Case Title: Pinner v. Pinner

Citation: 

Docket Number: 16/19

State: maryland

Court: Maryland Supreme Court

Date: 2020-03-03T00:00:00Z

Document:
Randy R. Pinner v. Mona H. Pinner, et al., No. 16, September Term, 2019, Opinion by 
Booth, J. 
 
COURTS – PERSONAL JURISDICTION – SPECIFIC JURISDICTION – 
CONSENT TO BE SUED – The filing and prosecution in Maryland of a single toxic tort 
suit by a North Carolina resident and her late husband was not purposeful availment in the 
forum state that amounted to consent to be sued there.   
 
COURTS – PERSONAL JURISDICTION – SPECIFIC JURISDICTION – 
CONSTITUTIONAL REASONABLENESS – It was not constitutionally reasonable for 
a Maryland court to exercise personal jurisdiction over a North Carolina resident based 
upon her prosecution of a prior Maryland lawsuit.  The North Carolina resident did not 
travel to Maryland to prosecute the lawsuit but relied upon her lawyers to take all necessary 
actions there; the claims in the instant suit are not connected to the claims raised in the tort 
suit; and the ultimate resolution of the claims in the instant suit involve the application of 
North Carolina law. 
 
COURTS – PERSONAL JURISDICTION – SPECIFIC JURISDICTION – 
APPLICATION OF “OTHER COURSE OF CONDUCT” PROVISION OF 
MARYLAND LONG ARM STATUTE – The filing of a single lawsuit did not constitute 
a “course of conduct” under subsection (b)(4) of Maryland’s long arm statute, Courts and 
Judicial Proceedings Article (“CJ”) § 6-103; the lawsuit constituted a limited, discrete 
quantum of activity. 
 
 
 
 
 
 
 
 
Circuit Court for Baltimore City 
Case No.:  24-C-16-000247 
Argued: October 7, 2019 
 
IN THE COURT OF APPEALS 
OF MARYLAND 
 
 
 
 
 
 
 
 
No. 16 
September Term, 2019 
 
 
 
 
 
 
 
 
RANDY R. PINNER 
v. 
MONA H. PINNER, et al. 
 
 
 
 
 
 
 
 
 
 
Barbera, C.J. 
McDonald 
Watts 
Hotten 
Getty 
Booth 
Wilner, Alan M. (Senior Judge, 
Specially Assigned),  
 
JJ. 
 
 
 
 
 
 
 
 
 
 
Opinion by Booth, J. 
Getty and Wilner, JJ., dissent. 
 
 
 
 
 
 
 
 
 
 
Filed: March 3, 2020
Pursuant to Maryland Uniform Electronic Legal 
Materials Act 
(§§ 10-1601 et seq. of the State Government Article) this document is authentic. 
 
 
 
 
 
Suzanne C. Johnson, Clerk 
2020-03-03 12:24-05:00
 
This case requires the determination of whether the Circuit Court for Baltimore City 
erred in exercising in personam jurisdiction over the defendant, Mona Pinner, a North 
Carolina resident.  The case was filed by Randy Pinner, Mona’s1 stepson, who is also a 
North Carolina resident.  In the proceedings below, Randy obtained a default judgment 
against Mona, in the amount of nearly $100,000.   
Prior to the instant litigation, Edwin Pinner, Mona’s late husband and Randy’s 
father, and Mona, filed suit in the Circuit Court for Baltimore City, seeking damages for 
personal injuries caused by Edwin’s asbestos exposure (the “Asbestos Case”).  After 
Edwin’s death from mesothelioma, the Asbestos Case was converted to a wrongful death 
and survival action on behalf of Mona, individually, and as personal representative of the 
Estate of Edwin F. Pinner (“the Estate”).  Mona and Edwin were represented by Mary H. 
Keyes, Esq., and the Keyes Law Firms, LLC (collectively, “the Keyes Defendants”).  
Approximately two years after the Asbestos Case was filed, by agreement with Ms. Keyes, 
the law firm of Napoli Bern Ripka Shkolnick & Associates, LLP (“the Napoli Firm”) 
assumed responsibility for the case.   
After Mona added a wrongful death claim to the Asbestos Case, she failed to timely 
serve notice on Randy, pursuant to Maryland Rule 15-1001, and she did not name him as 
a use plaintiff.  When Randy was subsequently notified of the suit, he moved to intervene, 
but was barred from doing so by the statute of limitations.  Mona settled the Asbestos Case 
                                              
1 For ease of discussion, we shall refer to the Pinners by their first names.   
2 
with certain defendants, and she received settlement proceeds, but did not deposit those 
funds into Edwin’s Estate in North Carolina.   
Consequently, Randy filed the instant action in the Circuit Court for Baltimore City 
asserting claims of negligence against Mona, the Keyes Defendants, and the Napoli 
Defendants, as well as claims for aiding and abetting, negligent retention and supervision, 
and respondeat superior against some of the Keyes Defendants and the Napoli Defendants.  
The circuit court granted motions to dismiss for failure to state a claim upon which relief 
could be granted against the Keyes Defendants and the Napoli Defendants.  
Mona failed to respond and Randy’s request for an order of default was granted.  
After Mona unsuccessfully moved to vacate the order of default, the court held a damages 
inquisition hearing over two days, determined that it had personal jurisdiction over Mona, 
and entered a default judgment in favor of Randy for $99,856.84.  
In a reported opinion, the Court of Special Appeals reversed the circuit court’s 
decision with respect to the finding of personal jurisdiction and remanded the case with 
direction that the circuit court vacate the default judgment and enter an order dismissing 
the claims against Mona for lack of jurisdiction.  Pinner v. Pinner, 240 Md. App. 90, 98 
(2019).  The Court of Special Appeals affirmed the dismissal of the claims against the 
Keyes Defendants and the Napoli Defendants.  Id.   
Randy petitioned for writ of certiorari, which we granted to consider the following 
question, which we have rephrased:2  
                                              
2 The question presented in the petition for writ of certiorari was: 
3 
Did the circuit court err by exercising personal jurisdiction 
over Mona?   
 
For the reasons set forth within, we hold that the circuit court erred in exercising 
personal jurisdiction over Mona and we affirm the decision of the Court of Special Appeals.   
I.  BACKGROUND 
 
The Court of Special Appeals succinctly summarized the relevant facts in its 
reported opinion in the present case, Pinner, 240 Md. App. at 98–103, which we paraphrase 
as follows.   
In 1952 and 1953, Edwin Pinner was exposed to asbestos while working at an 
insulating plant in Baltimore, Maryland.  In August 2009, Edwin was diagnosed with 
mesothelioma.  He lived with his wife, Mona, in North Carolina.  Edwin had one biological 
son, Randy, from a prior marriage who also lives in North Carolina.   
On February 23, 2010, Edwin and Mona, through counsel3, filed suit in the Circuit 
Court for Baltimore City against numerous defendants, including two of Edwin’s former 
                                              
Did the Circuit Court for Baltimore City abuse its discretion in 
holding that an out-of-state defendant had sufficient contact 
through her attorneys for specific personal jurisdiction under 
the Maryland long arm statute for failing to name a use plaintiff 
and give the notice required by Md. Rule 15-1001 in a 
protracted, still continuing wrongful death case that the out-of-
state resident initiated in the same Maryland court and from 
which she received hundreds of thousands of dollars in 
settlements? 
 
3 At all times during the pendency of the Asbestos Case, Edwin and Mona were 
represented by counsel.  In September 2009, Edwin and Mona retained the services of Mary 
H. Keyes, Esq. and the Keyes Law Firms, LLC.  In March 2012, Ms. Keyes entered into 
an agreement with Napoli Bern Ripka Shkolnik, LLP (“the Napoli Firm”) whereby they 
agreed to assume responsibility for all aspects of the Asbestos Case.   
4 
employers headquartered in Baltimore City—Continental Wire and Inland Steel—alleging 
that he had been directly exposed to asbestos while working for those companies.  During 
discovery, Edwin and Mona identified Randy as Edwin’s only biological son in answers to 
interrogatories.   
In October 2010, eight months after suit was filed, Edwin died from mesothelioma.  
In December 2010, Mona was appointed personal representative of Edwin’s Estate in the 
General Court of Justice, Superior Court Division, Buncombe County, North Carolina.  She 
listed the Asbestos Case as property of the Estate.  
Two and one-half years after Edwin died, on April 24, 2013, Mona, through counsel, 
amended her complaint to add a claim for wrongful death.  In Maryland, “[o]nly one 
action” shall lie for the wrongful death of a person and it “shall be for the benefit of the 
wife, husband, parent and child of the deceased person.”  Md. Code (1974, 2013 Repl. 
Vol., 2019 Cum. Supp.), Courts and Judicial Proceedings Article (“CJ”), § 3-904(a)(1); (f).  
Pursuant to Maryland Rule 15-1001(b), “[a]ll persons who are or may be entitled by law 
to claim damages by reason of the wrongful death shall be named as plaintiffs whether or 
not they join in the action.”  If a potential wrongful death beneficiary is not joined in the 
action, the words “to the use of” should precede their name.  Md. Rule 15-1001(b).  The 
party bringing the wrongful death action is required to serve a copy of the complaint on 
each use plaintiff, along with a notice explaining their right to join the action.  Md. Rule 
15-1001(d).  Randy was not named as a use plaintiff in the amended complaint nor was he 
5 
served with a copy of the amended complaint or the notice required by Maryland Rule 15-
1001(d).4   
 
Over a year later, in June 2014, two of the defendants in the Asbestos Case moved 
to dismiss the wrongful death count of the amended complaint on the ground that Mona 
had failed to name Randy as a use plaintiff.  In response to that motion, in July 2014, Mona, 
through counsel, filed by consent a second amended complaint.  The second amended 
complaint substituted Mona, individually and as personal representative of the Estate, as 
the only plaintiff, and added Randy as a use plaintiff in the wrongful death count.  In July 
2014, three years and eight months after Edwin’s death, Mona, through counsel, served 
Randy with a copy of the complaint and the Rule 15-1001(d) notice.  Within 60 days, 
                                              
4 The notice required by Maryland Rule 15-1001(d) provides as follows: 
 
You may have a right under Maryland law to claim an award 
of damages in this action.  You should consult Maryland Code, 
§ 3-904 of the Courts Article for eligibility requirements.  Only 
one action on behalf of all individuals entitled to make a claim 
is permitted.  If you decide to make a claim, you must file with 
the clerk of the court in which this action is pending a motion 
to intervene in the action in accordance with the Maryland 
Rules no later [than] the earlier of (1) the applicable deadline 
stated in § 3-904(g) and § 5-201(a) of the Courts Article [“the 
statutory deadline”] or (2) 30 days after being served with the 
complaint and this Notice if you reside in Maryland, 60 days 
after being served if you reside elsewhere in the United States, 
or 90 days after being served if you reside outside of the United 
States [the “served notice deadline”].  You may represent 
yourself, or you may obtain an attorney to represent you.  If the 
court does not receive your written motion to intervene by the 
earlier of the applicable deadlines, the court may find that you 
have lost your right to participate in the action and claim any 
recovery.   
6 
Randy moved to intervene in the Asbestos Case.  The defendants opposed his intervention 
on the ground that his claim was barred by the applicable statute of limitations.  In October 
2014, the circuit court entered an order permitting Randy to intervene for the limited 
purpose of conducting discovery related to the statute of limitations issue.  In July 2015, 
the circuit court entered an order denying his motion to intervene as being barred by the 
applicable statute of limitations.   
II.  PROCEEDINGS BELOW 
In January 2016, Randy filed the instant case against Mona and her attorneys in the 
Circuit Court for Baltimore City.  Randy alleged sixteen counts against Mona and her 
attorneys5 based on their failure to name him as a use plaintiff and provide him with notice 
of the wrongful death action under Maryland Rule 15-1001.  Although both Randy and 
Mona resided in North Carolina and the law firms were organized in New York and 
Delaware, Randy filed the suit in Maryland.  Randy alleged personal jurisdiction over the 
parties under Maryland’s long arm statute, CJ § 6-103.   
                                              
5 The various law firms and attorneys who were named as defendants in the 
proceedings below were Mary H. Keyes and the Keyes Law Firm, LLC (“Keyes 
Defendants”) and Napoli Bern Ripka Shkolnik, LLP, Napoli Bern Ripka Shkolnik & 
Associates, LLP, Napoli Bern, LLP, Napoli Bern & Associates, LLP, Napoli Bern Ripka, 
LLP, Napoli Bern Ripka & Associates, LLP, Law Offices of Napoli Bern Ripka, Shkolnik, 
LLP, Law Offices of Napoli Bern Ripka & Associates, LLP, Law Offices of Napoli Bern, 
LLP, Paul J. Napoli, Marc J. Bern, Alan S. Ripka, Hunter J. Shkolnik, Ethan Horn, Napoli 
Shkolnik, PLLC, Napoli Shkolnik & Associates, PLLC, Napoli Shkolnik, LLP, Bern 
Ripka, LLP, Paul Napoli Law, PLLC, Marc Bern Law, PLLC, Marie Kaiser, PLLC, Napoli 
Law, PLLC, Napoli & Partners, PLLC, Hunter J. Shkolnik Attorney at Law, PLLC, and 
Jason M. Weiner (“Napoli Defendants”).   
7 
Counts I, II, and IV pertained to Mona, individually and as personal representative 
of the Estate.  Count I asserted that Mona negligently failed to name Randy as a use plaintiff 
in violation of Maryland Rule 15-1001.  Count II alleged that she breached her fiduciary 
duties as personal representative of the Estate under North Carolina law by failing to 
provide notice under Maryland Rule 15-1001 and failing to distribute a share of the 
settlement monies from the Asbestos Case to Randy, a statutory beneficiary of the Estate.  
Count IV alleged that Mona was vicariously liable for the tortious acts and omissions of 
her attorneys.   
Counts II, V, VI, VII, VIII, IX, X, XI, and XII all pertained to the law firms 
representing Mona.  The claims against the law firms and individual attorneys included 
negligence for failure to name Randy as a use plaintiff, negligent retention and supervision, 
aiding and abetting Mona’s breach of Maryland Rule 15-1001 and her breach of fiduciary 
duty, and vicarious liability for the tortious conduct and omissions of individual attorneys.   
The law firms moved to dismiss the counts filed against them.  After a hearing, the 
circuit court granted the law firms’ motions to dismiss with prejudice.  The court found 
that there was no attorney-client relationship to provide Randy with standing to sue as a 
third-party beneficiary between Mona and her attorneys.  Further, the court found that 
Randy failed to state a claim for the remaining counts because Maryland law did not 
recognize the claims as independent causes of action or cognizable under Maryland law.  
Randy served Mona with private process in North Carolina on March 14, 2016.  
Mona failed to file a responsive pleading.  On November 28, 2016, Randy filed a request 
for an order of default, which the circuit court granted.  The court sent Mona a notice of 
8 
the order and advised her that she could move to vacate the order within 30 days.  Through 
her attorney, Mona moved to vacate the order on February 22, 2017.  The circuit court 
denied her motion and set a damages inquisition hearing.   
In March 2017, Randy filed an inquisition hearing memorandum that focused on the 
applicability of the law of North Carolina.  The memorandum summarized North Carolina 
statutes concerning the authority of a personal representative to bring a wrongful death 
action and the beneficiaries to such an action, the fiduciary duties applicable under North 
Carolina law, and argued that the law governing fiduciary duties in North Carolina must 
govern because Edwin was domiciled in North Carolina at the time of his death, and the 
events giving rise to the tort action against Mona occurred in North Carolina.  Randy further 
stated that North Carolina law provides for a cause of action in tort against a personal 
representative or trustee for breaches of fiduciary duty and recognizes a claim for damages 
as a result.  He cited to North Carolina statutes for the amount of recovery to which he 
believed that he was entitled under the North Carolina Intestate Succession Act and 
submitted damages calculation worksheets outlining the amount to which he contended he 
was entitled.   
On May 3, 2017, the court held a damages inquisition hearing.  Randy appeared 
with counsel (as did representatives of the defendant law firms), but Mona did not appear.  
The circuit court sua sponte raised the issue of personal jurisdiction, and then granted a 
continuance to allow Randy’s counsel to brief the issue of personal jurisdiction.  Prior to 
the continuance, the court heard arguments from Randy’s counsel and received evidence 
of the damages allegedly incurred by Randy.  On the damages issue, Randy’s counsel noted 
9 
that the part of the case alleging Mona’s negligence arising out of the Maryland rule 
violation had “fallen by the wayside in a sense[]” and that the damages portion of the case 
focused on Mona’s breach of her fiduciary duties under North Carolina law.  The evidence 
presented to the trial court on the issue of damages consisted of: Randy’s testimony; an 
affidavit signed by Randy; a certified copy of portions of the North Carolina probate file; 
and two affidavits of Mona’s counsel reflecting the amounts of the payments that Mona 
received from the settlement.6  The only testimony was from Randy.  In response to 
questions by counsel, Randy testified that Edwin passed away on October 30, 2010, that 
he was his father’s only child, and that he had not received any payments from Mona since 
his father passed away.   
The hearing resumed on July 26, 2017.  Randy’s counsel attended.  Mona again did 
not appear.  At the outset, the court determined that it had jurisdiction over Mona and heard 
arguments on damages.7  After the court concluded that it had jurisdiction, Randy’s counsel 
summarized North Carolina probate law and Mona’s fiduciary duties as the personal 
representative of the North Carolina Estate.  Randy’s counsel provided damages 
calculation worksheets based upon North Carolina statutes.  At the end of the hearing, the 
court ordered Mona to pay Randy $99,856.84, representing one-half of the settlement 
                                              
6 The affidavits of counsel were filed under seal due to the confidentiality provisions 
of the settlement.  
 
7 The trial court did not make any findings on the record concerning the 
jurisdictional issue.  Rather, the court simply stated that it would accept Randy’s counsel’s 
memorandum on jurisdiction and that “the Court accepts jurisdiction and I no longer have 
a question concerning it.”   
10 
proceeds on the wrongful death claim, less a $60,000 spousal deduction under North 
Carolina law.  The parties filed a timely appeal and cross-appeal.  
On the issue of personal jurisdiction, the Court of Special Appeals considered 
whether Mona’s sole contact with Maryland—the filing and prosecution of the Asbestos 
Case—was sufficient to establish specific jurisdiction under the Maryland long arm statute, 
CJ § 6-103(b)(4), and comported with due process.  Pinner v. Pinner, 240 Md. App. 90, 
107 (2019).  Consistent with our jurisprudence on matters concerning specific jurisdiction 
and due process considerations, the Court of Special Appeals analyzed Mona’s contact 
within the three-prong framework outlined in Beyond Systems, Inc. v. Realtime Gaming 
Holding Co., 388 Md. 1, 22 (2005).  Pinner, 240 Md. App. at 107.  The Court of Special 
Appeals held that Mona had insufficient contacts with Maryland to justify the exercise of 
specific jurisdiction.  Id. at 113.  The Court of Special Appeals remanded the case with 
directions for the court to vacate the judgment and enter an order dismissing the claims 
against Mona.8  Id.   
Randy petitioned for writ of certiorari, which we granted.  For the reasons set forth 
herein, we affirm the judgment of the Court of Special Appeals.   
                                              
8 The Court of Special Appeals also considered a cross-appeal by Randy, who 
contended that the circuit court erred in dismissing his claims against Mona’s former 
attorneys—the Keyes Defendants and the Napoli Defendants.  The intermediate appellate 
court affirmed the circuit court’s dismissal of all claims against these defendants.  Pinner 
v. Pinner, 240 Md. App. 90, 115 (2019).  The dismissal of the claims against the Keyes 
Defendants and the Napoli Defendants are not part of this appeal.  
11 
III. DISCUSSION 
A. Standard of Review 
 
The defense of lack of personal jurisdiction is a question of law.  See CSR, Ltd. v. 
Taylor, 411 Md. 457, 472 (2009) (noting that the issue of personal jurisdiction is typically 
collateral to the merits).  Accordingly, we review de novo a trial court’s legal conclusion 
as to whether the trial court may exercise personal jurisdiction over a defendant.  Dynacorp 
Ltd. v. Aramtel Ltd., 208 Md. App. 403, 477 (2012).  Randy, as the plaintiff, bears the 
burden of establishing personal jurisdiction.  See CSR, Ltd., 411 Md. at 467 n.2; see also 
Beyond Sys., 388 Md. at 11 (noting that the plaintiff must make a prima facie showing of 
personal jurisdiction by a preponderance of the evidence).  
 
B. Parties’ Contentions 
 
Randy alleges that Mona’s act of filing and prosecuting the Asbestos Case 
constitutes a “persistent course of conduct” under subsection (b)(4) of the long arm statute, 
CJ § 6-103.  Randy maintains that the complexity of the case, combined with its duration, 
supports a finding that Mona’s conduct is sufficient to be considered a “persistent course 
of conduct.”  Randy also contends that he has satisfied the three-prong constitutional 
analysis outlined in Beyond Systems, Inc. v. Realtime Gaming Holding Co., 388 Md. 1, 22 
(2005), and urges the Court to rely upon out-of-state cases where litigation activities were 
found to be sufficient to satisfy due process concerns.  Randy argues that Mona 
purposefully availed herself of the benefits and protections of Maryland law by engaging 
in significant litigation activities within Maryland for over six years, which resulted in a 
substantial monetary payment.  Recognizing that there is no evidence in the record that 
12 
Mona traveled to Maryland in connection with this case, Randy asserts that Mona’s 
attorneys’ conduct is sufficient to establish jurisdiction over her under the principles of 
agency.   
 
Additionally, Randy alleges that Mona failed to meet her burden that the exercise 
of personal jurisdiction violated due process.  Randy contends that he established Mona’s 
minimum contacts with the state and, thus, the burden shifted to Mona to demonstrate that 
the exercise of jurisdiction would not comport with fair play and substantial justice.  
 
Conversely, Mona contends that neither the Maryland long arm statute nor due 
process authorize a Maryland court to exercise personal jurisdiction over her in connection 
with Randy’s suit.  Mona argues that the filing of one lawsuit cannot be considered a 
persistent course of conduct.  Further, Mona contends that even if the lawsuit met the 
requirements of Maryland’s long arm statute, due process prevents the court’s exercise of 
personal jurisdiction.  Mona asserts that the filing of one lawsuit does not rise to the level 
of sufficient contacts with Maryland, that the Asbestos Case is only tangentially related to 
the current suit, and that the exercise of personal jurisdiction would offend traditional 
notions of fair play and substantial justice.  Therefore, Mona contends that the Court of 
Special Appeals correctly found the circuit court’s exercise of personal jurisdiction to be 
in error.   
 
C. Analysis 
This case requires us to examine whether Mona’s act of filing and prosecuting the 
Asbestos Case created sufficient contacts with the State to enable a Maryland court to 
exercise personal jurisdiction over her.  When faced with the issue of whether a Maryland 
13 
court may exercise personal jurisdiction over an out-of-state defendant, our inquiry 
involves dual and overlapping considerations.  “We consider whether the requirements of 
Maryland’s long-arm statute are satisfied.”  CSR, Ltd., 411 Md. at 472 (footnote omitted); 
Bond v. Messerman, 391 Md. 706, 721 (2006).  We also consider “whether the exercise of 
personal jurisdiction comports with the requirements imposed by the Due Process Clause 
of the Fourteenth Amendment.”  CSR, Ltd., 411 Md. at 473.  Both considerations must be 
satisfied to find an exercise of personal jurisdiction to be proper.  
In analyzing the parties’ contentions, we recognize that the statutory and 
constitutional components of our inquiry are not mutually exclusive.  Rather, as this Court 
has held on numerous occasions, “the long arm statute represents an effort by the 
Legislature to expand the boundaries of permissible in personam jurisdiction to the limits 
permitted by the Federal Constitution.”  Id. (quoting Geelhoed v. Jensen, 277 Md. 220, 224 
(1976)); see also Beyond Sys., 388 Md. at 22.  “Because we have consistently held that the 
reach of the long arm statute is coextensive with the limit of personal jurisdiction delineated 
under the Due Process Clause of the Federal Constitution, our statutory inquiry merges 
with our constitutional examination.”  Beyond Sys., 388 Md. at 22; see also Mohamed v. 
Michael, 279 Md. 653, 658 (1977) (“It is within the context of these constitutional 
requirements that we have interpreted the meaning of ‘transacts any business’ as used in 
subsection (b) (1) of the long-arm statute.”).  It is therefore necessary to interpret the statute 
within the confines of the constitutional limitations, rendering an interpretation consistent 
with those limitations.  See Geelhoed, 277 Md. at 223; Lamprecht v. Piper Aircraft Corp., 
262 Md. 126, 130 (1971).   
14 
Personal jurisdiction satisfies the Fourteenth Amendment’s due process 
requirements “if the defendant has ‘minimum contacts’ with the forum state, so that 
requiring the defendant to defend its interests in the forum state ‘does not offend traditional 
notions of fair play and substantial justice.’”  Beyond Sys., 388 Md. at 22 (quoting Int’l 
Shoe Co. v. Washington, 326 U.S. 310, 316 (1945)).  Cases are divided into two categories 
depending upon a defendant’s contacts with the State: specific jurisdiction or general 
jurisdiction.  CSR, Ltd., 411 Md. at 477; Beyond Sys., 388 Md. at 22.  “To establish general 
jurisdiction, the defendant’s activities in the State must have been ‘continuous and 
systematic.’”  Beyond Sys., 388 Md. at 22 (citing Carefirst of Md., Inc. v. Carefirst 
Pregnancy Ctr., Inc., 334 F.3d 390, 397 (4th Cir. 2003)) (additional citations omitted).  
Specific jurisdiction cases arise “where the cause of action arises from, or is directly related 
to, the defendant’s contacts with the forum state.”  CSR, Ltd., 411 Md. at 477 (citing 
Presbyterian Univ. Hosp. v. Wilson, 337 Md. 541, 541 (1995); Camelback Ski Corp. v. 
Behning, 312 Md. 330, 339 (1988) (Camelback II)).  In other words, “the defendant’s 
contacts with the forum state form the basis for the suit[.]”  Beyond Sys., 388 Md. at 26.   
In this case, Randy does not contend that Mona’s contacts with Maryland were 
sufficient to establish general jurisdiction over her.  Rather, he contends that specific 
jurisdiction may be exercised because Mona’s contacts with Maryland “form the basis for 
the suit[.]”  Id.  Because Randy concedes that Maryland lacks general jurisdiction over 
Mona, our analysis is limited to whether the requirements for specific jurisdiction are 
satisfied under the long arm statute and whether they comport with due process 
considerations. 
15 
Randy’s sole assertion of specific jurisdiction is limited to one subsection of 
Maryland’s long arm-statute, CJ § 6-103(b)(4), which provides as follows:  
(b) A court may exercise personal jurisdiction over a person, 
who directly or by an agent: 
 
.  .  .   
 
(4) Causes tortious injury in the State or outside of the 
State by an act or omission outside the State if he regularly 
does or solicits business, engages in any other persistent course 
of conduct in the State or derives substantial revenue from 
goods, food, services, or manufactured products used or 
consumed in the State; 
 
 
As noted above, Randy alleges Mona’s only contact with Maryland is the filing and 
prosecution of the Asbestos Case.  We must determine whether Mona’s act of filing a 
lawsuit in Maryland constitutes “engag[ing] in any other persistent course of conduct in 
the State” under the long arm statute, and is within constitutional limitations.  Geelhoed, 
277 Md. at 223 (citing Lamprecht, 262 Md. at 130).  In other words, “if to exercise . . . 
jurisdiction in a given case, would violate Due Process, we construe our long arm statute 
as not authorizing the exercise of personal jurisdiction over the defendant.”  CSR, Ltd., 411 
Md. at 475–76 (quoting Bond, 391 Md. at 721). 
Accordingly, as the Court of Special Appeals correctly noted in its reported opinion 
below, in assessing whether Mona’s conduct in the Asbestos Case gave rise to specific 
jurisdiction and comports with due process, we analyze the statute as we consider the three 
prongs adopted by this Court in Beyond Systems: “(1) the extent to which the defendant 
has purposefully availed [herself] of the privilege of conducting activities within the State; 
(2) whether the plaintiff’s claims arise out of those activities directed at the State; and (3) 
16 
whether the exercise of personal jurisdiction would be constitutionally reasonable.”  
Pinner, 240 Md. App. at 107 (quoting Beyond Sys., 388 Md. at 26; Carefirst, 334 F.3d at 
397).   
Finally, it is worth noting that this coextensive constitutional and statutory analysis 
is a fact-intensive inquiry and there is no “one-size fits all” answer to these jurisdictional 
issues.  As the United States Supreme Court observed, the determination of whether a 
defendant has maintained sufficient minimum contacts with the forum state is “one in 
which few answers will be written ‘in black and white.  The greys are dominant and even 
among them the shades are innumerable.’”  Kulko v. Superior Court of Cal., 436 U.S. 84, 
92 (1978) (quoting Estin v. Estin, 334 U.S. 541, 545 (1948)).  In Presbyterian University 
Hospital v. Wilson, 337 Md. 541, 552 (1995), we noted that in contrast to general 
jurisdiction, an analysis of specific jurisdiction 
involves more of an expanded factual inquiry into the precise 
nature of the defendant’s contacts with the forum, the 
relationship of these contacts with the cause of action, and a 
weighing of whether “the nature and extent of the contacts . . . 
between the forum and the defendant . . . satisfy the threshold 
demands of fairness.”  
 
Id. (quoting Camelback II, 312 Md. at 336).  Considering this, we turn to Randy’s 
contentions and Mona’s contacts with Maryland.  
Due Process Considerations 
1. Purposeful Availment Analysis  
With respect to the first prong of our due process analysis, Randy contends that 
there are sufficient facts in the record reflecting that, operating through her attorneys, Mona 
17 
had sufficient contacts with Maryland and that her wrongful act—her failure to name 
Randy as a use plaintiff under Maryland Rule 15-1001—arose out of and related to her 
contacts in Maryland.  Randy asserts that he has satisfied the “purposeful availment” 
requirement because Mona deliberately engaged in significant litigation activities for over 
six years, resulting in her receiving significant monetary benefits through settlement 
payments received in the Asbestos Case. 
The United States Supreme Court explained the rationale behind the “purposeful 
availment” requirement in Burger King Corp. v. Rudzewicz, 471 U.S. 462, 475–76 (1985): 
T[he] “purposeful availment” requirement ensures that a 
defendant will not be haled into a jurisdiction solely as a result 
of “random,” “fortuitous,” or “attenuated” contacts, or of the 
“unilateral activity of another party or a third person.” 
Jurisdiction is proper, however, where the contacts 
proximately result from actions by the defendant himself that 
create a “substantial connection” with the forum State.  Thus, 
where the defendant “deliberately” has engaged in significant 
activities within a State, or has created “continuing 
obligations” between himself and the residents of the forum, 
he manifestly has availed himself of the privilege of 
conducting business there, and because his activities are 
shielded by the “benefits and protections” of the forum’s laws 
it is presumptively not unreasonable to require him to submit 
to the burdens of litigation in that forum as well.  
 
(Citations and footnotes omitted).  
 
 
A factor related to purposeful availment is “foreseeability” or “notice,” i.e. that the 
defendant, in purposefully availing himself or herself of the privilege of conducting 
activities within the forum State, “should reasonably anticipate being haled into court 
there.”  World-Wide Volkswagen Corp. v. Woodson, 444 U.S. 286, 295 (1980); see also 
18 
CSR, Ltd., 411 Md. at 480 (noting that foreseeability alone is not sufficient where a person 
would not reasonably anticipate being haled into court in that state).   
This case presents a unique set of facts.  Mona deliberately engaged in an activity 
in Maryland through her attorneys’ act of prosecuting the Asbestos Case.  The tortious 
conduct alleged by Randy arises out of a failure to comply with a Maryland Rule of 
Procedure in the Asbestos Case.  However, Randy failed to produce any evidence that 
Mona traveled to Maryland in connection with the Asbestos Case, which her attorneys 
resolved by settlement, without a trial.  There is no evidence in the record that Mona was 
deposed or otherwise participated in the proceeding.9  The docket entries and pleadings in 
the Asbestos Case that Randy submitted as evidence in this case reflect that Mona and 
Edwin’s attorneys filed an initial complaint, answered interrogatories (which the attorneys 
                                              
9 In an attempt to establish that Mona’s litigation efforts constituted “significant 
activities” in Maryland, Randy’s counsel submitted to the trial court a copy of the docket 
entries in the Asbestos Case, together with the following pleadings that were electronically 
filed in the Asbestos Case: (1) the initial Complaint filed by Edwin and Mona filed on 
February 23, 2010; (2) Plaintiffs’ Amended Answers to Defendants’ Master Set of 
Interrogatories; (3) Suggestion of Death and Notice of Substituting Party filed on March 
14, 2012; (4) Amended Complaint filed on April 24, 2013; (5) Plaintiff’s Consent Motion 
for Leave to Amend to Add Use Plaintiff filed on July 7, 2014; (6) Amended Complaint 
filed on July 8, 2014; (7) Notice to Use Plaintiff Randy Pinner pursuant to Rule 15-1001(d) 
filed on July 10, 2014; and (8) Notice of Appearances of Aaron M. Graham filed on behalf 
of Edwin Pinner on December 16, 2015.  As part of this appeal, Randy requests that the 
Court take judicial notice of the pleadings filed in the Asbestos Case pursuant to Md. Rule 
5-201(f).  As discussed infra, the docket entries and pleadings reflect that the Asbestos 
Case was a routine asbestos case and was not unusually complex.  Additionally, the docket 
entries do not reflect any participation in the litigation by Mona (other than the pleadings 
filed by her counsel) or any physical presence by her at any hearing, deposition or 
proceeding in Maryland.   
19 
signed on Edwin’s and Mona’s behalf), and, subsequently, filed an amended complaint 
after Edwin’s death.   
Although Randy’s lawsuit involved multiple counts against Mona and her attorneys, 
the claims against the attorneys were dismissed, leaving Mona as the sole defendant.  Both 
remaining parties, Randy and Mona, reside in North Carolina.  The alleged injury to Randy 
arose in North Carolina.  The resolution of this case involved the entry of a default 
judgment by a Maryland court against a North Carolina resident based upon the application 
of North Carolina probate law.  At the damages hearing, Randy’s counsel made it clear that 
he was claiming damages on a theory arising from the breach of fiduciary duty count under 
North Carolina law.  The only testimony was from Randy.  Randy’s counsel summarized 
Mona’s fiduciary duties arising from North Carolina law, entered records from the North 
Carolina probate file into evidence with the circuit court, provided the court with 
worksheets summarizing Randy’s proposed damages under North Carolina probate law, 
and requested that the circuit court enter judgment based upon the application of North 
Carolina law. 
Based upon these facts, we hold that Randy has not established a prima facie case 
that Mona formed a “substantial connection” with Maryland through the filing and 
prosecution of the Asbestos Case such that she should “reasonably anticipate being haled 
into Court” in Maryland to defend a claim alleging breach of fiduciary duties in connection 
with her status as a personal representative of a North Carolina estate arising out of North 
Carolina law.  CSR, Ltd., 411 Md. at 464 (“In Maryland, a substantial connection will be 
established if Petitioner either engaged in significant activities in the State or created 
20 
continuing obligations with the State’s residents, thus taking advantage of the benefits and 
protections of Maryland law.”).  Although Mona clearly received a benefit from her 
litigation efforts in Maryland (by receipt of the settlement payments), her limited act of 
filing and prosecuting the Asbestos Case does not constitute engaging in “significant 
activities.”  Filing suit also did not create “continuing obligations” between herself and the 
forum state, sufficient to now require her to submit to the burdens of litigation in Maryland, 
particularly where the claims, brought by a North Carolina resident, arise under North 
Carolina law in connection with the administration of a North Carolina estate.   
Randy cites to several cases where personal jurisdiction was exercised over a non-
resident defendant based upon previous litigation activities in the forum state.  Neuralstem, 
Inc. v. Stemcells, Inc., 573 F. Supp. 2d 888 (D. Md. 2008); Glassman, Edwards, Wade & 
Wyatt, P.C. v. Wolf Haldenstein Adler Freeman & Herz, LLP, 601 F. Supp. 2d 991 (W.D. 
Tenn. 2009); Rusakiewicz v. Lowe, 556 F.3d 1095 (10th Cir. 2009).  He urges us to rely 
upon those cases as support for exercising personal jurisdiction over Mona here.  As noted 
supra, whether a defendant has sufficient contacts with a forum state in a particular case is 
a fact-intensive inquiry and there is no “one size fits all” answer.  We find the cases Randy 
relies upon to be factually distinguishable.   
In Neuralstem, Inc. v. Stemcells, Inc., 573 F. Supp. 2d 888, 889–90 (D. Md. 2008), 
a Delaware corporation headquartered in Maryland (Neuralstem) filed suit in the United 
States District Court for the District of Maryland against a Delaware corporation 
headquartered in California (Stemcells) seeking a declaratory judgment that a patent 
licensed by Stemcells was unenforceable, invalid, and not infringed.  Almost two years 
21 
earlier, Stemcells had sued Neuralstem for patent infringement in the same court.  Id. at 
890.  The district court denied Stemcells’ motion to dismiss for lack of personal jurisdiction 
because it had “concluded that personal jurisdiction may be based upon implied consent or 
waiver when a non-resident files a claim in the forum state that involves the same 
transaction.”  Id. at 897.  Under the facts of that case, the prior lawsuit involved the same 
legal and factual issues and the same parties.  Id. at 888.  In analyzing the claims, the court 
noted that Stemcells admitted that the previous suit and the second suit involved the “same 
transaction” or “the same nucleus of operative facts.”  Id.  The court found that the two 
actions were “significantly intertwined,” that the patents were virtually identical, and that 
both actions stemmed from the facts involving Stemcells’ activities related to the patents.  
Id. at 898. 
By contrast, the Asbestos Case and the instant case do not involve the same parties.  
Additionally, the claims in the Asbestos Case and the claims that Randy is pursuing against 
Mona in this case are not “significantly intertwined” and do not involve the same nucleus 
of operative facts.  Although Randy argues that the cases are “significantly intertwined,” it 
is clear from the evidence that he presented at the damages hearing that the cases are not.  
The Asbestos Case was a toxic tort action against Edwin’s former employers for injuries 
suffered by him as a result of exposure to asbestos.  The factual and legal issues underlying 
those claims bear no relation to the claims raised by Randy in his suit against Mona for 
negligent failure to comply with Maryland Rule 15-1001 and for breach of duty under 
North Carolina law.   
22 
Glassman, Edwards, Wade & Wyatt, P.C. v. Wolf Haldenstein Adler Freeman & 
Herz, LLP, 601 F. Supp. 2d 991 (W.D. Tenn. 2009), is also distinguishable.  In that case, 
three law firms—one based in New York, one based in California, and one based in 
Tennessee—entered into a joint venture to serve as co-counsel for plaintiffs in an antitrust 
law suit filed in the United States District Court for the Western District of Tennessee.  Id. 
at 995.  Another firm, based in Maine, was later appointed co-lead counsel, along with the 
three other firms.  Id.  The antitrust litigation ultimately settled.  Id. at 996.  Subsequently, 
the California and Tennessee based firms filed suit in the United States District Court for 
the Western District of Tennessee against the New York and Maine based firms, along with 
the third firm, alleging breaches of fiduciary judgment and covenant of good faith and faith 
dealing relative to the joint venture agreement, seeking the imposition of a constructive 
trust, and seeking declaratory relief.  Id. at 996–97.  The district court denied the out-of-
state law firms’ motion to dismiss, noting that the defendants had “purposefully availed 
themselves of the privilege of acting in Tennessee by prosecuting the protracted [antitrust 
litigation] in the [forum state].”  Id. at 1003.  The court noted that the cause of action had 
arisen in Tennessee, and that all of the defendants had participated in the Tennessee 
litigation, one of the foreign defendants had acted as lead counsel, and that the pleadings 
reflected that the foreign defendant had acted as lead counsel in another suit in the Western 
District of Tennessee.  Id. at 1003–04.  The foreign defendants had a concrete presence 
with the forum state—they were physically present in Tennessee representing clients and 
participated in the underlying litigation.  Id.   
23 
Here, Mona’s connection with Maryland is much more tenuous.  There is no 
evidence that she traveled to Maryland in connection with the Asbestos Case.  Although 
Glassman and the instant case both involve situations where the claims in the second 
lawsuit involved matters that were collateral to the initial litigation, here, Randy’s collateral 
claims against Mona are based upon a more attenuated connection to the Asbestos Case 
than the collateral claims asserted against the foreign defendants in Glassman.  As noted 
supra, the tangential connection between the Asbestos Case and this case is underscored 
by Randy’s evidence and arguments of counsel presented at the damages hearing.  Randy’s 
alleged injury occurred in North Carolina and the ultimate resolution of this case involved 
the application of North Carolina law.  
Rusakiewicz v. Lowe, 556 F.3d 1095 (10th Cir. 2009), is also factually 
distinguishable.  In that case, the Tenth Circuit determined that the exercise of personal 
jurisdiction was appropriate in Utah in a lawsuit brought by members of a veterans’ 
organization, alleging abuse of process and unlawful use of legal proceedings against the 
leaders of the organization’s California department where out-of-state leaders met at a 
meeting in Utah and approved the filing of a lawsuit in Utah, and voted to fund it.  Id.  In 
Rusakiewicz, the tortious injury occurred in the forum state, the defendant had a more 
significant physical presence, and the claims being pursued in the subsequent litigation 
were brought under the applicable law of the forum state.  Id. at 1101.  Unlike the injury in 
Rusakiewicz, Randy’s alleged injury did not occur in Maryland, but in North Carolina.  
Mona and Edwin’s decision to file the Asbestos Case was not made in Maryland, nor are 
24 
there any facts in the record indicating that Mona or Edwin traveled to Maryland.  The facts 
making an exercise of personal jurisdiction appropriate in Rusakiewicz are not present here.  
We agree with the Court of Special Appeals that the district court’s analysis in the 
case of Mallinckrodt Medical, Inc. v. Sonus Pharmaceuticals, Inc., 989 F. Supp. 265 
(D.D.C. 1998) is instructive.  Pinner, 240 Md. App. at 109.  In Mallinckrodt, several 
pharmaceutical companies sued the Food and Drug Administration (“FDA”) in the United 
States District Court for the District of Columbia.  Mallinckrodt, 989 F. Supp at 266–67.  
The plaintiff pharmaceutical companies alleged that the FDA treated their products as 
drugs while treating the products of their competitor, Molecular Biosystems, Inc. (“MBI”), 
as a medical device.  See Bracco Diagnostics, Inc. v. Shalala, 963 F. Supp. 20 (D.D.C. 
1997).  MBI intervened and filed a counterclaim raising patent law issues.  Mallinckrodt, 
989 F. Supp at 267.  Ultimately, the entire case was dismissed as moot because the FDA 
acceded to the plaintiff’s request.  Id.  
Subsequently, Mallinckrodt Medical, Inc. (Mallinckrodt), the marketer for MBI, 
and MBI filed in the same court a separate suit against the same pharmaceutical 
companies and others, alleging patent infringement claims and seeking the same relief 
that MBI sought in its earlier counterclaim.  Id.  After the defendant pharmaceutical 
companies filed a motion to dismiss, the court inter alia, considered a subsection of 
D.C.’s long arm statute, and concluded that the court lacked jurisdiction.  Id. at 270–71.  
The district court explained that filing the earlier suit did not constitute consent to be sued 
in the later action nor did it constitute “transacting business” in the District of Columbia 
under the long arm statute.  Id.   
25 
In its reported opinion, the Court of Special Appeals acknowledged “that the District 
of Columbia is unique because it is the nation’s capital, and an entity seeking redress of 
grievances from an agency of the federal government does not submit itself to jurisdiction 
under the long arm statute.”  Pinner, 240 Md. App. at 110 (citing Mallinckrodt, 989 F. 
Supp. at 271).  The intermediate appellate court stated that  
[n]evertheless, we conclude that the result is consistent with 
the law of Maryland.  Ordinarily, the filing of a lawsuit does 
not constitute regularly doing business in Maryland and is not 
a persistent course of conduct in Maryland.  Cf. Stisser v. SP 
Bancorp, Inc., 234 Md. App. 593, 631–41 (2017) (holding that 
the “mere act of filing [articles of incorporation] in Maryland 
falls short of the grip of Maryland’s long arm [statute]” 
particularly because the plaintiffs’ claims were only 
“tangentially related” to that conduct). 
 
Id. at 110–11. 
We agree with the Court of Special Appeals that the district court’s analysis in 
Mallinckrodt is instructive.  Mona’s authorization to file the Asbestos Case did not 
constitute implied consent to be sued in Maryland in a separate case that would be 
tenuously related to the Asbestos Case.  Moreover, as discussed infra, we do not find that 
Mona’s sole act of filing and prosecuting the Asbestos Case constituted a “persistent course 
of conduct” under the long arm statute.   
In an attempt to overcome the lack of evidence that Mona traveled to Maryland or 
otherwise engaged in any activity other than retaining lawyers to file and prosecute a 
wrongful death action in Maryland, Randy directs our attention to cases where the Court 
held that personal jurisdiction may be exercised over a non-resident defendant based upon 
the actions of the non-resident’s agent’s conduct in the forum state.  See Mackey v. 
26 
Compass Mktg., Inc., 391 Md. 117, 125 (2006); Mohamed v. Michael, 279 Md. 653, 659 
(1977); Harris v. Arlen Prop., Inc., 256 Md. 185, 196 (1969).  
Although we agree that an agent’s conduct can give rise to personal jurisdiction over 
a principal,10  the agent’s activity and conduct must nonetheless fall within the long arm 
statute and comply with minimum due process requirements.  The cases cited by Randy to 
support his argument that Mona is subject to Maryland jurisdiction in this case under 
agency principles are also factually distinguishable from the facts of this case.   
In Mackey v. Compass Mktg., Inc., 391 Md. 117, 121 (2006), the Court of Appeals 
answered a question certified by the United States District Court regarding whether 
Maryland recognizes the conspiracy theory of jurisdiction as a matter of law.  We find 
Mackey to be inapposite to our analysis here.  That case involved allegations of a civil 
conspiracy between several defendants to cut plaintiff’s brokerage commissions.  Id. at 
191.  Here, Randy has not alleged a civil conspiracy between Mona and her attorneys.  
In Mohamed v. Michael, 279 Md. 653, 654 (1977), a Canadian citizen instituted an 
action against a Kentucky resident, alleging malicious prosecution, false imprisonment, 
and defamation.  The parties had entered into a contract in Kentucky whereby the plaintiff 
agreed to purchase race horses from the defendant.  Id.  This Court held that the activities 
of the defendant and his attorney agents within the State of Maryland constituted 
“purposeful activity” within the State to be considered a transaction of business within 
                                              
10 The long arm statute expressly contemplates that a non-resident principal may be 
subject to specific personal jurisdiction for conduct of an agent.  See CJ § 6-103(b) (“A court 
may exercise personal jurisdiction over a person, who directly or by an agent . . .”).  
27 
Maryland under CJ § 6-103(b)(3) and that the exercise of jurisdiction comported with due 
process.  Id. at 659.  In that case, the agent’s activities were extensive and included: 
undertaking “intensive negotiations” over the course of six weeks while the plaintiff was 
temporarily living in Maryland; causing a fugitive arrest warrant to be issued thereby 
causing plaintiff’s arrest in Maryland; and continuing to engage in negotiations in 
Maryland after the plaintiff’s arrest.11  Id. at 655–59. 
In Harris v. Arlen Properties, Inc., 256 Md. 185, 197 (1969), this Court held that a 
Maryland court could exercise jurisdiction over an out-of-state real estate development 
company for unpaid brokerage commissions in connection with the purchase of a Maryland 
commercial property.  The Court concluded that the company and its officers had engaged 
in a persistent course of conduct under the Maryland long arm statute, and had sufficient 
minimum contacts with Maryland giving rise to specific jurisdiction based upon:  an 
employee’s trips on multiple occasions to Maryland to look at site locations with the 
plaintiff; the company’s execution of a purchase contract for the property in Maryland that 
was subject to the unpaid commissions; the company’s retention of an engineering firm to 
address drainage and to bury cable on the property; and the agent’s filing of site plans and 
an application for a building permit with local permitting authorities.  Id. at 197.   
                                              
11 Based upon the facts described in Mohamed, the plaintiff also alleged that the 
intensive negotiations were not just undertaken by the defendant’s attorneys, but that they 
were also conducted by the defendant in Maryland.  See Mohamed v. Michael, 279 Md. 
653, 656 (1977) (“[Plaintiff] contends that the intensive negotiations [were] conducted with 
[Defendant] in Maryland, during which threats were made to use criminal process . . . .”). 
28 
Harris and Mohamed both involved extensive and concrete activities by defendants’ 
agents, which were conducted in Maryland, and which caused tortious injury in the State.  
In this case, the agents’ sole act was the filing of a lawsuit, which concluded in a settlement 
with some of the defendants, with a resulting injury alleged to have occurred in North 
Carolina.  The facts in this case do not give rise to the same magnitude of contacts with 
Maryland that were present in Harris and Mohamed.12   
Randy asks the Court to take judicial notice of the docket entries in the Asbestos 
Case, as well as the pleadings filed by Mona’s counsel, which he contends reflect 
“extensive litigation activities.”  We are unpersuaded by Randy’s argument that the docket 
entries reflect “extensive litigation activities” of a character sufficient to establish a 
substantial connection with Maryland and a justification to submit Mona to jurisdiction.  
                                              
12 Randy also contends that Presbyterian University Hospital v. Wilson, 337 Md. 
541 (1995), is applicable and argues that Mona’s contact with Maryland is more extensive 
than the contacts between a Pennsylvania hospital, Presbyterian University Hospital 
(“PUH”), and Maryland in that case.  We disagree.  In Wilson, PUH had registered in 
Maryland as a licensed transplant referral center.  Id. at 546.  At the time of Mr. Wilson’s 
(a Maryland resident’s) death, there were no hospitals in Maryland that were licensed to 
perform liver transplants.  Id.  PUH was aware that there were no other registered liver 
transplant hospitals in Maryland and PUH actively sought to be designated and approved 
as a Maryland provider under Maryland regulations.  Id.  Under the facts of that case, we 
held that by registering to become a Maryland transplant provider, “and by becoming the 
only approved liver transplant center in the State of Maryland, [PUH] purposefully availed 
itself of the benefits conferred upon it by the State of Maryland.”  Id. at 555.  Moreover, 
the Court found that PUH “actively solicited Maryland [Medical Assistance] patients, and 
specifically solicited [the plaintiff].”  Id. at 560.  Further, we noted the exercise of personal 
jurisdiction did not offend the traditional notions of fair play and substantial justice because 
Maryland had a strong interest in obtaining relief for its residents and there was no undue 
burden on the Hospital.  Id. at 561.  We find that PUH’s business contacts with Maryland 
outlined in Wilson, including its registration in Maryland as the sole liver transplant 
hospital and its solicitation of Maryland patients, constitutes a more concrete nexus with 
Maryland than Mona’s sole act of authorizing the filing of the Asbestos Case.  
29 
As in any asbestos case involving multiple defendants, the docket entries, while numerous, 
primarily consist of pro forma answers, cross-claims, and motions to dismiss filed by the 
various defendants, as well as stipulations of dismissals of many defendants.  The docket 
entries do not reflect “extensive litigation activities” by Mona or her attorneys.  To the 
contrary, the docket entries do not reflect that Mona was deposed,13 and reflect that the 
case was resolved by a settlement without a trial.  Based upon the records provided, we are 
not persuaded that Mona’s attorneys’ act of filing the Asbestos Case, resulting in a 
settlement payment to Mona, created a “‘substantial connection’ with Maryland such that 
having to defend [the instant] lawsuit” brought by Randy would be foreseeable.  CSR, Ltd, 
411 Md. at 485 (quoting Burger King Corp. v. Rudzewicz, 471 U.S. 462, 475 (1985)).  
To summarize this prong of our specific jurisdiction analysis, we hold that Mona’s 
contacts with Maryland do not rise to the level of an “act by which the defendant 
purposefully avail[ed] [herself] of the privilege of conducting activities within the forum 
state” for purposes of a Maryland court exercising personal jurisdiction over her in this 
case.  Camelback Ski Corp. v. Behning, 312 Md. 330, 337 (1988) (Camelback II) (citing 
Burger King, 471 U.S. at 475; Hanson v. Denckla, 357 U.S. 235, 253 (1958)).  There is no 
evidence that she traveled to Maryland.  Her sole contact with Maryland arises out of a 
single lawsuit filed by her attorneys to prosecute a wrongful death case on behalf of her 
                                              
13 Although the docket entries reflect that Edwin was deposed in April 2010, it 
appears from the records filed in this case that Edwin was likely deposed in North Carolina. 
Edwin’s counsel, Mary Keyes submitted an affidavit in connection with the Keyes 
Defendants’ Motion to Dismiss where she stated that she spoke with Randy in April 2010 
“while I was in North Carolina preparing [Edwin] Pinner for his deposition.” 
30 
husband.  Although the alleged injury to Randy “arises out of or relates to” Mona’s 
litigation efforts in the Asbestos Case, under the facts of this case, it is not foreseeable that 
her connection with Maryland was “such that [she] should reasonably anticipate being 
haled into court” in Maryland to defend breach of fiduciary duty claims arising under North 
Carolina law filed by a North Carolina resident in connection with her duties as the personal 
representative of a North Carolina estate.  Bond v. Messerman, 391 Md. 706, 730 (2006) 
(quoting Burger King, 471 U.S. at 476 (1985)).   
2. Whether Plaintiff’s Claims Arise out of Activities Directed at the 
State  
 
The second prong of the due process analysis requires that we consider “whether 
the plaintiffs’ claims arise out of those activities directed at the State.”  Beyond Sys., 388 
Md. at 26.  As noted above, Count I alleged common law negligent breach of Maryland 
Rule 15-1001, which related to Mona’s prosecution and settlement of the Asbestos Case.  
However, the failure to comply with Maryland Rule 15-1001 also formed the basis of 
Count II, which alleged a breach of her fiduciary duties under North Carolina law.  Count 
II was not dismissed (and as Randy points out, was included in the order of default entered 
against Mona).  As noted above, at the damages hearing, Randy’s counsel stated that there 
are two components to jurisdiction—the failure of Mona’s attorneys to give notice under 
Maryland Rule 15-1001, and the breach of fiduciary duty in North Carolina that caused 
injury in North Carolina.  Counsel stated that the first component had “gone by the 
wayside.”  The ultimate resolution of this matter involved the application of North Carolina 
law in connection with an injury allegedly caused in North Carolina.  We agree with the 
31 
Court of Special Appeals that “[t]he connection between Mona’s breach of fiduciary duty 
in North Carolina and maintenance of the Asbestos Case is tenuous, especially with respect 
to the administration of the Estate.”  Pinner, 240 Md. App. at 111.   
3. Constitutional Reasonableness Considerations 
 
The third prong of the due process analysis for the exercise of specific jurisdiction 
requires that we consider “whether the exercise of personal jurisdiction would be 
constitutionally reasonable.”  Beyond Sys., 388 Md. at 26 (citing Carefirst, 334 F.3d at 397) 
(additional citations omitted).  Under this prong, the Court considers a variety of factors: 
“the burden on the defendant; the interests of the forum State; the plaintiff’s interest in 
obtaining relief; the interstate judicial system’s interest in obtaining the most efficient 
resolution of controversy; and the shared interest of the several states in furthering 
fundamental substantive social policies.”  Camelback II, 312 Md. at 342 (citing Asahi 
Metal Co., Ltd. v. Superior Court of Cal., 480 U.S. 102, 115 (1987)).  Randy asserts that 
the Court of Special Appeals failed to consider that Mona has the burden of establishing a 
compelling case that some other consideration made jurisdiction unreasonable.  He also 
contends that the Court of Special Appeals made a factual finding that there was a practical 
burden occasioned by Mona’s residency in North Carolina, her age and her health14 based 
upon facts that are not contained in an affidavit.   
Because we find that Randy failed to establish a prima facie case for the exercise of 
specific jurisdiction under the first two prongs of our constitutional analysis, the burden 
                                              
14 Randy’s pleading recited that Mona was 70 years old at the time of the damages 
hearing.  We have not considered Mona’s health as part of our analysis.  
32 
does not shift to Mona to “present a compelling case that the presence of some other 
considerations would render jurisdiction unreasonable.”  Burger King, 471 U.S. at 477; see 
CSR, Ltd., 411 Md. at 493 (noting that because the defendant’s contacts with Maryland did 
not satisfy the “purposeful availment” requirement, the Court did not need to “consider 
whether the exercise of personal jurisdiction would be constitutionally reasonable as 
required by our tests for either specific or general jurisdiction”). 
We do not need to undertake an extensive analysis of this third prong given our 
holding that we do not find that the first two prongs of the constitutional analysis are 
satisfied.  However, while Maryland courts have an interest in evaluating compliance with 
the Maryland Rules of Procedure, we have no interest in adjudicating a breach of fiduciary 
claim arising between two North Carolina residents under North Carolina probate law, with 
an attenuated connection to this State.  Moreover, considering the dismissal of the claims 
against Mona’s attorneys, there is no longer even an efficiency interest in all the claims 
being adjudicated in the same forum.  Balancing these concerns, we conclude that the 
factors weigh against exercising personal jurisdiction over Mona, where her sole contact 
with the forum state is the filing of one lawsuit. 
Application of the Long Arm Statute – Persistent Course of Conduct 
Randy contends that Mona’s prosecution of the Asbestos Case constitutes a 
“persistent course of conduct in the State,” which caused injury to him outside of the State, 
and therefore falls within subsection (b)(4) of the long arm statute, CJ § 6-103.  Because 
we conclude that to exercise personal jurisdiction over Mona would violate due process 
33 
requirements, “we construe our long-arm statute as not authorizing the exercise of personal 
jurisdiction over the defendant.”  Bond v. Messerman, 391 Md. 706, 721 (2006). 
We are not aware of any case where a court has held that the act of filing a lawsuit 
has been found to constitute a “persistent course of conduct” under the language of a long 
arm statute.  Under the language of subsection (b)(4) of the long arm statute, CJ § 6-103, 
specific jurisdiction may arise where a defendant: “[c]auses tortious injury . . . outside of 
the State by an act or omission outside the State if he regularly does or solicits business, 
engages in any other persistent course of conduct in the State. . . .”  (emphasis added).  The 
phrase “if he regularly does or solicits business, engages in any other persistent course of 
conduct in the State or . . .” makes it clear that “regularly doing business” or “regularly 
soliciting business” is a “persistent course of conduct.”  Randy has not alleged that Mona’s 
activities constituted “regularly doing business” or regularly “soliciting business.”  
Accordingly, we must decide whether the sole act of filing a lawsuit constitutes “other 
persistent course of conduct.”   
We find the plain meaning to be dispositive.  Merriam-Webster defines “regular” as 
“recurring, attending, or functioning at fixed, uniform, or normal intervals.”  Regular, 
Merriam-Webster’s Collegiate Dictionary 1048 (11th ed. 2020).  “Persistent” is defined as 
“existing for a long or longer than usual time or continuously . . . continuing or inclined to 
persist in a course.”  Persistent, Merriam-Webster’s Collegiate Dictionary 924 (11th ed. 
2020).  Randy asks the Court to hold that the filing of a single lawsuit constitutes “other 
persistent course of conduct” because of its duration.  We disagree that, under the facts of 
this case, the duration of the litigation alone is sufficient to establish a “persistent course 
34 
of conduct,” particularly given our requirement that we construe the language of the long 
arm statute with a constitutional gloss.  See CSR, Ltd., 411 Md. at 475 (quoting Mohamed 
v. Michael, 279 Md. 653, 658 (1977) (noting that when construing the words “transacts 
any business” under subsection (b)(1) of the long arm statute, the phrase must be “read 
with a constitutional gloss, requiring some ‘purposeful activity’ by the defendant as a 
prerequisite to the exercise of jurisdiction”)).  Interpreting the phrase within the 
constitutional requirements of due process, we believe that something more is required to 
establish a “persistent course of conduct” other than simply the duration of the act.   
Our holding is consistent with other courts’ interpretation of similar language in 
long arm statutes.  In Willis v. Semmes, Bowen & Semmes, 441 F. Supp. 1235, 1237 (E.D. 
Va. 1977), the plaintiff sued a Maryland law firm in Virginia for conversion of a note.  The 
firm had previously represented the plaintiff in a bankruptcy case in Virginia.  Id. at 1240.  
The conversion allegedly took place in Maryland.  Id. at 1241.  The United States District 
Court for the Eastern District of Virginia held that it lacked personal jurisdiction over the 
firm for this claim, stating that “this limited, discrete quantum of activity does not amount 
to ‘persistent conduct’ in this state within the meaning of the statute.”  Id. at 1242.  
In Mercer v. Mackinnon, 297 Va. 157, 159 (2019), the Virginia Supreme Court held 
that a nonresident’s conduct in litigating a single case did not constitute engaging in a 
“persistent course of conduct” under the Virginia long arm statute.  In that case, Virginia 
Mercer (“Mercer”) was the caretaker of her father, Clifton Wood and stepmother, Eleanor 
Wood, both of whom resided in Virginia.  Id. at 159.  Mercer and Eleanor’s niece, Lori-
Belle MacKinnon (“MacKinnon”) each filed petitions in Virginia seeking to be appointed 
35 
Eleanor’s guardian.  Id. at 160.  A Virginia Court entered an interim order granting both 
Mercer and MacKinnon control over Eleanor’s assets.  Id.  MacKinnon, a Canadian citizen 
and resident, appeared in the Virginia court regularly, by counsel and in person.  Id.  
Following a trial on the merits, the Virginia court appointed Mercer as Eleanor’s guardian.  
Id.   
Subsequently, Mercer filed a separate case against MacKinnon, asserting various 
claims related to improper withdrawal of the Woods’ bank accounts.  Id. at 159–60.  As 
the basis for personal jurisdiction, Mercer alleged that MacKinnon had engaged in a 
“persistent course of conduct” within the Virginia long arm statute.  Id. at 161.  Mercer 
alleged that MacKinnon: (1) traveled “to Virginia and removed Eleanor to Canada”; (2) 
“had a new power of attorney drawn up for Eleanor” in Virginia and “used the power of 
attorney to remove Clifton’s name from one or more bank accounts . . . and to take control 
of Eleanor’s retirement accounts”; (3) “used the power of attorney to have herself named 
as the death beneficiary on at least one of the couple’s bank accounts”; (4) “filed a petition 
in the [Virginia] Circuit Court, seeking appointment as Eleanor’s guardian and 
conservator”; (5) purposefully “availed herself of the jurisdiction of the [Virginia] Circuit 
Court voluntarily and appeared in that Court regularly, by counsel and in person on various 
matters, including a trial on the merits”; and (6) by appealing the judgment entered in the 
Virginia Circuit Court to the Virginia Supreme Court.  Id. at 164.  
The Virginia Supreme Court held that MacKinnon’s contacts with Virginia did not 
rise to the level of “persistent course of conduct” within the meaning of the long arm 
statute.  Id.  The Virginia Supreme Court looked to the dictionary definition of “persistent” 
36 
and held that “MacKinnon’s contacts with Virginia did not ‘exist [] for a long or longer 
than usual time or continuously,’ and they were not ‘enduring’ or ‘lingering.’”  Id. (quoting 
Persistent, Webster’s Third New Int’l Dictionary 1686 (2002)).  The court also analogized 
the facts of the case to the law firm’s activities in Willis and found that “MacKinnon’s 
contacts with Virginia constituted a ‘limited, discrete quantum of activity.’”  Id. at 164–65, 
(quoting Willis, 441 F. Supp. at 1242).  “Because MacKinnon’s activities were not 
sufficient in scope and duration to constitute a ‘persistent course of conduct,’” the court 
found the Virginia Circuit Court lacked personal jurisdiction.  Id. at 165. 
Like the courts in Mercer and Willis, we hold that Mona’s single act of filing and 
prosecuting the Asbestos Case constitutes a limited, discrete quantum of activity that does 
not rise to the level of a “persistent course of conduct” to justify the assertion of personal 
jurisdiction over her in this matter.   
IV. CONCLUSION 
We hold that Mona’s act of filing and prosecuting the Asbestos Case through 
counsel does not rise to the level of an “act by which defendant purposefully avail[ed] 
[herself] of the privilege of conducting activities within the forum state” for purposes of a 
Maryland court exercising specific jurisdiction over her in this case.  Camelback II, 312 
Md. at 337 (citing Burger King, 471 U.S. at 475; Hanson v. Denckla, 357 U.S. 235, 253 
(1958)).  There is no evidence that Mona traveled to Maryland.  Her sole contact with 
Maryland arises out of a single lawsuit filed by her attorneys to prosecute a wrongful death 
case on behalf of her husband.  Under the facts of this case, it is not foreseeable that Mona’s 
connection with Maryland is such that she should reasonably anticipate being haled into 
37 
court in Maryland to defend breach of fiduciary duty claims arising under North Carolina 
law filed by a North Carolina resident in connection with her duties as the personal 
representative of a North Carolina estate.  Although the failure to comply with Maryland 
Rule 15-1001 related to activities directed at the State, such activities ultimately formed 
the basis of Randy’s claim arising under North Carolina law, upon which he sought and 
received damages.   
On balance, we conclude that the factors weigh against the constitutional 
reasonableness of causing Mona to defend this suit in Maryland.  Our constitutional 
analysis is consistent with our interpretation of the Maryland long arm statute as it relates 
to a “persistent course of conduct.”  Mona’s act of filing a sole lawsuit through counsel 
constitutes a discrete quantum of activity and does not rise to the level of a “persistent 
course of conduct” to justify the assertion of personal jurisdiction over her in this matter.   
Other cases with different facts might cause us to hold differently.  However, the 
facts of this case do not support such a holding.   
 
JUDGMENT OF THE COURT OF 
SPECIAL APPEALS IS AFFIRMED.  
COSTS IN THIS COURT AND IN THE 
COURT OF SPECIAL APPEALS TO BE 
PAID BY PETITIONER. 
 
 
Circuit Court for Baltimore City 
Case No.:  24-C-16-000247 
Argued: October 7, 2019 
 
IN THE COURT OF APPEALS 
 
OF MARYLAND 
 
No. 16 
September Term, 2019 
 
 
 
 
 
 
 
 
RANDY R. PINNER 
v. 
MONA H. PINNER, et al. 
 
 
 
 
 
 
 
 
 
Barbera, C.J. 
McDonald 
Watts 
Hotten 
Getty 
Booth 
Wilner, Alan M. (Senior Judge, 
Specially Assigned),  
 
JJ. 
 
 
 
 
 
 
 
 
 
Dissenting Opinion by Getty, J, 
which Wilner, J., joins. 
 
 
 
 
 
 
 
 
 
Filed: March 3, 2020
 
I respectfully dissent from the Majority’s conclusion that the circuit court erred in 
exercising personal jurisdiction over the spouse and personal representative of the estate, 
Mona Pinner.  I would reverse the judgment of the Court of Special Appeals and hold that 
the circuit court properly extended personal jurisdiction over Mona.  I have no 
disagreement with the Majority’s statement of the controlling legal principles and I agree 
that, in most cases, merely filing a lawsuit in Maryland does not constitute sufficient 
contact with the State to extend personal jurisdiction over a defendant.  But this is not a 
case of merely filing a lawsuit.   
The underlying asbestos lawsuit (a case that spanned nearly six years) and this case 
are inextricably intertwined because at the time the underlying lawsuit was converted into 
a wrongful death action, the son Randy Pinner was, under the Maryland Rules, entitled to 
notice and an opportunity to join as a party.  See Md. Rule 15-1001.  Randy was a potential 
beneficiary in the wrongful death lawsuit—a suit subject to Maryland laws and the 
Maryland Rules in a Maryland circuit court—and he was never given the opportunity to 
benefit from that suit.  Moreover, once he did become aware of the Maryland wrongful 
death lawsuit, the opportunity to join was denied him because the statute of limitations had 
run.  Denying Randy’s opportunity to join is a clear miscarriage of justice.   
Personal jurisdiction requires, among other things, that the case arise out of or relate 
to the defendant’s contacts with the forum.  See Burger King Corp. v. Rudzewicz, 471 U.S. 
462, 472–73 (1985).  “In other words, there must be ‘an affiliation between the forum and 
the underlying controversy, principally, [an] activity or an occurrence that takes place in 
the forum State and is therefore subject to the State’s regulation.’”  Bristol-Myers Squibb 
2 
Co. v. Superior Court of Cal., 137 S. Ct. 1773, 1780 (2017) (alteration in original) (quoting 
Goodyear Dunlop Tires Operations, S.A. v. Brown, 564 U.S. 915, 919 (2011)).  For this 
reason, “specific jurisdiction is confined to adjudication of ‘issues deriving from, or 
connected with, the very controversy that establishes jurisdiction.’”  Goodyear, 564 U.S. 
at 919 (quoting Arthur T. von Mehren & Donald T. Trautman, Jurisdiction to Adjudicate: 
A Suggested Analysis, 79 Harv. L. Rev. 1121, 1136 (1966)).  Here, the harm due to lack of 
notice is the key “occurrence” and “controversy that establishes jurisdiction.”  The harm 
by omission of notice, whether done negligently or deliberately, was done in Maryland not 
in North Carolina, even if the “decision” not to give notice was made in North Carolina 
and constituted a violation of North Carolina probate law.  Indeed, Mona’s attorneys, who 
were joined as co-defendants, could not be sued in North Carolina but could only be sued 
in Maryland (even though they ultimately were substantively dismissed with prejudice).  
That being the case, Randy would have had to split his cause of action between two states.  
Maryland may have been the only state where Randy could bring entire action.   
Mona breached her fiduciary duties under Maryland law by failing to notify Randy 
of his obligation to participate in the wrongful death suit.  Simply put, had Mona given 
timely notice under Maryland Rule 15-1001, or even given Randy informal notice, Randy 
would have timely intervened and had a place at the table.  In that scenario, Mona would 
not have been able to independently enter into the settlement agreements in the wrongful 
death suit that she did not report to Randy or the North Carolina probate court.  The 
Majority opinion denies Randy access to Maryland’s courts that is rightfully provided for 
in the Maryland Rules. 
3 
I would therefore reverse the judgment of the Court of Special Appeals and hold 
that the circuit court properly extended personal jurisdiction over Mona.  
Judge Wilner has authorized me to state that he joins in this opinion.