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Full Opinion
OPINION OF THE COURT
These five appeals are part of the aftermath of the Supreme Courtâs recent decision in Rush v Savchuk (444 US 320), the effect of which was to vitiate the predicate for quasi in rem jurisdiction pioneered in 1966 by Seider v Roth (17 NY2d 111). In essence, Seider held that a liability insurance contract issued by a carrier authorized to do business in this State, contingent as its obligations may be, partakes of the character of a âdebtâ which by its attachment may be made to serve as the foundation for jurisdiction over its nonresident insured defendants. After this holding had survived 14 years of doctrinal dispute, Rush was to declare it violative of due process. The issue now is whether this ruling is to be applied prospectively alone or retrospectively as well.
The cases on which we are to act present typical Seider fact patterns. In each, a New York domiciliary seeks damages for injuries or death sustained in an automobile accident outside the State as a result of the alleged negligence of a nonresident operator or owner of a motor vehicle. Save for the plaintiffâs residence, in all, for all practical purposes, the sole connection with this State was the policyâs availability for attachment.
Because in every instance the cases before us were pendente lite when the Supreme Court administered its coup de grace, they all became the subject of motions to dismiss.
The story in the intermediate appellate courts, however, was different. In Cachat v Guertin Co., there was an affirmance, but only because no jurisdictional defense had been interposed. On the other hand, because some type of jurisdictional objection had been raised in the other four, each brought a reversal and dismissal. For the reasons that follow, we now hold that Rush must be applied only when a specific objection to the assertion of jurisdiction founded on the attachment of the out-of-State defendantâs liability insurance policy was preserved by appropriate motion or affirmative defense (CPLR 3211, subd [e]).
Especially since almost every party touches on the matter, our discussion may well start with the reminder that, consonant with the common lawâs policy-laden assumptions, a change in decisional law usually will be applied retrospectively to all cases still in the normal litigating process (People v Pepper, 53 NY2d 213, citing People v Morales, 37 NY2d 262, 267-268; Kelly v Long Is. Light. Co., 31 NY2d 25, 29, n 3). By way of departure from this generality, however, where there has been such a sharp break in the continuity of law that its impact will âwreak more havoc in society than societyâs interest in stability will tolerateâ (Fairchild, Limitation of New Judge-Made Law to Prospective Effect Only: âProspective Overrulingâ or âSun-burstingâ, 51 Marq L Rev 254), it is now recognized that, when adherence to the traditional course is strongly contraindicated by powerful factors, including strong elements
All the plaintiffs, stressing that the Statute of Limitations now may have foreclosed an action in a forum where jurisdiction would be constitutionally unassailable, argue that theirs are precisely the kind of cases in which retroactive application should be eschewed. But this is by no means a one-sided argument. As the defendants contend, that Seider might turn out to have not been the only possible âtrue ruleâ was not without forewarning (see, e.g., Siegel, New York Practice [1978], § 105, p 127; Stein, Jurisdiction by Attachment of Liability Insurance, 43 NYU L Rev 1075; Reese, Expanding Scope of Jurisdiction Over Non-Residents â New York Goes Wild, 35 Ins Counsel J 118). Moreover, even if the balance on the issue of prejudice had to be struck in favor of those who preferred to rely on the authoritative pronouncements of the New York courts rather than those of its now clairvoyant critics, the fundamental nature of the jurisdictional determinations in Rush renders conventional criteria for fixing an appropriate line of demarcation for overruling academic. For, a constitutional due process limitation on the power of a Stateâs exercise of its jurisdiction under our Federal system of government, as distinguished, for instance, from one founded in due process considerations bearing on less fundamental substantive and procedural concerns, is an absolute abnegation of the offending Stateâs ability to continue to act beyond the boundaries the determination defines.
This observation almost inevitably flows from a review of the conceptual building blocks on which Rush stands. They reflect deviation from what for long had come to be the
Epitomized by Pennoyer v Neff (95 US 714), these were readily divisible into in personam, in which the fulcrum was the person; in rem, which, applicable to designated property, was designed to affect the interests of all persons; or quasi in rem which bore on the interests of particular persons in designated property. The last was of two types. One, like actions to partition land or foreclose a mortgage, was invocable to establish or extinguish claims to or in particular property. The second, the kind involved in the present cases, provided a basis for obtaining a judgment to the satisfaction of which the property on which the jurisdiction was based could be applied though it was not related to the controversy between the parties. (See Restatement, Judgments, §§5-9; Silberman, Shaffer v Heitner: The End of an Era, 53 NYU L Rev 33, 39.)
Background too was the requirement for âminimum contactsâ, integral to âfair play and substantial justiceâ (see International Shoe Co. v Washington, 326 US 310, 316), which, at the time Seider came on the legal horizon, had been established as essential to in personam jurisdiction, yet was not requisite for quasi in rem jurisdiction, for which the presence of property alone sufficed (Harris v Balk, 198 US 215; Pennoyer v Neff, supra).
But Shaffer v Heitner (433 US 186) was to eliminate this dichotomy. Noting that âthe law of state-court jurisdiction no longer stands securely on the foundation established in Pennoyerâ and that â â âjudicial jurisdiction over a thing,â is a customary elliptical way of referring to jurisdiction over the interests of persons in a thingâ Restatement (Second) of Conflict of Laws § 56, Introductory Note (1971)â, it held that âalthough the presence of the defendantâs property in a State might suggest the existence of other ties among the defendant, the State, and the litigation, the presence of the property alone would not support the Stateâs jurisdictionâ (Shaffer v Heitner, supra, pp 206-
In Rush, however, the Supreme Court was to dissipate any differences on this subject. It specifically held that cognizable legal fictions, first that, as a form of property, a debt partakes of 'the situs of the debtor, and, second, that a corporation is to be found wherever it does business, both of which Seider entertained, fell short when no more was present in the forum than the liability insurer and its obligation to defend and indemnify. Furthermore, in defining a forum relationship that would meet The required standards, the court made clear that it is not the relation of the plaintiff who seeks the advantage of its forum of choice that carries weight, but rather that of the defendant against whom.the litigation is targeted.
And, since as we have seen, basis jurisdiction now focuses on a defendantâs rights (World-Wide Volkswagen Corp. v Woodson, supra; Kulko v California Superior Ct., 436 US 84, 91), any reliance by plaintiffs is irrelevant. Indeed, inasmuch as lack of such jurisdiction can be asserted even after a defense on the merits has been presented (see Fourth Prelim Rep of Adv Comm on Practice & Procedure, p 187 [1960] ; Harkness v Hyde, 98 US 476), it surely must be given effect here.
Examining the cases before us to determine whether quasi in rem jurisdiction has been appropriately controverted, we note that specific objections on that score were made in the answers filed in Gager v White and Hill v Elliott. In these cases, the Appellate Divisionâs dismissal of the complaints being mandatory, there should be an affirmance.
Lastly, in Mei Yuet Chin v Cray and Carbone v Ericson, the answers raised objection to in personam jurisdiction only.
In sum, the orders in Gager v White, Cachat v Guertin Co., and Hill v Elliott should be affirmed, while those in Chin v Cray, and Carbone v Ericson should be reversed and the orders at Special Term in these cases should be reinstated.
. Although this exceptional technique is usually employed in the criminal law area (see, e.g., People v Pepper, 53 NY2d 213, supra; People v Morales, 37 NY2d 262, supra), as the cited cases illustrate, it finds application in the civil sphere as well (see, also, Overruling Decision â Application, Ann., 10 ALR3d 1371).
It is settled that judgments where the normal appellate process has been exhausted may not be collaterally attacked (Chicot County Dist. v Baxter State Bank, 308 US 371, 376; cf. Vander v Casperson, 12 NY2d 56).
. Basis jurisdiction, sometimes known as âjudicial jurisdictionâ (Restatement, Conflict of Laws 2d, §§ 24, 68), is to be distinguished from subject matter jurisdiction, which embraces the competence of a court to entertain a particular kind of litigation (Green, Civil Procedure [2d ed], p 13).
. Our court (Baden v Staples, 45 NY2d 889, supra) and the United States Court of Appeals for the Second Circuit (OâConnor v Lee-Hy Paving Corp., 579 F2d 194, supra) were of the view that it did.
. Although some post-Seider decisions theorized that the Seider formulation was tantamount to a direct action statute under which a tort plaintiff in essence was proceeding directly against the coverage so that the carrierâs and not the tort-feasorâs was the interest at stake (see Donnwitz v Danek, 42 NY2d 138, 142, supra; Miniehiello v Rosenberg, 410 F2d 106, 109, supra), in Rush, the court found the analogy inappropriate (Rush v Savchuk, 444 US 320, 330-331, supra).
. (See World-Wide Volkswagen Corp. v Woodson, 444 US 286, 299 [Brennan, J., dissenting.] The cited dissent was applied to Rush v Savchuk as well.
. Though a State may interpret its own statute or State constitutional provision more strictly than the Supreme Court interprets the corresponding provision of the Federal Constitution, it may not do so more broadly (Erlanger Mills v Cohoes Fibre Mills, 239 F2d 502 [SOBELOFF, J.] [North Carolina statute
. We have found no case in which a holding that the assertion of basis jurisdiction would violate due process was limited to prospective effect. Whatever signpost there is, it goes the other way. So the Supreme Court, though only in dictum in a case concerned with subject matter jurisdiction, recently observed that a jurisdictional ruling by definition can never be so limited (Firestone Tire & Rubber Co. v Risjord, 449 US 368). While there is a Third Circuit opinion limiting a holding concerning subject matter jurisdiction (Mc-Sparran v Weist, 402 F2d 867, 876-877 [en banc], cert den 395 US 903), the vitality of that decision would appear to have been sapped by the language in Firestone.
. For these reasons, we are constrained to reject the provisional contentions of some of the plaintiffs, that, if we hold that their actions do not survive
. Of course, if a defendant has not appeared at all, there is nothing to preclude essaying a collateral attack on jurisdiction (Restatement, Judgments, §11; see, generally, Chief Judge Desmondâs opn in Vander v Casperson, 12 NY2d 56, 59, supra).
. Historically, where the initial jurisdiction was in rem or quasi in rem, an appearance, followed by a defense upon the merits, automatically transformed the jurisdictional basis to one that was in personam (see Homburger & Laufer, Appearance and Jurisdictional Motions in New York, 14 Buf L Rev 374, 386-388, 406-408; Frummer, Jurisdiction and Limited Appearance in New York: Dilemma of the Nonresident Defendant, 18 Ford L Rev 73; cf. Restatement, Judgments, §§ 38-40). Later, this practice was replaced by CPLR 320 (subd [c]), which provides that when jurisdiction is quasi in rem, the appearance remains a limited one. Under these circumstances, the defendant is now permitted to defend without submitting to in personam jurisdiction (Siegel, op. cit., § 113, p 140).
. The nearest thing to a jurisdictional defense in Cachat was a much different claim, that of defective service.
.. In Chin, in his âSixth Separate and Complete Affirmative Defenseâ, the answer pleaded that âthe court lacks jurisdiction over the person of the defendantâ.
In Carbone, by way of its âSecond Defenseâ, the answer pleaded that âthis Court does not have jurisdiction over the person of the defendantâ and, as a âThird Defenseâ, by way of a limited appearance, pleads that âany judgment * ** * may be satisfied only out of the res allegedly attachedâ.
. Finally, the concurrersâ comments- are quickly met:
First, Erneta v Princeton Hosp. (49 NY2d 829), a memoless entry, which, following Rush by days and here on briefs which had no time to treat with Rush or its retroactivity, as Judge Jasenâs Erneta concurrence so correctly implied, did not scratch the surface.
Secondly, Erneta was a case involving an infant whose time to bring suit in another jurisdiction was still alive because of the toll of the Statute of Limitations for such plaintiffs.
Thirdly, it therefore comes as no surprise that the most current post -Rush comment, emphasizing the need for explication of the issues with which todayâs opinion treats and specifically referring to the attention both sides of Rushâs retroactivity issue merit, concludes on the following note: âThe magnitude of the impact that [-RmsTiâs] retroactivity will have on tort victims, who walked the red carpet of Seider, thus remains unspoken. And that red carpet was laid down not by legislators, but by judges. Are they really going to pull it in while