Court Opinion

ID: 865772
Source: CourtListenerOpinion
Date Created: 2013-04-27 00:33:52.103619+00
Date Added: 2024-06-11T15:10:17.409098
License: Public Domain

IN THE SUPREME COURT OF MISSISSIPPI

                      NO. 2008-IA-01572-SCT

GARLOCK SEALING TECHNOLOGIES, LLC,
SUCCESSOR BY MERGER TO GARLOCK, INC.,
TRANE US INC., FORMERLY KNOWN AS
AMERICAN STANDARD, INC., RAPID-
AMERICAN CORPORATION

v.

MARY PITTMAN, EXECUTRIX OF THE ESTATE
OF LONNIE PITTMAN, DECEASED

DATE OF JUDGMENT:             08/29/2008
TRIAL JUDGE:                  HON. WINSTON L. KIDD
COURT FROM WHICH APPEALED:    HINDS COUNTY CIRCUIT COURT
ATTORNEYS FOR APPELLANT:      DAWN E. FULCE
                              THOMAS W. TYNER
                              T. HUNT COLE, JR.
                              JAMES GORDON HOUSE, III
                              LAURIN DAVIS McGUFFEE
                              TIMOTHY HUTSON JONES
                              ROBERT M. ARENTSON, JR.
ATTORNEYS FOR APPELLEE:       JOHN TIMOTHY GIVENS
                              TIMOTHY W. PORTER
                              PATRICK C. MALOUF
NATURE OF THE CASE:           CIVIL - OTHER
DISPOSITION:                  REVERSED AND RENDERED - 10/14/2010
MOTION FOR REHEARING FILED:
MANDATE ISSUED:

                     CONSOLIDATED WITH

                      NO. 2008-IA-01584-SCT
TRANE US, INC. FORMERLY KNOWN AS
AMERICAN STANDARD, INC., FLOWSERVE US,
INC., AS SUCCESSOR TO ROCKWELL
MANUFACTURING CO., EMERSON ELECTRIC
CO., GARLOCK SEALING TECHNOLOGIES, LLC,
SUCCESSOR BY MERGER TO GARLOCK, INC.,
SEPCO CORPORATION AND FURON COMPANY

v.

MARY PITTMAN AS THE EXECUTRIX OF THE
ESTATE OF LONNIE PITTMAN

DATE OF JUDGMENT:             08/29/2008
TRIAL JUDGE:                  WINSTON L. KIDD
COURT FROM WHICH APPEALED:    HINDS COUNTY CIRCUIT COURT
ATTORNEYS FOR APPELLANT:      T. HUNT COLE, JR.
                              JAMES GORDON HOUSE, III
                              LAURIN DAVIS McGUFFEE
                              MARY WINTER VAN SLYKE
                              RONALD G. PERESICH
                              MICHAEL E. WHITEHEAD
                              TIMOTHY HUDSON JONES
                              CLAIRE W. KETNER
                              JOHN ERNEST WADE, JR.
                              SHARON F. BRIDGES
                              WILLIAM BUCKLEY STEWART, SR.
                              ROBERT P. THOMPSON
                              DAWN E. FULCE
                              THOMAS W. TYNER
                              WALTER W. DUKES
ATTORNEYS FOR APPELLEE:       JOHN TIMOTHY GIVENS
                              TIMOTHY W. PORTER
NATURE OF THE CASE:           CIVIL - OTHER
DISPOSITION:                  REVERSED AND RENDERED - 10/14/2010
MOTION FOR REHEARING FILED:
MANDATE ISSUED:

                     CONSOLIDATED WITH

                      NO. 2008-IA-01599-SCT
GARDNER DENVER, INC., GENERAL ELECTRIC
COMPANY, THE GORMAN-RUPP COMPANY,
ERRONEOUSLY NAMED AND SERVED AS THE
GORMAN-RUPP COMPANY, INDIVIDUALLY
AND AS SUCCESSOR IN INTEREST TO C. H.
WHEELER MFG. CO., PATTERSON PUMP
COMPANY, IPT PUMPS, AND ECONOMY
PUMPS, DORR-OLIVER, INC., KEELER/DORR-
OLIVER, ERRONEOUSLY SUED AS DORR-
OLIVER, INC., SULZER PUMPS (US), INC.,
WARREN PUMPS, INC., WARREN-RUPP, INC.,
AND YUBA HEAT TRANSFER LLC., RAPID-
AMERICAN CORPORATION

v.

MARY PITTMAN, EXECUTRIX OF THE ESTATE
OF LONNIE PITTMAN, DECEASED

DATE OF JUDGMENT:                          08/29/2008
TRIAL JUDGE:                               WINSTON L. KIDD
COURT FROM WHICH APPEALED:                 HINDS COUNTY CIRCUIT COURT
ATTORNEYS FOR APPELLANT:                   T. HUNT COLE, JR.
                                           JAMES GORDON HOUSE, III
                                           LAURIN DAVIS McGUFFEE
                                           ROBERT M. ARENTSON, JR.
ATTORNEYS FOR APPELLEE:                    JOHN TIMOTHY GIVENS
                                           TIMOTHY W. PORTER
                                           PATRICK C. MALOUF
NATURE OF THE CASE:                        CIVIL - OTHER
DISPOSITION:                               REVERSED AND RENDERED - 10/14/2010
MOTION FOR REHEARING FILED:
MANDATE ISSUED:

       EN BANC.

       WALLER, CHIEF JUSTICE, FOR THE COURT:

¶1.    In December 2002, Lonnie Pittman filed an asbestos suit against the above-listed

entities (collectively referred to as “Appellants”), along with numerous others. It was later

                                             3
discovered that Lonnie had died long before the suit was ever filed. Mary Pittman, Lonnie’s

widow, attempted to substitute herself as the proper plaintiff. Later, in August 2005, Mary

filed an amended complaint as executrix of Lonnie’s estate. We must decide whether the

December 2002 complaint—filed in the name of a dead person—was a nullity, and, if so,

whether Mary nevertheless could be substituted as the proper party to that complaint. We

find that the December 2002 complaint was a nullity, and as such, Mary could not be

substituted to it. But our inquiry does not end there. We also must determine the effect of

Mary’s 2005 amended complaint. This amended complaint, though instituted by a proper

party, was filed outside the statute of limitations. But under Mississippi law, the statute of

limitations is an affirmative defense that can be waived in certain circumstances. We must

decide whether all or certain Appellants have waived the defense here. We find that they

have not. Because the initial complaint was a nullity, and because Mary’s 2005 amended

complaint was barred by the statute of limitations, summary judgment should granted for

Appellants. We therefore reverse and render the judgment of the circuit court.

                                          FACTS

¶2.    In December 2002, Robin C. Nettles and Lonnie Pittman filed an asbestos suit against

eighty-four named defendants and several John Does. In the following months, Robin and

Lonnie filed two amended complaints that added hundreds more defendants.

¶3.    On April 16, 2004, one of the defendants, who has since been dismissed from this

case, filed a suggestion of death showing that Lonnie had died on March 11, 2001—nearly

two years before the original suit had been filed. Plaintiffs’ counsel responded days later by

                                              4
filing a motion to substitute Mary C. Pittman, Lonnie’s widow, as a plaintiff. One day after

the motion to substitute was filed, an order granting substitution was entered.

¶4.    On August 16, 2004, numerous defendants, including several who are parties to this

appeal, filed a motion to dismiss, or in the alternative, to sever Robin’s and Lonnie’s claims.

The motion sought dismissal of Lonnie’s claims on the basis that he had predeceased the

filing of the suit. The circuit court conducted a hearing on this motion and, one month later,

the claims were severed by agreed order.

¶5.    On May 18, 2005, certain defendants noticed a hearing on June 22, 2005, for their

motion to dismiss, or alternatively, motion for a more definite statement, motion to require

particularity under Rule 9(b) of the Mississippi Rules of Civil Procedure, and motion for a

protective order. On the date of the hearing, the parties executed an agreed order requiring

plaintiff’s counsel to file an amended complaint that conformed with the requirements set

forth in Harold’s Auto Parts, Inc., v. Mangialardi, 889 So. 2d 493 (Miss. 2004), and its

progeny.

¶6.    On August 22, 2005, an amended complaint was filed naming Mary C. Pittman,

Executrix of the Estate of Lonnie Pittman, as the plaintiff. The amended complaint alleged

that Lonnie’s exposure to asbestos had caused him to suffer numerous asbestos-related

injuries and, ultimately, death. Each of the Appellants answered the amended complaint,

asserting the statute of limitations as a defense.

¶7.    About two months later, on October 14, 2005, Gardner Denver, Inc., General Electric,

Company, Gorman-Rupp Co., Dorr-Oliver, Inc., Keeler/Dorr-Oliver, erroneously sued as

Dorr-Oliver, Inc., Sulzer Pumps (US), Inc., Warren Pumps, Inc., Warren-Rupp, Inc., and

                                               5
Yuba Heat Transfer, Inc., filed a motion to dismiss and motion for protective order. Trane

US, Inc., formerly known as American Standard, Inc., and Emerson Electric Co., later joined

this motion, as well. These particular defendants, all parties to this appeal, will be referred

to hereinafter as the “Gardner-Trane Appellants.” The Gardner-Trane Appellants asserted

that the substitution of Mary was improper under Rule 25 of the Mississippi Rules of Civil

Procedure, and that the entire matter should be dismissed because the statute of limitations

had expired. They further asked that all discovery be stayed. No hearing on this motion was

requested at the time.

¶8.    Very little action took place for more than twenty months until May 31, 2007, when

Mary noticed a depostion. Days later, on June 6, 2007, some twenty and a half months after

filing its answer to Mary’s amended complaint, Garlock Sealing Technologies, LLC, filed

a motion for summary judgment. Garlock maintained that, since Lonnie had died before the

complaint was filed, the initial complaint was a nullity. Garlock further alleged that the 2005

amended complaint was barred by the statute of limitations.

¶9.    On June 8, 2007, both Garlock and the Gardner-Trane Appellants noticed a hearing

on their respective motions.

¶10.   A hearing was held in August 2007 on Garlock’s Motion for Summary Judgment and

on the Gardner-Trane Appellants’ Motion to Dismiss and Motion for Protective Order. The

circuit court denied both parties’motions. It denied Garlock’s Motion for Reconsideration,

as well.   Garlock sought interlocutory review of this decision, but this Court denied

Garlock’s petition as untimely.

                                              6
¶11.   On February 12, 2008, a motion for trial setting was filed. The following week, on

February 21, 2008, Trane filed a motion to dismiss on grounds that the circuit court lacked

subject matter jurisdiction and that the statute of limitations had expired. Trane purported

that it had recently discovered that Mary was not the duly-appointed executrix of Lonnie’s

estate at the time she filed the 2005 amended complaint. Trane alleged that, at the time Mary

filed the 2005 amended complaint, she had not taken the oath of office requied by law, that

letters testamentary had not been issued, that she had in fact abandoned the probate of

Lonnie’s will, and that the chancery clerk had dismissed Lonnie’s estate matter due to Mary’s

failure to prosecute. All Appellants joined Trane’s motion to dismiss.

¶12.   A few months later, on July 18, 2008, Garlock filed its second motion for summary

judgment. Garlock argued once again that the initial, 2002 complaint was a nullity, and that

the statute of imitations had expired. It also asserted that Mary lacked standing to file the

2005 amended complaint because she was not executrix at the time. Mary responded by

filing a motion in limine and motion to strike. She argued that Garlock’s second motion for

summary judgment was a mere repetition of issues previously considered and disposed of by

the circuit court. She moved further to strike portions of any filings that simply rehashed

issues already decided.

¶13.   Following a hearing on August 21, 2008, the circuit court denied Trane’s and

Garlock’s motions. It also denied Mary’s motion to strike. Thereafter, various Appellants

filed three separate petitions for interlocutory appeal. We granted those petitions, stayed the

proceedings, and consolidated their appeals.

                                       DISCUSSION

                                               7
¶14.   Denials of summary judgment are reviewed de novo. Burley v. Douglas, 26 So. 3d

1013, 1016 (Miss. 2009) (citing Monsanto v. Hall, 912 So. 2d 134, 136 (Miss. 2005)).

Summary judgment is appropriate only where “the pleadings, depositions, answers to

interrogatories and admissions on file, together with the affidavits, if any, show that there is

no genuine issue as to any material fact and that the moving party is entitled to a judgment

as a matter of law.” Miss. R. Civ. P. 56(c). The evidence must be considered in the light

most favorable to the party against whom the motion is made. In re Estate of Laughter, 23

So. 3d 1055, 1060 (Miss. 2009) (quoting Bullock v. Life Ins. Co., 872 So. 2d 658, 660 (Miss.

2004)).

       I.     Because Lonnie died nearly two years before the complaint was
              filed, the initial complaint was a nullity.

¶15.   Four months or so after the suggestion of death was filed, several Appellants sought

dismissal on the basis that Lonnie had predeceased the filing of the suit. Appellants continue

to argue vehemently that the initial, December 2002, complaint was a nullity because Lonnie

predeceased its filing. We agree.

¶16.   In its early days, this Court held that a dead person cannot institute a suit. Humphreys

v. Irvine, 14 Miss. 205, 205 (6 S. & M. 1846). In Humphreys, defendants sought to offer

evidence which showed that the plaintiff was dead at the time the suit was filed. Id. The trial

court excluded this evidence. Id. This Court held that the evidence should not have been

excluded, and, significantly, that the suit must be abated if such evidence were proven true.

Id. The Court reasoned that evidence of a plaintiff’s death prior to suit being filed “rises

above the mere technical rules of pleading, and goes to the right of the court to proceed.” Id.

                                               8
¶17.   More than a century after Humphreys, this Court affirmed the general rule that “‘[i]n

every action there must be a real plaintiff who is a person in law and is possessed of a legal

entity or existence as a natural, artificial, or quasi-artificial person, and a suit brought in the

name of that which is not a legal entity is a mere nullity.’” Collins v. Gen. Elec. Co., 239

Miss. 825, 833, 123 So. 2d 609, 613 (Miss. 1960) (recognizing the general rule, but choosing

not to apply it because the plaintiff in that case had filed suit under a trade name) (quoting

67 C.J.S. Parties § 4, p. 896).

¶18.   More recently, the Court of Appeals stated that a claim filed in the name of a deceased

person has no hope of success, and is therefore frivolous. Ill. Cent. R. Co. v. Broussard, 19

So. 3d 821, 824 (Miss. App. 2009) (noting that such claims are friviolus, but finding no abuse

of discretion in the trial court’s refusal to impose sanctions).

¶19.   Other courts agree that an action filed in the name of a deceased person or nonexistent

entity is a nullity. E.g., Banakus v. United Aircraft Corp., 290 F.Supp. 259, 260 (S.D.N.Y.

1968) (personal-injury suit brought in the name of deceased person treated as a nullity);

Adelsberger v. U. S., 58 Fed. Cl. 616, 618-19 (Fed. Cl. 2003) (action brought in the name of

a deceased individual declared null); Black Canyon Citizens Coalition, Inc. v. Bd. of

County Comm’rs of Montrose County, 80 P. 3d 932, 933-35 (Colo. App. 2003) (suit filed

in the name of a nonexistent corporation deemed void ab initio); Matthews v. Cleveland, 159

Ga. App. 616, 617, 284 S.E.2d 634, 636 (1981) (deceased person cannot commence an

action); Levering v. Riverside Methodist Hosp., 2 Ohio App. 3d 157, 159, 441 N.E.2d 290,

291 (Ohio App. 1981) (complaint declared a nullity where plaintiff died prior to its filing);

                                                9
Gregory v. DiCenzo, 713 A.2d 772, 775 (R.I. 1998) (complaint commenced in deceased

person’s name deemed a nullity).

¶20.   In accord with our longstanding precedent, we find that the December 2002 complaint

was null and void.

       II.     Because Rule 17(a) of the Mississippi Rules of Civil Procedure
               presupposes the existence of a valid “action”—which is absent
               here—the rule does not allow Mary to be substituted as plaintiff.

¶21.   Mary argues that Rule 17(a) of the Mississippi Rules of Civil Procedure allows her

to be substituted as a party. For support, she points to a decision from the United States

Court of Appeals for the Tenth Circuit analyzing the federal counterpart to Mississippi’s

Rule 17(a). Esposito v. United States, 368 F. 3d 1271 (10th Cir. 2004).

¶22.   In Esposito, Raymond Elio Esposito’s widow, Yolanda, instituted a wrongful-death

suit which named Raymond as the only plaintiff. Id. at 1272. Raymond, however, had died

approximately three years before the suit was filed. Id. at 1272. A federal district court

found no justifiable basis for substituting Yolanda as plaintiff and dismissed the case for lack

of subject matter jurisdiction. Id. at 1272-73. The United States Court of Appeals for the

Tenth Circuit addressed whether the suit, having been brought in the name of a deceased

plaintiff, was a nullity, and whether Yolanda could be substituted as the rightful plaintiff.

Id. at 1277. The Tenth Circuit interpreted Rule 17(a) of the Federal Rules of Civil Procedure

as allowing the substitution of Yolanda. Id. at 1277-78. It reasoned that Rule 17(a) does not

require that the original plaintiff have capacity to sue. Id. at 1277. It explained further that,

according to the language of Rule 17(a), the substitution of the real party in interest is to have

“the same effect” as if the suit initially had been commenced in the substituting party’s name.

                                               10
Id. at 1277-78 (quoting Fed. R. Civ. P. 17(a)). The Tenth Circuit emphasized heavily that

Rule 17(a) is designed to prevent forfeiture and must be applied liberally. Id. at 1278 (citing

Fed R. Civ. P. 17 advisory committee notes (1966 amendment)).

¶23.   Rule 17(a) of the Mississippi Rules of Civil Procedure is the same as federal rule

17(a). As a result, we consider Esposito’s construction of federal rule 17(a) as persuasive

for how we should construe our rule. Brown v. Credit Ctr., Inc., 444 So. 2d 358, 364 n.1

(Miss. 1983). Though Esposito is persuasive, it is not binding. Hence we are free to decide

whether to adopt its construction of Rule 17(a).

¶24.   The holding in Esposito is well-reasoned and tenable, but it is not the only plausible

interpretation of Rule 17(a). Nor is it the interpretation that best comports with our law.

¶25.   Esposito correctly notes that nothing in Rule 17(a) requires that the original plaintiff

have the capacity to sue. Id. at 1277. Yet capacity is not really the issue in a case like the

one before us. “Capacity to sue” relates to a party’s right to litigate. Glickstein v. Sun

Bank/Miami, N.A., 922 F. 2d 666, 670 (11th Cir. 1991), abrogated on other grounds by

Saxton v. ACF Indus., Inc., 254 F. 3d 959, 963 (11th Cir. 2001) (quoting 6A C. Wright, A.

Miller & M. Kane, Federal Practice and Procedure § 1542, at 327 (2d ed. 1990); Iowa Coal

Mining Co., Inc. v. Monroe County, 555 N.W.2d 418, 428 (Iowa 1996) (quoting 59 Am. Jur.

2d Parties § 24, at 410 (1987)). It has reference to legal disability, such as infancy or mental

incompetency. Iowa Coal, 555 N.W.2d at 428 (quoting 59 Am. Jur. 2d Parties § 24, at 410).

Our concern, rather, is a distinct but closely related concept: legal existence. See Iowa Coal,

555 N.W.2d. at 428 (noting that capacity to sue is distinct but closely allied to legal

existence) (quoting 59 Am. Jur. 2d Parties § 24, at 410). Legal existence is a basic threshold;

                                              11
it serves as a prerequisite for having capacity to sue. See Adelsperger, 58 Fed. Cl. at 618

(citations omitted). Legal existence means, at a minimum, that the individual suing is alive.

¶26.   Even conceding that Rule 17(a) does not speak to whether the original plaintiff must

have capacity to sue, it necessarily presupposes that the plaintiff filing suit legally exists.

The rule provides that “[e]very action shall be prosecuted in name of the real party in

interest,” and that “[n]o action shall be dismissed on the ground that it is not prosecuted in

the name of the real party in interest until a reasonable time has been allowed after objection

. . . for substitution[] of the real party in interest . . . .” Miss. R. Civ. P. 17(a) (emphasis

added). The rule thus takes for granted or presumes that a valid “action” exists. See Miss.

R. Civ. P. 17(a); Matthews, 284 S.E.2d. at 635-36 (interpreting a statute similar to Rule 17(a)

in like manner); Gregory, 713 A.2d at 773 (construing Rule 17 of Rhode Island’s Superior

Court Rules of Civil Procedure in a similar fashion). But, as we have already discussed, no

“action” exists where the original complaint is filed by a dead person. Such complaints are

null and void from the outset. In short, without a live person initiating suit, there can be no

action; and without an action, substitution cannot be had under Rule 17(a).

¶27.   We find that Rule 17(a) does not allow Mary to be substituted as a party. Because the

December 2002 complaint was a nullity, a valid action was never commenced. And where

a valid action does not exist, Rule 17(a) does not apply.

¶28.   In a similar vein, we find further that an amended complaint cannot relate back to an

original complaint that was a nullity. See Tolliver ex rel. Wrongful Death Beneficiaries of

Green v. Mladineo, 987 So. 2d 989, 995 (Miss. App. 2007). The basic rationale is that there

is simply nothing to amend. As a result, where the original complaint is a nullity, any

                                              12
amended complaints filed later must stand on their own merits. This leads us to consider the

issues surrounding Mary’s 2005 amended complaint.

III.     Because Mary is a “listed relative” under our wrongful-death statute, she had
         standing to file the August 2005 amended complaint regardless of whether she
         was duly qualified as executrix of Lonnie’s estate at the time of filing.

¶29.     Appellants argue that Mary lacked standing to file the August 2005 amended

complaint because she was not the duly-qualified executrix of Lonnie’s estate at the time she

filed the complaint. They contend, primarily, that Mary never took the oath of office that is

required before letters testamentary can be issued. See Miss. Code Ann. § 91-7-41 (Rev.

2004).

¶30.     There is no need to discuss the series of mishaps surrounding Lonnie’s estate matter,

or whether Mary was duly qualified as executrix when she filed suit. Under Mississippi law,

Mary had standing to file suit regardless.

¶31.     In her 2005 amended complaint, Mary sought damages for injuries that Lonnie had

suffered as a result of his exposure to asbestos. At no point did she seek to recover damages

for injuries that she or anyone else had suffered as a result of Lonnie’s death. Her claims,

therefore, are best characterized as survival claims rather than true wrongful-death claims.

See Caves v. Yarbrough, 991 So. 2d 142, 149 (Miss. 2008). Survival claims are those that

seek to recover damages that the decedent could have recovered had death not ensued. Id.

at 150. They refer to damages suffered by the decedent from the time of injury until death.

Id. at 149 (quoting Taylor v. Giddens, 618 So. 2d 834, 840 (La. 1993)). True wrongful-death

claims, on the other hand, are those brought to recover damages that one person’s death

causes to another. Caves, 991 So. 2d at 149.

                                              13
¶32.   Even though Mississippi has a separate survival statute,1 our wrongful-death statute 2

encompasses all claims, including survival claims, resulting from the tort that proximately

caused the death. Id. at 149-50. And where the same wrongful conduct causes both personal

injury and death—as is alleged here—once death occurs, the personal-injury claims are

embraced in the “one suit” for wrongful death. Burley v. Douglas, 26 So. 3d 1013, 1019

n.6 (Miss. 2009). In such cases, once the person dies, the survival claims are not actionable

by the estate under the survival statute. Id.

¶33.   Here, Mary alleges that the Appellants’ wrongful conduct caused Lonnie various

injuries, and ultimately, death. As a result, once Lonnie had died, any survival claims were

subsumed within the “one suit” for wrongful death. See id. We thus construe Mary’s 2005

amended complaint as having been brought under the wrongful-death statute.               The

implications of this are significant with regard to standing.

¶34.   The wrongful-death statute allows a suit to be brought by the personal representative,

certain listed relatives, and “interested parties.” Miss. Code Ann. § 11-7-13 (Rev. 2004).

There is no dispute in this case that Mary is Lonnie’s widow. A decedent’s widow is one of

the “listed relatives” enumerated in Section 11-7-13. Miss. Code Ann. § 11-17-13 (Rev.

2004). Consequently, the wrongful-death statue conferred on Mary standing to bring the

2005 amended complaint regardless of whether she had been formally appointed as executrix

of Lonnie’s estate when the 2005 amended complaint was filed.            We therefore find

Appellants’ lack-of-standing argument to be without merit.

       1
           Miss. Code Ann. § 91-7-233 (Rev. 2004).
       2
           Miss. Code Ann. § 11-7-13 (Rev. 2004).

                                                14
IV.    Because Appellants have not actively participated in the litigation, they have not
       waived the statute-of-limitations defense.

¶35.   Mary asserts that the “primary issue” on appeal is whether Appellants have waived

their statute-of-limitations defense.

¶36.   Negligence or products-liability causes of action that involve latent diseases, such as

asbestosis, are subject to the three-year statute of limitations under Section 15-1-49.

Owens-Illinois, Inc. v. Edwards, 573 So. 2d 704, 706-09 (Miss. 1990) (applying the statute

to a suit for asbestos-related injuries). In such cases, “[t]he cause of action accrues and the

limitations period begins to run when the plaintiff can reasonably be held to have knowledge

of the injury or disease.” Id. at 709.

¶37.   The parties here do not dispute that the three-year statute of limitations applies, nor

do they argue about when the statute of limitations began to run. Appellants ask that we

assume the statute of limitations began to run on the date of Lonnie’s death, March 11, 2001.

Mary does not contest the point. At the August 2007 hearing, she represented that, since the

December 2002 complaint was filed two years after Lonnie’s death, she had one year

remaining to file suit. And at the December 2007 hearing, she went so far as to acknowledge

that if the Appellants had raised the statute-of-limitations defense back in 2004, they “quite

possibly” would have been successful.

¶38.   We thus will assume that the statue of limitations began to run on March 11, 2001.

Based on that date, the statute of limitations expired on March 11, 2004. This would put

Mary’s 2005 amended complaint well outside the statute of limitations, unless the Appellants

                                              15
have waived this as a defense. Mary argues that Appellants have done so by waiting too long

to assert and pursue the defense, while simultaneously actively participating in the litigation.

¶39.   Waiver is matter of law where the material facts and circumstances are undisputed or

clearly established. Bott v. J. F. Shea Co., Inc., 388 F. 3d 530, 534 (5th Cir. 2004) (quoting

First Interstate Bank of Arizona, N.A. v. Interfund Corp., 924 F. 2d 588, 595 (5th Cir.

1991)).

¶40. In MS Credit Center, Inc. v. Horton, 926 So. 2d 167 (Miss. 2006), we found that the

right to compel arbitration may be waived if there has been a substantial and unreasonable

delay in the assertion and pursuit of the right, coupled with active participation in the

litigation process. Horton, 926 So. 2d at 180-81. Prejudice to the party resisting arbitration

also was noted as a factor that should be considered. Id. at 180 n.7 (citing Russell v.

Performance Toyota, Inc., 826 So. 2d 719, 724 (Miss. 2002)).

¶41.   It should be pointed out that, historically, arbitration has been considered an

alternative resolution process, a party’s right to which is considered waived if litigation is

pursued. See Cox v. Howard, Weil, Labouisse, Friedrichs, Inc., 619 So. 2d 908, 913-14

(Miss. 1993) (citing Cornell & Co. v. Barber & Ross Co., 360 F.2d 512, 513 (D.C.

Cir.1966)) (stating that, under the Federal Arbitration Act, a party waives the right to demand

arbitration where it actively participates in a lawsuit or takes other action inconsistent with

the right). Horton, however, extended this concept beyond the arbitration context.

¶42.   In Horton, we added that “[a] defendant’s failure to timely and reasonably raise and

pursue the enforcement of any affirmative defense or other affirmative matter or right which

would serve to terminate or stay[] the litigation, coupled with active participation in the

                                              16
litigation process, will ordinarily serve as a waiver.” Horton, 926 So. 2d at 180. We

explained that “pursuit” means more than simply asserting the affirmative defense in a

pleading. Id. at 181 n.9. A defendant must bring the affirmative defense to the court’s

attention by motion and request a hearing. Id.

¶43.   We have since applied Horton to analyze whether the affirmative defense of the

statute of limitations was waived. Spann v. Diaz, 987 So. 2d 443, 446-48 (Miss. 2008);

Jones v. Fluor Daniel Servs. Corp., 32 So. 3d 417, 420-21 (Miss. 2010). These cases

illustrate that the statute-of-limitations defense can be waived even where the defense is

asserted in a defendant’s initial pleading or answer. Spann, 987 So. 2d at 446; Jones, 32 So.

3d at 420.

¶44.   Each of the Appellants in this case raised the statute of limitations as a defense in its

answer to Mary’s 2005 amended complaint. But their actions, or lack thereof, following their

answers create an issue of whether they waived the defense.

¶45.   Appellants pursued the statute-of-limitations defense at different points. The Gardner-

Trane Appellants raised the defense in their October 14, 2005, motion to dismiss and motion

for protective order, filed just two months after the 2005 amended complaint. The Gardner-

Trane Appellants, however, did not pursue a hearing on their motion until June 8, 2007,

nearly two years after Mary had filed the 2005 amended complaint. Garlock waited almost

two years before pursuing the statute-of-limitations defense in its June 6, 2007, motion for

summary judgment. Rapid-American Corporation, Sepco Corporation and Furon Company,

and Flowserve US, Inc., waited even longer; they first pursued the statue-of-limitations

defense by joining Trane’s February 21, 2008, motion to dismiss.

                                              17
¶46.   Each of the Appellants then waited almost two years or longer to pursue the statute-of-

limitations defense. This certainly constitutes a long delay. See id. (indicating that an eight-

month delay is too long). But a lengthy delay typically is not enough to constitute waiver of

an affirmative defense. See id. at 180. Horton instructs that, ordinarily, there must be “a

substantial and unreasonable delay in pursuing the right” plus “active participation in the

litigation” before waiver will be found. Id. at 179-81. These determinations, furthermore,

are to be made on a case-by-case basis. Id. at 181.

¶47.   Mary points to various actions by Appellants which she says amount to active

participation in the litigation. First, an agreed scheduling order and an order setting the case

for trial were entered on May 20, 2004. Thereafter, on June 22, 2005, Garlock’s attorneys

entered into an agreed order allowing Mary to file the 2005 amended complaint. Then, on

October 21, 2005, Garlock filed designations of experts, fact witnesses, and exhibits. And

on June 15, 2006, Garlock filed a motion to compel and notice of hearing. One month later,

Garlock cancelled this hearing by filing a notice of cancellation.

¶48.   We place little weight on the May 2004 agreed scheduling order and the June 2005

agreed order that allowed Mary to file the 2005 amended complaint. Appellants point out

that the May 2004 agreed scheduling order and the order setting the case for trial pertained

to Robin’s, not Lonnie’s, claims. Additionally, the circumstances leading up to the June

2005 agreed order are somewhat murky. Appellants allege that during the October 2004

hearing on their motion to dismiss, or alternatively, to sever Robin’s and Lonnie’s claims,

Judge Kidd stated that he would reserve ruling on their motion to dismiss until the claims

were severed. Mary does not deny this allegation; she simply insists that it is unsupported

                                              18
in the record because no transcript exists of the October 2004 hearing. Appellants insist that

it was their understanding that they could not proceed any further until Robin’s and Lonnie’s

claims were severed and an amended complaint was filed. This would help to explain why

they entered the June 2005 agreed order which allowed plaintiff’s counsel to file an amended

complaint that conformed with the requirements set forth in Mangialardi.

¶49.   Garlock’s actions following the 2005 amended complaint show that it did in fact

participate in the litigation, but its participation falls short of what previously has been held

to constitute waiver of an affirmative defense. See E. Miss. State Hosp. v. Adams, 947 So.

2d 887, 889, 891 (Miss. 2007) (waiver of insufficiency of process and insufficiency of

service of process found where not pursued for more than two years, during which time

defendants filed a motion for summary judgment, motions to compel, motion for status

conferences, and motion for additional discovery); Estate of Grimes v. Warrington, 982 So.

2d 365, 369 (Miss. 2008) (waiver of tort-immunity defense found where not pursued for five

years, during which time the case was twice reset for trial, experts were designated and

deposed on the merits of the claim, and defendants filed a motion in limine to exclude

portions of the plaintiff’s expert’s testimony); Meadows v. Blake, 36 So. 3d 1225, 1232-33

(Miss. 2010) (defendants waived the defense of plaintiffs’ failure to attach a certificate of

expert consultation where they did not pursue it for two years, but at the same time, filed a

motion for partial summary judgment, participated in discovery, filed a motion to compel,

entered into three scheduling orders, and designated experts); Hutzel v. City of Jackson, 33

So. 3d 1116, 119-21 (Miss. 2010) (waiver of right to assert affirmative defense of release and

accord and satisfaction found where defendant did not raise the defense in its initial answer

                                               19
and waited twenty-six months to raise it, plus both parties filed interrogatories and requests

for production of documents and one party noticed a deposition).

¶50.   Further, we must consider Garlock’s actions in context. This was a mass-tort case

involving hundreds of defendants that was still in its early stages. No trial date had been set

and no witnesses were deposed during the lengthy delay. The bulk of activity between the

2005 amended complaint and Garlock’s first motion for summary judgment involved the

dismissal of several defendants.

¶51.   We find that neither Garlock nor any other Appellants actively participated or

advanced the litigation before us. Thus the statute-of-limitations defense has not been

waived.

                                       CONCLUSION

¶52.   The statute of limitations in this case expired on March 11, 2004. The December 2002

complaint, being a nullity, failed to toll the running of the statute of limitations. We find that

Appellants have not waived their statute-of-limitations defense; therefore, we are constrained

to find that Mary’s 2005 amended complaint was barred by the statute of limitations.

Accordingly, we reverse and render the judgment of the circuit court.

¶53.   REVERSED AND RENDERED.

    CARLSON, P.J., DICKINSON, LAMAR AND PIERCE, JJ., CONCUR.
GRAVES, P.J., DISSENTS WITH SEPARATE WRITTEN OPINION JOINED BY
KITCHENS AND CHANDLER, JJ. RANDOLPH, J., NOT PARTICIPATING.

       GRAVES, PRESIDING JUSTICE, DISSENTING:

¶54.   The majority of this Court misapprehends numerous cases from multiple jurisdictions

in support of its decision to reverse the denials of summary judgment in the Circuit Court of

                                               20
the First Judicial District of Hinds County. Because I would find that the appellants fail to

demonstrate that no genuine issue of material fact exists and that the trial court should be

affirmed, I respectfully dissent.

¶55.   Lonnie Pittman died of lung cancer on March 11, 2001. A complaint was filed on

behalf of Robin Nettles and Lonnie Pittman on December 31, 2002, against multiple

defendants. The complaint referred repeatedly throughout to “Plaintiffs and Plaintiffs’

decedents” and stated:

               As a direct and proximate contributing result of having inhaled, ingested,
       or otherwise having been exposed to asbestos during the exposure period,
       Plaintiffs and Plaintiffs’ decedents have received injuries, both physically and
       mentally, such as asbestosis, pulmonary and bronchogenic carcinoma,
       mesothelioma, reduced lung volume, pleural plaques, interstitial lung fibrosis
       and cardiac and circulatory disease, and increased physical and mental anguish
       associated with increased susceptibility to one of the foregoing diseases; and,
       ultimately death.

¶56.   Plaintiffs filed an amended complaint with additional defendants on January 30, 2003.

Defendant 3M filed a suggestion of death on April 16, 2004. The plaintiffs immediately filed

a motion to substitute Mary Pittman as an heir of Lonnie Pittman, which the trial court granted

by order filed May 3, 2004.

¶57.   On August 16, 2004, multiple defendants, including Garlock Inc., filed a Motion to

Dismiss, or in the Alternative, to Sever Claims of Lonnie Pittman. On November 24, 2004,

the trial court entered an Agreed Order of Severance of Robin C. Nettles, stating that Nettles’

claims would be transferred to Pike County. Thereafter, Mary Pittman filed an Amended

Complaint, which was answered by various defendants. Various pleadings and responses

                                              21
were filed over the next couple of years. However, in the interest of clarity, only the relevant

pleadings are set out herein.

¶58.   Various defendants, including Gardner Denver, Inc., filed a Motion to Dismiss and

Motion for Protective Order on October 14, 2005. The trial court entered an Order Denying

Certain Defendants’ Motion to Dismiss and Motion for Protective Order on October 23, 2007,

finding the existence of genuine issues of material fact.

¶59.   On June 6, 2007, Garlock Sealing Technologies, LLC, (Garlock) filed a Motion for

Summary Judgment. The trial court denied Garlock’s motion for summary judgment by order

entered October 19, 2007, finding the existence of genuine issues of material fact. The trial

court also denied Garlock’s motion to reconsider by order entered December 28, 2007.

¶60.   On February 21, 2008, Trane U.S., Inc., filed a Motion to Dismiss for Lack of Subject

Matter Jurisdiction and Statute of Limitations. Various other defendants joined in this motion.

On July 18, 2008, Garlock filed another Motion for Summary Judgment with Incorporated

Memorandum in Support. On August 14, 2008, Pittman filed a response to Garlock’s motion,

asserting that Garlock was attempting to raise the same issues for a third time and asking the

court to strike those portions of the motion previously raised. On August 19, 2008, Pittman

filed a Motion in Limine for Hearing on August 21, 2008, and Motion to Strike Portions of

Defendants’ Motions/Joinders Previously Argued and Ruled Upon. Garlock likewise filed

a motion to strike Pittman’s supplemental response to the motion for summary judgment.

After a hearing on August 21, 2008, the trial court denied both motions to strike, Garlock’s

motion for summary judgment, and Trane’s motion to dismiss. Thereafter, Gardner Denver,

et al., Garlock and Trane (hereinafter “Trane”) filed petitions for interlocutory appeal which

                                              22
were granted by this Court on December 15, 2008. This Court further stayed the proceedings

in the trial court and consolidated the appeals for consideration.

¶61.   This Court applies a de novo standard of review of a trial court’s grant or denial of

summary judgment. Aikens v. Whites, 8 So. 3d 139, 140 (Miss. 2008). “The evidence must

be viewed in the light most favorable to the party against whom the motion has been made,

and the moving party bears the burden of demonstrating that no genuine issue of fact exists.”

Id. (citing Heigle v. Heigle, 771 So. 2d 341, 345 (Miss. 2000)). This Court looks at all

evidentiary matters in the record, including pleadings, depositions, answers to interrogatories,

admissions, affidavits, etc. Aikens, 8 So. 3d at 140; Miss. R. Civ. P. 56(c). If there is no

genuine issue of material fact, then the moving party is entitled to judgment as a matter of law.

Miss. R. Civ. P. 56(c). If there is doubt as to whether or not a fact exists, it should be resolved

in favor of the nonmoving party. Aikens, 8 So. 3d at 140.

¶62.   Trane submits that Rule 25 of the Mississippi Rules of Civil Procedure prohibits

substitution where the plaintiff was deceased when the suit was filed. Although the majority

fails to address the applicability of Rule 25, I find it a necessary part of the analysis.

¶63.   Rule 25 of the Mississippi Rules of Civil Procedure provides, in relevant part:

               (1) If a party dies and the claim is not thereby extinguished, the court
       shall, upon motion, order substitution of the proper parties. The motion for
       substitution may be made by any party or by the successors or representatives
       of the deceased party and, together with the notice of hearing, shall be served
       on the parties as provided in Rule 5 and upon persons not parties in the manner
       provided in Rule 4 for the service of summons. The action shall be dismissed
       without prejudice as to the deceased party if the motion for substitution is not
       made within ninety days after the death is suggested upon the record by service
       of a statement of the fact of the death as herein provided for the service of the
       motion.

                                                23
               (2) In the event of the death of one or more of the plaintiffs or of one or
       more of the defendants in an action in which the right sought to be enforced
       survives only to the surviving plaintiff or only against the surviving defendants,
       the action does not abate. The death shall be suggested upon the record and the
       action shall proceed in favor of or against the surviving parties.

Miss. R. Civ. P. 25(a).

¶64.   The comment to Rule 25 further states: “Rule 25 presupposes that substitution is for

someone who was already a party to a pending action; substitution is not possible if one who

was named as a party in fact died before the commencement of the action. See Mizukami v.

Buras, 419 F.2d 1319 (5th Cir. 1969).” Miss. R. Civ. P. 25, cmt. (emphasis original).

However, the “not possible” language is misleading, as Mizukami merely said Rule 25 is not

available in such a situation. In Mizukami, which was a case from the U.S. District Court for

the Eastern District of Louisiana, the Fifth Circuit Court of Appeals said: “However, as the

district court noted, the rule contemplates substitution for someone who had been made a

party before his death. It is not available to the appellants in the present case since Buras

predeceased the filing of the action.” Id. at 1320 (emphasis added). Mizukami relies on

Chorney v. Callahan, 135 F. Supp. 35 (D. Mass. 1955). Both Mizukami and Chorney

involved attempts to substitute the heirs of a defendant under Federal Rule 25. The issue

regarding substitution of the heir of a plaintiff was later addressed by the United States Court

of Appeals for the Tenth Circuit.

¶65.   In Esposito v. United States, 368 F. 3d 1271 (10th Cir. 2004), a decedent was named

as a plaintiff in a wrongful-death action, which was dismissed by the Kansas district court for

lack of subject-matter jurisdiction. Id. at 1272. The Tenth Circuit Court of Appeals reversed

the district court, finding substitution of the decedent’s wife proper under the real-party-in-

                                               24
interest provision of Federal Rule 17. Esposito, 368 F. 3d at 1277-78; Fed. R. Civ. P. 17.

Specifically, the Court said:

       Mizukami v. Buras, 419 F. 2d 1319 (5th Cir. 1969) (per curiam), also
       frequently cited in this context, is not on point here either. That case dealt with
       an attempt to substitute the heirs of a defendant pursuant to Fed. R. Civ. P. 25,
       rather than the heirs of a plaintiff under Rule 17(a). The same is true of Moul
       v. Pace, 261 F. Supp. 616 (D. Md. 1966). We find none of these cases
       persuasive on the issue confronting us here.
               We do, however, find support in the federal rules for permitting
       substitution notwithstanding Mr. Esposito’s lack of capacity at the time the suit
       was filed. As the district court pointed out, nothing in Rule 17(a) requires that
       the original plaintiff have capacity to sue. The fact is, Rule 17(a) does more
       than merely provide a relation back principle. It provides that substitution
       “shall have the same effect as if the action had been commenced in the name of
       the real party in interest. Fed. R. Civ. P. 17(a) (emphasis added). Rule 17(a)
       is designed to prevent forfeitures, and as such must be given broad application.
       See Fed. R. Civ. P. 17 advisory committee’s notes (1996 Amendment) (stating
       Rule 17(a) is “intended to insure against forfeiture and injustice” by codifying
       “in broad terms” prior law permitting substitution notwithstanding running of
       limitations statute). We conclude that Mr. Esposito’s lack of capacity at the
       time the suit was filed does not prevent the substitution from relating back to
       the date the suit was filed under Rule 17(a).

Esposito, 368 F. 3d at 1277-78 (emphasis original).

¶66.   In finding the substitution of the wife for the decedent-plaintiff proper under Rule

17(a), the court considered “whether the plaintiff engaged in deliberate tactical maneuvering

(i.e. whether his mistake was “honest”), and on whether the defendant was prejudiced

thereby.” Id. at 1276. The court found that filing the action in the name of the deceased

plaintiff was an honest, understandable mistake.        Id.   The court concluded that “Mr.

Esposito’s lack of capacity at the time the suit was filed does not prevent the substitution from

relating back to the date the suit was filed under Rule 17(a).” Id. at 1278. In the instant case,

                                               25
there is no evidence that the plaintiff engaged in “deliberate tactical maneuvering” by filing

the action in the name of Lonnie Pittman or that Trane was prejudiced thereby.

¶67.   Mississippi’s real-party-in-interest rule contains the same language discussed in

Esposito. Rule 17(a) of the Mississippi Rules of Civil Procedure states:

               Every action shall be prosecuted in the name of the real party in interest.
       An executor, administrator, guardian, bailee, trustee, a party with whom or in
       whose name a contract has been made for the benefit of another, or a party
       authorized by statute may sue in his representative capacity without joining
       with him the party for whose benefit the action is brought. No action shall be
       dismissed on the ground that it is not prosecuted in the name of the real party
       in interest until a reasonable time has been allowed after objection for
       ratification of commencement of the action by, or joinder or substitution of, the
       real party in interest; and such ratification, joinder or substitution shall have the
       same effect as if the action had been commenced in the name of the real party
       in interest.

Miss. R. Civ. P. 17(a). The comment to Rule 17 also states, in relevant part:

              The provision that no action shall be dismissed on the ground that it is
       not prosecuted in the name of the real party in interest until a reasonable time
       has been allowed, after the objection has been raised, for ratification, joinder,
       or substitution, is added simply in the interests of justice.

Miss. R. Civ. P. 17, cmt. (emphasis original).

¶68.   Trane asserts in the Appellant’s Brief that:

       Where the limits of substitution have been specifically defined, as here with
       regard to Rule 25(a)(1), it would be completely anomalous to hold, as Pittman’s
       counsel suggested, that the generalized provisions of Rule 17 could somehow
       trump or override the specific prohibition recognized by Rule 25(a)(1). The
       most basic principle regarding the interpretation of statutes and rules is that the
       more specific rule governs the more general provision.

Yet Trane also admits repeatedly that Rule 25(a) is not applicable in a situation where the

party predeceased the filing of the action. Trane is correct that Rule 25(a) is not applicable.

See Mizukami, 419 F. 2d 1319. However, I disagree with Trane’s contradictory argument and

                                                26
the majority’s finding that Rule 17 is not applicable and could not authorize a proper

substitution. The language in Esposito, Rule 17(a), and the accompanying comment, as set

out above, clearly allow the substitution of the real party in interest where a party has

predeceased the filing.

¶69.   The majority disagrees with the holding of Esposito and finds that substitution is not

proper under Rule 17.       In doing so, the majority relies on various cases from other

jurisdictions for the proposition that an action filed in the name of a deceased person or

nonexistent entity is a nullity.    However, most of the cases cited by the majority are

nonbinding authority decided prior to Esposito, and all are easily distinguished.

¶70.   The majority cites Humphreys v. Irvine, 14 Miss. 205, 205 (Miss. Err. & App. 1846),

for the following: “In its early days, this Court held that a dead person cannot institute a suit.”

(Maj. Op. at ¶ 16). However, in Humphreys, which was decided prior to the applicable

caselaw and rule discussed herein, the trial court excluded evidence that the plaintiff was

deceased at the time of the commencement of the suit. Humphreys, 14 Miss. at 205. After

a jury verdict and judgment in favor of the deceased plaintiff, the defendants appealed. The

High Court of Errors and Appeals of Mississippi held that:

       A judgment for or against a dead man is usually a nullity. Our statute directs
       that the death of the nominal plaintiff during the pendency of the suit, shall not
       cause its abatement. . . . This constitutes perhaps the only exception. But this
       cannot be construed to authorize the commencement of a suit, in the name of
       a person no longer in existence. It matters not at what time the fact of the death
       of a party is made known to the court; nor in what form. The objection rises
       above the mere technical rules of pleading, and goes to the right of the court to
       proceed. It stops the cause at whatever stage it may be, whenever made known
       to the court.

                                                27
       The exclusion of the testimony was therefore erroneous. If the fact is made out
       to the satisfaction of the court, the effect must be an abatement of the suit, as
       it will show it was wrongly brought at its inception.

Id. at 205 (emphasis added). Humphreys involved the exclusion of evidence in a case

involving a single plaintiff. Further, Humphreys did not involve the substitution or attempted

substitution of a real party in interest, but rather involved the exclusion during trial of

evidence that the plaintiff was dead at the time the suit was filed. Moreover, to reiterate,

Humphreys spoke of a judgment for or against a dead person usually being a nullity. That

is not the case here. Therefore, Humphreys, which was decided prior to Esposito and the

adoption of Rule 17, is not applicable.

¶71.   The majority then cites Collins v. General Electric Company, 123 So. 2d 609, 613

(Miss. 1960), as recognizing but “choosing not to apply” the “general rule” found in the

following:

       The appellants rely upon the rule that in every action there must be a real
       plaintiff who is a person in law and who is possessed of a legal entity and
       capacity to sue. We recognize this rule. In 67 C.J.S. Parties § 4, p. 896,
       appears the following:

       “In every action there must be a real plaintiff who is a person in law and is
       possessed of a legal entity or existence as a natural, artificial, or quasi-artificial
       person, and a suit brought in the name of that which is not a legal entity is a
       mere nullity.”

              We think, however, that the facts of this case do not warrant the
       application of the aforesaid rule.

Collins, 123 So. 2d at 833. (Maj. Op. at ¶ 17). The majority acknowledges that there are times

that the “general rule” does not apply. However, Collins was decided prior to Esposito and

is not applicable.

                                                28
¶72.   In Illinois Central Railroad Company v. Broussard, 19 So. 3d 821 (Miss. 2009), the

trial court dismissed the action after being notified that the employee was deceased at the time

of filing, but denied the railroad’s request for sanctions against counsel for Broussard. Id. at

823 The railroad appealed the denial of sanctions. This Court affirmed, finding that the trial

court did not abuse its discretion in denying an award of attorneys’ fees and expenses. Id. at

824. This case is not applicable.

¶73.   The majority cites Adelsberger v. United States, 58 Fed. Cl. 616, 617 (Fed. Cl. 2003),

for the proposition that an “action brought in the name of a deceased individual [was] declared

null.” Adelsberger is a Fair Labor Standards Act case from the United States Court of Federal

Claims, which has separate rules. Further, Adelsberger, which relies on the Mizukami

decision discussed previously herein, was decided prior to Esposito.            Moreover, the

Adelsberger court found that, under the applicable Kansas law, the widow of the deceased

lacked the representative capacity to sue on behalf of her husband’s estate. Id. at 619.

Therefore, this case is not applicable.

¶74.   The majority next cites Banakus v. United Aircraft Corp., 290 F. Supp. 259, 260

(S.D.N.Y. 1968), for the proposition that “personal injury suit brought in the name of

deceased person [was] treated as a nullity.” However, the majority fails to acknowledge that

Banakus, a diversity suit for personal injuries, was decided prior to and subsequently was

distinguished by Esposito. Specifically, the Esposito court said:

       Banakus v. United Aircraft Corp., 290 F. Supp. 259 (S.D.N.Y. 1968), is the
       case most often cited for the “nullity” theory. In that case, the district court
       denied motions by the decedent’s administratrix (1) to substitute herself for the
       decedent in his suit for personal injuries and (2) to add a claim for wrongful
       death. Id. at 260. The court noted that because the decedent had died thirty-

                                              29
       five minutes before his attorney filed his action seeking damages for personal
       injury, his suit was a nullity. Id. It therefore could not be revived by
       substituting parties and amending the complaint to add a claim for wrongful
       death. Id.

       Banakus involved a particular factual situation that is not present here. The
       decedent’s original complaint in Banakus was for personal injury only and did
       not include a cause of action for wrongful death. The court was not faced with
       possible forfeiture of a wrongful death claim; it specifically stated that its
       holding was without prejudice to the right of the administratrix to institute a
       separate action for wrongful death. Id. The essential point of Banakus is that
       the administratrix should not have attempted to revive an expired lawsuit for
       personal injuries by injecting a new wrongful death claim; instead, she should
       have filed her claim as a separate action. Because Banakus relied heavily on
       the administratrix’s attempt to obtain amendment as well as substitution, and
       did not address the forfeiture avoidance principles of Rule 17(a), we do not find
       it persuasive on the substitution issue in this case.

Esposito, 368 F.3d 1271 at 1277. The instant case did not involve an attempt to revive an

expired personal-injury action by injecting a wrongful-death claim. As stated previously

herein, the original complaint included a claim for wrongful death. Therefore, Banakus is not

applicable.

¶75.   The majority cites Black Canyon Citizens Coalition, Inc. v. Board of County

Commissioners of Montrose County, 80 P.3d 932, 933-35 (Colo. App. 2003), for the

proposition that “suit filed in the name of a nonexistent corporation [was] deemed void ab

initio.” In Black Canyon, which was decided prior to Esposito, the Colorado Court of

Appeals held that a nonexistent corporation lacked capacity to file a complaint, and that its

attempt to cure the defect after the expiration of a thirty-day period specified by Rule

106(a)(4) of the Colorado Rules of Civil Procedure failed. Black Canyon, 80 P.3d at 935.

Therefore, Black Canyon is dissimilar factually and involves the application of a specific

Colorado rule not at issue here. The Colorado court acknowledged that courts applying

                                              30
Colorado Rule of Civil Procedure 17 had not yet addressed the question of “whether a

nonexistent person or entity can have either the requisite capacity or interest to bring an

action.” Black Canyon, 80 P.3d at 934-35. The court said that it found no compelling reason

to reach a result contrary to Rule 25 and that it was “persuaded by the combination of § 7-122-

103, Bowers Building [v. Altura Glass Co., 694 P.2d 875 (Colo. App. 1984)], and the

jurisprudence applying Fed. R. Civ. P. 25, that an action filed by a nonexistent person or

entity is a nullity.” As stated herein, the application of Rule 17 subsequently was addressed

in Esposito. Further, the Colorado Court of Appeals later disagreed with and declined to

follow Black Canyon. See Ashton Properties, LTD v. Overton, 107 P.3d 1014, 1017 (Colo.

2004), and Currier v. Sutherland, 215 P.3d 1155, 1160-61 (Colo. 2008). Therefore, Black

Canyon is not applicable.

¶76.   The majority then cites Gregory v. DiCenzo, 713 A.2d 772, 775 (R.I. 1998), for the

proposition that a “complaint commenced in deceased person’s name [was] deemed a nullity.”

However, in Gregory, which was decided prior to Esposito, the court found that the

appropriate procedure to be utilized in circumstances in which a complaint is brought in the

name of a deceased person was found in a Rhode Island statute, rather than in Rule 17 or 25.

The case before us involves no such statute. Therefore, Gregory is not applicable.

¶77.   The majority next cites Matthews v. Cleveland, 284 S.E.2d 634, 635-36 (Ga. 1981),

for the proposition that a “deceased person cannot commence an action.” Matthews is a

Georgia Court of Appeals garnishment case interpreting the application of a Georgia statute

and was decided before Esposito. Therefore, this case is not applicable.

                                              31
¶78.   The majority cites Levering v. Riverside Methodist Hospital, 2 Ohio App. 3d 157, 159,

441 N.E.2d 290, 291 (Ohio App. 1981), for the proposition that a “complaint [was] declared

a nullity where [the] plaintiff died prior to its filing.” Levering, which was decided prior to

Esposito, involved Ohio court rules regarding the commencement of an action, amendment

of pleadings and the Ohio version of Rule 25, but did not address the application of any rule

similar to Rule 17 regarding the substitution of a real party in interest. Therefore, Levering

is not applicable.

¶79.   The majority also takes issue with the holding in Esposito, which is factually on point,

by attempting to separate “capacity to sue” and “legal existence” of a party in such a manner

as to somehow distinguish Esposito.        (Maj. Op. at ¶ 25).      In doing so, the majority

misapprehends Esposito, Rule 17, Rule 9, and various lower court cases decided prior to

Esposito. The majority states: “Esposito correctly notes that nothing in Rule 17(a) requires

that the original plaintiff have the capacity to sue. Id. at 1277. Yet capacity is not really the

issue in a case like the one before us.” (Maj. Op. at ¶ 25). While the majority is correct that

such a statement is made in Esposito regarding Federal Rule of Civil Procedure 17, the

Esposito court also said that issues of capacity are determined by the law of the individual’s

domicile. Esposito, 368 F.3d at 1273. The very title of Mississippi’s Rule 17 is “Parties

Plaintiff and Defendant; Capacity.” Miss. R. Civ. P. 17. Further, the comment to Mississippi

Rule of Civil Procedure 17 states: “Rule 17 prescribes the general requirements that must be

satisfied regarding the plaintiff’s interest in the subject matter of the proceeding and each

litigant’s capacity either to sue or be sued.” Miss. R. Civ. P. 17 cmt. (emphasis original).

                                               32
¶80.    Moreover, Mississippi Rule of Civil Procedure 9(a) treats capacity to sue and legal

existence interchangeably. Specifically, Rule 9(a) states: “The capacity in which one sues or

is sued must be stated in one’s initial pleading.” The comment to Rule 9 states, in relevant

part:

        Rule 9(a) is the same as was required by prior Mississippi procedure. See V.
        Griffith, Mississippi Chancery Practice, § 164 (2d ed. 1950). A party desiring
        to raise an issue as to the legal existence, capacity, or authority of a party will
        be required to do so by specific negative averment.

Miss. R. Civ. P. 9 cmt. (emphasis original).

¶81.    The majority, which states that capacity is not the issue in this case, cites Glickstein

v. Sun Bank/Miami, N.A., 922 F.2d 666, 670 (11th Circ. 1991), for an explanation that

“‘capacity to sue’ relates to a party’s right to litigate.” (Maj. Op. at ¶ 25). Glickstein

involved an action in an estate case where Glickstein had not yet been appointed the personal

representative of the estate at the time of the filing. The court in Glickstein compared

standing to capacity to sue, finding that “[i]t is clear that the Lilly Glickstein estate has

‘standing’ to bring this action.” Id. 670. The court further said that the “question in this case

is whether Howard Glickstein [who had not yet been appointed the personal representative

of the estate at the time the suit was filed] is able to bring this case on behalf of the estate.

This is not a question of standing; rather, this issue involves the question of whether

Glickstein has the capacity to bring this action on behalf of the estate.” Not only did the court

                                                33
find that Glickstein had capacity, but it held that Glickstein’s appointment as representative

would relate back to the time at which the suit was filed. Id. at 668.3

¶82.   The majority also cites the pre-Esposito case of Iowa Coal Mining Co., Inc. v. Monroe

County, 555 N.W.2d 418, 428 (Iowa 1996), for distinguishing the concepts of capacity to sue

and legal existence. The majority then says, “Our concern, rather, is a distinct but closely

related concept: legal existence. See Iowa Coal, 555 N.W.2d at 428 (noting that capacity to

sue is distinct but closely allied to legal existence) (quoting 59 Am. Jur. 2d Parties §24, at

410).” (Maj. Op. at ¶ 25). However, Iowa Coal, which is a case involving a zoning ordinance

from the Iowa Supreme Court, does not address the legal existence of a party, but rather

discusses the legal existence of a cause of action. Id. at 428. Also, Iowa Coal involved

standing to bring suit, not the substitution of a real party in interest. Id. In discussing whether

Iowa Coal had capacity to sue, the court said:

               Capacity to sue is seen as distinct from, although closely allied to, legal
       existence, or the quality of being a person in law, and the possession of the
       requisite interest to support an action, or “standing,” to sue. Capacity relates to
       a party's personal or official right to litigate the issues presented by the
       pleadings. Want of capacity to sue has reference, not to the existence of a
       plaintiff, but to legal disability, such as infancy, mental incompetence, and the
       like, which deprives a party of the right to come into court. Lack of capacity
       merely deprives a party of the right to come into court. It does not go to the
       existence of a cause of action.

Id. at 428 (emphasis original).

¶83.   The court further said:

        3
        Glickstein was abrogated by Saxton v. ACF Industries, Inc., 254 F.3d 959 (11th
Cir. 2001), which found that Federal Rule of Civil Procedure 15(c)(1) allows federal
courts sitting in diversity to apply relation-back rules of state law.

                                                34
               The County's challenge is not one of lack of capacity to sue. The County
       is not asserting that Iowa Coal had a legal disability depriving it of the right to
       come into court. Iowa Coal is a legal entity and ostensibly had rights under the
       leases and amendments as an assignee, rights it claims were allegedly affected
       by the County's actions.

               A cause of action, on the other hand, is defined by our court as

               the act on the part of the defendant which gives the plaintiff his
               “cause of complaint.” That is, there must be [a] legal right in
               [the] plaintiff, a corresponding duty on the part of the defendant
               and an attendant breach of that duty with resultant harm to
               plaintiff. . . .

       Giltner v. Stark, 252 N.W.2d 743, 745 (Iowa 1977) (citations omitted). Of the
       three concepts – subject matter jurisdiction, capacity to sue, and cause of action
       – the concept concerning cause of action is the only one that could conceivably
       fit the facts here.

              The County is really arguing that Iowa Coal had no cause of action. The
       County's argument is that Iowa Coal had no right to mine and landfill under the
       leases when damages arose and these proceedings were instituted. The right to
       mine and landfill necessarily forms the basis for any suit Iowa Coal may have
       had against the County.

Iowa Coal, 555 N.W.2d at 429.

¶84.   For these reasons, this case is not applicable.

¶85.   The majority again cites Adelsberger, 58 Fed. Cl. at 617, for the proposition that a

“legal existence is a basic threshold; it serves as a prerequisite to having capacity to sue.”

(Maj. Op. at ¶ 25). Adelsberger previously has been discussed herein.

¶86.   The majority then decides that, rather than the legal existence of the plaintiff, i.e., “that

the individual suing is alive,” the issue is actually the legal existence of the action. (Maj. Op.

at ¶¶ 25-26) (emphasis original). The majority states that Rule 17(a) not only presupposes

“that the plaintiff filing suit legally exists” but also “takes for granted or presumes that a valid

                                                35
‘action’ exists.” (Maj. Op. at ¶ 26). The majority cites Matthews v. Cleveland, 284 S.E.2d

634, 635-36 (Ga. 1981), and Gregory v. DiCenzo, 713 A.2d 772, 773 (R.I. 1998), for the

proposition that “no ‘action’ exists where the original complaint is filed by a dead person.’”

(Maj. Op. at ¶ 26). As stated previously herein, Matthews is a Georgia Court of Appeals

garnishment case interpreting the application of a Georgia statute and was decided before

Esposito. Therefore, this case is not applicable. However, it is worth mentioning that

Matthews discusses the substitution of a plaintiff “having capacity to sue” for a plaintiff who

is dead. Id. at 636. The majority of this Court says capacity to sue is not the issue. Gregory

has been distinguished previously herein. However, because the majority misapprehends

Gregory a second time, I will briefly readdress this case. The majority’s suggestion that

Gregory holds that “no ‘action’ exists where the original complaint is filed by a dead person’”

is erroneous. (Maj. Op. at ¶ 26). The Court in Gregory found that Rule 25 was not applicable

and that “a valid action did not commence within one year of the appointment of the executor

as set forth in § 9-1-21.” Gregory, 713 A.2d at 775.

¶87.   Further, other courts have addressed this issue, finding that such an issue of capacity

is not an incurable defect and that substitution is proper. In Advanced Magnetics, Inc. v.

Bayfront Partners, Inc., 106 F.3d 11 (2nd Cir. 1997), the U.S. Court of Appeals for the

Second Circuit said that: “A Rule 17(a) substitution of plaintiffs should be liberally allowed

when the change is merely formal and in no way alters the original complaint’s factual

allegations as to the events or the participants.” Id. at 20. See also Cibran Enterprises, Inc.,

v. BP Products of North America, Inc., 365 F. Supp. 2d 1241, 1251 (S.D. Fla. 2005).

                                              36
¶88.   In Currier v. Sutherland, 215 P.3d 1155 (Colo. App. 2008), the Colorado Court of

Appeals, which the majority relies on as stated previously herein, said:

              Nationally, there remains a split of authority as to whether naming a
       non-existent defendant is an issue of capacity or subject-matter jurisdiction.
       But, the modern trend is consistent with Ashton and SMLL. According to one
       commentator:

              Some early decisions suggested that a defect in capacity deprives
              the court of subject matter jurisdiction, since a real case or
              controversy does not exist when one of the parties is incapable of
              suing or being sued, although more recent authority has rejected
              that characterization. To treat capacity problems as subject
              matter jurisdiction defects seems to exaggerated their
              significance. . . .

       6A Charles Alan Wright, Arthur R. Miller & Mary Kay Kane, Federal Practice
       and Procedure § 1559 (2d ed. 1990) (footnotes omitted).

               Thus, there is a significant body of more recent authority holding in the
       context of suits involving decedents’ estates that naming a non-existent
       defendant does not implicate a court’s subject matter jurisdiction. See Vorhees,
       153 P.3d at 1232-33 (noting confusion over the questions of capacity and
       subject matter jurisdiction, Kansas court concluded that although the named
       defendant was not a legal entity and did not have the capacity to be sued, the
       trial court’s subject jurisdiction was not implicated); Austin Nursing Ctr., Inc.
       v. Lovato, 171 S.W.3d 845, 849, 853 (Tex. 2005) (noting the difference
       between capacity and subject matter jurisdiction in context of suit involving
       estate not formally opened, and noting that when the original petition named
       only the estate itself, the defect was in capacity and an amended petition filed
       against the representative was not barred (citing Price v. Estate of Anderson,
       522 S.W.2d 690, 692 (Tex. 1975)) ); see also Hamilton v. Blackman, 915 P.2d
       1210, 1218 (Alaska 1996) (collecting cases and stating: “We thus agree with
       the federal courts and those state courts holding similarly that amendments
       adding the representatives of the estates of deceased persons as defendants may
       relate back to the date of the original pleadings, even if the original pleading
       erroneously named only the decedent as the defendant.”); Muhammed v.
       Welch, 675 N.W.2d 402, 412 (N.D. 2004) (noting, with citation, that the
       “nullity theory” has recently fallen into disfavor, and offering an alternative
       based on fulfilling requirements of Rule 15(c)).

                                              37
              Thus, we agree with Ashton and SMLL that a party's capacity to sue or
       be sued does not affect the court's subject matter jurisdiction, and we also agree
       with the reasoning of those courts in other jurisdictions that have concluded that
       naming a non-existent entity as a defendant is an issue not of subject matter
       jurisdiction, but of capacity.

              Similarly, because we have concluded that naming a defendant without
       capacity is not an incurable defect of subject matter jurisdiction, we also
       disagree with plaintiffs' argument that the trial court erred by exercising its
       jurisdiction to allow an amendment to the original complaint to substitute a
       party with capacity. See, e.g., Benton v. Adams, 56 P.3d 81, 84 (Colo. 2002)
       (amendment permitted when change in capacity); see also Doe v. Heitler, 26
       P.3d 539, 544-45 (Colo. App. 2001) (where court dismissed a complaint for
       lack of subject matter jurisdiction when it failed to name a party plaintiff,
       instead using “John Doe,” it was error for court not to allow amendment of
       complaint).

Currier, 215 P.3d at 1160-61.

¶89.   As discussed previously herein, Rule 17(a) plainly states that:

       No action shall be dismissed on the ground that it is not prosecuted in the name
       of the real party in interest until a reasonable time has been allowed after
       objection for ratification of commencement of the action by, or joinder or
       substitution of, the real party in interest; and such ratification, joinder or
       substitution shall have the same effect as if the action had been commenced in
       the name of the real party in interest.

Miss. R. Civ. P. 17(a) (emphasis added). The rule clearly speaks of the commencement of the

action. If the action is commenced by someone other than the real party in interest, the action

will not be dismissed until a reasonable time for substitution has been allowed. A deceased

individual clearly would fall into the category of someone other than the real party in interest.

For these reasons, I disagree with the erroneous finding of the majority.

¶90.   The majority further finds that, even if substitution were proper, the original complaint

was a nullity and the amended complaint was not filed within the applicable statute of

limitations. The majority cites Tolliver v. Mladineo, 987 So. 2d 989 (Miss. Ct. App. 2007),

                                               38
for the proposition that tolling cannot occur where a filing is void and a jurisdictional nullity.

Tolliver is not binding authority on this Court and can also be distinguished.

¶91.   In Tolliver, the brother of a decedent, who was survived by a husband and children,

filed a wrongful-death lawsuit against defendant doctors. Id. at 992. The doctors filed a

motion to dismiss. Id. The plaintiff’s motion to substitute decedent’s son was granted

pursuant to Rule 15 of the Mississippi Rules of Civil Procedure. Id. However, counsel for

plaintiff later failed to appear for a mandatory docket call, and the case was dismissed for

failure to prosecute under Rule 41(b) of the Mississippi Rules of Civil Procedure. Id. The

plaintiff appealed the dismissal, and the defendants cross-appealed. Id. at 992-93. The

defendants asserted that substitution was improper under Rule 15 and that the amended

complaint was filed after the expiration of the statute of limitations. Id. at 993. The Court of

Appeals found that the decedent’s brother lacked standing to bring the lawsuit and that the

amended complaint could not relate back to the original filing. Id. at 995-96, 999. Therefore,

the court treated the amended complaint as an original filing and found that it was barred by

the applicable statute of limitations. Id. at 996, 999. The majority of the Court of Appeals

failed to address the application of Rule 17 in Tolliver. Id. at 1000.

¶92.   The majority ignores the very language of Rule 17(a), as quoted above, which states

that “substitution shall have the same effect as if the action had been commenced in the name

of the real party in interest.” Miss. R. Civ. P. 17(a). “Commenced” clearly means when the

action was filed. Therefore, Mary “steps into the shoes” of Lonnie at the time the action was

filed. Kirk v. Pope, 973 So. 2d 981, 990 (Miss. 2007). Further, other courts have said that

substitution under Rule 17(a) relates back to the filing of the original complaint. See

                                               39
Advanced Magnetics, Inc., 106 F.3d at 20-21; and Glickstein, 922 F.2d at 668. Therefore,

the substitution of Mary Pittman related back to the original filing and was not barred by the

applicable statute of limitations.

¶93.   Trane states that the applicable statute of limitations expired March 11, 2004, which

was three years after Lonnie Pittman’s death on March 11, 2001. The suggestion of death was

not filed until April 16, 2004, which was after the expiration of the statute of limitations.

Further, the record reflects no opposition to the motion for substitution of Mary Pittman.

Also, Nettles was not severed from the action until after the substitution. The “interests of

justice” are not served by wrongfully denying substitution which is clearly proper under Rule

17(a), Esposito, and the other authority cited herein. Miss. R. Civ. P. 17(a); Esposito, 368 F.

3d 1271. Because Trane has failed to demonstrate that there is no genuine issue of material

fact, I would affirm the trial court. Therefore, I respectfully dissent.

       KITCHENS AND CHANDLER, JJ., JOIN THIS OPINION.

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