomas, Massachusetts law, no common-law marriage, 21-year relationship, marriage in Mexico not recognized as valid, The Lawletter Vol 37 No 10
CRIMINAL LAW: GPS Device Placed on Car Does Not Violate Fourth Amendment
Posted by Gale Burns on Thu, Jan 3, 2013 @ 08:01 AM
The Lawletter Vol 37 No 10
John Stone, Senior Attorney, National Legal Research Group
A drug enforcement officer got a tip that a particular van owned by a glass company might be used to transport illegal drugs from one Arizona town to another. When the van was found parked in a public parking lot, the officer, without a warrant, placed a global positioning ("GPS") device on it so that the police could monitor the van's movements. The van did not move for several days, but then the GPS device showed that it had been driven to the second town, where physical surveillance confirmed the move and found the van. There the driver of the van, who was an employee of the van's owner, was stopped for speeding and having excessive window tint, at which time he was also arrested on an outstanding warrant. The arresting officer who made the stop also was aware of the GPS device and that the van was suspected of carrying marijuana. A search of the van uncovered bundles of the drug, and the driver was charged with, and ultimately convicted of, drug offenses.
In appealing his conviction on the drug charges, the Defendant Estrella unsuccessfully argued that the placement and use of the GPS device on the vehicle he had been using constituted an unreasonable search under the Fourth Amendment. State v. Estrella, 286 P.3d 150 (Ariz. Ct. App. 2012). One contention—that the use of the GPS device had been a search under the trespass theory advanced in United States v. Jones, 132 S. Ct. 945 (2012)—was waived because it had not been raised in the trial court. The Jones Court had said that a trespass or an invasion of privacy, in combination with an attempt to find something or to obtain information, is a search within the meaning of the Fourth Amendment. In that case, attaching a GPS device to a vehicle owned by the suspect's wife but used exclusively by the suspect, and then using the device to monitor the vehicle's movements, was found to constitute a Fourth Amendment search.
Even in the absence of a trespass, a Fourth Amendment "search" occurs when the Government violates a subjective expectation of privacy that society recognizes as reasonable. A search does not occur unless an individual exhibits an expectation of privacy and society is willing to recognize that expectation as reasonable. Here the court held that Estrella did not have a reasonable expectation of privacy in his employer's van or its movements on public roads; thus, placement of the GPS device and data collection was not a "search," since Estrella had no interest in the van when the GPS device was attached in the public parking lot and subsequently monitored by law enforcement. Estrella provided no evidence that he had had permission to drive the van at the time the GPS device was attached to it.
Topics: legal research, GPS, trespass not raised in trial court, no reasonable expectation of privacy on public roa, use of employer's vehicle, length of tracking time not unreasonable, The Lawletter Vol 37 No 10, criminal law, John M Stone
TAX: Expensing the Cost of Developing a Vineyard
Posted by Gale Burns on Wed, Jan 2, 2013 @ 16:01 PM
The Lawletter Vol 37 No 10
Topics: legal research, Brad Pettit, The Lawletter Vol 37 No 10, vineyard deduction for tangible property, applicable for year placed in service
CRIMINAL LAW UPDATE: Reliability of Narcotics Dogs to Be Revisited by U.S. Supreme Court
Posted by Gale Burns on Mon, Dec 17, 2012 @ 11:12 AM
November 20, 2012
Doug Plank, Senior Attorney, National Legal Research Group
The use of narcotics-detecting dogs is a well-established practice in American law enforcement operations. Trained dogs are routinely used in an attempt to discover the presence of drugs in a variety of settings, including motor vehicle stops, investigative detentions of individuals in public places, and scans of luggage at airports, train stations, or bus terminals. For the most part, the courts have sanctioned the use of trained dogs in the belief that their ability to detect drugs is so well developed and reliable that when they alert on a location, drugs will be discovered there. However, some recent studies have placed that confidence in the performance of trained dogs into question. Now, in a case that will be sure to have widespread repercussions for law enforcement, the U.S. Supreme Court has agreed to revisit the issue of the use of trained narcotics dogs in law enforcement.
In its first decision addressing searches by dogs, United States v. Place, 462 U.S. 696, 707 (1983), the Supreme Court held that the use of a "well-trained narcotics detection dog" to detect the odor of narcotics in luggage at an airport was not a search for purposes of the Fourth Amendment, and the Court strongly implied that the subsequent alert by the dog on the luggage—indicating that the dog did indeed smell narcotics—was by itself a sufficient basis to determine that there was probable cause to justify a search warrant to search the luggage. In reaching that conclusion, the Court determined that the dog sniff was "sui generis" in investigative procedures, meaning that the sniff was "much less intrusive than a typical search," while at the same time reliably informative regarding the contents of the luggage. Id. The Court ultimately held in Place, however, that despite being supported by reasonable suspicion, the detention of the luggage for 90 minutes while awaiting the arrival of the detection dog was too unreasonable to be justified as an investigative detention under Terry v. Ohio, 392 U.S 1 (1968), and therefore invalidated all that followed. The Court thus found that the evidence discovered in the luggage had to be suppressed.
Subsequently, in Illinois v. Caballes, 543 U.S. 405 (2005), the Court held that the use of a narcotics-detection dog to sniff around the exterior of a motorist's vehicle during an investigative stop was not a search, again because of the lack of a cognizable infringement on the motorist's Fourth Amendment rights. After the dog had alerted on the trunk of the vehicle, the police searched the trunk and discovered narcotics. In reinstating the ruling of the trial court that the search of the trunk was supported by probable cause, the Supreme Court necessarily concluded that the alert by the dog was itself enough to provide probable cause to search.
Justice Souter wrote a dissenting opinion in Caballes that questioned the reliability of narcotics dogs and thus questioned the underlying justification for the Place rule. Souter argued that there was little reason to believe that a special rule should be applied to dog sniffs, as the unique reliability of trained dogs was simply not shown by empirical findings:
At the heart both of Place and the Court's opinion today is the proposition that sniffs by a trained dog are sui generis because a reaction by the dog in going alert is a response to nothing but the presence of contraband. . . .
Topics: legal research, probable cause, Fourth Amendment rights, narcotics dogs, dog alert not sufficient cause to search, U.S. Supreme Court certiorari granted, Florida v. Harris, admission of evidence, training and certification do not guarantee level, Doug Plank, criminal law
PERSONAL INJURY LAW UPDATE: Cause of Action for Wrongful Death of Nonviable Fetus
Posted by Gale Burns on Mon, Dec 17, 2012 @ 11:12 AM
December 18, 2012
Fred Shackelford, Senior Attorney, National Legal Research Group
Under English common law, a right of action for personal injury abated upon the injured person's death, and the decedent's dependents were left without a legal remedy. In 1846, the English Parliament enacted the Fatal Accidents Act, better known as Lord Campbell's Act, creating a cause of action for wrongful death. Before long, all of the state legislatures in the United States had passed similar wrongful death statutes.
However, beginning as early as 1884, American courts interpreted these statutes to exclude recovery for the death of unborn children. See Dietrich v. Inhabitants of Northampton, 138 Mass. 14 (1884). This trend began to change in 1946, as courts started to allow recovery for the wrongful death of infants who had been injured before birth but died after being born alive. Cf. Bonbrest v. Kotz, 65 F. Supp. 138 (D.D.C. 1946) (recognizing cause of action for prenatal injury incurred after fetus became viable). As of late 2011, at least 36 states generally recognized, whether by statute or case law, a cause of action for the death of an unborn child. Carranza v. United States, 2011 UT 80, & 14 n.9, 267 P.3d 912.
However, not all of these states have specifically addressed the issue of whether a cause of action exists for the death of an unborn child where the death occurs prior to the child's viability. Courts that have decided this issue have reached different conclusions. For example, courts in New York, North Carolina, and South Carolina have refused to allow recovery for the wrongful death of nonviable fetuses or have suggested that there can be no such recovery. Johnson v. Ruark Obstetrics & Gynecology Assocs., 365 S.E.2d 909, 912 (N.C. Ct. App. 1988) (dictum), aff'd, 395 S.E.2d 851 (N.C. 1990); Crosby v. Glasscock Trucking Co., 532 S.E.2d 856 (S.C. 2000); Bacani v. Rosenberg, 861 N.Y.S.2d 24 (App. Div. 2008). Conversely, courts in Alabama, Illinois, Missouri, Oklahoma, South Dakota, and Utah have recognized causes of action for the wrongful death of nonviable fetuses. Mack v. Carmack, 79 So. 3d 597 (Ala. 2011); Smith v. Mercy Hosp. & Med. Ctr., 560 N.E.2d 1164 (Ill. App. Ct. 1990); Connor v. Monkem Co., 898 S.W.2d 89, 92 (Mo. 1995); Pino v. United States, 2008 OK 26, 183 P.3d 1001; Wiersma v. Maple Leaf Farms, 1996 SD 16, 543 N.W.2d 787; Carranza, 2011 UT 80, & 14 n.9, 267 P.3d 912. See generally Sheldon R. Shapiro, Right to Maintain Action or to Recover Damages for Death of Unborn Child, 84 A.L.R.3d 411.
Of course, since wrongful death causes of action arise by statute, the issue is typically resolved by interpreting statutory language. The Restatement (Second) of Torts reflects this reality:
Harm To Unborn Child
(1) One who tortiously causes harm to an unborn child is subject to liability to the child for the harm if the child is born alive.
(2) If the child is not born alive, there is no liability unless the applicable wrongful death statute so provides.
Restatement § 869.
Topics: legal research, Fred Shackelford, wrongful death, cause of action for nonviable fetus, trend toward allowing recovery, personal injury