Court Opinion

ID: 7804645
Source: CourtListenerOpinion
Date Created: 2022-08-30 00:05:32.93162+00
Date Added: 2024-06-11T16:28:48.037752
License: Public Domain

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 1        IN THE COURT OF APPEALS OF THE STATE OF NEW MEXICO

 2 Opinion Number: ______________

 3 Filing Date: August 29, 2022

 4 No. A-1-CA-39323

 5 CATHERINE C. FINN,

 6           Plaintiff-Appellant,

 7 v.

 8 SEAN D. TULLOCK and LOS ALAMOS
 9 NATIONAL SECURITY, LLC,

10           Defendants-Appellees.

11 APPEAL FROM THE DISTRICT COURT OF LOS ALAMOS COUNTY
12 Jason Lidyard, District Judge

13   Keller & Keller, LLC
14   Michael G. Duran
15   Samantha L. Drum
16   Albuquerque, NM

17 Grayson Law Office
18 Brian G. Grayson
19 Albuquerque, NM

20 for Appellant

21   Hinkle Shanor LLP
22   S. Barry Paisner
23   Dioscoro “Andy” Blanco
24   Santa Fe, NM

25 for Appellees
 1                                       OPINION

 2   {1}   The district court dismissed Plaintiff Catherine Finn’s tort action against Los

 3 Alamos National Security, LLC, (LANS) and Sean Tullock (together,

 4 Defendants),because Plaintiff’s claim arose in the course and scope of her

 5 employment by LANS, thus triggering the exclusive jurisdiction of the Workers’

 6 Compensation Act (WCA), NMSA 1978, §§ 52-1-1 to -70 (1929, as amended

 7 through 2017). See § 52-1-9(A) (the Exclusivity Provision). Plaintiff appeals. We

 8 affirm.

 9 BACKGROUND

10   {2}   On June 12, 2017, Plaintiff was in a motor vehicle accident while on her way

11 to work at a LANS facility. Both drivers involved in the accident were LANS

12 employees and Tullock was operating a vehicle owned by LANS. Plaintiff filed a

13 complaint in the district court and alleged negligence by both Defendants.

14 Defendants answered and pleaded, in relevant part, that Plaintiff’s claims were

15 barred by the Exclusivity Provision of the WCA. The parties engaged in discovery

16 for a year, including deposing Plaintiff. Defendants then moved for summary

17 judgment and asserted that Plaintiff’s claims fell under the Exclusivity Provision.

18 The district court granted summary judgment in favor of Defendants, and Plaintiff
 1 filed both a motion to reconsider and a motion to set aside the judgment. The district

 2 court denied both. This appeal followed.

 3 DISCUSSION
 4   {3}   The WCA balances the needs of the employer and the worker by requiring

 5 “the employer to obtain compensation protection,” Quintana v. Nolan Bros., Inc.,

 6 1969-NMCA-083, ¶ 7, 80 N.M. 589, 458 P.2d 841 (internal quotation marks and

 7 citation omitted), so that the employer can offer the injured worker a guaranteed

 8 “quick and efficient delivery of indemnity and medical benefits.” Hall v. Carlsbad

 9 Supermarket/IGA, 2008-NMCA-026, ¶ 20, 143 N.M. 479, 177 P.3d 530 (internal

10 quotation marks and citation omitted). In return, the worker renounces the common

11 law right to bring suit in our district courts. Id.; see also NMSA 1978, § 52-5-1

12 (1990) (“The workers’ benefit system in New Mexico is based on a mutual

13 renunciation of common law rights and defenses by employers and employees

14 alike.”). If a dispute arises under the WCA, “any party may file a claim with the

15 director” of the workers’ compensation administration. NMSA 1978, § 52-5-5(A)

16 (2013) (providing the procedure for claims); see also NMSA 1978, § 52-5-2(A)

17 (2004) (identifying the “director” as the “director” of the workers’ compensation

18 administration). Thus, if the Exclusivity Provision is triggered, the employee is

19 limited to filing a claim under the WCA, and disputes must be brought in the

20 workers’ compensation administration. The Exclusivity Provision sets forth the

                                              2
 1 conditions under which the WCA provides the exclusive remedy for an employee

 2 injured in the course of employment:

 3               The right to the compensation provided for in this act . . ., in lieu
 4        of any other liability whatsoever, to any and all persons whomsoever,
 5        for any personal injury accidentally sustained or death resulting
 6        therefrom, shall obtain in all cases where the following conditions
 7        occur:

 8               A.    at the time of the accident, the employer has complied with
 9        the provisions thereof regarding insurance;

10              B.      at the time of the accident, the employee is performing
11        service arising out of and in the course of his employment; and

12               C.    the injury or death is proximately caused by [an] accident
13        arising out of and in the course of his employment and is not
14        intentionally self-inflicted.

15 Section 52-1-9; see also § 52-1-8 (limiting the remedy for the death of or injury to

16 an employee to those “provided in the [WCA]” if the employer complies with the

17 WCA’s insurance requirements). The WCA provides, in relevant part, that “injury

18 by accident arising out of and in the course of employment . . . shall not include

19 injuries to any worker occurring while on his way to assume the duties of his

20 employment or after leaving such duties, the proximate cause of which is not the

21 employer’s negligence.” Section 52-1-19 (emphasis added). On appeal, Plaintiff

22 does not contest the applicability of the Exclusivity Provision but rather argues that

23 it should not apply to the facts of the present case.

                                               3
 1   {4}   Importantly, nothing in the WCA extinguishes a district court’s general

 2 subject matter jurisdiction over a plaintiff’s tort claim. See Boyd v. Permian

 3 Servicing Co., 1992-NMSC-013, ¶ 3, 113 N.M. 321, 825 P.2d 611. To the contrary,

 4 the district court retains jurisdiction over a plaintiff’s claim, in the manner in which

 5 it was pleaded, see id., until it can be established that under the circumstances, the

 6 WCA is the plaintiff’s exclusive remedy. Once established, the Exclusivity

 7 Provision of the WCA “is a total bar to an action by an employee against an

 8 employer” in the district court. Id.

 9   {5}   The record supports, and Plaintiff does not appear to dispute, that under the

10 reasoning of Espinosa v. Albuquerque Publishing Co., 1997-NMCA-072, 123 N.M.

11 605, 943 P.2d 1058, Section 52-1-9(B) and (C) of the Exclusivity Provision are

12 satisfied here. In Espinosa, the plaintiff, who was a pedestrian, was injured by the

13 negligence of a coworker driving a vehicle “owned by the common employer.”

14 1997-NMCA-072, ¶¶ 1, 2. This Court noted that our Supreme Court’s approach to

15 Section 52-1-19, makes “the WCA a worker’s exclusive remedy in any going-and-

16 coming situation, regardless of time, place or circumstances, as long as the injury

17 was caused by the employer’s negligence.” Espinosa, 1997-NMCA-072, ¶ 12. As a

18 result, the Espinosa Court was “compelled to hold that [the plaintiff]’s injuries arose

19 ‘out of and in the course of employment.’” Id. ¶ 13 (quoting Section 52-1-19). We

20 agree with the district court that the similarity between the facts in this case and

                                              4
 1 Espinosa demonstrate that Section 52-1-9(B) and (C) are satisfied. It is further

 2 undisputed that LANS complied with Section 52-1-9(A)—the notice of insurance

 3 requirement. See Peterson v. Wells Fargo Armored Servs. Corp., 2000-NMCA-043,

 4 ¶ 11, 129 N.M. 158, 3 P.3d 135 (explaining how employers may qualify as self-

 5 insured). For these reasons, all three triggering conditions of the Exclusivity

 6 Provision were satisfied in this case. The WCA is therefore Plaintiff’s exclusive

 7 remedy and the tort claims brought in the district court are barred.

 8   {6}   Nevertheless, Plaintiff argues that we should reverse the district court’s

 9 dismissal of the tort claims, because (1) LANS’s conduct forecloses LANS from

10 receiving the benefit of the Exclusivity Provision; and (2) applying the Exclusivity

11 Provision leaves Plaintiff without a remedy. We address each argument in turn.

12 I.      The Impact of LANS’s Conduct on the Application of the WCA

13   {7}   Plaintiff argues that LANS should not benefit from the Exclusivity Provision,

14 because (1) LANS did not comply with the WCA, (2) LANS’s participation in the

15 district court resulted in waiver of the Exclusivity Provision, and (3) LANS should

16 be equitably estopped from asserting the Exclusivity Provision.

17   {8}   We briefly dispose of Plaintiff’s first argument. Plaintiff contends that

18 LANS’s “complete failure to comply” with the WCA “renders it unable to benefit”

19 from the Exclusivity Provision. Specifically, Plaintiff argues that LANS did not

20 substantially comply with the WCA, because it never filed the “required forms and

                                             5
 1 reports” with the workers’ compensation administration, as required by Section 52-

 2 1-58(A). The “required forms and reports” to which Plaintiff refers are claims

 3 initiating documents and data collection forms. The cases Plaintiff cites, however,

 4 relate to an employer’s proof of insurance coverage as set forth in the Exclusivity

 5 Provision and not claims initiating documents and data collection forms. See

 6 Peterson, 2000-NMCA-043, ¶ 10; see also Sec. Tr. v. Smith, 1979-NMSC-024, ¶¶ 1,

 7 11, 12, 93 N.M. 35, 596 P.2d 248 (addressing an employer’s failure to file an

 8 insurance policy until after the date the plaintiff filed a lawsuit and concluding that

 9 late filing was not “substantial compliance” with the WCA’s “proof of coverage”

10 requirement); Montano v. Williams, 1976-NMCA-017, ¶ 35, 89 N.M. 86, 547 P.2d

11 569 (acknowledging that “when an employer does not file an insurance policy, it

12 may constitute a waiver, express or implied, of his right to protection of the statute”

13 (emphasis added)). The only condition related to reporting that an employer needs

14 to satisfy to trigger the Exclusivity Provision is the insurance reporting requirement.

15 See § 52-1-9(A). Plaintiff can provide no support for her position that the other

16 “required forms and reports” to which she refers would also render the Exclusivity

17 Provision inapplicable. We therefore discern no error by the district court in this

18 regard and turn to consider Plaintiff’s waiver and estoppel arguments.

19   {9}   Plaintiff raised both waiver and equitable estoppel for the first time in the

20 motion to reconsider. We therefore review the district court’s rejection of these

                                              6
 1 arguments for abuse of discretion. Nance v. L.J. Dolloff Assocs., Inc., 2006-NMCA-

 2 012, ¶ 23, 138 N.M. 851, 126 P.3d 1215. The district court denied the motion to

 3 reconsider, because the motion did not assert grounds that rose “to the level of

 4 requiring reversal.” We agree and first consider Plaintiff’s waiver argument.

 5 A.       The District Court Did Not Abuse Its Discretion by Rejecting Plaintiff’s
 6          Waiver Arguments

 7   {10}   Plaintiff argues that LANS “waived any claim” to assert the “defense” of the

 8 Exclusivity Provision, because it “chose to participate in a substantial amount of tort

 9 litigation.” Plaintiff points us to Chavez v. Lectrosonics, Inc., 1979-NMCA-111, 93

10 N.M. 495, 601 P.2d 728, Taylor v. Van Winkle’s IGA Farmer’s Market, 1996-

11 NMCA-111, 122 N.M. 486, 927 P.2d 41, and arbitration cases that address waiver

12 by conduct. These cases do not demonstrate that LANS waived the Exclusivity

13 Provision. The Chavez Court considered waiver of the “defense of false

14 representation” and not the Exclusivity Provision. 1979-NMCA-111, ¶¶ 1, 20. Thus,

15 while Chavez involves waiver and the WCA, Chavez did not consider or determine

16 the matter before us on appeal. The Taylor Court also did not consider circumstances

17 similar to those before us. The defendant/employer in Taylor did not plead the

18 Exclusivity Provision and only after default judgment was entered, argued that the

19 district court never had subject matter jurisdiction because of the possibility that the

20 Exclusivity Provision would apply. 1996-NMCA-111, ¶ 8. This Court held that

21 because the defendant/employer had not raised or pleaded the Exclusivity Provision,

                                              7
 1 the Exclusivity Provision had been waived. Id. ¶¶ 7, 9. Unlike the

 2 defendant/employer in Taylor, LANS raised the Exclusivity Provision before

 3 judgment, and therefore did not waive the protections of the WCA. 1

 4   {11}   We are further unpersuaded by Plaintiff’s analogy to arbitration and other

 5 contract cases involving waiver by conduct. See J.R. Hale Contracting Co. v. United

 6 N.M. Bank at Albuquerque, 1990-NMSC-089, ¶¶ 1, 18, 110 N.M. 712, 799 P.2d 581

 7 (addressing whether a bank waived its right to assert a default clause in a contract

 8 between the bank and debtor company); United Nuclear Corp. v. Gen. Atomic Co.,

 9 1979-NMSC-036, ¶¶ 15, 71, 93 N.M. 105, 597 P.2d 290 (involving the waiver of a

10 contractual right to arbitrate because the right was not asserted and the defendants

11 had participated in substantial discovery). Parties to contracts, including arbitration

12 contracts, are within their rights to waive contractual obligations. See J.R. Hale,

13 1990-NMSC-089, ¶ 11 (discussing implied waiver of contractual rights); AFSCME

14 Local 3022 v. City of Albuquerque, 2013-NMCA-049, ¶ 10, 299 P.3d 441

15 (determining “whether a party ha[d] waived its right to pursue arbitration”); see also

16 Rule 1-007.2 NMRA (“A party seeking to compel arbitration of one or more claims

17 shall file and serve on the other parties a motion to compel arbitration no later than

            LANS argues that the Exclusivity Provision implicates the district court’s
            1

     subject matter jurisdiction and therefore cannot be waived. Plaintiff offers Taylor to
     demonstrate waiver is possible. We need not consider this conundrum, because, as
     we have noted, even if waiver is possible, as a factual matter, it is undisputed that
     LANS pleaded the Exclusivity Provision and thus Taylor is distinguishable.

                                               8
 1 ten (10) days after service of the answer or service of the last pleading directed to

 2 such claims.”). The WCA, however, is unique. See Segura v. J.W. Drilling, Inc.,

 3 2015-NMCA-085, ¶ 11, 355 P.3d 845. The Exclusivity Provision, if the employer

 4 demonstrates that it applies, “is a total bar to an action” in district court. Boyd, 1992-

 5 NMSC-013, ¶ 3; see also Taylor, 1996-NMCA-111, ¶ 7 (requiring the Exclusivity

 6 Provision to be raised before judgment). LANS properly asserted the Exclusivity

 7 Provision. Plaintiff therefore cannot demonstrate that the district court abused its

 8 discretion by declining to reconsider and apply waiver.

 9 B.       The District Court Did Not Abuse Its Discretion by Declining to Estop
10          LANS From Asserting the Exclusivity Provision

11   {12}   Plaintiff also argues that the principles of equitable estoppel preclude LANS

12 “both at law and in equity, from asserting” exclusivity at the summary judgment

13 stage, because LANS showed it “was fully []aware of all of the relevant facts that

14 would support a dispositive motion” when it asserted the Exclusivity Provision as

15 an affirmative defense in its answer, and nevertheless continued to defend the case

16 as a tort claim, which Plaintiff litigated “in good faith.” Plaintiff cites Schultz ex rel.

17 Schultz v. Pojoaque Tribal Police Department, 2013-NMSC-013, 484 P.3d 954, to

18 define equitable estoppel, but we find Schultz to be instructive on the application of

19 equitable estoppel in the WCA context.

20   {13}   In Schultz, our Supreme Court explained that “[e]quitable estoppel applies

21 where, as a result of the conduct of a party upon which another person has in good

                                                9
 1 faith relied to his or her detriment, the acting party is absolutely precluded, both at

 2 law and in equity, from asserting rights that might have otherwise existed.” Id. ¶ 21

 3 (internal quotation marks and citation omitted). The plaintiff in Schultz filed a WCA

 4 claim after the statute of limitations expired. Id. ¶ 1. At issue was whether a provision

 5 under the WCA operated as a tolling provision or an estoppel statute. Id. ¶ 21. The

 6 Schultz Court concluded that the WCA “established its own special relief, untethered

 7 to either doctrine.” Id. ¶ 23. Similarly, in the present case, we need not turn to the

 8 common law principles of equitable estoppel to account for any bad faith by LANS

 9 in litigating Plaintiff’s claim in district court. The WCA offers “its own special

10 relief” for Plaintiff’s contentions about LANS’s handling of her claim, id., and

11 provides a remedy for “unfair claim-processing practices or bad faith by an employer

12 . . . relating to any aspect of the [WCA].” Section 52-1-28.1(A). Plaintiff was not

13 denied a remedy by reliance on any bad faith conduct by LANS because the WCA

14 provides its own remedy, and the district court therefore did not abuse its discretion

15 in denying the motion to reconsider.

16 II.      Application of the Exclusivity Provision Does Not Leave Plaintiff Without
17          a Remedy

18   {14}   Plaintiff contends that our case law construing the Exclusivity Provision,

19 including Espinosa and related cases, is “unworkable” in circumstances like the

20 present case, because these cases were used to deny “any type of financial recovery

21 for the injuries she suffered through no fault of her own.” Plaintiff raised this

                                              10
 1 argument for the first time in her motion to set aside the judgment, the denial of

 2 which we review for abuse of discretion. See Charter Bank v. Francoeur, 2012-

 3 NMCA-078, ¶ 11, 287 P.3d 333. We conclude that the district court did not abuse

 4 its discretion in denying the motion.

 5   {15}   We first address Plaintiff’s request that we perform “judicial surgery” on

 6 Espinosa. Plaintiff correctly recognizes that we “cannot overrule the decisions” of

 7 our Supreme Court. See State v. Jones, 1987-NMCA-004, ¶ 6, 105 N.M. 465, 734

 8 P.2d 243. This includes Dupper v. Liberty Mutual Insurance Co., 1987-NMSC-007,

 9 105 N.M. 503, 734 P.2d 743, on which the Espinosa Court relied. See Espinosa,

10 1997-NMCA-072, ¶¶ 10, 12. In Espinosa, this Court was “compelled” by Supreme

11 Court precedent to conclude that the WCA provided the exclusive remedy when “the

12 injuries sustained by [the employee] while going to work were caused by the

13 negligence of an on-duty co[]worker driving the [employer]’s van.” Id. ¶¶ 13, 19.

14 We, like the Espinosa Court, are bound by the precedent of our Supreme Court, and

15 absent further guidance, we decline to reconsider that analysis.

16   {16}   The application of Espinosa, Plaintiff argues, has denied her a remedy in the

17 WCA, in tort, or pursuant to her uninsured/underinsured motorists’ insurance policy.

18 The record, however, demonstrates that all avenues of recovery have not been

19 foreclosed. Plaintiff filed a WCA claim, which is currently stayed. Though LANS

20 initially denied the WCA claim—despite the position taken in the district court on

                                              11
 1 summary judgment—LANS later admitted on the record that the WCA claim is

 2 compensable. Given these circumstances, the district court did not abuse its

 3 discretion in denying Plaintiff’s motion to set aside the judgment.

 4 CONCLUSION

 5   {17}   For the foregoing reasons, we affirm.

 6   {18}   IT IS SO ORDERED.

 7                                         __________________________________
 8                                         KATHERINE A. WRAY, Judge

 9 WE CONCUR:

10 _________________________________
11 KRISTINA BOGARDUS, Judge

12 _________________________________
13 MICHAEL D. BUSTAMANTE, Judge, retired, sitting by designation.

                                             12