Worth Checking Out

When you get a chance, head over to Full Court Pass, a blog discussing mostly New York appellate law.  Authored by Norman A. Olch, who, going by his profile (the "about me" section of his blog), is full of the smarts.  I don't think he has a twitter account.

Anyways.  The blog is relatively new.  I chanced upon it when I was over at Sui Generis, checking to see if any of my posts (here or at the other blog) made it to her New York Legal Blog Round Up.  It didn't.  Fingers crossed for next week. 

So go have a look.  I like it.

CPLR R. 3216(b)(3) & CPLR § 2004

CPLR R. 3216 Want of prosecution

(b) No
dismissal shall be directed under any portion of subdivision (a) of
this rule and no court initiative shall be taken or motion made
thereunder unless the following conditions precedent have been complied
with:

(3)
The court or party seeking such relief, as the case may be, shall have
served a written demand by registered or certified mail requiring the
party against whom such relief is sought to resume prosecution of the
action and to serve and file a note of issue within ninety days after
receipt of such demand, and further stating that the default by the
party upon whom such notice is served in complying with such demand
within said ninety day period will serve as a basis for a motion by the
party serving said demand for dismissal as against him for unreasonably
neglecting to proceed.

CPLR § 2004 Extensions of time generally


Foley v West-herr Automotive Group, Inc., 2009 NY Slip Op 04808 (App. Div., 4th, 2009)

Supreme Court did not abuse its discretion in denying the motion of
plaintiffs seeking permission to conduct further discovery and to
vacate the court's demand to serve and file a note of issue pursuant to
CPLR 3216 (b) (3) within 90 days. The court's demand provided that, in
the event that plaintiffs failed to comply with the demand, the court
upon its own motion would dismiss the complaint based on plaintiffs'
unreasonable neglect in proceeding with the action. We note that
plaintiffs moved within the 90-day period to vacate the demand and for
an extension of time in which to complete discovery, thereby avoiding
default with respect to the court's demand
(see Walton v Clifton Springs Hosp. & Clinic, 255 AD2d 964, 965; Conway v Brooklyn Union Gas Co., 212 AD2d 497; cf. Baczkowski v Collins Constr. Co.,
89 NY2d 499, 503-504). We further note, however, that "[t]he motion
requires the moving party to make a showing of need for the extension
or good excuse for past delay" (Walton, 255 AD2d at 965 [internal quotation marks omitted]; see CPLR 2004
; Cook v City of New York, 11 AD3d 424).
We conclude that plaintiffs failed to demonstrate good cause for an
extension of time in which to complete discovery, and they also failed
to present a good excuse for the delay. Plaintiffs sought to excuse the
prior delay by showing that the court's discovery deadline was
ineffective, in view of the parties' continued discovery and the
determination of an appeal after that deadline had expired. However,
the record does not support the conclusion that the court's demand
pursuant to CPLR 3216 (b) (3) was based upon plaintiffs' violation of
its discovery deadline, as opposed to the failure of plaintiffs to move
the case forward after the discovery deadline had expired.
We therefore
conclude that the court did not abuse its discretion in denying the
motion. We note in any event that the order denying plaintiffs' motion
further [*2]extended the time in which to
file a note of issue and statement of readiness beyond the original
90-day deadline in the demand, and it specified that, in the event that
plaintiffs did not comply with that later deadline, the court's motion
to dismiss the complaint would be "heard" on such later date. Thus, the
order in effect gave plaintiffs yet another extension of time in which
to complete discovery.

Standing Waived; CPLR R. 3211(e)

CPLR R. 3211(e) Number, time and waiver of objections; motion to plead over

Lot 57 Acquisition Corp. v Yat Yar Equities Corp., 2009 NY Slip Op 05512 (App. Div., 2nd, 2009)

Since the defendant Yat Yar Equities Corp. (hereinafter Yat Yar) did
not raise the defense of lack of standing in a timely motion to dismiss
the complaint or in its responsive pleading, that defense is waived (see CPLR 3211[e]; Gager v White, 53 NY2d 475, 488, cert denied 454 US 1086; Aames Funding Corp. v Houston, 57 AD3d 808, 809).

Standing can be waived through other, less obvious, means.  See, Fair Price Med. Supply Corp. v Travelers Indem. Co., 10 NY3d 556 (Ct. App., 2008).  Fair Price can of course be limited to it facts.  Can it be expanded outside no-fault, to other statutory or contract driven arenas.

Experts and Their Reports. And a Engineer’s Report that Made its Way into Evidence

Starting last first, here we go.

McPartlan v Basile, 2009 NY Slip Op 05521 (App. Div., 2nd, 2009)

Contrary to the appellants' contention, the engineer's report was
admitted into evidence, and properly so, not to prove the truth or
accuracy of its contents, but to establish that the plaintiffs had a
good faith basis for determining that the report was unacceptable.
Furthermore, the record supports the conclusion that the plaintiffs
did, in fact, act in good faith, and thus their termination of the
contract of sale pursuant to Paragraph 39 of the contract was valid (see Hirsch v Food Resources, Inc., 24 AD3d 293, 296; Tradewinds Fin. Corp. v Refco Sec., 5 AD3d 229, 230-31; Richbell Info. Sers. v Jupiter Partners,
309 AD2d 288, 302). Accordingly, the Supreme Court properly determined
that the plaintiffs were entitled to the return of their down payment.

Yun v Barber, 2009 NY Slip Op 05535 (App. Div., 2nd, 2009)

The plaintiffs' remaining submissions did not constitute admissible evidence since they were unsworn (see Grasso v Angerami, 79 NY2d 813; McNeil v New York City Tr. Auth., 60 AD3d 1018; Sapienza v Ruggiero, 57 AD3d 643, 644).

Vickers v Francis, 2009 NY Slip Op 05540 (App. Div., 2nd, 2009)

Initially, the X ray report dated September 22, 2006, the magnetic
resonance imaging (hereinafter MRI) reports of Dr. Robert Diamond, the
medical records from Alliance Medical Office, the plaintiff's emergency
room and hospital records, and the reports of Dr. Nunzio Saulle dated
August 31, 2006, and October 19, 2006, were not in admissible form
because they were unsworn
(see Grasso v Angerami, 79 NY2d 813, 814-815; McNeil v New York City Tr. Auth., 60 AD3d 1018; Sapienza v Ruggiero, 57 AD3d 643, 644; Uribe-Zapata v Capallan, 54 AD3d 936, 937; Choi Ping Wong v Innocent, 54 AD3d 384, 385).

The affirmed medical reports of Dr. Saulle were insufficient to
raise a triable issue of fact as to whether the plaintiff sustained a
serious injury to her cervical or lumbar spine as a result of the
subject accident. Neither the plaintiff nor Dr. Saulle proffered
competent objective medical evidence revealing the existence of a
significant limitation in either region of the plaintiff's spine that [*2]was contemporaneous with the subject accident (see Leeber v Ward, 55 AD3d 563; Ferraro v Ridge Car Serv., 49 AD3d 498; D'Onofrio v Floton, Inc., 45
AD3d 525). Furthermore, in reaching his conclusion in his affirmed
medical reports, Dr. Saulle clearly relied on the unsworn MRI reports
of Dr. Diamond
(see Magid v Lincoln Servs. Corp., 60 AD3d 1008; Sorto v Morales, 55 AD3d 718; Malave v Basikov, 45 AD3d 539; Verette v Zia, 44 AD3d 747; Furrs v Griffith, 43 AD3d 389; see also Friedman v U-Haul Truck Rental, 216
AD2d 266, 267). Moreover, Dr. Saulle failed to address, in any of his
affirmed reports, the fact that the plaintiff injured her neck and back
in a subsequent accident in October 2007. His failure to address that
accident and the resulting injuries rendered speculative his
conclusions that the range of motion limitations he noted in the
plaintiff's cervical and lumbar regions after October 2007 were caused
by the subject accident (see Donadio v Doukhnych, 55 AD3d 532; Seck v Minigreen Hacking Corp., 53 AD3d 608).

Wartski v C.W. Post Campus of Long Is. Univ., 2009 NY Slip Op 05115 (App. Div., 2nd, 2009)

In opposition, the plaintiff failed to raise a triable issue of fact
as to whether the defendant had actual notice of a recurring dangerous
condition such that it could be charged with constructive notice of
each specific recurrence of that condition (see Erikson v J.I.B. Realty Corp., 12 AD3d 344, 346; Weisenthal v Pickman,
153 AD2d 849, 851). Here, at most, the evidence submitted by the
plaintiff established that the defendant had only a general awareness
that the stairs became wet when ice and snow was tracked into the
building, which was insufficient to establish constructive notice of
the particular condition which caused the plaintiff to fall (see Arrufat v City of New York, 45 AD3d 710; Curtis v Dayton Beach Park No. 1 Corp., 23 AD3d 511; Gonzalez v Jenel Mgt. Corp., 11 AD3d 656; Andujar v Benenson Inv. Co., 299 AD2d at 504; Yearwood v Cushman & Wakefield, Inc., 294 AD2d 568, 569).

The plaintiff's expert affidavit should not have been considered
in determining the motion since the expert was not identified by the
plaintiff until after the note of issue and certificate of readiness
were filed attesting to the completion of discovery, and the plaintiff
offered no valid excuse for her delay [*2]in identifying the expert (see CPLR 3101[d][1]
; Construction by Singletree, Inc. v Lowe, 55 AD3d 861, 863; Gerry v Commack Union Free Sch. Dist., 52 AD3d 467, 469; Gralnik v Brighton Beach Assocs., LLC, 3 AD3d 518; Dawson v Cafiero,
292 AD2d 488). In any event, even if the plaintiff's expert affidavit
could have properly been considered, the result would not have been
different.

The bold is mine.

CPLR R. 3025(b) Leave to Amend Granted on Eve of Trial

CPLR R. 3025 Amended and supplemental pleadings
(b) Amendments and supplemental pleadings by leave

Reyes v City of New York, 2009 NY Slip Op 05267 (App. Div., 1st, 2009)

The trial court providently exercised its discretion in granting
plaintiff leave to amend her pleadings on the eve of trial to allege
prior written notice, where such amendment did not prejudice or
surprise defendant (CPLR 3025[b
]; see Edenwald Contr. Co. v City of New York, 60 NY2d 957, 959 [1983]; Mezzacappa Bros., Inc v City of New York, 29 AD3d 494 [2006], lv denied
7 NY3d 712 [2006]). Plaintiff alleged actual notice in her initial
pleadings, and based on the service of a notice to admit attaching the
Big Apple Map and receipt of the map by the Department of
Transportation, defendant was aware at least five years prior to trial
that plaintiff [*2]intended to rely upon prior written notice.

ADA Dining Corp. v 208 E. 58th St., LLC, 2009 NY Slip Op 05173 (App. Div., 1st, 2009)

The court exercised its discretion in a provident manner in granting
the cross motion to amend the complaint (CPLR 3025[b]), and in
declining to dismiss said amended complaint as materially different
from the proposed amended complaint inasmuch as the new claims had
merit and were properly pleaded
(see Thomas Crimmins Contr. Co. v City of New York, 74 NY2d 166, 170 [1989]; Peach Parking Corp. v 346 W. 40th St., LLC, 42 AD3d 82,
86 [2007]). There was no surprise since the court had not only
discussed the issue of accord and satisfaction in its decision, but the
amended complaint was in accordance with the June 3, 2008 order, which
specifically permitted plaintiffs to include the allegations contained
in the discontinued Florida action.

Furthermore, the allegations of accord and satisfaction
sufficiently pleaded the existence of a written and signed accord
(General Obligations Law § 15-501[2]), based upon the August 2007
agreement which included an option to purchase the building at a set
price that purportedly subsumed the claimed overdue rent (see Porthos v Arverne Houses,
269 AD2d 377 [2000] [party seeking to establish an accord and
satisfaction must show a disputed claim which the parties mutually
resolved through a new contract discharging all or part of prior
contractual obligations]). 

The bold is mine

CPLR R.3211 Roundup with a smattering of CPLR § 308. CPLR § 205(a) too.

These are some of the more interesting CPLR R. 3211 decision's I've found in the past few weeks.  At least two revolve around CPLR § 308 ( Personal service upon a natural person). Another discussed CPLR § 306-b.  One decision discussed the preclusive effect of a CPLR R. 3211(a)(7) dismissal (in that case none), adding that it received the tolling benefit of CPLR § 205(a)

CPLR R. 3211

(a)(1) defense is founded upon documentary evidence

(a)(5) the
cause of action may not be maintained because of arbitration and award,
collateral estoppel, discharge in bankruptcy, infancy or other
disability of the moving party, payment, release, res judicata, statute
of limitations, or statute of frauds

(a)(7)  pleading fails to state a cause of action

Fitzgerald v Federal Signal Corp., 2009 NY Slip Op 05288 (App. Div., 2nd, 2009)

"Upon a motion to dismiss for failure to state a cause of action
under CPLR 3211(a)(7), the court must determine whether from the four
corners of the pleading factual allegations are discerned which taken
together manifest any cause of action cognizable at law'" (Salvatore v Kumar, 45 AD3d 560, 563, quoting Morad v Morad, 27 AD3d 626, 627; see Arnav Indus., Inc. Retirement Trust v Brown, Raysman, Millstein, Felder & Steiner, 96 NY2d 300, 303; Leon v MartÍnez, 84
NY2d 83, 87-88). "In determining such a motion, the court may freely
consider additional facts contained in affidavits submitted by the
plaintiff to remedy any defects in the complaint
" (Sheridan v Carter, 48 AD3d 444, 445; see International Oil Field Supply Servs. Corp. v Fadeyi, 35 AD3d 372, 375).

Viewing the allegations in the complaint as true, and according
the plaintiffs the benefit of every reasonable inference, the Supreme
Court properly determined that the plaintiffs failed to state a cause
of action to recover damages for strict products liability based on
Federal's alleged duty and failure to warn them, as the risk alleged is
"open and obvious" and "readily apparent as a matter of common sense"
(Liriano v Hobart Corp., 92 NY2d 232, 241-242; see Warlikowski v Burger King Corp., 9 AD3d 360, 362; Schiller v National Presto Indus., 225
AD2d 1053, 1054). "There is no duty to warn of an open and obvious
danger of which the product user is actually aware or should be aware
as a result of ordinary observation or as a matter of common sense"
(O'Boy v Motor Coach Indus., Inc., 39 AD3d 512, 514; see Jones v W + M Automation, Inc., 31 AD3d 1099, 1101-1102; Vail v KMart Corp., 25 AD3d 549,
551).

Stubbolo v City of New York, 2009 NY Slip Op 04971 (App. Div., 1st, 2009)

The motion court erred in denying dismissal of plaintiffs' 42 USC §
1983 claim based on the theory of fabrication of evidence prior to the
initiation of the grand jury proceedings and prosecutions against
plaintiff Frank J. Stubbolo under Indictment Nos. 724/02 and 4133/03.
The complaint fails to sufficiently allege such prosecutorial
misconduct and, as a result, the claim is barred by absolute
prosecutorial immunity
(see Buckley v Fitzsimmons, 509 US 259, 269-270 [1993]; Imbler v Pachtman, 424 US 409, 430-31 [1970]; Hill v City of New York, 45 F3d 653, 661 [2d Cir 1995]).

Contrary to plaintiffs' contentions on appeal, the motion court properly dismissed [*2]plaintiffs'
remaining federal and state law claims as time-barred or for failure to
state a cause of action (CPLR 3211[a][1], [7]).

HNH Intl., Ltd. v Pryor Cashman Sherman & Flynn LLP, 2009 NY Slip Op 04964 (App. Div., 1st, 2009)

The court dismissed the legal malpractice complaint, pursuant to
CPLR 3211(a)(1), based on documentary evidence from which it concluded
that the state of the law at the time the advice was given was
unsettled and defendants therefore had not " failed to exercise the
ordinary reasonable skill and knowledge commonly possessed by a member
of the legal profession'" at that time (quoting Darby & Darby v VSI Intl., 95 NY2d 308, 313 [2000]).

We conclude, however, that the state of the law was not so
unsettled at the time the advice was given as to bar as a matter of law
plaintiffs' claim that a reasonably skilled attorney would have advised
that the CDs were or might be entitled to common-law copyright
protection and would not have advised that the release of the CDs would
not result in any copyright liability. Although defendant maintains
that it did advise plaintiffs of the possibility of common-law
liability and did not advise plaintiffs that the release of the CDs
would not result in any copyright liability, we must accept the facts
alleged in the complaint as true and accord plaintiffs the benefit of
every possible
favorable inference
(Arnav Indus., Inc. Retirement Trust v Brown, Raysman, Millstein, Felder & [*2]Steiner,
96 NY2d 300, 303 [2001]). The determination whether defendant exercised
the requisite level of skill and care must await expert testimony
(compare Merlin Biomed Asset Mgt., LLC v Wolf Block Schorr & Solis-Cohen LLP, 23 AD3d 243 [2005] [expert testimony required], with Darby & Darby, supra [legal malpractice counterclaim dismissed on summary judgment]).

Continue reading “CPLR R.3211 Roundup with a smattering of CPLR § 308. CPLR § 205(a) too.”

CPLR R. 5015(a)(1)&(4); CPLR § 308(2)&(4); CPLR § 317

CPLR R. 5015 Relief from judgment or order
(a) On motion
(1) excusable default…
(2)
newly-discovered evidence

(3) fraud, misrepresentation, or other misconduct of an adverse party
(4) lack of jurisdiction to render the judgment or order
(5)
reversal, modification or vacatur of a prior judgment or order upon which it is based

CPLR § 308 Personal service upon a natural person
(2) 
by delivering the summons within the state to a person of suitable age and discretion...
(
4) where service under paragraphs one and two cannot be made with due diligence, by affixing the summons to the door

CPLR § 317 Defense by person to whom summons not personally delivered

CPLR R. 320 Defendant's appearance
(a) Requirement of appearance

Caba v Rai, 2009 NY Slip Op 05252 (App. Div., 1st, 2009)

CPLR 317 and 5015(a)(1) allow a defendant against whom a default
judgment has been rendered to move to vacate that default. CPLR 317
provides that

"[a] person served with a summons other than by personal delivery
to him or to his agent for service designated under rule 318 . . . who
does not appear may be allowed to defend the action within one year
after he obtains knowledge of entry of the judgment, but in no event
more than five years after such entry, upon a finding of the court that
he did not personally receive notice of the summons in time to defend
and has a meritorious defense."

Thus, this statute is available only to a defendant who (1) was
served by a method other than personal delivery, (2) moves to vacate
the judgment within one year of learning of it (but not more than five
years after entry), and (3) demonstrates a potentially meritorious
defense to the action. By contrast, CPLR 5015(a)(1) is available to any
defendant against whom a default judgment was entered, provided that
the defendant can demonstrate both a reasonable excuse for the default
and a potentially meritorious defense. A defendant seeking relief under
5015(a)(1) must move to vacate the default judgment within one year of
service on defendant of the default judgment with notice of entry. Both
provisions assume personal jurisdiction exists over the defaulting
defendant and provide that party with an opportunity to open the
default and contest the merits of the plaintiff's claim
(see Alexander, Practice Commentaries, McKinney's Cons Laws of NY, Book 7B, CPLR C317:1, at 249-250 [main vol]; see also
Siegel, Practice Commentaries, McKinney's Cons Laws of NY, Book 7B,
CPLR C5015:6, at 210). If the defaulting defendant asserts that the
court lacked personal jurisdiction over him or her, the defendant
should seek dismissal of the action under CPLR 5015(a)(4) (see Alexander, Practice Commentaries, McKinney's Cons Laws of NY, Book 7B, CPLR C317:1, at 250 [main vol]), a
motion that has no stated time limit and can be made at any time
(Siegel, Practice Commentaries, McKinney's Cons Laws, Book 7B, CPLR
C5015:3, at 205-206 [main vol]).

In moving to vacate the default judgment, defendant argued that
she was entitled to relief under CPLR 317 or 5015(a)(1) and sought to
vacate the judgment and for an extension of time to interpose an
answer; she did not seek relief under 5015(a)(4) or request that the
complaint be dismissed for want of personal jurisdiction.
To be sure,
in her notice of cross motion, defendant requested an order "vacating
and setting aside the defendant's [default] pursuant to CPLR 5015
and/or CPLR 317, extending the defendant's time to answer and
compelling plaintiff to accept defendant's answer pursuant to CPLR
2004." Nowhere in her motion papers, however, did defendant suggest
that the action should be dismissed because the court lacked personal
jurisdiction over her.
Although defendant did argue that she had not
received the summons and complaint (or the default judgment), that
argument was asserted by defendant in an effort to establish that she
had a reasonable excuse for her default. What the concurring Justice
considers to be part of the "crux" of defendant's motion, "the absence
of any personal jurisdiction," was never stated in the motion.
Accordingly, since defendant sought to vacate the judgment and defend
the action on the merits, Supreme Court erred in ordering a traverse
hearing; defendant charted a specific procedural course that Supreme
Court improperly altered (see Mitchell v New [*3]York Hosp., 61 NY2d 208, 214 [1984]).[FN1]

With respect to her contention that she was entitled to relief
under CPLR 317, defendant obtained knowledge of the judgment in January
2004 when she received a credit report listing the judgment, and did
not move to vacate the default until August 2007. Thus, that portion of
defendant's cross motion seeking relief under CPLR 317 was untimely.

Regarding that portion of the cross motion that sought relief
under CPLR 5015(a)(1), there is no indication when the default judgment
with notice of entry was served on defendant. Thus, assuming without
deciding that defendant properly could seek relief under 5015(a)(1),[FN2]
the motion appears timely and plaintiff does not argue to the contrary.
Nonetheless, defendant is not entitled to relief under 5015(a)(1).
Although defendant denied receiving the summons and complaint or any
other papers in this matter until she was served with plaintiff's
motion to compel the sheriff to seize and sell her property, defendant
learned of the judgment in January 2004. She did not move to vacate the
default, however, until August 2007 and only did so in response to
plaintiff's motion to seize and sell her property. Moreover,
plaintiff's counsel [*4]averred that both
defendant and her attorney contacted plaintiff's counsel on May 11,
2005 about vacating the judgment, an averment that is corroborated by
phone message slips generated by plaintiff's counsel's secretary and
which defendant does not dispute. Thus, defendant failed to proffer a
reasonable excuse for her substantial delay in moving to vacate the
judgment
(see Bekker v Fleischman, 35 AD3d 334 [2006]; Robinson v 1068 Flatbush Realty, Inc., 10 AD3d 716 [2004]; Duran v Edderson,
259 AD2d 728 [1999]). In light of our conclusion that defendant failed
to proffer a reasonable excuse, we need not determine whether she
offered a potentially meritorious defense to the action.

To read the concurring opinion, click the link for the decision above.

Kalamadeen v Singh, 2009 NY Slip Op 05296 (App. Div., 2nd, 2009)

The plaintiff and the defendant allegedly were involved in an
automobile accident on February 26, 2001. The police accident report
lists two different addresses for the defendant, one from his driver's
license and a different one from his vehicle registration. The
plaintiff commenced this action in February 2004, and contends that he
served the defendant pursuant to CPLR 308(4) at the defendant's address
then on record at the Department of Motor Vehicles (hereinafter the
DMV). This address was different from the two addresses on the police
accident report. The defendant did not appear in the action and a
judgment was entered against him on August 18, 2004, upon his default.

Upon discovering the judgment against him, the defendant moved
to vacate it, contending that at the time service allegedly was made he
did not live at the address where process was affixed and mailed, he
did not receive process, and that the subject accident was the
plaintiff's fault. A hearing to determine the validity of service of
process was ordered. At the hearing, the process server admitted that
on the fourth occasion that he attempted to personally deliver the
summons and complaint to the defendant at the defendant's address then
on record with the DMV, he was told by the owner of the premises that
the defendant had moved from that address several months earlier.
Nevertheless, the process server affixed the summons and complaint to
the door at that address and mailed process to that address, [*2]purportedly
in compliance with CPLR 308(4). The Civil Court of the City of New
York, Queens County, granted the defendant's motion to vacate the
default, and the Appellate Term for the Second, Eleventh, and
Thirteenth Judicial Districts affirmed, with one Justice dissenting. We
granted leave to appeal and now reverse and deny the defendant's motion
to vacate the default judgment
.

CPLR 308(4) requires that the summons be affixed to the door of
the defendant's "actual place of business, dwelling place or usual
place of abode." Although the required subsequent mailing to the
defendant's last known residence will suffice for the second element of
service under CPLR 308(4), affixing process to the door of the
defendant's last known residence will not be sufficient to meet the
first element of the statute (see Feinstein v Bergner, 48 NY2d
234). The issue here is whether there is sufficient evidence, including
the defendant's failure to notify the Commissioner of the DMV of his
change of address, as required by Vehicle and Traffic Law § 505(5), to
estop the defendant from obtaining vacatur of the default judgment on
the ground that service of process was not made in strict compliance
with CPLR 308(4) (see Cruz v Narisi, 32 AD3d 981).

To the extent that the defendant's motion to vacate his default
was made pursuant to CPLR 5015(a)(1), based upon excusable default, it
should have been denied, as the defendant's change of address is not a
reasonable excuse because he failed to comply with Vehicle and Traffic
Law § 505(5)
(see Candela v Johnson, 48 AD3d 502; Labozzetta v Fabbro, 22 AD3d 644; Traore v Nelson, 277
AD2d 443). Likewise, to the extent that the motion was made pursuant to
CPLR 5015(a)(4), based on lack of personal jurisdiction, it should have
been denied, as the defendant is estopped from challenging the
propriety of service due to his failure to comply with Vehicle and
Traffic Law § 505(5)
(see Labozzetta v Fabbro, 22 AD3d 644; Kandov v Gondal, 11 AD3d 516).

A default judgment may be vacated pursuant to CPLR 317 where the
defendant was served by a method other than personal delivery and did
not actually receive notice of the summons in time to defend, provided
that the defendant has a meritorious defense (see Thakurdyal v 341 Scholes St., LLC, 50
AD3d 889). However, "denial of relief under CPLR 317 might be
appropriate where . . . a defendant's failure to personally receive
notice of the summons was a deliberate attempt to avoid such notice" (Eugene Di Lorenzo, Inc. v A. C. Dutton Lbr. Co., 67
NY2d 138, 143). Here, considering that the defendant supplied the
police officer with two different addresses at the time of the
officer's investigation, and that there was yet another address on
record for the defendant at the DMV, his failure to comply with Vehicle
and Traffic Law § 505(5) raised an inference that the defendant
deliberately attempted to avoid notice of the action
(see Cruz v Narisi, 32
AD3d 981). The defendant failed to rebut that inference. Accordingly,
the defendant was not entitled to relief under CPLR 317 (see Eugene Di Lorenzo, Inc. v A. C. Dutton Lbr. Co., 67 NY2d 138, 143; Paul Conte Cadillac v C.A.R.S. Purch. Serv., 126 AD2d 621, 622.

That's one harsh inference.

Weiqin Wu v Guo Dong Chen, 2009 NY Slip Op 51142(U) (App. Term, 2nd, 2009)

The decision of a fact-finding court should not be disturbed upon
appeal unless it is obvious that the court's conclusions could not have
been reached under any fair interpretation of the evidence (see Claridge Gardens v Menotti, 160 AD2d 544 [1990]). This standard applies with greater force to judgments rendered in the Small Claims Part of the court
(see Williams v Roper,
269 AD2d 125, 126 [2000]). Furthermore, the determination of the trier
of fact as to issues of credibility is given substantial deference as
the court has the opportunity to observe and evaluate the testimony and
demeanor of the witnesses, thereby affording the trial court a better [*2]perspective from which to evaluate the credibility of the witnesses (see Vizzari v State of New York, 184 AD2d 564 [1992]; Kincade v Kincade, 178 AD2d 510, 511 [1991]).

In its decision after trial, the Civil Court explicitly stated
that it credited plaintiff's testimony, but not defendant's. The Civil
Court also implicitly found that plaintiff had established that there
was an agreement between plaintiff and defendant, acting in his
individual capacity, and that defendant had breached that agreement.
That finding is supported by the record and will not be disturbed on
appeal.

The Civil Court properly denied defendant's posttrial motion,
as defendant failed to establish that he had discovered any evidence
that he could not have discovered prior to trial or prior to the time
for making a timely CPLR 4404 motion (CPLR 5015 [a] [2]), or that
plaintiff had made any misrepresentations (CPLR 5015 [a] [3]). We note
that defendant also failed to establish that the agreement was void
pursuant to the statute of frauds (see e.g. Taranto v Fritz, 83 AD2d 864 [1981]; 61 NY Jur 2d, Statute of Frauds § 39).

Accordingly, the Civil Court's judgment and order provided the
parties with substantial justice according to the rules and principles
of substantive law (CCA 1807; see Ross v Friedman, 269 AD2d 584 [2000]; Williams, 269 AD2d at 126), and we affirm.

Saxon Mtge. Servs., Inc. v Bell, 2009 NY Slip Op 05312 (App. Div., 2nd, 2009)

Where, as here, the appellant submitted a detailed affidavit stating
that he was home on each of the occasions when the process server
purportedly attempted to serve process pursuant to CPLR 308(2), he
rebutted the allegations contained in the process server's affidavit
and was entitled to a hearing to determine whether personal
jurisdiction was acquired over him
(see Bankers Trust Co. of Cal. v Tsoukas, 303 AD2d 343).

While the appellant eventually acquired actual notice of the
action, actual notice alone will not sustain the service or subject a
person to the court's jurisdiction when there has not been compliance
with prescribed conditions of service
(see Frankel v Schilling, 149 AD2d 657; Skyline Agency v Coppotelli, Inc., 117 AD2d 135).

The bold is mine.

Litigation Strategy CANNOT be a Reasonable Excuse for a Default

Community Network Serv., Inc. v Verizon N.Y., Inc., 2009 NY Slip Op 04978 (App. Div., 1st, 2009)

We reject plaintiff's argument that the trial court's assertedly
erroneous oral, in limine ruling limiting plaintiff's proof of damages
gave it a reasonable excuse for refusing to proceed to trial (see 48 AD3d 249 [2008]). A litigation strategy cannot be a reasonable excuse for a default (cf. Manhattan Vermeer Co. v Guterman,
179 AD2d 561 [1992]). Plaintiff's remedy was not to defy the court's
order to proceed, but to make an offer of proof, concede that it has no
case, and then appeal the in limine ruling as part of an appeal from
the final judgment.

The bold is mine.

CPLR § 602(a) Consolidation Not Proper

CPLR § 602 Consolidation
(a) Generally

Johnstone-mann v Stout, 2009 NY Slip Op 04829 (App. Div., 4th, 2009)

Memorandum: In action No. 1, the plaintiffs seek damages for injuries
sustained by Kim M. Johnstone-Mann when the vehicle she was driving
collided with a vehicle driven by Julie M. Stout, a defendant in action
No. 1. Julie Stout in turn commenced action No. 2 against
Johnstone-Mann, seeking damages arising from the same collision.
Supreme Court did not abuse its discretion in granting that part of the
motion of the defendants in action No. 1 and the plaintiff in action
No. 2 seeking a joint trial of the two actions (see generally Nationwide Assoc. v Targee St. Internal Med. Group, P.C. Profit Sharing Trust,
286 AD2d 717, 718). "Absent a showing of prejudice, a motion . . . for
a joint trial pursuant to CPLR 602 (a) should be granted where common
questions of law or fact exist"
(Spector v Zuckermann, 287 AD2d
704, 706). We conclude, however, that the court erred in granting that
part of the motion seeking to bifurcate the trial. " Separate trials on
the issues of liability and damage[s] should not be held where the
nature of the injuries has an important bearing on the issue of
liability' "
(Fox v Frometa, 43 [*2]AD3d
1432). Here, evidence of the injuries and resulting amnesia sustained
by Julie Stout is " necessary for the . . . purpose of allowing the
[trier of fact] to consider whether [she] should be held to a lesser
degree of proof' on the issue of liability
" (id.; see Schwartz v Binder, 91 AD2d 660). We therefore modify the order accordingly.

The bold is mine.

CPLR R. 2221CPLR § 2001

CPLR § 2001 Mistakes, omissions, defects & irregularities

CPLR R. 2221 Motion affecting prior order
(d) A motion for leave to reargue

Ayoub v Ayoub, 2009 NY Slip Op 05164 (App. Div., 1st, 2009)

The preliminary conference order indicated that the issue of equitable
distribution was resolved and that all financial and property issues
except for child support were resolved by the parties' prenuptial
agreement. In her motion to modify the preliminary conference order,
plaintiff did not demonstrate good cause (see 22 NYCRR
202.16[f][3]) to raise the issue of equitable distribution of the
marital residence. Indeed, contrary to her contention, the prenuptial
agreement is clear that the only property subject to equitable
distribution is that titled in joint names, of which there is none.
While the agreement contains a separate section dealing with a marital
residence, the plain language of paragraph 4 of that section provides
for equitable distribution only if "the Marital Residence is purchased
as Jointly Owned Property."

Nor is relief available under CPLR 2001, since the waiver of
the issue of equitable distribution in the preliminary conference order
was not simply a slight mistake
(see People ex rel. Di Leo v Edwards,
247 App Div 331 [1936]). Similarly, no relief is available under CPLR
2221. In her motion papers, plaintiff did not even assert that the
preliminary conference order reflected a misapprehension of law or
facts.
Furthermore, the court correctly found that plaintiff's hiring
of new counsel did not present a new fact permitting her to revisit the
issues resolved in the preliminary conference order

Caraballo v Kim, 2009 NY Slip Op 05279 (App. Div., 2nd, 2009)

The medical report of the injured plaintiff's treating chiropractor,
Dr. Alan C. Berger, dated May 8, 2006, did not constitute evidence
competent to oppose the defendants' motion because it was unaffirmed (see Grasso v Angerami, 79 NY2d 813
; Niles v Lam Pakie Ho, 61 AD3d 657; Uribe-Zapata v Capallan, 54 AD3d 936; Patterson v NY Alarm Response Corp., 45 AD3d 656; Verette v Zia, 44 AD3d 747; Nociforo v Penna, 42 AD3d 514; Pagano v Kingsbury, 182 AD2d 268).

The affirmation of Dr. Stuart I. Springer, the injured
plaintiff's treating physician, also failed to raise a triable issue of
fact…

The affirmed magnetic resonance imaging reports of Dr. Mark
Shapiro and Dr. Marc Liebeskind merely revealed the existence of disc
bulges at L3-4 and L4-5, a disc herniation at L5-S1, possible tears in
the posterior horns of the medial menisci of the right and left knees,
and a possible tear (rupture) of the anterior cruciate ligament in the
left knee. This Court has held that a herniated or bulging disc, or
even a tear in a tendon, is not evidence of a serious injury in the
absence of objective evidence of the extent of the alleged physical
limitations resulting from the injury and its duration (see Magid v Lincoln Servs. Corp., 60 AD3d 1008; Washington v Mendoza, 57 AD3d 972; Cornelius v Cintas Corp., 50 AD3d 1085, 1087; Shvartsman v Vildman, 47 AD3d 700; Tobias v Chupenko, 41 AD3d 583).
A tendon is defined as "[t]he cord of tough connective tissue which
forms the end of a muscle and which connects the muscle to the bone"
(5-T-TG Attorneys' Dictionary of Medicine [2005 ed] at 974). Tendons
"are bands of fibrous connective tissue" (5-15A Attorneys' Textbook of
Medicine [3d ed] at 15A.10). A ligament is defined as "[a] band of
tough but flexible tissue which serves to connect bones (as in the
formation of a joint), to hold organs in place, etc." (3-L Attorneys'
Dictionary of Medicine [2005 ed] at 2302). Ligaments, like tendons, are
"bands of tough, fibrous connective tissue" (4-13 Attorneys' Textbook
of Medicine [3d ed] at 13.10). Thus, injuries involving tendons and
ligaments must be treated similarly under Insurance Law § 5102(d).
Evidence of the extent and duration of any alleged limitation arising
from injury to the plaintiff's discs or ligaments was clearly lacking
here. The deposition testimony of the injured plaintiff was
insufficient to supply such evidence (see Washington v Mendoza, 57 AD3d 972).

The Supreme Court providently exercised its discretion in
denying the plaintiffs' motion for leave to renew their opposition to
the defendants' motion for summary judgment (see Ramirez v Khan, 60 AD3d 748; Renna v Gullo, 19 AD3d 472).
A motion for leave to renew "shall be based upon new facts not offered
on the prior motion that would change the prior determination" (CPLR
2221[e][2]) and "shall contain reasonable justification for the failure
to present such facts on the prior motion" (CPLR 2221[e][3]; see Ramirez v Khan, 60 AD3d 748; Dinten-Quiros v Brown, 49 AD3d 588; Madison v Tahir, 45 AD3d 744).
While it may be within the court's discretion to grant leave to renew
upon facts known to the moving party at the time of the original motion
(see Ramirez v Khan, 60 AD3d 748; J.D. Structures v Waldbaum, 282 AD2d 434; Cronwall Equities v International Links Dev. Corp.,
255 AD2d 354), a motion for leave to renew " is not a second chance
freely given to parties who have not exercised due diligence in making
their first factual presentation'" (Renna v Gullo, 19 AD3d at 472, quoting Rubinstein v Goldman, 225 AD2d 328, 329; see Ramirez v Khan, 60 AD3d 748; O'Dell v Caswell, 12 AD3d 492; Hart v City of New York, 5 [*3]AD3d 438; Carota v Wu,
284 AD2d 614). In this case, the plaintiffs failed to provide
reasonable justification for the failure to include the findings in the
supplemental affidavit of Dr. Berger on the original motion (see Ramirez v Khan, 60 AD3d 748; Renna v Gullo, 19 AD3d 472)
.

The bold is mine.