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August 2021

Balsamo v. Corrigan Enterprises, Inc.

2021 WL 3700353

UNPUBLISHED OPINION. CHECK COURT RULES BEFORE CITING.
If this opinion indicates that it is “FOR PUBLICATION,” it is subject to revision until final publication in the Michigan Appeals Reports.
UNPUBLISHED
Court of Appeals of Michigan.
GIUSEPPE BALSAMO, Plaintiff-Appellee,
v.
CORRIGAN ENTERPRISES, INC, and JUSTIN PRALL, Defendants-Appellants,
and
JOHN DOE CORPORATION, Defendant.
No. 354137
|
August 19, 2021
Oakland Circuit Court
LC No. 2019-170980-NO
Before: RIORDAN, P.J., and MARKEY and SWARTZLE, JJ.
Opinion

PER CURIAM.

*1 Defendants Corrigan Enterprises, Inc. and Justin Prall appeal by leave granted the trial court’s denial of their motion for partial summary disposition under MCR 2.116(C)(10). See Balsamo v John Doe Corp, unpublished order of the Court of appeals, entered September 24, 2020 (Docket No. 354137). Because we conclude that plaintiff Giuseppe Balsamo’s injuries arose out of the ownership, maintenance, or use of a motor vehicle under MCL 500.3135, the No-Fault Act applies to this lawsuit. Therefore, we reverse the trial court’s order denying defendant’s motion for partial summary disposition and remand for entry of an order granting that motion.

I. BACKGROUND
A. THE INCIDENT
On January 3, 2019, the Oakland County Sheriff’s Department responded to a location in Rochester Hills, at the entrance to a new subdivision that is being built by Trowbridge Homes. The incident report stated that the sheriff’s deputy responded to assist the Rochester Hills Fire Department regarding “occupational injuries,” and that the deputy was dispatched “in reference to a piece of equipment that had fallen on top of a construction worker.”

Upon his arrival, the sheriff’s deputy saw a piece of heavy construction equipment, an Ingersoll Rand Roller, “tipped onto its left side, off the roadway on the east side of the road.” Immediately to the north, he “observed a semi/flatbed trailer combination facing north.” The sheriff’s deputy spoke with plaintiff, who reported that he “had been in the operator’s seat as he was unloading it [the roller] from the trailer when it struck the east curb and overturned”; he had been pinned underneath the machine; and he had suffered injuries. The Rochester Hills Fire Department transported plaintiff to the hospital with “non-life threatening injuries.” The police report listed plaintiff as the victim, and described him as the “roller operator.” The report listed two witnesses to the incident: Mark Poulter, an employee of Boss Construction, and defendant Prall, an employee of Corrigan, who was described as the “flatbed operator.” The report listed Trowbridge Homes as the “employer of injured worker,” R&B Pipe as the “owner of roller,” and Corrigan as the “company delivering roller to job site.”

At his deposition, Prall testified that he worked for defendant Corrigan as a “heavy hauler.” His job responsibilities included loading equipment onto flatbed trailers and towing that equipment to job sites. On the day of the incident, Prall was operating a “tilt deck Landoll trailer” that was 49 or 50 feet long. This type of trailer “uses hydraulic rams to lift the deck of the trailer and a second set of hydraulic rams to pull the axles forward” so the operator can “take the very back of the trailer and set it on the ground, so the trailer turns into its own ramp.” The trailer deck can be operated with manual levers located on the side of the trailer, or with a handheld device with push buttons.

On the day of the incident, Prall drove a semi-truck and its attached trailer to the construction site where plaintiff was working, to deliver two pieces of heavy equipment. Prall testified that he first removed one piece of heavy equipment, a “smooth drum roller,” from the trailer. He did so by himself, while standing off to the side of the trailer and operating the handheld device. After the trailer deck was on the ground, Prall climbed into the driver’s seat of the “smooth drum roller” and drove it to the spot on the construction site where he was motioned to park it.

*2 Prall then sought help to remove the larger piece of heavy equipment from the trailer. According to Prall, he approached a group of three workers on the construction site and said, “[W]hich one of you brave souls wants to assist me?” Prall recalled that he said this “in a joking manner, because it was meant to be an icebreaker type of statement.” He recalled that the men laughed, and asked why he needed help. Prall informed them that the trailer “deck was really slick and I was worried about trying to get it [the heavy equipment] off myself.” According to Prall, plaintiff volunteered to help. Prall claimed that he asked plaintiff if he was sure that he wanted to help, and that he reiterated to plaintiff that the trailer deck was slick.

According to Prall, he and plaintiff walked over to the trailer, and Prall explained his plan regarding how he would unload the roller from the trailer. Plaintiff climbed up onto the roller, with the intention of “trying to hold the machine steady” while Prall tipped the trailer deck underneath it. After plaintiff climbed into the driver’s seat of the roller, Prall started lifting the trailer deck. As Prall testified:
I had already gotten it [the trailer deck] probably two and a half, three feet high and it [the roller] started sliding backwards. And then all the sudden, from my perspective, it just—I seen him [plaintiff] stand up and jump off towards the passenger side of the truck, which would have been the left side of the machine, and then I seen the machine almost immediately flop off the side of the trailer.

Poulter testified that he was a heavy-equipment operator, and that he was on site to “move dirt” for the condominium development then under construction. Although Poulter was familiar with how to operate a roller like the one in question, and although he had offloaded such rollers from flatbed trailers before, that was not part of his responsibilities at this job site. On the day in question, Prall came over and asked for help unloading the larger roller from the trailer. Poulter declined because he felt that this was not his job responsibility. Instead, Poulter heard plaintiff volunteer to help Prall.

Poulter observed that the weather was cold that day, and that both the road and the trailer were icy and wet. As he observed plaintiff “hopping on the machine,” he told plaintiff to “put his seat belt on,” and asked plaintiff if he wanted a hard hat. He did not recall whether plaintiff responded about the seat belt, but he did recall that plaintiff declined the hard hat. According to Poulter, Prall “had the controls, he lowered it [the trailer deck] about two inches, and then the roller just start [sic] sliding and went off the edge.” This all happened very quickly, and nobody had “a lot of time to react.” Poulter observed plaintiff “holding on, and then at the last second, it [the roller] started tipping over and he [plaintiff] tried to jump off of it.” According to Poulter, plaintiff “didn’t jump far enough and it landed on him.” Poulter opined that plaintiff should have used the seat belt on the roller because it “[w]ould have kept him in the seat” and because the roll bar would have protected him when the roller landed on its side.

Plaintiff testified that, on the date of the incident, he arrived on the job site at about 10:45 a.m., and that the incident occurred at about 11:00 a.m. The first thing plaintiff noticed was that Prall had arrived with a trailer carrying two pieces of heavy equipment. Plaintiff confirmed that Prall approached him and two other individuals and asked something to the effect, “Which one of you three brave souls wants to give me a hand?” Plaintiff confirmed that he volunteered to help, and Prall informed him that he needed plaintiff to “get up on the machine and drive it down for me.” Because the “smooth drum roller” had already been unloaded from the trailer, Prall’s request for help related to the larger of the two rollers.

*3 Plaintiff noticed that the trailer was icy. According to plaintiff, he asked if Prall had any salt, or if Prall wanted to go purchase some salt. Prall said no. Plaintiff denied, however, that he was concerned about the ice. He stated that he only asked about the salt because he had “seen truck drivers throw salt on the deck of their trailers.” After noticing the ice, plaintiff climbed up the side of the trailer and into the driver’s seat of the roller.

Plaintiff recalled that Prall began to move the trailer deck, and plaintiff “tried to throttle forward gently” with the roller, but the roller “wasn’t moving forward,” and one tire began to spin. Prall informed plaintiff that the roller’s parking brake was engaged, and Prall climbed up onto the trailer and released it. Prall then climbed back down to the ground, and used his wireless remote to operate the trailer deck. As he began to lift the trailer deck again, plaintiff “began to throttle forward gently” at a “crawl.” According to plaintiff, the roller “just broke way and began to slide towards the edge of the trailer, the left side of the trailer,” on the passenger side of the semi-truck. Plaintiff tried to adjust the steering wheel, but the “momentum and everything just sent it, you know, careening off that side of the trailer.”

Plaintiff claimed that the roller “Threw me off, or I fell off in whatever manner.” Plaintiff admitted that he did not fasten the seat belt when he climbed onto the roller, but stated that he had remained in the driver’s seat until the machine hit the ground, and that is when he was thrown from the machine. Plaintiff expressly denied that he attempted to get off the roller as it was sliding. Plaintiff did not know how he came to rest under the machine. Plaintiff remembered that, after the roller slid off the trailer and pinned him to the ground, Prall and Poulter worked together to lift the roller off of him, using another piece of heavy equipment and a chain.

B. PLAINTIFF’S COMPLAINTS
Plaintiff filed five different complaints in the trial court: an original complaint, a First Amended Complaint, a Second Amended Complaint, and two different versions of a Third Amended Complaint (only the second version of the Third Amended Complaint was accepted for filing by the trial court). The parties and claims contained in those pleadings changed over time.

In his First Amended Complaint, plaintiff named Corrigan and Prall as defendants. Plaintiff alleged two claims against these defendants: Count I—negligence (against Prall and Corrigan) and Count II—vicarious liability/respondeat superior (against Corrigan). In this version of his complaint, plaintiff alleged that Corrigan “owned and operated” the flatbed trailer, and that Prall “had difficulty loading the subject roller onto the Corrigan trailer due, at least in part, to significant ice buildup and icy conditions on the trailer.” Further, plaintiff alleged that “[i]n the process of removing the roller from the trailer,” and “due to the icy conditions of the trailer,” the roller “slid off the trailer and flipped over pinning plaintiff” and causing serious injuries. Plaintiff alleged that Prall was negligent in several respects, including “[f]ailing to de-ice the subject trailer,” and any other “acts and omissions that become known through further discovery.”

On August 27, 2019, plaintiff filed a motion seeking leave to file a Second Amended Complaint. In that motion, plaintiff stated that it had “recently come to Plaintiff’s attention” that his First Amended Complaint did “not address the ownership liability of Defendant Corrigan.” Plaintiff assured the trial court that he “is not changing his theories or stating a new claim, but that he was “merely making a correction to the Complaint.” In his proposed Second Amended Complaint, plaintiff alleged three claims against Prall and Corrigan: Count I—negligence (against Prall and Corrigan), and Count II—vicarious liability/respondeat superior (against Corrigan), and Count III—ownership liability (against Corrigan). The trial court entered an order allowing plaintiff to amend his complaint to add the additional count against Corrigan regarding ownership liability.

*4 In this version of the complaint, plaintiff alleged all of the matters discussed above regarding the First Amended Complaint, but added a count titled “Ownership Liability.” Under that count, plaintiff alleged that “defendant Corrigan was the owner and/or registrant of the subject flatbed trailer,” and that the trailer “was operated under the control and guidance” of Prall. Plaintiff further alleged, “While in the process of unloading the subject Ingersoll Rand Roller from the subject flatbed trailer, with plaintiff Balsamo driving and guiding the roller off the trailer at the instruction and direction of defendant Prall, the roller, due to the icy conditions of the trailer, slid off of the trailer and flipped over,” injuring plaintiff. Plaintiff concluded by asserting that Corrigan was liable for his injuries, under the doctrine of ownership liability, because it purportedly owned the trailer.

C. DISPOSITIVE MOTIONS
After plaintiff filed his Second Amended Complaint, defendants submitted two dispositive motions to the trial court, on the same day. The premise of both motions was that plaintiff’s claims against defendants was governed by the No-Fault Act and that defenses available under that act applied to limit defendants’ liability. First, defendants filed a motion for summary disposition based on MCL 500.3135(2)(b), which provides that, in a lawsuit seeking threshold damages arising from an automobile accident, damages must not be assessed in favor of a party who is more than 50% at fault. Second, defendants filed a motion for partial summary disposition regarding plaintiff’s ability to recover economic damages.

In plaintiff’s response to defendants’ dispositive motions, plaintiff raised two basic arguments: (1) the No-Fault Act does not apply to this lawsuit, and (2) regardless of whether the No-Fault Act applies, genuine issues of material fact existed concerning each party’s alleged negligence or comparative negligence. Plaintiff argued that he had not filed an automobile-negligence case. Rather, plaintiff argued that he had filed “a straight forward construction accident case alleging general negligence (stupidity) not only on behalf of defendant Prall, but also his employers (defendants Corrigan/Brighton) due to a lack of employee supervision and training.” According to plaintiff, “This suit sounds strictly in general negligence under traditional theories of tort liability in the context of construction law.”

Plaintiff argued that, for the No-Fault Act to apply, plaintiff’s injury had to arise from Prall’s ownership, maintenance, or use of a motor vehicle. Plaintiff conceded that the flatbed trailer being operated by Prall at the time of the incident fell within the definition of a “motor vehicle” for purposes of the No-Fault Act. Plaintiff argued, nonetheless, that his injury did not arise from the ownership, maintenance, or use of a motor vehicle because there was no causal connection between his injury and Prall’s use of the trailer as a motor vehicle. Plaintiff’s argument had two prongs. First, plaintiff posited that his injury was not related to Prall’s use of the flatbed trailer, but was only related to “the roller falling on top of him.” Second, plaintiff argued that the flatbed trailer had been parked for some time—therefore, it was not in use as a motor vehicle at the time plaintiff’s injuries occurred. Essentially, plaintiff argued that the trailer was not being used as a motor vehicle at the time that plaintiff and Prall were unloading it because it was not being driven at that moment. Therefore, according to plaintiff, his injuries were not caused by Prall’s ownership, maintenance, or use of a motor vehicle. According to plaintiff, because the only possible motor vehicle involved in this case—the flatbed trailer—was not being used as a motor vehicle, the No-Fault Act did not apply to this lawsuit.

In his trial-court brief, plaintiff relied on a report prepared by his retained engineering-liability expert, Kevin Smith, a MIOSHA citation issued to defendant Corrigan, and the manual for the trailer. Plaintiff argued that the trailer’s manual “required a completely different and safer operation of the trailer,” including the use of a winch “to guide and control this type of roller” off the trailer. Plaintiff’s expert witness concluded that “Prall clearly did not follow the proper unloading procedure” for the trailer, “causing the accident.” The expert discussed the angle at which Prall had tilted the trailer deck, his failure to use the trailer’s winch to secure the heavy equipment on the trailer deck, and his failure to ensure that no one was on the trailer deck while he was moving it. The MIOSHA citation likewise concluded that Prall “did not follow manufacturers unloading procedure” for the trailer because he “did not have the winch attached to his soil compactor during the unloading process.”

*5 Plaintiff’s brief then discussed first-party liability for PIP benefits under the No-Fault Act. Plaintiff pointed to MCL 500.3106(2), which states, “Accidental bodily injury does not arise out of the ownership, operation, maintenance, or use of a parked vehicle as a motor vehicle if” (1) an employee is paid workers’ compensation benefits, (2) for an injury sustained in the course of his employment, (3) while loading, unloading, or doing mechanical work on a motor vehicle, (4) unless the injury arose from the use or operation of another motor vehicle. Citing the PIP statute, plaintiff argued that no portion of an incident falls under the No-Fault Act if the injured person is paid workers compensation benefits for an injury incurred while unloading from a parked vehicle. Plaintiff provided documentation that he had received workers’ compensation benefits related to his injury and argued that, because he could not collect PIP benefits, the No-Fault Act did not apply to his claims against defendants.

The trial court issued two separate orders denying defendants’ dispositive motions. On April 10, 2020, the trial court issued an order dispensing with oral argument and denying plaintiff’s motion for summary disposition “for the reasons stated in plaintiff’s response.” The trial court’s ruling on this motion is not before this Court on appeal. On May 27, 2020, the trial court issued an order dispensing with oral argument and denying defendants’ motion for partial summary disposition regarding economic damages “for the reasons stated in plaintiff’s response.” The propriety of this second trial-court order is before this Court on appeal. Defendants subsequently moved the trial court for reconsideration of its decision denying defendants’ motion for partial summary disposition regarding the availability of economic damages. The trial court denied the motion for reconsideration.

Defendants Corrigan and Prall filed in this Court an application for leave to appeal from the trial court’s order denying their motion for partial summary disposition and the order denying the motion for reconsideration. On September 24, 2020, this Court granted leave to appeal, “limited to the issues raised in the application.” Balsamo v John Doe Corp, unpublished order of the Court of appeals, entered September 24, 2020 (Docket No. 354137). Thereafter, the trial court entered an order staying further proceedings in this case “pending the outcome of Defendants’ interlocutory appeal.” The trial court’s order denying defendants’ motion for partial summary disposition now comes before this Court for interlocutory review.

II. ANALYSIS
On appeal, defendants challenge the trial court’s denial of their motion for partial summary disposition filed under MCR 2.116(C)(10). A trial court’s grant or denial of summary disposition is reviewed de novo on appeal. Gen Motors Corp v Dep’t of Treasury, 466 Mich 231, 236; 644 NW2d 734 (2002). Under MCR 2.116(C)(10), summary disposition is appropriate if “there is no genuine issue as to any material fact, and the moving party is entitled to judgment or partial judgment as a matter of law.” MCR 2.116(C)(10). “A genuine issue of material fact exists when the record, giving the benefit of reasonable doubt to the opposing party, leaves open an issue upon which reasonable minds might differ.” West v Gen Motors Corp, 469 Mich 177, 183; 665 NW2d 468 (2003). This Court reviews questions of law de novo. Gen Motors, 466 Mich at 236.

“In ruling on a motion for summary disposition, a court considers the evidence then available to it,” and will not consider evidence filed after the ruling. Quinto v Cross & Peters Co, 451 Mich 358, 366 n 5; 547 NW2d 314 (1996). Accordingly, on appeal, this Court will not consider evidence that was not presented to the trial court for its consideration until after its ruling that is challenged on appeal. Id. In the present case, this includes anything alleged in or attached to the Third Amended Complaint, which was accepted for filing by the trial court after it ruled on defendants’ motion for partial summary disposition.

A. THE NO-FAULT ACT
*6 Defendants argue that plaintiff’s lawsuit is properly understood as a third-party tort case under MCL 500.3135(1). We note that, if an injury arises out of the ownership, maintenance, or use of a motor vehicle, liability is governed by the provisions of the No-Fault Act. Michigan Bell Telephone Co v Short, 153 Mich App 431, 434; 395 NW2d 70 (1986). “Failure to plead the no-fault statute” is not dispositive of whether a plaintiff’s cause of action falls under the act. Id. “Courts are not bound by the labels that parties attach to their claims. Indeed, it is well settled that the gravamen of an action is determined by reading the complaint as a whole, and by looking beyond mere procedural labels to determine the exact nature of the claim.” Buhalis v Trinity Continuing Care Servs, 296 Mich App 685, 691-692; 822 NW2d 254 (2012) (cleaned up). Thus, to determine whether plaintiff’s lawsuit is governed by the No-Fault Act, this Court must examine whether a “motor vehicle” was involved in this incident, and whether plaintiff’s injuries arise out of the “ownership, maintenance or use” of that motor vehicle. See MCL 500.3135(1).

For purposes of the No-Fault Act, a “motor vehicle” is defined as “a vehicle, including a trailer, that is operated or designed for operation on a public highway by power other than muscular power and has more than 2 wheels.” MCL 500.3101(3)(i) (emphasis added). It is clear that the trailer involved in this case is a “motor vehicle” under this statutory definition. See Bialochowski v Cross Concrete Pumping Co, 428 Mich 219, 226; 407 NW2d 355 (1987), overruled on other grounds by Winter v Auto Club of Mich, 433 Mich 446; 446 NW2d 132 (1989) (“There is no question that the equipment truck here involved meets this definition as it is designed for operation on a public highway by power other than muscular power and has four wheels.”). See also Parks v DAIIE, 426 Mich 191, 198; 393 NW2d 833 (1986) (a semi-trailer is a “motor vehicle” with an identity separate from that of the semi-tractor to which it is attached); Great American Ins Co v Old Republic Ins Co, 180 Mich App 508, 512 n 8; 448 NW2d 493 (1989) (“A trailer is a motor vehicle under the no-fault act.”); Jasinski v National Indem Ins Co, 151 Mich App 812, 819; 391 NW2d 500 (1986) (a semi-tractor and a semi-trailer are two separate motor vehicles within the meaning of the No-Fault Act); Kelly v Inter-City Truck Lines, Inc, 121 Mich App 208, 209-210; 328 NW2d 406 (1982) (a semi-trailer is a “motor vehicle” under the No-Fault Act even when it is not attached to the cab of a semi-tractor). The trailer involved in this case was designed for operation on a public highway by power other than muscular power, and it has more than two wheels. And, in any event, plaintiff conceded in his trial-court briefing that the trailer is a “motor vehicle,” stating that “the flatbed trailer appears to fall under the statute’s definition of a motor vehicle.” Thus, the trailer involved in this case is a “motor vehicle” for purposes of the No-Fault Act.

In contrast to the trailer, the roller involved in this case is not a “motor vehicle” under MCL 500.3101(3)(i). The trial-court record indicates that the roller has only two wheels and a roller drum with large metal lugs. It appears that the roller is intended for use as a piece of soil-compaction equipment and is not “designed for operation on a public highway.” MCL 500.3101(3)(i). Plaintiff argued in the trial court that the roller did not qualify as a “motor vehicle” under the statute, and defendants conceded this point by stating, “This is a true statement.” Thus, the roller involved in this case is not a “motor vehicle” for purposes of the No-Fault Act.

Having determined that the trailer is a “motor vehicle” as defined by the No-Fault Act and that the roller is not, we proceed to examine whether plaintiff’s injuries arose out of the “ownership, maintenance, or use of a motor vehicle,” i.e., the trailer. See MCL 500.3135(1). Relevant to this issue, the No-Fault Act provides:
*7 (1) A person remains subject to tort liability for noneconomic loss caused by his or her ownership, maintenance, or use of a motor vehicle only if the injured person has suffered death, serious impairment of body function, or permanent serious disfigurement.
(2) For a cause of action for damages under subsection (1) or (3)(d), all of the following apply:
* * *

(b) Damages must be assessed on the basis of comparative fault, except that damages must not be assessed in favor of a party who is more than 50% at fault.
* * *

(3) Notwithstanding any other provision of law, tort liability arising from the ownership, maintenance, or use within this state of a motor vehicle with respect to which the security required by section 3101(1) was in effect is abolished except as to:
* * *

(b) Damages for noneconomic loss as provided and limited in subsections (1) and (2). [MCL 500.3135.]
For purposes of this appeal, defendants do not dispute that plaintiff suffered a serious impairment of body function under MCL 500.3135(1), and there is similarly no dispute that the incident occurred “within this state” or that the security required by section 3101(1) was in effect. Therefore, if plaintiff’s injuries arose from defendants’ “ownership, maintenance, or use” of a motor vehicle, then plaintiff’s potential recovery from defendants is limited to damages for noneconomic loss. MCL 500.3135(1), (3)(b).

In his Second Amended Complaint, plaintiff alleged that “defendant Corrigan was the owner and/or registrant of the subject flatbed trailer,” and that “at all times relevant to this action, the subject flatbed trailer, was operated under the control and guidance of defendant Corrigan’s employee, defendant Prall.” Plaintiff obtained the trial court’s permission to file the Second Amended Complaint based on his representation that he was “not changing his theories or stating a new claim,” but that he was “merely making a correction to the Complaint” because it had “recently come to Plaintiff’s attention” that his First Amended Complaint did “not address the ownership liability of Defendant Corrigan.” The count that plaintiff added through his Second Amended Complaint was an ownership-liability claim against Corrigan. See MCL 257.401(1): “The owner of a motor vehicle is liable for an injury caused by the negligent operation of the motor vehicle whether the negligence consists of a violation of a statute of this state or the ordinary care standard required by common law.” (Emphasis added.) Thus, plaintiff alleged clearly in his Second Amended Complaint that Prall had operated the trailer negligently, leading to ownership liability for Corrigan. At the time the trial court decided defendants’ motion for partial summary disposition, plaintiff’s complaint alleged negligent operation by defendant Prall of the motor vehicle owned by defendant Corrigan.

Several decisions of this Court discussing the unloading of “motor vehicles” are persuasive with regard to determining whether the No-Fault Act applies to plaintiff’s claims in this lawsuit. See Drake v Citizens Ins Co of America, 270 Mich App 22; 715 NW2d 387 (2006); Gunsell v Ryan, 236 Mich App 204; 599 NW2d 767 (1999), overruled on other grounds by Frazier v Allstate Ins Co, 490 Mich 381; 808 NW2d 450 (2011)1; Celina Mut Ins Co v Citizens Ins Co, 136 Mich App 315; 355 NW2d 916 (1984); Citizens Ins Co of America, 135 Mich App 465; 354 NW2d 385 (1984).

*8 In Gunsell, this Court held that a plaintiff could not bypass the strictures of the No-Fault Act by bringing a general-negligence action against a vehicle owner. In that case, the plaintiff was working as a mail dispatcher for the United States Postal Service. The plaintiff “injured his back when he lifted the rear door of defendant’s small semitrailer, which was not working properly.” Gunsell, 236 Mich App at 206. The plaintiff initially “appeared to bring this suit as a third-party claim under the [N]o-[F]ault [A]ct,” but when he received a notice of lien regarding benefits paid to him through his employment, he amended his complaint to remove references to the No-Fault Act and attempted to proceed with the lawsuit “under a general negligence principle.” Id. at 207. The trial court granted the plaintiff permission to amend his complaint, which “eased plaintiff’s burden at trial, because plaintiff no longer had to prove a serious impairment of body function, and allowed him to pursue economic damages he could not have recovered under the [N]o-[F]ault [A]ct.” Id. On appeal, this Court held that the trial court erred and that the case “should have been decided under the no-fault statute with its attendant limitations on third-party liability.” Id. at 208. Gunsell is instructive for the general principle that a plaintiff cannot bypass the applicability of the No-Fault Act by framing his lawsuit as one alleging general or ordinary negligence.

In Drake, a “grain delivery truck” arrived at the farm where the plaintiff was employed to deliver animal feed. Drake, 270 Mich App at 24. The driver backed the truck to a silo and activated the truck’s auger system to unload the feed. Id. The driver realized that the auger system had become clogged, and the plaintiff attempted to assist the driver in unclogging it. The driver activated the auger without warning, and the plaintiff lost part of two fingers. Id. The trial court ruled that the plaintiff’s injuries were covered under the No-Fault Act, and this Court affirmed that ruling. Id. at 24, 39. The Court’s opinion in Drake is instructive here because it held that a plaintiff’s injury sustained while helping a truck driver unload cargo from a parked vehicle is subject to the provisions of the No-Fault Act.

In Citizens, a semi-truck driver was injured while attempting to unload a trailer. This Court described the facts of the case as follows:
The relevant facts are undisputed. On September 21, 1981, Roadway’s employee, James A. Lang, was injured during the course of his employment. Upon arriving at a delivery location, Lang exited from the cab portion (tractor) of Roadway’s 45-foot-long tractor-trailer combination and walked to the rear of the storage portion (trailer). In an attempt to open the trailer’s overhead door, Lang fell off the trailer’s rear ICC bar and injured his back. [Citizens, 135 Mich App at 467.]
On appeal, this Court faced the question whether the trailer was a separate and distinct “motor vehicle” from the tractor for purposes of the No-Fault Act. Id. at 469. This Court looked to Kelly, 121 Mich App at 211, where this Court held that “a semi-trailer, whether attached to a cab or freestanding, is a ‘motor vehicle’ under the no-fault act.” Id. at 470. This Court then concluded that “a trailer remains a separate ‘motor vehicle’ when it is hooked up to a tractor.” Id. at 471, citing MCL 500.3101(2)(c). For purposes of this case, Citizens is instructive because it establishes that: (1) a semi-trailer is a “motor vehicle” under the No-Fault Act; and (2) provisions of the No-Fault Act apply to injuries sustained by a person who falls off a parked semi-trailer during the process of unloading that trailer.

Finally, in Celina, this Court considered a case that involved the loading of steel tubing onto a semi-trailer. In that case, the semi-trailer was parked at a loading dock. A crane operator used “an overhead crane affixed to the loading dock’s ceiling” to remove a bundle of steel tubing from the semi-trailer, stack them into piles, and reload them onto the truck. Celina, 136 Mich App at 317. In attempting to stack the tubing into piles, “the crane operator accidentally knocked a bundle off a previously stacked pile and that bundle rolled into and injured” the plaintiff. Id. at 317-318. The plaintiff sued “for negligent operation of the crane during the loading process.” Id. at 318. This Court held that MCL 500.3106(1)(b) “makes compensable injuries which are a direct result of physical contact with property lifted onto or lowered from the parked vehicle in the loading or unloading process.” Id. at 319. The Court’s opinion in Celina is instructive here because it demonstrates that a claim for injuries arising from the loading or unloading of a parked semi-trailer is subject to the No-Fault Act.

*9 Applying these authorities to the present case, and examining the gravamen of plaintiff’s complaint and the evidence before the trial court at the time defendants filed their motion, we conclude that plaintiff’s injuries arose out of the ownership, maintenance, or use of a motor vehicle, and that liability is therefore governed by the No-Fault Act.

B. CAUSATION
Plaintiff argued in the trial court, however, that the No-Fault Act does not apply to this lawsuit because his injuries did not arise from Prall’s operation of the trailer, but arose from the fact that the roller fell on him. Therefore, plaintiff is arguing that an insufficient causal connection exists between Prall’s operation of the trailer’s tilt-deck and plaintiff’s injuries. We conclude that this argument is without merit.

It is uncontested that, at the time of plaintiff’s injuries, Prall was moving the tilt-deck of the trailer in an attempt to place it on the ground so that plaintiff could drive the roller off the trailer. In the trial court, plaintiff drew a direct connection between Prall’s movement of the tilt-deck and plaintiff’s injuries. In opposition to defendants’ motion for partial summary disposition, plaintiff provided his expert-witness report to the trial court. That report concluded that Prall’s actions in the “significant and unnecessary lifting of the tilt bed while someone was on the equipment on the trailer is the direct cause of the roller/compactor sliding off the trailer.” Plaintiff also took issue with Prall’s decision to operate the trailer’s tilt-deck without salting it, alleging that Prall was negligent in “failing to de-ice the subject trailer” before operating it. On appeal, plaintiff likewise states that “Defendant Prall then used the remote control to lift the front of the trailer in an attempt to unload the roller, causing the roller to slide.” (Emphasis added.)

If an injury arises out of the ownership, maintenance or use of a motor vehicle, liability is governed by the provisions of the No-Fault Act. Michigan Bell, 153 Mich App at 434. Thus, “some sort of causal connection between the injury and the ownership, maintenance, or use of the vehicle” is required for the No-Fault Act to apply. Thornton v Allstate Ins Co, 425 Mich 643, 649; 391 NW2d 320 (1986). Typical “but for” causation is insufficient:
[W]hile the automobile need not be the proximate cause of the injury, there still must be a causal connection between the injury sustained and the ownership, maintenance or use of the automobile and which causal connection is more than incidental, fortuitous or but for. The injury must be foreseeably identifiable with the normal use, maintenance and ownership of the vehicle. [Id. at 650-651, quoting Kangas v Aetna Cas & Surety Co, 64 Mich App 1, 17; 235 NW2d 42 (1975).]
In this case, the tilt-deck trailer owned by Corrigan and operated by Prall was designed for the loading, carrying, and unloading of heavy cargo. The normal use of the motor vehicle involved operation of the tilt-deck while heavy equipment was located on that deck. Plaintiff alleged that Prall acted negligently because he tilted the deck—in icy conditions—without using the attached winch to secure the heavy equipment, which could have prevented that heavy equipment from sliding during movement of the underlying deck. In light of the allegations in plaintiff’s Second Amended Complaint and plaintiff’s expert-witness report, and under the Thornton/Kangas analysis, we conclude that there is no genuine issue of material fact. Plaintiff alleged that his injuries were causally connected to Prall’s operation of the trailer, and the evidence before the trial court supported those allegations. The No-Fault Act applies to plaintiff’s claims.

C. THE TRAILER AS A PARKED VEHICLE
*10 It is uncontested that the trailer was parked at the time of plaintiff’s injuries. In the trial court, plaintiff argued that, because the trailer was parked, it was not a motor vehicle in use as a motor vehicle, and therefore the No-Fault Act does not apply to this case. Plaintiff repeats this argument on appeal, positing that the No-Fault Act cannot apply to the unloading of a stationary trailer that was not involved in a motor-vehicle accident. We conclude that plaintiff’s argument is an incorrect statement of Michigan law.

First, we note that plaintiff’s argument runs contrary to the holdings in Gunsell, Drake, Celina, and Citizens, all of which involved a parked vehicle. Second, plaintiff’s argument is based on language found in the PIP provisions of the No-Fault Act. “Under personal protection insurance an insurer is liable to pay benefits for accidental bodily injury arising out of the ownership, operation, maintenance or use of a motor vehicle as a motor vehicle, subject to the provisions of this chapter.” MCL 500.3105(1) (emphasis added). The term “accidental bodily injury” is not, however, found in the No-Fault Act’s third-party tort provision, MCL 500.3135. As such, whether an “accidental bodily injury” has occurred, so as to enable plaintiff to recover PIP benefits, has no bearing on whether a defendant may avail himself of the protections of MCL 500.3135 when accused of negligence arising from his own use of a motor vehicle.

As defendants point out, this is not a PIP case. Plaintiff claims that, because MCL 500.3106 precludes him from collecting PIP benefits, his claims against Prall and Corrigan do “not fall within the No-Fault Act.” Plaintiff cites no caselaw holding that, where a plaintiff receives workers’ compensation benefits in lieu of PIP benefits, his injuries do not arise from the ownership, maintenance, or use of a motor vehicle. Plaintiff’s argument is simply unsupported and should not have been relied upon by the trial court in denying defendants’ motion for partial summary disposition. But, assuming arguendo that the statutory language applicable to PIP claims somehow applies to this non-PIP case, plaintiff’s argument nonetheless fails.

In Kemp v Farm Bureau Gen Ins Co of Michigan, 500 Mich 245, 253; 901 NW2d 534 (2017), the Michigan Supreme Court addressed the meaning of MCL 500.3106(1), and provided a “three-step framework to analyze coverage of injuries related to parked motor vehicles.”
First, the claimant must demonstrate that his or her conduct fits one of the three exceptions of subsection 3106(1). Second, the claimant must show that the injury arose out of the ownership, operation, maintenance, or use of the parked motor vehicle as a motor vehicle. Finally, the claimant must demonstrate that the injury had a causal relationship to the parked motor vehicle that is more than incidental, fortuitous, or but for. [Id. at 253 (cleaned up).]

The first factor of the Kemp test would be satisfied in this case because plaintiff’s injuries arose when the roller fell on plaintiff as it was being “lowered from the vehicle in the loading or unloading process.” MCL 500.3106(1)(b). That statutory section expressly delineates when accidental bodily injury arises from “the ownership, operation, maintenance or use of a motor vehicle as a motor vehicle,” if the vehicle is parked. The PIP provisions of the No-Fault Act apply to cases involving parked vehicles where “the injury was a direct result of physical contact with equipment permanently mounted on the vehicle, while the equipment was being operated or used, or property being lifted onto or lowered from the vehicle in the loading or unloading process.” MCL 500.3106(1)(b) (emphasis added). Thus, the No-Fault Act applies where the plaintiff’s injury was a direct result of physical contact with property being lowered from a motor vehicle during the unloading process. In this case, the roller was being lowered from the trailer during the unloading process and it had direct physical contact with plaintiff. Therefore, the facts of the case fit within one of the three exceptions in subsection 3106(1).

*11 With regard to the second Kemp factor, whether an injury arises out of the use of a motor vehicle as a motor vehicle under the PIP provisions of the No-Fault Act hinges on “whether the injury is closely related to the transportational function of motor vehicles.” McKenzie v Auto Club Ins Ass’n, 458 Mich 214, 225-226; 580 NW2d 424 (1998). The analysis requires examination of the activity in which the injured person was engaged at the time of the injury. Kemp, 500 Mich at 258. Our Supreme Court has held that “unloading property from a vehicle upon arrival at a destination constitutes use of a motor vehicle as a motor vehicle and satisfies the transportational function requirement.” Id. at 262. In this case, the roller was being unloaded from the trailer upon arrival at the destination—the new subdivision under construction by plaintiff’s employer, where the roller was going to be used to compact soil. Therefore, the trailer was being used as a motor vehicle at the time plaintiff’s injuries occurred.

The final Kemp factor requires consideration of whether sufficient connection exists between the injuries and the use of the vehicle as a motor vehicle. As explained above, the Thornton/Kangas causation test provides:
[W]hile the automobile need not be the proximate cause of the injury, there still must be a causal connection between the injury sustained and the ownership, maintenance or use of the automobile and which causal connection is more than incidental, fortuitous or but for. The injury must be foreseeably identifiable with the normal use, maintenance and ownership of the vehicle. [Thornton, 425 Mich at 650-651, quoting Kangas, 64 Mich App at 17.]
The Supreme Court has ruled that an injury sustained while unloading property from a vehicle upon the arrival at a destination can be foreseeably identifiable with the normal use of a vehicle. See Kemp, 500 Mich at 264. It follows that plaintiff’s injury in this case, sustained while unloading the roller, could be considered “foreseeably identifiable with the normal use of a vehicle.” All three Kemp factors would be met in this case, and the strictures of the No-Fault Act therefore apply, despite the fact that the trailer was parked at the time plaintiff’s injury occurred.

In this case, the trial court denied defendants’ motion for partial summary disposition without oral argument, adopting by reference the analysis of plaintiff’s briefing opposing that motion. Plaintiff argued in that brief that his lawsuit was not subject to the No-Fault Act because (1) his injuries did not arise out of the ownership, maintenance, or use of a motor vehicle; and (2) he was not entitled to PIP benefits because he collected workers’ compensation benefits, and therefore, the No-Fault Act did not apply at all to a lawsuit arising from his injuries. We conclude that the trial court erred in denying defendants’ motion for partial summary disposition. Because plaintiff’s injuries arose from the ownership, maintenance, or use of a motor vehicle, the No-Fault Act applies to this case, and plaintiff’s remedies are therefore limited to noneconomic damages. MCL 500.3135(1).

Because we conclude that the trial court erroneously denied defendants’ motion for partial summary disposition, we need not reach defendants’ argument that the trial court erroneously denied its motion for reconsideration.

III. CONCLUSION
Plaintiff suffered injuries during the unloading of a trailer owned by defendant Corrigan and operated by defendant Prall. Plaintiff clearly alleged and argued in the trial court that his injuries occurred because defendant Prall negligently operated the trailer while plaintiff was on the trailer’s tilt-deck. Plaintiff also alleged and argued that his injuries occurred because defendant Prall decided to operate the trailer’s tilt-deck without salting it. Examining the gravamen of plaintiff’s action “by reading the complaint as a whole, and by looking beyond mere procedural labels to determine the exact nature of the claim,” Buhalis, 296 Mich App at 691-692 (cleaned up), we conclude that plaintiff’s injuries arise from the ownership, maintenance, or use of a motor vehicle, i.e. the trailer. MCL 500.3135(1). Therefore, liability is governed by the provisions of the No-Fault Act. See Michigan Bell, 153 Mich App at 434; 395 NW2d 70 (1986).

*12 We reverse the trial court’s order denying defendant’s motion for partial summary disposition and remand for entry of an order granting that motion. We do not retain jurisdiction.

Michael J. Riordan

Jane E. Markey

Brock A. Swartzle

All Citations
Not Reported in N.W. Rptr., 2021 WL 3700353

Footnotes

1
In Lefevers v State Farm Mut Auto Ins Co, 493 Mich 960; 828 NW2d 678 (2013), the Michigan Supreme Court stated that its decision in Frazier “effectively disavowed” this Court’s “discussion of MCL 500.3106(1)(b)” in Gunsell (concerning an injured person’s “physical contact with equipment permanently mounted on the vehicle”).

Perez v. Penske Logistics, LLC

2021 WL 3661017

United States District Court, E.D. Pennsylvania.
ORLANDO SANTIAGO PEREZ, Plaintiff,
v.
PENSKE LOGISTICS, LLC; PENSKE LOGISTICS CANADA LTD; and WHEEL KING TRANSHAUL, INC., Defendants.
No. 5:20-cv-05591
|
08/17/2021

JOSEPH F. LEESON, JR., United States District Judge

O P I N I O N Motion to Remand, ECF No. 7 – Denied Motion to Dismiss, ECF No. 16 – Denied

Joseph F. Leeson, Jr. August 17, 2021 United States District Judge

I. INTRODUCTION
*1 This case involves claims arising out of a motor vehicle accident between Plaintiff Santiago Perez and Jeet Charan Singh, who was driving a vehicle owned by Defendant Penske Logistics Canada Ltd (“Penske Canada”). Perez alleges that Penske Canada, among other Defendants, is vicariously liable for the actions of Singh, its employee, and was negligent/reckless in hiring, retention, and supervising of its employees. Penske Canada removed the action to this Court based on diversity jurisdiction alleging that Perez fraudulently joined Penske Logistics, LLC (“Penske Pennsylvania”), a Pennsylvania corporation, to defeat diversity. In turn, Perez has moved to remand. Penske Canada has further moved to dismiss the action under both Federal Rules of Civil Procedure 12(b)(5) and 12(b)(6). For the reasons outlined below, Perez’s motion to remand is denied, Penske Canada’s motion to dismiss is denied.

II. BACKGROUND
The factual allegations, as taken from the Complaint, are as follows:

On May 2, 2019, Singh was operating a tractor trailer owned, leased, and operated by Defendants.1 See Compl. ¶ 49, ECF No. 1–2. At all relevant times, Singh was employed by and contracted to perform delivery services for the Defendants and was subject to the Defendants’ supervision and control. See id. ¶ 22. Both Perez and Singh were operating vehicles on Interstate 77 near Wilkes-Barre, Pennsylvania. See id. ¶ 49.

Around 10:42 p.m., Perez was rear-ended by Singh. See id. ¶¶ 50–52. Singh was driving too fast for the conditions of the road and this, coupled with Singh’s inattention, caused the crash. See id. ¶¶ 53–54. Singh exhibited a “conscious disregard” for the health and safety of the public by operating his vehicle at dangerously high speeds. See id. ¶ 56. Singh was distracted by his cell phone in the moments preceding and during the crash. See id. ¶ 57.

At the time of the crash, Singh violated the Federal Motor Carrier Safety Administration’s (“FMCSR”) hours of service limits but chose to operate his vehicle in a fatigued condition. See id. ¶ 61. Defendants participated in, knew of, or should have known that Singh was operating over hours and driving while fatigued and otherwise operating the vehicle in an unsafe, dangerous, and reckless condition. See id. ¶ 62. Additionally, Singh had an unsafe history of motor vehicle and criminal violations and that the Defendants knew, or should have known, that Singh failed to list his prior violations on his employment application. See id. ¶ 65. Defendants also knew Singh had a propensity for drug, alcohol, vehicle, and criminal violations yet continued to employ him as a driver. See id. ¶¶ 65-73.

In December 2019, Perez filed a praecipe to issue writ of summons against Penske Pennsylvania in the Philadelphia County Court of Common Pleas as to Penske Pennsylvania. See Phil. Docket, ECF 1-4. The parties engaged in approximately ten months of pre-complaint discovery. Then, on October 9, 2020, Perez filed a Complaint in the Philadelphia County Court of Common Pleas against Defendants Penske Canada, Penske Pennsylvania, and Wheel King Transhaul, Inc. (“Wheel King”). See id.; Compl. The Complaint alleges that the Defendants were negligent/reckless in hiring, retaining, and supervising Singh and vicariously liable for accident caused by Singh. See id. Perez served the Complaint on Penske Pennsylvania the same day it was filed. See Not. Removal ¶ 23, ECF 1. Perez served Wheel King on October 30, 2020. See Proof of Service 4-7, ECF No. 11. On November 9, 2020, Perez served the Summons and Complaint on Penske Canada.2 See id. at 3.

*2 Also on November 9, 2020, Penske Pennsylvania removed the suit to federal court based on diversity jurisdiction3 under a theory of fraudulent joinder. See Notice of Removal, ECF 1. Penske Pennsylvania alleges that Perez fraudulently joined it to defeat diversity. See id. In support of its removal, Penske Pennsylvania attached a declaration of noninvolvement asserting the following:
Penske Logistics, LLC did not own, operate, maintain, control, lease, or assign the tractor-trailer driven by Singh at the time of the accident, nor did it pay for the shipping or transportation of the load being transported by Singh at the time of the accident…never hired, supervised or retained Singh…has no contract or other employment relationship with Singh…never consented to Singh’s operation of the tractor-trailer, nor did it receive a financial benefit from Singh’s operation of the tractor-trailer… did not select any equipment or entities used to transport the load being transported by Singh…never selected Wheel King as the carrier for the load transported by Singh at the time of the accident…exercised no control over dispatching of the tractor-trailer driven by Singh at the time of the accident… had no contractual right to and exercised no control over the transportation or routing of the load in question…never accepted responsibility for transporting the shipment being transported by Singh at the time of the accident…was not the motor carrier for the shipment being transported by Singh at the time of the accident.
See Declaration of Noninvolvement ¶¶ 10–19, ECF 1–3.

On June 9, 2021, Penske Canada moved to dismiss for lack of jurisdiction and failure to state a claim. See Mot. to Dismiss, ECF 16. Penske Canada alleges that service was improper and thus the case should be dismissed for lack of jurisdiction. Id. Additionally, Penske Canada asserts that Perez’s claims are preempted by the Federal Aviation Administration Authorization Act (“FAAAA”) and should be dismissed. Id.

III. LEGAL STANDARDS

A. Motion to Remand – Review of Applicable Law
Under 28 U.S.C. § 1441(a), a defendant may remove “any civil action brought in a state court of which the district courts of the United States have original jurisdiction…to the district court of the United States for the district and division embracing the place where such action is pending.” See also 28 U.S.C. § 1446. “The federal removal statute, 28 U.S.C. § 1441, is strictly construed, requiring remand if any doubt exists over whether removal was proper.” Carlyle Inv. Mgmt. LLC v. Moonmouth Co. SA, 779 F.3d 214, 218 (3d Cir. 2015). “The party seeking removal carries the burden of proving that removal is proper.” Id. at 218.

After an action is removed, a plaintiff may challenge removal by moving to remand the case back to state court pursuant to 28 U.S.C. § 1447. “A motion to remand the case on the basis of any defect other than lack of subject matter jurisdiction must be made within 30 days after the filing of the notice of removal under section 1446(a).” 28 U.S.C. § 1447(c).

B. Fraudulent Joinder – Review of Applicable Law
*3 The doctrine of fraudulent joinder is an exception to the requirement that when removal depends on diversity of citizenship, there must be complete diversity between the parties. See In re Briscoe, 448 F.3d 201, 215-16 (3d Cir. 2006). Under this doctrine, “[i]n a suit with named defendants who are not of diverse citizenship from the plaintiff, the diverse defendant may still remove the action if it can establish that the non-diverse defendants were ‘fraudulently’ named or joined solely to defeat diversity jurisdiction.” Id. at 216.

A removing defendant alleging fraudulent joinder bears a “heavy burden of persuasion.” Boyer v. Snap-on Tools Corp., 913 F.2d 108, 111 (3d Cir. 1990). To establish a defendant was fraudulently joined, the removing party must show “there is no reasonable basis in fact or colorable ground supporting the claim against the joined defendant, or no real intention in good faith to prosecute the action against the defendant or seek a joint judgment.” Id. (citation omitted). A claim is colorable so long as it is not “wholly insubstantial and frivolous.” Batoff v. State Farm Ins. Co., 977 F.2d 848, 852 (3d Cir. 1992). This Court has explained that “[i]f there is even a possibility that a state court would find that the complaint states a cause of action against any one of the resident defendants, the federal court must find that joinder was proper and remand the case to state court.” Boyer, 913 F.2d at 111 (citation omitted); see also Sherfey v. Johnson & Johnson, No. 12-4162, 2014 U.S. Dist. LEXIS 10690, 2014 WL 715518, at *6 (E.D. Pa. Jan. 29, 2014) (noting a finding of fraudulent joinder “is usually reserved for situations where recovery from the nondiverse defendant is a clear legal impossibility” (citation omitted)).

A court may “look to more than just the pleading allegations to identify indicia of fraudulent joinder.” In re Briscoe, 448 F.3d at 219; see also Abels v. State Farm Fire & Cas. Co., 770 F.2d 26, 29 (3d Cir. 1985). The Third Circuit has explained that, when conducting a jurisdictional analysis, there is “no reason to preclude a district court from a limited consideration of reliable evidence that the defendant may proffer to support the removal.” In re Briscoe, 448 F.3d at 220. “Such evidence may be found in the recording from prior proceedings . ..or in other relevant matters that are properly subject to judicial notice.” Id. Courts in this district have looked to affidavits discussing a party’s involvement in the case to determine whether it was fraudulently joined. See Weaver v. Conrail, Inc., Civ. Act. No. 09–5592, 2010 WL 2773382, at *7, *9 (E.D. Pa. July 13, 2010) (holding that, under In re Briscoe, the court could properly consider an affidavit stating that certain defendants had absolutely no control or right to say how particular trains were run at the time of plaintiff’s accident); In re Diet Drugs (Phentermine/ Fenfluramine/ Dexfenfluramine) Prods. Liab. Litig., MDL No. 1203, 2009 WL 3595633, at *2 (E.D. Pa. Oct. 27, 2009) (finding sales representatives were fraudulently joined based in part on an affidavit disclaiming any knowledge of the alleged dangers associated with the product).

In conducting its analysis, this Court must accept as true all factual allegations of the complaint and must “resolve any uncertainties as to the current state of controlling substantive law in favor of the plaintiff.” Batoff, 977 F.2d at 851-52. If the court “determines that it does not have subject-matter jurisdiction over the removed action because the joinder was not fraudulent, it must remand to state court.” In re Briscoe, 448 F.3d at 215–16 (citing 28 U.S.C. § 1447(c)). Conversely, if the court determines that the joinder was fraudulent, “the court can disregard, for jurisdictional purposes, the citizenship of certain nondiverse defendants, assume jurisdiction over a case, dismiss the nondiverse defendants, and thereby retain jurisdiction.” Id. at 216 (internal citations omitted).

C. Motion to Dismiss Rule 12(b)(5) – Review of Applicable Law
*4 Under Rule 12(b)(5), a defendant may move to dismiss when a plaintiff fails to properly serve him or her with the summons and complaint. See Fed. R. Civ. P. 12(b)(5). In a Rule 12(b)(5) motion, “the party making the service has the burden of demonstrating validity when an objection to the service is made.” Suegart v. U.S. Customs Serv., 180 F.R.D. 276, 278 (E.D. Pa. 1998). Rule 4 of the Federal Rules of Civil Procedure outlines, inter alia, the contents of the summons, the time for service, and the proper methods of service. “Good faith reliance on the apparent authority of an individual to accept service on behalf of a business can satisfy the [service] requirement.” Meoli v. Message Ctr. USA, No. 96-CV-7469, 1998 WL 717418, at *1 (E.D. Pa. Sept. 25, 1998) (citing Ayres v. Jacobs & Crumplar, P.A., Civ. A. No. 94–658–SLR, 1995 WL 704781, at *3 (D. Del. Nov. 20, 1995), aff’d, 99 F.3d 565 (3d Cir. 1996)). For these reasons, when addressing a motion to dismiss pursuant to Rule 12(b)(5) for insufficient service, this Court has “broad discretion.” See Umbenhauer v. Woog, 969 F.2d 25, 30 (3d Cir. 1992).

D. Motion to Dismiss Rule 12(b)(6) – Review of Applicable Law
Under Rule 12(b)(6), the court must “accept all factual allegations as true [and] construe the complaint in the light most favorable to the plaintiff.” Phillips v. Cnty. of Allegheny, 515 F.3d 224, 233 (3d Cir. 2008) (quoting Pinker v. Roche Holdings Ltd., 292 F.3d 361, 374 n.7 (3d Cir. 2002)) (internal quotation marks omitted). Only if “the ‘[f]actual allegations…raise a right to relief above the speculative level’ ” has the plaintiff stated a plausible claim. Id. at 234 (quoting Bell Atl. Corp. v. Twombly, 550 U.S. 544, 555 (2007)). “A claim has facial plausibility when the plaintiff pleads factual content that allows the court to draw the reasonable inference that the defendant is liable for the misconduct alleged.” Ashcroft v. Iqbal, 556 U.S. 662, 678 (2009). However, “the tenet that a court must accept as true all of the allegations contained in a complaint is inapplicable to legal conclusions.” Id. “In deciding a Rule 12(b)(6) motion, a court must consider only the complaint, exhibits attached to the complaint, matters of public record, as well as undisputedly authentic documents if the complainant’s claims are based upon these documents.” Mayer v. Belichick, 605 F.3d 223, 230 (3d Cir. 2010). Additionally, “a document integral to or explicitly relied upon in the complaint may be considered.” In re Burlington Coat Factory Sec. Litig., 114 F.3d 1410, 1426 (3d Cir. 1997) (internal quotations omitted). The defendant bears the burden of proving that a plaintiff has failed to state a claim upon which relief can be granted. See Hedges v. United States, 404 F.3d 744, 750 (3d Cir. 2005) (citing Kehr Packages, Inc. v. Fidelcor, Inc., 926 F.2d 1406, 1409 (3d Cir. 1991)).

E. FAAAA Preemption – Review of Applicable Law
In Bedoya v. American Eagle Express Inc., the Third Circuit articulated a four-part inquiry to determine whether preemption by the FAAAA is appropriate. 914 F.3d 812 (3d Cir. 2019):

(1). First, courts should examine “whether the state law at issue applies to all businesses or whether it focuses on motor carriers.” Id. at 818. Laws directed at “members of the general public” that are not targeted at motor carriers are viewed as not having a direct effect on motor carriers. See Rowe v. New Hampshire Motor Transp. Ass’n, 552 U.S. 364, 375 (2008). If the state law at issue applies to all businesses, then it is not preempted. See Ciotola v. Star Transp. & Trucking LLC, 481 F. Supp. 3d 375 (M.D. Pa. 2020).

(2). Second, courts should consider “whether the law addresses the carrier-employee relationship as opposed to the carrier-customer relationship.” Bedoya, 914 F.3d at 821. Courts must assess whether the challenged law’s impact on prices, routes, or services, although indirect, is nevertheless “significant” rather than “tenuous, remote, or peripheral.” Id.

*5 (3). Third, courts should consider whether the law binds the carrier to provide a particular price, route, or service.

(4). Fourth, courts should consider Congress’ goal of avoiding a “patchwork” of differing state “service-determining laws,” which could undermine its “major legislative effort to leave [decisions regarding the provision of services] to the competitive marketplace.” Id. at 823 (citing Rowe, 552 U.S. at 373).

IV. ANALYSIS

A. Perez’s Motion to Remand is denied.
Penske Pennsylvania timely removed the Complaint to this Court on the basis of diversity jurisdiction. The diversity jurisdiction statute provides: “district courts shall have original jurisdiction of all civil actions where the matter in controversy exceeds the sum or value of $75,000, exclusive of interest and costs, and is between…citizens of different States and in which citizens or subjects of a foreign state are additional parties.” 28 U.S.C. § 1332(a)(2). Although the amount in controversy here exceeds the jurisdictional sum and the parties are diverse, the removal statute qualifies that a “civil action otherwise removable solely on the basis of the jurisdiction under section 1332(a) of this title [28 USCS § 1332(a)] may not be removed if any of the parties in interest properly joined and served as defendants is a citizen of the State in which such action is brought.” 28 U.S.C. § 1441(b)(2). To avoid this limitation, Penske Pennsylvania alleges that it was not properly joined to this action.

To determine whether Penske Pennsylvania was fraudulently joined, this Court must determine whether Perez has a reasonable basis in fact or colorable ground supporting the vicarious liability and negligent/reckless hiring, retention and supervising claims brought against Penske Pennsylvania. See Boyer, 913 F.2d at 111. To establish vicarious liability, “a plaintiff must show that the employee’s conduct: (1) is of a kind and nature that he is employed to perform; (2) occurs substantially within the authorized time and space limits designated by his employer; and (3) is driven by a desire to serve the employer.” Schloss v. Sears Roebuck & Co., No. CIV.A. 04-CV-2423, 2005 WL 433316, at *2 (E.D. Pa. Feb. 24, 2005) (citing Costa v. Roxborough Mem’l Hosp., 708 A.2d 490, 493 (Pa. Super. Ct. 1998)). To establish a claim for negligent/reckless in hiring, retention, and supervising a plaintiff must show that an employer was “negligent or reckless ‘in the employment of improper persons or instrumentalities in work involving risk of harm to others;…in the supervision of the activity; or…in permitting, or failure to prevent, negligent or other tortious conduct by persons, whether or not his servants or agents, upon premises or with instrumentalities under his control.’ ” Doe v. Liberatore, 478 F. Supp. 2d 742, 760 (M.D. Pa. 2007) (citing R.A. ex rel. N.A. v. First Church of Christ, 748 A.2d 692, 697 (Pa. Super. Ct. 2000)). See also Doe v. Schneider, 667 F. Supp. 2d 524, 531 (E.D. Pa. 2009). If this can be shown, then “an employer is subject to liability for harm resulting from” his employee’s conduct.” Doe, 478 F. Supp. 2d at 760 (citing R.A. ex rel. N.A., 748 A.2d at 697).

*6 In his Complaint, Perez refers to Penske Pennsylvania and Penske Canada collectively. See Compl. ¶ 10. The Complaint does not include a single factual allegation directly against Penske Pennsylvania. See generally id. The Complaint also makes numerous allegations against all three Defendants in the collective. See, e.g. ¶ 15. In sharp contrast, Kresten Hansen’s declaration of noninvolvement, which was offered by Penske Pennsylvania, outlines, in great detail, Penske Pennsylvania’s lack of involvement in this case. See Declaration of Noninvolvement ¶¶ 10–19, ECF No. 1-3. This declaration states that Penske Pennsylvania “did not own, operate, maintain, control, lease, or assign the tractor-trailer driven by Singh at the time of the accident, nor did it pay for the shipping or transportation of the load being transported by Singh at the time of the accident.” See id. ¶ 10. The declaration states that Singh was never an employee of, or supervised by, Penske Pennsylvania, nor was there any contract or other relationship between the two. Id. ¶ 12. Hansen declares that Penske Pennsylvania never consented to Singh’s operation of the tractor-trailer, did not receive a financial benefit therefrom, did not select any equipment or entities used to transport the load being transported by Singh, and exercised no control over dispatching of the tractor-trailer driven by Singh at the time of the accident or over the transportation or routing of the load in question. See id. ¶¶ 13-19. The declaration further provides that Penske Pennsylvania never hired or had any contractual relationship with Wheel King. See id. The declaration states that Penske Canada owned the trailer and arranged for transportation of the load. See id. ¶¶ 4-12.

Perez asks the Court not to rely on this allegedly self-serving4 declaration in making its fraudulent joinder analysis. Significantly, however, Perez attached an earlier affidavit from Hansen, dated March 11, 2020, to his Complaint. See Hansen Aff., Compl. at Ex. B, ECF No. 1-2. This affidavit also attested that Penske Pennsylvania did not tender the load being shipped at the time of the crash to Wheel King, nor was it aware of, or did it enter into, any transportation agreements or contracts for the same. See Hansen Aff. ¶¶ 10-11, 21. Perez therefore relied on Hansen’s affidavit when it suited him but asks the Court not to do so now. Notably, it was after receiving the March affidavit and conducting approximately ten months of discovery that Perez sought to name Penske Canada and Wheel King as Defendants. Accordingly, its pre-complaint discovery, which included the accident report listing the owner’s name of the vehicle driven by Singh as Penske Canada, not Penske Pennsylvania, see Police Report, ECF No. 1-4, apparently convinced Perez that Penske Canada is a proper defendant.

Even now, in opposition to the Motion to Remand, Perez offers no additional factual allegations to support its claims against Penske Pennsylvania. Instead, Perez provides “snapshots” of Penske Pennsylvania’s website, which do little more than list its address and nature of business. Perez also suggests that he has stated a claim because he “devoted thirteen (13) paragraphs in his Complaint laying out the controlling case law pertaining to Penske qualifying as a motor carrier.” See Brief Supp. Mot. Remand 5, ECF No. 7-1 (citing Compl. ¶¶ 81-93). However, these thirteen paragraphs contain no specific factual allegations against Penske Pennsylvania and, in fact, support a finding of fraudulent joinder. Specifically, the Complaint, citing Eleventh Circuit case law, alleges that “in determining whether a party is a carrier or a broker, the crucial question is whether the party has legally bound itself to transport goods by accepting responsibility for ensuring the delivery of the goods.” Compl. ¶ 86. The Complaint asserts that “because Penske5 accepted responsibility for transporting this shipment, it was a carrier at all relevant times hereto.” See id. ¶ 90. However, both Hansen affidavits, one of which was known to Perez at the time of filing and attached to the Complaint, states that Penske Pennsylvania took no responsibility for the load being transported at the time of the crash. See Declaration of Noninvolvement ¶¶ 10, 13-20; Hansen Aff. ¶¶ 11, 19-20.

*7 While the Court must accept the factual allegations of the Complaint as true, the allegations against Penske are made solely in the collective and do not carry any reasonable inference of Penske Pennsylvania’s involvement, especially in light of Hansen’s affidavit. See Avicolli v. Bj’s Wholesale Club, No. 21-1119, 2021 U.S. Dist. LEXIS 53104, at *11 (E.D. Pa. Mar. 22, 2021) (holding that although the court must accept “well-plead allegations as true, we are not required to blindly accept conclusory allegations which attempt to attach responsibility to a [defendant]” (distinguishing Gaynor v. Marriott Hotel Servs., No. 13-3607, 2013 U.S. Dist. LEXIS 113829 (E.D. Pa. Aug. 13, 2013))). Based on Hansen’s declaration of noninvolvement, recovery from Penske Pennsylvania is a “clear legal impossibility.” See Sherfey, 2014 WL 715518, at *6; Boyer, 913 F.2d at 111. Because there is no reasonable basis in fact or colorable ground supporting the claim against Penske Pennsylvania, the Court finds that Penske Pennsylvania was fraudulently joined and is dismissed. Consequently, the Court has jurisdiction and Perez’s motion to remand is denied.6

B. Penske Canada’s 12(b)(5) Motion to Dismiss is denied.
Penske Canada alleges it was improperly served by Perez. For that reason, Penske Canada has moved to dismiss for lack of jurisdiction pursuant to Rule 12(b)(5).

Rule 4 of the Federal Rules of Civil Procedure provides:
Unless federal law provides otherwise or the defendant’s waiver has been filed, a . ..foreign corporation…must be served…in a judicial district of the United States…by delivering a copy of the summons and of the complaint to an officer, a managing or general agent, or any other agent authorized by appointment or by
law to receive service of process and—if the agent is one authorized by statute and

the statute so requires—by also mailing a copy of each to the defendant.” See Fed. R. Civ. P. 4(h)(1)(B). Under Rule 4, “following state law for serving a summons in an action brought in courts of general jurisdiction in the state where the district court is located or where service is made” also constitutes proper service of a foreign corporation. See Fed. R. Civ. P. 4(e)(1) and 4(h)(1)(A).

Pennsylvania Rule of Civil Procedure 424 provides that service upon a corporation “shall be made by handing a copy to any of the following persons provided the person served is not a plaintiff in the action:…the manager, clerk or other person for the time being in charge of any regular place of business or activity of the corporation….” Pa. R. Civ. P. 424(2). “Good faith reliance on the apparent authority of an individual to accept service on behalf of a business can satisfy the requirement.” Meoli v. Message Ctr. USA, 1998 WL 717418, at *1 (citing Ayres, 1995 WL 704781, at *3). In “adopting Rule 424, the Pennsylvania Supreme Court did not intend to burden Pennsylvania plaintiffs with the inconvenience and increased costs of requiring hand delivery of process to corporations found outside the Commonwealth.” City of Allentown v. O’Brien & Gere Engineers, Inc., No. CIV. A. 94-2384, 1995 WL 380019, at *7 (E.D. Pa. June 26, 1995) (explaining: “that in adopting Rule 424, the Pennsylvania Supreme Court did not intend to burden Pennsylvania plaintiffs with the inconvenience and increased costs of requiring hand delivery of process to corporations found outside the Commonwealth” (citing Trzcinski v. Prudential, 597 A.2d 687 (Pa. Super. 1991))).

*8 In the instant action, the Berks County Sheriff’s Office served Penske Canada at its business location in Reading, Pennsylvania on November 9, 2020. See Proof of Service 3. The Sheriff served an individual who accepted service as the “adult person in charge” for Penske Canada. Id. This satisfied the federal and state service rules. Further, Perez had a good faith reliance that the individual served at Penske Canada’s business, who represented himself as an “adult in charge” capable of receiving service of process for Penske Canada, had the authority to accept service. See Proof of Service 3. Therefore, Penske Canada’s motion to dismiss based on improper service is denied.7

C. Penske Canada’s 12(b)(6) Motion to Dismiss is denied.
Penske Canada has moved to dismiss Perez’s claims alleging they are preempted by the FAAAA and should be dismissed under Federal Rule of Civil Procedure 12(b)(6).

Under the first step of the Third Circuit’s four-part inquiry outlined in Bedoya, this Court must determine whether the state law at issue applies to all businesses or whether it focuses on motor carriers. If the law at issue applies to all businesses, then Perez’s claims are not preempted by the FAAAA. Applying the reasoning in Bedoya, the United States District Court for the Middle District of Pennsylvania in Ciotola v. Star Transp. & Trucking LLC, held that a plaintiff’s claims were not preempted by the FAAAA. See 481 F. Supp. 3d 375 (M.D. Pa. 2020). In Ciotola, the court explained:
The Third Circuit’s reasoning in Bedoya that although a state law may have negative financial consequences for a broker or carrier does not mean that the state law should be preempted by the FAAAA is particularly relevant. See Bedoya, 914 F.3d at 822. The above analysis indicates that although Pennsylvania’s tort law may have some negative financial consequences for a broker or carrier, it is not preempted by the FAAAA. Pennsylvania’s tort law is a part of the backdrop of laws that all businesses must follow. Adames v. May Furniture, Inc., 2019 U.S. Dist. LEXIS 206068, 2019 WL 8937042, *8-9 (M.D. Pa. 2019).
Ciotola, 481 F. Supp. 3d at 390.

Similarly here, Perez’s claims are grounded in Pennsylvania tort law. These state laws make up the “backdrop of laws that all business must follow.” Id. Specifically, Perez’s negligence and vicarious liability claims do not arise out of state law solely “focuse[d] on motor carriers.” Bedoya, 914 F.3d at 821. As a result, Perez’s claims are not preempted under Bedoya. Penske Canada’s motion to dismiss pursuant to Rule 12(b)(6) is denied.

V. CONCLUSION
For the reasons outlined above, Perez’s Motion to Remand is denied because Penske Pennsylvania, which was not involved in the events of this case, was fraudulently joined. Penske Pennsylvania is dismissed, this Court has diversity jurisdiction, and the Motion to Remand is denied. Additionally, Penske Canada’s Motion to Dismiss pursuant to Rule 12(b)(5) is denied because Penske Canada was properly served under both the Federal and Pennsylvania Rules of Civil Procedure. Penske Canada’s Motion to Dismiss pursuant to Rule 12(b)(6) is also denied because Perez’s claims are grounded in Pennsylvania tort law, which all businesses are required to follow, and are therefore not preempted by the FAAAA.

*9 A separate order follows.
BY THE COURT:
/s/ Joseph F. Leeson, Jr._______
JOSEPH F. LEESON, JR.

United States District Judge
All Citations
Slip Copy, 2021 WL 3661017

Footnotes

1
In his Complaint, Perez refers to, and makes allegations against, Penske Canada, Penske Pennsylvania, and Wheel King together as “Defendants.” To accurately represent Perez’s pleadings this Court refers to the group as “Defendants” when discussing Perez’s allegations against them.

2
The propriety of this service is discussed in further detail below.

3
Perez is a citizen of Florida. See Compl. ¶ 1. Penske Pennsylvania is a citizen of Delaware, Pennsylvania, Michigan, and Japan. See id. ¶ 2; Not. Removal ¶¶ 15, 17-19. Penske Canada is a citizen of Canada. See Not. Removal ¶ 12. Wheel King is a citizen of Canada. See id. ¶ 11.

4
Because Penske Canada is a wholly owned subsidiary of Penske Pennsylvania, Hansen’s declaration is not necessarily self-serving to the extent it tends to implicate Penske Canada. But see Nobers v. Crucible, Inc., 602 F. Supp. 703, 707 (W.D. Pa. 1985) (“Given the lack of allegations to support piercing the corporate veil, and the precept that a parent corporation is not liable for the contracts of a subsidiary, we hold that plaintiffs have no colorable claim against Colt for breach of the alleged employment contacts.”).

5
Perez’s reference to “Penske” includes both Penske Pennsylvania and Penske Canada, collectively. See Compl. ¶ 10.

6
Although the Court notes that there were procedural defects with the Notice of Removal, Perez waived any such defects by failing to timely raise them in the Motion to Remand. See 28 U.S.C. § 1447(c) (providing that a party must raise any defect other than lack of subject matter jurisdiction within 30 days of removal); Ramos v. Quien, 631 F. Supp. 2d 601, 608 (E.D. Pa. 2008) (explaining that a defendant’s violation of the unanimity rule is a procedural, not jurisdictional, defect in the removal process and is waived if not presented within the thirty day limit imposed by 28 U.S.C. § 1447(c)).

7
Moreover, courts have explained that “[w]hen a party has knowledge of a suit despite improper service and does not appear to be prejudiced because of improper service, the Third Circuit has approved relaxation of the Rule 4 requirements.” Gustavson v. Vito, No. CIV. A. 89- 1944, 1989 WL 89217, at *4 (E.D. Pa. Aug. 2, 1989) (citing Dominic v. Hess Oil V.I. Corp., 841 F.2d 513 (3d Cir. 1988)). The same day Perez effectuated service on Penske Canada at the Reading property, counsel for Penske Canada entered his appearance on behalf of Penske Pennsylvania and removed the suit to this Court. See Notice of Removal. These actions indicate Penske Canada’s knowledge of Perez’s suit against it. Accordingly, Penske Canada was on notice of the claims filed against it and was not prejudiced by Perez’s method of service.

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