SYLLABUS
(This syllabus is not part of the opinion of the Court. It has been prepared by the Office of the Clerk for
the convenience of the reader. It has been neither reviewed nor approved by the Supreme Court. Please
note that, in the interests of brevity, portions of any opinion may not have been summarized).
Harley Davidson Motor Company v. Advance Die Casting, Inc. (A-117)
Argued March 17, 1997 -- Decided July 16, 1997
O'HERN, J., writing for a majority of the Court.
The question in this appeal is whether, in a consumer's products liability action, the claim by a
retailer of the defective product for indemnification from a supplier of the product or a component thereof,
is subject to the procedural requirements of the entire controversy doctrine.
In June 1988, Mario DiMaria was riding his 1977 Harley Davidson motorcycle when it was hit by a
car. His left foot was on the foot peg attached to the aluminum front chain housing cover, which shields the
clutch plate and rotating chain. On impact, the front bumper of the car drove DiMaria's left foot into the
cover, which shattered. DiMaria's heel was forced against the exposed rotating chain and clutch plate and
both the skin and muscle surrounding his left heel were torn down to the bone.
In 1990, DiMaria sued the driver of the car and Harley Davidson. Against Harley, DiMaria claimed
that a defect in the front chain housing cover aggravated his injuries. He alleged that the housing cover had
been defectively designed and defectively manufactured. The other driver settled with DiMaria for his policy
limits.
Advance Die Casting, Inc. (Advance) had manufactured the housing cover for Harley. By letter
dated March 1, 1993, Harley asked Advance to assume Harley's defense against DiMaria and to indemnify
Harley against any judgment in the trial scheduled for July 1993. The insurance carrier for Advance declined
to assume Harley's defense or to indemnify Harley. Harley renewed its demands, but failed to join either
Advance or its insurance company in the action.
DiMaria's trial against Harley took place in July 1993. Harley successfully moved to dismiss the
design defect claim. The jury decided that the front chain housing cover had been defectively manufactured,
but that the defect was not the proximate cause of DiMaria's injuries. DiMaria appealed, and the Appellate
Division reversed on the issue of causation and damages.
Harley wrote to Advance and its insurance company, Northbrook Property and Casualty Insurance
Company, in November 1994, informing them of the Appellate Division's decision and again demanding that
Advance or Northbrook assume its defense and agree to indemnify it against any judgment. Northbrook
refused.
In March 1995, during the pendency of the underlying tort action, Harley filed this declaratory
judgment action claiming that Advance and Northbrook were obliged to provide a defense for Harley and to
indemnify it against any judgment. Harley informed the court of the underlying tort action by including the
complaint of that action as an exhibit. At no time did a party or the court attempt to consolidate the two
matters.
On April 28, 1995, before the retrial of the tort action, counsel for Advance and Northbrook
attended a settlement conference in that action. On May 1, 1995, Harley and DiMaria agreed to a
settlement of $150,000. Harley notified Advance of the settlement, and Advance agreed that it was
reasonable. At the settlement proceeding, Harley's attorney advised the court of the pending declaratory
judgment action, as well as Northbrook's agreement that the settlement was fair.
In August 1995, Advance sought to dismiss the declaratory judgment action on the grounds of lack
of personal jurisdiction. The trial court dismissed the action on its own motion, on the basis of the entire
controversy doctrine. Harley appealed. The Appellate Division reversed. It held that the entire controversy
doctrine did not apply because the indemnity action had not accrued until after the settlement. It explained
that a stricter interpretation would ignore, or make mandatory, the permissive joinder rule and the impleader
rule. The Appellate Division also relied on N.J.S.A. 12A:2-607(5)(a), a provision of the Uniform
Commercial Code that allows a buyer to "vouch-in" sellers when the buyer is sued for a product defect by a
third party and further permits the buyer to bind the seller to the factual determinations in the action when
the seller declines to defend. The Appellate Division held that the goals of the entire controversy doctrine
were ultimately satisfied through the "vouching-in" procedure. It remanded to the Law Division to determine
certain factual inquiries.
The Court granted certification limited to the issue of the entire controversy doctrine.
HELD: The entire controversy doctrine applies to a claim for indemnification by a retailer of a defective
product from a supplier of the product or a component thereof, but the notice given the supplier under
N.J.S.A. 12A:2-607(5)(a), as well as the notice given the courts, satisfied the fairness concerns of the entire
controversy doctrine.
1. There may be a class of indemnity claims that are not subject to the entire controversy doctrine because
they are unaccrued. However, "upstream" claims for contribution or indemnity are within the reach of the
doctrine. Here, the factual circumstances giving rise to the controversy are common to DiMaria's claim and
Harley's claim for indemnification, and Advance had a material interest in the outcome of DiMaria's claim.
Thus, absent the effect of "vouching-in," party-joinder would be required in this action to satisfy the entire
controversy doctrine. In the context of this case, the "vouching-in" procedure was a satisfactory substitute for
party-joinder since the required notice was given to Advance. Additionally, both courts were also informed
of the other pending action. The twin pillars of the entire controversy doctrine, fairness to the parties and
fairness to the court, were satisfied here. (pp. 8-14)
2. The parties complain of inconsistencies in the Rules of Civil Practice and Procedure in respect of the
applicability of the entire controversy doctrine to a case such as this. For example, Harley notes that R.
4:30A mandates party-joinder, while Rule 4:8, on third-party practice, speaks in the permissive about joining
third parties. And, Rule 4:7-5 mandates joinder of claims for indemnity against a party to an action. The
Court acknowledges that refinements to the Rules may be required to clarify the circumstances in which the
entire controversy doctrine may apply. The Court directs the Civil Practice Committee to consider whether
Rule 4:8 should be amended in light of the entire controversy doctrine. (pp. 14-17)
The judgment of the Appellate Division is AFFIRMED.
Stein, J., concurring in the result, is of the view that the preclusive aspect of the entire controversy
doctrine is not the appropriate mechanism to enforce mandatory party joinder, and that less intrusive
measures should be used to encourage party joinder in civil litigation.
CHIEF JUSTICE PORITZ and JUSTICES HANDLER, POLLOCK, GARIBALDI and COLEMAN
join in JUSTICE O'HERN's opinion. JUSTICE STEIN has filed a separate concurring opinion.
SUPREME COURT OF NEW JERSEY
A-
117 September Term 1996
HARLEY DAVIDSON MOTOR COMPANY,
INC.,
Plaintiff-Respondent,
v.
ADVANCE DIE CASTING, INC.,
NORTHBROOK PROPERTY AND CASUALTY
INSURANCE COMPANY,
Defendants-Appellants,
and
ABC CORP., and XYZ CORP.,
Defendants.
Argued March 17, 1997 -- Decided July 16, 1997
On certification to the Superior Court,
Appellate Division, whose opinion is reported
at
292 N.J. Super. 62 (1996).
Judson L. Hand argued the cause for
appellants (Bumgardner, Hardin & Ellis,
attorneys; William R. Bumgardner, of counsel
and Mr. Hand and Mr. Bumgardner, on the
briefs).
John I. Lisowski argued the cause for
respondent (Morgan, Melhuish, Monaghan,
Arvidson, Abrutyn & Lisowski, attorneys; Mr.
Lisowski, Robert G. Klinck and Steven F.
Gooby, on the briefs).
The opinion of the Court was delivered by
O'HERN, J.
The question in this appeal is whether, in a consumer's
products liability action, the claim by a retailer of the
defective product for indemnification from a supplier of the
product or a component thereof, is subject to the procedural
requirements of the entire controversy doctrine. We hold that
the requirements of the entire controversy doctrine apply to such
claims but agree with the Appellate Division that the notice
given to the supplier under N.J.S.A. 12A:2-607(5)(a) and to the
courts involved in the two matters satisfied the fairness
concerns of the entire controversy doctrine.
I
In June 1988, Mario DiMaria was riding his 1977 Harley
Davidson (Harley) FXE 1200 Super Glide motorcycle when it was hit
by a car. The ball of DiMaria's left foot was on the stationary
peg attached to the aluminum front chain housing cover (the
cover), which shields the clutch plate and rotating chain.
(See footnote 1)
Upon impact, the front bumper of the car hit just behind the peg,
driving DiMaria's left foot into the cover which shattered.
DiMaria's heel was forced against the exposed rotating chain and
clutch plate and both the skin and muscle surrounding his left
heel were torn down to the bone.
In 1990, DiMaria sued the driver of the car and Harley
Davidson. Against Harley, DiMaria claimed that a defect in the
front chain housing cover aggravated his injuries. He alleged
that the housing cover had been defectively designed and
defectively manufactured. (DiMaria claimed that Harley had
designed the cover). The other driver died from unrelated causes
while the case was pending. DiMaria settled with her estate for
the $100,000 policy limit.
Advance Die Casting, Inc. (Advance) manufactured the cover.
By letter dated March 1, 1993, Harley asked Advance to assume
Harley's defense against DiMaria and to indemnify Harley against
any judgment in the trial scheduled for July 1993. On March 25,
1993, the insurance carrier for Advance declined to assume
Harley's defense or to indemnify Harley. Harley renewed its
demands on July 14 and July 20, 1993, but failed to join either
Advance or its insurance company in the DiMaria action.
DiMaria's trial against Harley took place in July 1993.
Harley successfully moved to dismiss the design defect claim.
The jury unanimously decided that the front chain housing cover
had been defectively manufactured, but that the defect was not
the proximate cause of DiMaria's injuries. DiMaria appealed, and
on October 31, 1994, the Appellate Division affirmed the finding
of a manufacturing defect, but reversed on the issues of
causation and damages, and sent the case back for a new trial on
these issues. Harley's petition to this Court was denied.
142 N.J. 448 (1994).
In November 1994, Harley wrote to Advance and its insurance
company, Northbrook Property and Casualty Insurance Company
(Northbrook), and informed them of the Appellate Division's
decision. Harley again demanded that Advance or Northbrook
assume its defense and agree to indemnify it against any
judgment. On January 4, 1995, Northbrook refused to assume the
defense or indemnify Harley.
In March 1995, during the pendency of the underlying tort
action, Harley filed a separate declaratory judgment action
claiming that Advance and Northbrook were obliged to provide a
defense for Harley and to indemnify it against any judgment.
Pursuant to Rule 4:5-1(b)(2), which implements the entire
controversy doctrine, Harley informed the court of the underlying
action by including as an exhibit in the declaratory judgment
action the complaint in the underlying action, its docket number,
and the pending retrial date. At no time did a party or court
attempt to consolidate the two matters.
On April 28, 1995, before the retrial of DiMaria's case,
counsel for Advance and Northbrook attended a settlement
conference concerning the underlying claim. On May 1, 1995,
attorneys for DiMaria and Harley agreed to a settlement of
$150,000. Harley notified Advance of the settlement and Advance
agreed that it was reasonable. At the settlement proceeding
before Judge Boggia, Harley stated:
For the purposes of the record, Judge, we
have also--we, meaning Harley Davidson Motor
Company have sued Northbrook Insurance
Company as well as Advance Die Casting in
another action. [Northbrook's counsel] has
indicated that . . . I could put on the
record . . . [that] the settlement is fair
and reasonable under the circumstances.
In August 1995, Advance sought to dismiss the declaratory
judgment action on the grounds of lack of personal jurisdiction,
because Advance is incorporated and has its place of business in
Wisconsin. The trial court dismissed the action on its own
motion, on the basis of the entire controversy doctrine. Harley
appealed. The Appellate Division reversed and remanded.
292 N.J. Super. 62 (App. Div.), certif. granted in part,
146 N.J. 568
(1996). The court held that the entire controversy doctrine did
not apply because the indemnity action had not accrued until
after the settlement.
It is well settled that the entire controversy doctrine
"does not apply to bar component claims [either] unknown,
unarisen, or unaccrued at the time of the original action."
Mystic Isle Dev. Corp. v. Perskie & Nehmad,
142 N.J. 310, 323
(1995). The appellate court reasoned that a cause of action for
indemnification accrues when an indemnitee becomes obligated to
pay the claim for which indemnification is sought. Harley
Davidson, supra, 292 N.J. Super. at 68 (citing Holloway v. State,
125 N.J. 386, 399 (1991); McGlone v. Corbi,
59 N.J. 86, 95
(1971); Adler's Quality Bakery, Inc. v. Gaseteria, Inc.,
32 N.J. 55, 81 (1960); and Cola v. Packer,
156 N.J. Super. 77, 81 n.2
(App. Div. 1977)). The court also determined that Harley's
obligation to pay DiMaria arose "only after the settlement of the
case," that is, after May 1, 1995, the date when the underlying
action was settled. Ibid. The court further explained that a
stricter interpretation "would ignore, or make mandatory, both
the permissive joinder rule, R. 4:29-1(a), and the impleader
(third-party practice) rule, R. 4:8-1(a)." Ibid. The panel
foresaw a similar effect upon the relevant sections of the Joint
Tortfeasors Contribution Law, N.J.S.A. 2A:53A-1 to -20, and the
New Jersey Tort Claims Act, N.J.S.A. 59:9-3 and 3-1. Ibid. The
court explained that
[w]here the claim against a third-party
defendant is for a sequential claim such as
indemnification, R. 4:8-1 is, and must
remain, permissive, not mandatory, except as
R. 4:28-1(a) (mandatory joinder) may apply
. . . [Although] this rule is open-ended in
its definition of what parties must be
joined, there is no blanket rule placing
indemnitors in such a mandatory class.
[Id. at 68-69.]
The court further explained that the New Jersey Rules of Evidence support the finding that the entire controversy doctrine is inapplicable to the facts in this case. Id. at 69. Evidence Rule 803(c)(26) provides that an indemnitor who has notice of and an opportunity to defend the first action may be bound by an indemnitee in a second action with the judgment acquired in the first action. In addition, the panel relied on N.J.S.A. 12A:2-607(5)(a), a provision of the Uniform Commercial Code that allows a buyer to "vouch in" sellers when the buyer is sued for a product defect by a third party and permits the buyer to bind the seller to the factual determinations in the action when the seller declines to defend the buyer. (See footnote 2) Ibid. The court interpreted the statute and the rule as foreseeing separate indemnification actions irrespective of whether the indemnitor was joined as a party to the first action. Ibid. Because recent entire controversy doctrine opinions have not displaced the U.C.C. or the rules of evidence, the panel "assume[d] that a subsequent separate suit for indemnification is not barred by the entire controversy doctrine, at least where an indemnitor had been vouched in with notice and an opportunity to defend the underlying action." Ibid. Although it would have been more prudent had Harley joined Advance as a third-party defendant in the underlying action, the Appellate Division held that the goals of the entire controversy doctrine were ultimately satisfied
through the "vouching-in" procedure. Id. at 69-70. The
Appellate Division remanded the matter to the Law Division for
certain factual inquiries concerning indemnification: (1)
whether respondent satisfied the "vouching- in" requirements of
N.J.R.E. 803(c)(26), and (2) whether petitioners-appellants in
fact made the cover at issue. Id. at 76. In so doing, the court
held both that the entire controversy doctrine did not bar the
second action and that there was "ample basis for in personam
jurisdiction." Ibid. We granted certification limited to the
issue of the entire controversy doctrine.
146 N.J. 568 (1996).
II
We need not review in detail the principles of the entire
controversy doctrine. "The objectives behind the doctrine are
threefold: (1) to encourage the comprehensive and conclusive
determination of a legal controversy; (2) to achieve party
fairness, including both parties before the court as well as
prospective parties; and (3) to promote judicial economy and
efficiency by avoiding fragmented, multiple and duplicative
litigation." Mystic Isle Dev. Corp., supra, 142 N.J. at 322.
The entire controversy doctrine strives to further these
objectives by requiring that, whenever possible, "the
adjudication of a legal controversy should occur in one
litigation in only one court." Cogdell v. Hospital Ctr.,
116 N.J. 7, 15 (1989). "The doctrine requires parties to a
controversy before a court to assert all claims known to them
that stem from the same transactional facts, even those against
different parties." Joel v. Morrocco,
147 N.J. 546, 548 (1997).
The entire controversy doctrine fosters the "goals of efficient
judicial administration and fairness" to parties. Prevratil v.
Mohr,
145 N.J. 180, 187 (1996).
A.
The Appellate Division opinion suggests that claims for
indemnity are not subject to the entire controversy doctrine
because they are unaccrued. There may be a class of indemnity
claims in which that will be true. See Andrew T. Berry,
Application of the Entire Controversy Doctrine to Insurance
Coverage Litigation: A Bridge Too Far,
28 Rutgers L.J. 41, 49-52
(1996). But we believe that in the generality of products
liability cases, "upstream" claims for contribution or indemnity
are within the reach of the doctrine. Promaulayko v. Johns
Manville Sales Corp.,
116 N.J. 505, 516 (1989). Under the
doctrine of common-law indemnification, parties held liable for
defects in products for which they had no direct responsibility
may obtain redress from the culpable party. Id. at 511. This
Court has said that:
In the absence of an express agreement
between them, allocation of the risk of loss
between the parties in the chain of
distribution is achieved through common-law
indemnity, an equitable doctrine that allows
a court to shift the cost from one tortfeasor
to another. The right to common-law
indemnity arises "without agreement, and by
operation of law to prevent a result which is
regarded as unjust or unsatisfactory."
[Ibid. (quoting W. Keeton, et al., Prosser &
Keeton on The Law of Torts, §51 at 341 (5th ed.
1984)).]
Generally, common law indemnification shifts the cost of
liability from one who is constructively or vicariously liable to
the tortfeasor who is primarily liable. Adler's Quality Bakery,
Inc., supra, 32 N.J. at 80. This "shifting" of the risk up the
distribution chain to, in most cases, the actual manufacturer of
the offending product, fulfills the basic goal of distributing
the risk to the party best able to bear it. Promaulayko, supra,
116 N.J. at 513. Thus, as a general rule, indemnification is
expected to follow the chain of distribution. Ibid.
Rule 4:7-5 governs the procedure for making a cross-claim
for contribution or indemnity against a co-party in a suit. In
1979, this rule was amended "in accordance with the . . . [entire
controversy doctrine] . . . to require defendants to assert any
cross-claims for contribution and indemnity which they may have
against any other party in the action itself despite the fact
that the cause of action for contribution and indemnity does not
technically accrue until payment of the judgment by that
defendant." Pressler, Current N.J. Court Rules, comment 2 on R.
4:7-5(b) (1997). Although Rule 4:7-5 applies to joinder of
claims against parties already present in the action, not joinder
of new parties, the analysis of accrual for purposes of the
entire controversy doctrine is instructive.
The "factual circumstances giving rise to the controversy
itself" are common to both claims of DiMaria and Harley. Joel,
supra, 147 N.J. at 550. DiMaria claims that his injuries were
caused by both manufacturing and design defects. Harley claims
that it is entitled to indemnity because of the defects alleged
by DiMaria. DiMaria's case was tried before a jury that
concluded that although a manufacturing defect existed, it was
not the cause of the accident. Application of the doctrine here
is consistent with Cogdell, which sets forth a test for
determining when the entire controversy doctrine should apply.
Cogdell requires the parties that are to be joined to have
a "material interest" in the judicial outcome of the controversy.
Cogdell, supra, 116 N.J. at 23. Cogdell defines "material
interest" as "one that can affect or be affected by the judicial
outcome of a legal controversy . . . ." Ibid. Advance had a
"material interest" in the outcome of the first controversy
because as Harley alleged in its second coverage complaint,
Advance manufactured the clutch cover involved in that action and
that Harley was a third-party beneficiary of the liability
insurance policy of Northbrook issued to Advance. Defendants
assert that Harley knew of its claim at the time of the
underlying action; that Harley sat on its claim; and that Harley
failed to join Advance and Northbrook in the underlying action or
to provide the court with the opportunity to decide how to
proceed with the various claims and parties. Thus, defendants
argue that it is unfair to give plaintiff "a second bite at the
apple." Cogdell, supra, 116 N.J. at 13.
Because the party-joinder rule "tries foremost to protect an
absent person from an adjudication of his or her interests [and]
also protects all of society from repetitious, abortive, and
wasteful litigation," id. at 17-18, absent the effect of
"vouching-in," party-joinder would be required in this action to
satisfy the entire controversy doctrine because a jury in the
second action would have had to retry the same basic facts of the
manufacturing defect. In essence, there would be two trials
where one would suffice. New Jersey Transit Rail Operations,
Inc. v. North Jersey Cleaning Serv., Inc.,
277 N.J. Super. 367
(Law Div. 1994), does not dictate a contrary result. Harley
relies on the language in New Jersey Transit Rail Operations,
Inc. that states "the claim [in the second action] did not
accrue until [the plaintiff] was found liable in the prior
litigation." Id. at 371. However, the later claim for
indemnification was allowed because the first court had denied
the plaintiff in the first action the right to join the party
secondarily liable. Id. at 372-73.
The proper theory for analyzing the application of the
entire controversy doctrine to this case was set forth by Newmark
v. Gimbel's Inc., which involved a suit by a consumer against a
retailer of a defective shampoo. The Court held that the
retailer of such a product has an action against the
manufacturer, who is primarily responsible for placing the
defective product in the marketplace.
54 N.J. 585, 600-01
(1969). There, the Court stated:
[c]onsidering the overall problem of
prosecuting products liability cases, it
would seem to make sense procedurally to have
the plaintiff's cause of action . . .
adjudicated in one action against the
manufacturer and retailer. If the plaintiff
sues the dealer alone, the dealer in his own
interest should implead the manufacturer and
thus avoid circuity of action.
[Ibid.]
In fact, in this case the retailer of the motorcycle and the
manufacturer of the component were more properly viewed as joint
tortfeasors. The defect could have been due to a design defect
or a manufacturing defect or a combination of each. A jury could
have apportioned the liability between the two tortfeasors.
N.J.S.A. 2A:15-5.2; Renz v. Penn Central Corp.,
87 N.J. 437, 465
(1981).
B.
Although the principles of the entire controversy doctrine
apply to upstream (and possibly downstream) claims for indemnity
in products liability cases, we do agree that in the context of
this case the "vouching-in" procedure was a satisfactory
substitute for party-joinder since the required notice was given
to the supplier pursuant to N.J.S.A. 12A:2-607(5)(a). Harley's
notice to Advance on March 1, 1993, prior to the first trial,
demanded that Advance
agree to immediately assume the defense of
Harley-Davidson, Inc. and indemnify Harley-Davidson, Inc. for any damages, costs, fees,
or judgments entered against Harley-Davidson,
Inc. in this case. This case is presently
scheduled for trial on May 11, 1993.
Therefore, I ask that you advise of your
decision in this matter as soon as possible.
The court in the underlying action (DiMaria's action) was
informed, if belatedly, of Harley's claim against Advance, before
the first case settled on May 1, 1995. The court in the first
case did not defer the settlement of the first claim in order to
consolidate the actions; the second court was informed of the
first action in plaintiff's complaint filed March 10, 1995. It
also took no action to consolidate the claims. The twin pillars
of the entire controversy doctrine, fairness to parties and
fairness to the court, were satisfied by these actions of Harley.
III
Although we find that the requirements of the entire
controversy doctrine were satisfied, we advert to other arguments
made by the parties. Harley argues that there is an underlying
inconsistency in our Rules of Civil Practice and Procedure that
may have contributed to the misunderstanding of when claim
preclusion occurs under the entire controversy doctrine. Rule
4:30A states: "Non-joinder of claims or parties required to be
joined by the entire controversy doctrine shall result in the
preclusion of the omitted claims to the extent required by the
entire controversy doctrine . . . ." (Emphasis added.)
However, Rule 4:8 (third-party practice) states:
Within 90 days after the service of the
original answer, a defendant, as third-party
plaintiff, may file and serve a summons and
third-party complaint, together with a copy
of plaintiff's complaint, upon a person not a
party to the action who is or may be liable
to defendant for all or part of the
plaintiff's claim against defendant and may
also assert any claim which defendant has
against the third-party defendant involving a
common question of law or fact arising out of
the same transaction or series of
transactions as the plaintiff's claim.
[R. 4:8-1(a) (emphasis added).]
Harley emphasizes that although Rule 4:30A has preclusive effect,
Rule 4:8 speaks in the permissive when it says "may join."
In contrast, Rule 4:7-5 (cross-claim rule) requires
mandatory joinder of claims for indemnity against a party to an
action:
A defendant shall assert a claim for
contribution or indemnity against any party
to the action by inserting in the answer . .
. a general demand for contribution or
indemnity from a named party and specifying
the statute under which such claim is made,
but without setting forth the facts upon
which the claim is based. If a claim for
contribution or indemnity is made, the answer
shall be served upon the parties against whom
such relief is sought and no responsive
pleading thereto need be filed.
[R. 4:7-5(b) (emphasis added).]
Advance argues that the Appellate Division ignored the impact of Rule 4:7-5 in determining that Harley's indemnification claim against Advance did not accrue until DiMaria and Harley settled. Advance asserts that in ruling that Harley's claim was "unaccrued," the Appellate Division took the word out of its proper context. Advance argues that "[a]fter the 1979 revisions
to R. 4:7-5, the fact that a claim has not `accrued,' in the
technical sense of starting the statute of limitations period to
run, does not affect the impact of the entire controversy
doctrine upon that claim." See Bendar v. Rosen,
247 N.J. Super. 219, 237 (App. Div. 1991) (stating that "[w]hile technically a
right of contribution does not arise until a tortfeasor has paid
more than his pro rata share, . . . the entire-controversy
doctrine and judicial economy militate for the claim being
asserted in the underlying [ ] action"). This Court has stated
that "[t]he accrual of a cause of action [for purposes of the
entire controversy doctrine] occurs when a plaintiff knows or
should know the facts underlying those elements, not necessarily
when a plaintiff learns the legal consequences of those facts."
Circle Chevrolet Co. v. Giordano, Halleran & Ciesla,
142 N.J. 280, 296 (1995).
We acknowledge that refinements in our Rules of Civil
Practice and Procedure may be required to clarify the
circumstances in which the entire controversy doctrine may apply.
In Olds v. Donnelly, __ N.J. __ (1997), also decided today, we
have referred to the Civil Practice Committee the task of
reviewing the rules for application of the doctrine. We direct
that committee to consider specifically whether Rule 4:8 (third-party practice rule) should be amended in light of the entire
controversy doctrine.
To repeat, we do not exclude as a class all third-party
claims for indemnity from the reach of the entire controversy
doctrine. Some forms of indemnity will truly not have accrued
until the conclusion of the underlying litigation. See generally
Berry, A Bridge Too Far, supra,
28 Rutgers L.J. 41. However, in
a products liability action, a claim for common-law
indemnification from a third party should ordinarily be joined in
the original action because of related issues of contribution.
Harley's use of the "vouching-in" procedure and notice to both
courts satisfied the fairness requirements of the entire
controversy doctrine.
The judgment of the Appellate Division is affirmed and
remanded to the trial court for consideration of the remaining
issues.
CHIEF JUSTICE PORITZ and JUSTICES HANDLER, POLLOCK,
GARIBALDI and COLEMAN join in JUSTICE O'HERN's opinion. JUSTICE
STEIN has filed a separate concurring opinion.
SUPREME COURT OF NEW JERSEY
A-
117 September Term 1996
HARLEY DAVIDSON MOTOR COMPANY,
INC.,
Plaintiff-Respondent,
v.
ADVANCE DIE CASTING, INC.,
NORTHBROOK PROPERTY AND CASUALTY
INSURANCE COMPANY,
Defendants-Appellants,
and
ABC CORP., and XYZ CORP.,
Defendants.
STEIN, J., concurring.
I concur in the judgment of the Court for the reasons stated
in my separate opinion in Olds v. Donnelly, ___ N.J. ___ (1997),
also decided today.
SUPREME COURT OF NEW JERSEY
NO. A-117 SEPTEMBER TERM 1996
ON APPEAL FROM
ON CERTIFICATION TO Appellate Division, Superior Court
HARLEY DAVIDSON MOTOR COMPANY,
INC.,
Plaintiff-Respondent,
v.
ADVANCE DIE CASTING, INC.,
NORTHBROOK PROPERTY AND CASUALTY
INSURANCE COMPANY,
Defendants-Appellants,
and
ABC CORP., and XYZ CORP.,
Defendants.
DECIDED July 16, 1997
Chief Justice Poritz PRESIDING
OPINION BY Justice O'Hern
CONCURRING OPINION BY Justice Stein
DISSENTING OPINION BY
CHECKLIST
AFFIRM &
REMAND
CONCUR IN
RESULT
CHIEF JUSTICE PORITZ
X
JUSTICE HANDLER
X
JUSTICE POLLOCK
X
JUSTICE O'HERN
X
JUSTICE GARIBALDI
X
JUSTICE STEIN
(X)
X
JUSTICE COLEMAN
X
TOTALS
7
Footnote: 1DiMaria's expert report explains:
[A motorcycle's] front chain housing cover assembly, which includes
the cover plate, serves several purposes. It is first a simple cover to
protect the clutch plate and chain mechanism from contamination
and damage from road debris and corrosion. In addition, it serves
as a mounting location for the operator's foot peg through which the
foot shift lever assembly penetrates the housing and as a bearing
support for the starter motor jack shaft. The operator's foot peg
bolts to the front chain housing cover at the elongated opening in
the forward portion of the cover.Footnote: 2 N.J.S.A. 12A:2-607(5)(a) states:
(5) Where the buyer is sued for breach of a warranty or other
obligation for which [the] seller is answerable over
(a) [the buyer] may give [the] seller written notice of the litigation. If the notice states that the seller may come in and defend and that if the seller does not do so [the seller] will be bound in any action against [the seller] by [the] buyer by any determination of fact common to the two litigations, then unless the seller after seasonable receipt of the notice does come in and defend [the seller] is so bound.
Converted by Andrew Scriven