SUPERIOR COURT OF NEW JERSEY
APPELLATE DIVISION
A-0985-01T1
TERESA KONOPKA and
VICTOR KONOPKA,
Plaintiffs-Appellants,
v.
FREDDIE L. FOSTER,
Defendant-Respondent.
----------------------------------------------------
Submitted October 7, 2002 - Decided
October 31, 2002
Before Judges Havey, Wells and Payne.
On appeal from Superior Court of New
Jersey, Law Division, Mercer County,
L-4877-99.
Joseph D. Kaplan & Son, attorneys
for appellant (Martin J. Hillman, on
the brief).
Leary, Bride, Tinker & Moran, attorneys
for respondent (Brian Peoples, on the
brief).
The opinion of the court was delivered by
PAYNE, J.A.D.
Plaintiff Teresa Konopka was allegedly injured in a motor
vehicle accident that occurred on June 28, 1999 and thus after the
effective date of the New Jersey Automobile Insurance Cost
Reduction Act (AICRA), L. 1998, c. 21 and c. 22 (effective March
22, 1999). On December 9, 1999, she filed a complaint against the
alleged tortfeasor, Freddie Foster, seeking damages for pain and
suffering allegedly sustained in the accident. Foster's answer,
which in relevant part merely asserted a blanket exemption from
liability on the basis of the New Jersey Automobile Reparation
Reform Act, was filed on March 8, 2000. Although plaintiff was
subject to AICRA's limitation on lawsuit provisions (previously
denominated the verbal threshold), she failed to comply with the
physician certification requirements of N.J.S.A. 39:6A-8a, imposed
on those subject to the statute's lawsuit limitations, until July
27, 2001, approximately sixteen months after defendant's answer was
filed and more than two years after the motor vehicle accident had
occurred.
AICRA requires, within sixty days of the filing of defendant's
answer, that a plaintiff subject to its lawsuit limitation
provisions provide the defendant with a physician's certification
attesting to the fact that the plaintiff's injuries meet threshold
statutory requirements. Only one sixty-day extension of the
deadline is statutorily permitted, and then only for good cause.
Therefore, at least by July 6, 2000, a date relatively early in the
discovery period, defendant had legal and factual grounds to seek
dismissal of plaintiff's suit. However, defendant did not move
promptly. Rather, he deferred his motion for more than a year to
August 14, 2001, after interrogatories had been answered, documents
had been produced, plaintiff had given her deposition and submitted
to an independent medical examination, an arbitration had occurred,
and of even greater significance, the statute of limitations on
plaintiff's claim had run. See N.J.S.A. 2A:14-2. The trial court
granted defendant's motion, and, drawing upon precedent construing
the affidavit of merit requirement applicable to professional
negligence actions,See footnote 11 she dismissed plaintiff's claim with
prejudice. See N.J.S.A. 2A:53A-29.
On appeal, plaintiff argued in her initial brief that the
court's determination should be reversed as the result of her
substantial compliance with statutory directives, or that a
dismissal without prejudice should have been entered with sanctions
imposed upon restoration in a manner similar to the treatment of
defaults in discovery under Rule 4:23-5.
N.J.S.A. 39:6A-8a, which replaced New Jersey's prior verbal
threshold, now provides that a person subject to the statute's
limitation on lawsuit provisions can recover noneconomic damages
only upon proof that the injuries sustained have resulted in
death; dismemberment; significant disfigurement or
significant scarring; displaced fractures; loss of a
fetus; or a permanent injury within a reasonable degree
of medical probability, other than scarring or
disfigurement. An injury shall be considered permanent
when the body part or organ, or both, has not healed to
function normally and will not heal to function normally
with further medical treatment.
The statute also contains a physician certification requirement,
which provides:
In order to satisfy the tort option provisions of
this subsection, the plaintiff shall, within 60 days
following the date of the answer to the complaint by the
defendant, provide the defendant with a certification
from the licensed treating physician or a board-certified
licensed physician to whom the plaintiff was referred by
the treating physician. The certification shall state,
under penalty of perjury, that the plaintiff has
sustained an injury described above. The certification
shall be based on and refer to objective clinical
evidence, which may include medical testing, except that
any such testing shall be performed in accordance with
medical protocols pursuant to subsection a. of section 4
of [N.J.S.A. 39:6A-4] and the use of valid diagnostic
tests administered in accordance with [N.J.S.A. 39:6A-
4.7]. Such testing may not be experimental in nature or
dependent entirely upon subjective patient response. The
court may grant no more than one additional period not to
exceed 60 days to file the certification pursuant to this
subsection upon a finding of good cause.
A person is guilty of a crime of the fourth degree
if that person purposefully or knowingly makes, or causes
to be made, a false, fictitious, fraudulent, or
misleading statement of material fact in, or omits a
material fact from, or causes a material fact to be
omitted from, any certification filed pursuant to this
subsection. . . .
The statute provides further that fraudulent filing of a
certification is grounds for imprisonment and license revocation.
Ibid. "The certification is intended as an anti-fraud measure to
assure legitimacy; it is necessary to state a claim, not sufficient
to establish one . . . ." Conditional veto message of Governor
Christine Todd Whitman (April 27, 1998).
We have recently held that, in contrast to the affidavit of
merit statute, N.J.S.A. 2A:53A-27 to -29, which makes the affidavit
an element essential to the establishment of a cause of action for
professional negligence, AICRA's certification requirement "is
procedural in nature" and is "related to the sufficiency of the
pleadings, i.e. the statement of the claim." Watts v. Camaligan,
344 N.J. Super. 453, 467 (App. Div. 2001). It "is not intended to
go to the establishment of a cause of action." Ibid. For that
reason, in instances in which defendant seeks dismissal because the
certification requirement has not been or cannot be timely met, the
proper disposition is a dismissal without prejudice. Id. at 468.
The trial court did not have the benefit of Watts when it
reached its determination to dismiss plaintiff's claim with
prejudice, a result that we now find to have been in error.
However, a transformation of the dismissal to one without prejudice
offers plaintiff no particular benefit in this case because any
reinstitution of suit is barred by the statute of limitations.
Plaintiff seeks to avoid this result by arguing that she
substantially complied with the statute's requirements as the
result of her timely service, within one month of the filing of
defendant's answer, of a report by her treating chiropractor that
established permanency and service of that chiropractor's
certification, containing essentially the same information, fifteen
months later on July 27, 2001. Plaintiff also notes service on
March 8, 2001 of a report by her treating physician that also
established permanency. We disagree. See e.g. Bernstein v. Board
of Trust. Teachers' Pen. & Ann. Fund,
151 N.J. Super. 71, 76-77
(App. Div. 1977) (enumerating considerations guiding application of
equitable doctrine of substantial compliance); Alan J. Cornblatt,
P.A. v. Barow,
153 N.J. 218, 239 (1998)(applying Bernstein's
criteria).
The purpose of the certification requirement is not merely to
acquaint the defense with the nature and severity of plaintiff's
alleged injuries. As previously stated, the existence and content
of a certification provides the legal foundation for a charge of
perjury, should false-swearing be shown, and thus it is a crucial
element in the statute's acknowledged goal of fraud prevention.
The purpose of the statute and its enforcement mechanism would be
entirely undercut if service of a mere report were deemed the
substantial equivalent of service of a certification. In
Bernstein we required that a party seeking the protections of the
doctrine of substantial compliance demonstrate among other things
"a general compliance with the purpose of the statute." Id. 151
N.J. Super. at 77. That showing cannot be made by plaintiff here,
and that deficiency is fatal to her argument.
Further, we find that late service of the certification was
ineffective as a cure for plaintiff's statutory noncompliance.
AICRA's time limitations provide a means for timely termination of
non-meritorious suits, thereby permitting the elimination of
unnecessary defense costs. We decline to interfere with that goal
and, in any event, are bound by the statute's plain meaning.
Plaintiff, alternatively, seeks a dismissal without prejudice,
with potential imposition of sanctions when suit is reinstituted.
We envisioned this course of action in Watts when we referred
to the Civil Practice Committee the question of whether
a specific court rule should be proposed and recommended
to the Supreme Court which would require a plaintiff, who
files a subsequent complaint with a compliant
certification, to nevertheless pay sanctions sufficient
to reimburse the defendant for expenses incurred in
defending a prior lawsuit dismissed without prejudice for
failure to comply with the physician certification
requirement of N.J.S.A. 39:6A-8a.
[344 N.J. Super. at 468.]
However, as we observed previously, this salutary procedure is of
no benefit to this plaintiff since her action is now time-barred.
Following review of the parties' initial briefs, we requested
that each file an additional brief "addressing the question whether
the doctrine of equitable estoppel forecloses defendant from
asserting application of the notice requirement under AICRA."
In her supplemental brief, plaintiff sought to draw an analogy
between defendant's conduct here and the failure of public entities
to assert the defense of noncompliance with the notice requirements
of the Tort Claims Act, N.J.S.A. 59:8-3 to -11, and instead to
continue with discovery, thereby creating the objective impression
that notice had been waived and lulling plaintiffs into inaction
until a time after such notice could properly be filed. See, e.g.,
Hill v. Middletown Bd. of Ed.,
183 N.J. Super. 36, 40-42 (App.
Div.), certif. denied,
91 N.J. 233 (1982). In response, defendant
argued that because plaintiff had not asserted the equitable
defense of estoppel at the trial level, there was no factual record
upon which its applicability could be determined. Additionally,
defendant distinguished our decision in Hill as premised upon
defendant's failure to specifically raise in its answer the known
defense of noncompliance with statutory notice provisions and upon
evidence of lengthy and costly discovery, including a motion to
compel more specific answers to interrogatories, undertaken by the
plaintiff prior to the time that the defense was asserted. In the
present case, defendant argued, the failure to serve a
certification did not constitute an affirmative defense that
defendant could assert in his answer. Moreover, defendant claimed
that the majority of the expenses incurred in discovery were borne
by the defense, and defendant stated without accompanying proof
that plaintiff's failure to serve her physician's certification was
raised at the arbitration held on July 26, 2001. As a final
matter, defendant argued that there are facts, not presently before
us, that would militate against the application of equitable
estoppel in the specific context of this case.
In light of these arguments, we first address the legal issue
of the applicability of equitable estoppel to bar dismissal of a
personal injury claim as the result of plaintiff's failure to
comply with the certification requirements of AICRA when dismissal
is sought only after the statute of limitations has run. In Hill,
we held that the public entity, which could demonstrate no
prejudice from plaintiff's conduct, was estopped from asserting
lack of the notice required by the Tort Claims Act when that lack
of notice was first meaningfully claimed more than two years after
plaintiff's personal injury suit had been instituted and after
substantial discovery had been completed. In doing so, we
described the operation of the doctrine in the following terms:
Equitable estoppel embodies the doctrine "that one
shall not be permitted to repudiate an act done or
position assumed where that course would work injustice
to another who, having the right to do so, has
detrimentally relied thereon." Anske v. Palisades Park,
[
139 N.J. Super. 342, 348 (App. Div. 1976).]
. . . Estoppel is conduct, either express or
implied, which reasonably misleads another to
his prejudice so that a repudiation of such
conduct would be unjust in the eyes of the
law. Such estoppel is grounded not on
subjective intent but rather on the objective
impression created by the actor's conduct.
[Hill, supra, 183 N.J. Super. at 41 (quoting Dambro v.
Union Cty. Pk. Comm'n,
130 N.J. Super. 450, 457 (Law Div.
1974)(citations omitted)).]
As defendant noted, the Tort Claims Act conditions suit upon
filing of notice in the manner specified in the Act, and provides
that "[n]o action shall be brought against a public entity . . .
unless the claim upon which it is based shall have been presented
in accordance with the procedure set forth in this chapter."
N.J.S.A. 59:8-3. Thus, failure to comply with the Act's notice
provisions constitutes an affirmative defense to a claim, and the
failure of a public entity to specifically assert that defense
provides a foundation for the application of equitable principles
of estoppel. By contrast, AICRA's certification requirement arises
only after an answer to plaintiff's complaint has been filed. As
a result, noncompliance is not an affirmative defense that, if
asserted, can alert a plaintiff such as Konopka to deficiencies in
her case and, if not asserted, can provide a basis for the
application of an estoppel. That distinction may constitute a
factor in a determination of the applicability of equitable
estoppel. However, we do not find it to be of such significance as
to preclude as a matter of law the exercise of an estoppel in a
case in which the defendant had permitted discovery to continue to
its completion and only raised the lack of timeliness of
plaintiff's service of her physician's certification after the
statute of limitations on plaintiff's claim had run. We found
similar conduct and the absence of prejudice to constitute a basis
for estoppel in Hill, and we see no meaningful distinction here.
We therefore recognize as a matter of law that a claim of
equitable estoppel can be raised in circumstances such as those
existing in the present case. Cf. also White v. Karlsson, ___ N.J.
Super. ___ (App. Div. 2002) (finding a statute of limitations
defense to have been waived when it was not meaningfully asserted
in defendant's answer and dismissal on that basis was not sought
until discovery had been concluded); Williams v. Bell Tel. Lab.,
Inc.,
132 N.J. 109 (1993) (applying the doctrine of waiver when the
defense, contained in defendant's answer, was not reasserted until
after the jury had returned its verdict); Zaccardi v. Becker,
88 N.J. 245 (1982) (refusing to bar a subsequent action on statute of
limitations grounds when defendant had permitted discovery to
continue for seventeen months after plaintiff's action had been
dismissed for failure to answer interrogatories).
Although we have received no certification or other evidence
that would permit us to recognize the factual representations made
by defendant in his supplemental brief, we acknowledge his argument
that no factual record on the applicability of an estoppel was
made at the trial level. As a consequence, we reverse and remand
this matter for a hearing on that issue. In doing so, we emphasize
that, contrary to defendant's position, plaintiff need not
demonstrate intentional conduct by defendant. The applicable
standard requires only that plaintiff show conduct on the part of
the defendant occurring intentionally or under such circumstances
that it is both natural and probable that the conduct would induce
inaction, together with reasonable detrimental reliance on
plaintiff's part. See, e.g., Hendry v. Hendry,
339 N.J. Super. 326, 336 (App. Div. 2001) (an estoppel does not require evidence of
fraudulent intent; if the conduct creates injustice or inequity to
the party it was designed to influence, the doctrine is
applicable); General Acc. Ins. Co. v. New York Marine & Gen. Ins.
Co.,
320 N.J. Super. 546, 557 (App. Div. 1999); Hill, supra, 183
N.J. Super. at 41.
Reversed and remanded for proceedings in accordance with this
opinion.
Footnote: 1 1 The court discussed Burns v. Belafsky, 166 N.J. 466 (2001), which held that a plaintiff seeking a 60-day extension to file an affidavit of merit and demonstrating good cause, need not move for the statutorily-authorized extension within the initial 60-day service period. The court distinguished this case on the ground that plaintiff's service of her physician's certification occurred at a time well beyond any statutorily permitted extensions of time.