ICBC Law
Search
Archives by Month:
Archives by Topic:
|
BC Injury Law and ICBC Claims Blog
This Blog is authored by British Columbia personal injury lawyer Erik Magraken. Erik is a partner with the British Columbia personal injury law-firm MacIsaac & Company. He restricts his practice exclusively to plaintiff-only personal injury claims with a particular emphasis on claims involving orthopaedic injuries and complex soft tissue injuries. Please visit often for the latest developments in matters concerning BC personal injury claims and ICBC claims.
Erik Magraken does not work for and is not affiliated in any way with the Insurance Corporation of British Columbia (ICBC). Please note that this blog is for information only and is not claim-specific legal advice. Erik can only provide legal advice to clients. Please click here to arrange a free consultation.
Posts Tagged ‘Mr. Justice Harvey’
February 23rd, 2012

Last year Master Baker released reasons for judgement assessing pre-trial settlement costs of a Rule 15 lawsuit at $6,500. Today reasons for judgement were released upholding this analysis finding no error was made in such an assessment.
In today’s case (Gill v. Widjaja) Mr. Justice Harvey provided the following reasons upholding the Master’s decision:
[47] I turn now to the matter of the tariff fees allowed by Master Baker of the $6,500 in costs.
[48] Rule 15-1(15) reads:
(15) Unless the court otherwise orders or the parties consent, and subject to Rule 14-1(10), the amount of costs, exclusive of disbursements, to which a party to a fast track action is entitled is as follows:
(a) if the time spent on the hearing of the trial is one day or less, $8,000;
(b) if the time spent on the hearing of the trial is 2 days or less but more than one day, $9 500;
(c) if the time spent on the hearing of the trial is more than 2 days, $11 000.
[49] The Rule, as written, gives the registrar wide discretion in determining the appropriate tariff amount. Master Baker was aware of the steps taken in the litigation and the date of settlement relative to the trial date.
[50] Having regard to the aforementioned test that I must apply, I am not of the view that an error in principle has been demonstrated nor do I find that the master was clearly wrong in his determination that the appropriate cost of tariff amount was $6,500.
[51] The express purpose of Rule 15-1 is to streamline the process both for trial and, presumably, taxation of costs. Parsing out the details in each action where the amounts do not apply is not, in my view, the proper course. Indeed, were it, in this action there was a settlement conference which no doubt necessitated some significant preparation, much like trial preparation, and, as well, a trial management conference. Each of those events resulted in discussions leading to the settlement of this matter.
[52] In those circumstances I find no error in principle such as to interfere with the finding of the master.
Tags: costs, Fast Track Costs, Gill v. Widjaja, Mr. Justice Harvey, Rule 15, Rule 15 Costs, Rule 15-1, Rule 15-1(15), Rule 15-1(15)(a) Posted in BCSC Civil Rule 15, Uncategorized | Direct Link | No Comments » | top ^
October 25th, 2011
Reasons for Judgement were released last week by the BC Supreme Court, New Westminster Registry, addressing fault for a two vehicle collision involving a motorcycle and a cube van.
In last week’s case (Hale v. MacEwan) the Plaintiff motorcyclist was travelling southbound on 207th Avenue in Maple Ridge BC when he collided with the Defendant’s vehicle which was travelling in the opposite direction on the two lane street. While the Court heard competing versions of events Mr. Justice Harvey concluded that the Plaintiff, whose blood alcohol limit was “twice the statutory level of impairment” failed to navigate the ‘hairpin turn” depicted in the below satellite image:

The Plaintiff crossed into the Defendant’s lane of travel and the collision occurred. The Plaintiff argued that the Defendant was partially to blame for driving “too close to the centre line“. Mr. Justice Harvey rejected this argument finding that the Defendant was appropriately in his own lane of travel. In dismissing the claim the Court provided the following reasons:
[59] Here I am able to say with some precision where the accident occurred and the distance of the defendant’s container from the centre line. As noted, I am satisfied he was with in his lane of travel. The negligence of the plaintiff has been made out. He failed to maintain his vehicle within the travelled portion of the roadway for his direction of travel.
[60] The remaining question is this: was the defendant so close, as was the case in Watson, as to make his actions unreasonable?
[61] In concluding that he was not, I distinguish the situation from that which occurred in Watson, to the facts here. Here, the violation by the plaintiff was both unusual and unexpected.
[62] Neither driver testified to a situation which should have caused the defendant to consider that the plaintiff would fail to negotiate the corner. His speed was not an issue and he seemingly, according to all witnesses, had control of his vehicle as he entered the curve…
[67] Here, unlike in Watson, the distance between the outer edge of the van and the centre line was 20-25 cm or 9-10 inches. The front of the van, while not perfectly centered within the defendant’s lane, was set back from the centre line even further.
[68] Whatever contact occurred between the defendant’s mirror, the plaintiff, his passenger, and/or his vehicle, did not occur in the plaintiff’s lane of travel.
[69] To require the defendant to position his vehicle farther from the centre line in anticipation of the negligence of the plaintiff requires a standard of perfection, not reasonableness.
[70] In the result I am satisfied that the accident occurred wholly as a result of the plaintiff’s negligence. The action is dismissed.
Tags: bc injury law, Hale v. MacEwan, Mr. Justice Harvey, Section 151 Motor Vehicle Act, Section 151(b) Motor Vehicle Act Posted in ICBC Liability (fault) Cases, Uncategorized | Direct Link | No Comments » | top ^
July 28th, 2011

Reasons for judgement were released this week by the BC Supreme Court, New Westminster Registry, addressing the jurisdiction of the BC Supreme Court to hear a claim involving alleged sexual abuse which took place out of Province.
In this week’s case (TC v. AM) the Plaintiff sued her former father in law in the BC Supreme Court claiming he sexually abused her in Montreal. The Defendant, at all material times, lived in Montreal and continued to reside there when the lawsuit started. He did not respond to the lawsuit. The Court ultimately found that no jurisdiction existed to hear this case pursuant to the Court Jurisdiction and Proceedings Transfer Act. In doing so the Mr. Justice Harvey provided the following reasons:
[8] None of the presumptive categories under s. 10 of the CJPTA apply in these circumstances; however, the language of s. 10 clearly indicates that those categories do not limit “the right of the plaintiff to prove other circumstances that constitute a real and substantial connection between British Columbia and the facts on which a proceeding is based.”
[9] The common law threshold for a real and substantial connection is high. In Josephson v. Balfour Recreation Commission, 2010 BCSC 603, Loo J. stated:
[79] The real and substantial connection test requires that there be a significant or substantial connection: Beals v. Saldanha, [2003] 3 S.C.R. 416; and UniNet Technologies Inc. v. Communication Services Inc., 2005 BCCA 114.
[10] The jurisprudence in British Columbia suggests that the mere residence of the plaintiff in British Columbia is not sufficient to establish jurisdiction over a defendant resident outside of the province. Something more is required. This was discussed in Dembroski v. Rhainds, 2011 BCCA 185, where Hall J. referred to the decision of Bruce J. in Roed v. Scheffler, 2009 BCSC 731…
[11] This case lacks the additional element, beyond the mere residence of the plaintiff in this jurisdiction, to support a finding that there is a real and substantial connection between British Columbia and the facts on which a proceeding is based. The action concerns allegations of sexual assault in Quebec in relation to a defendant who continues to reside in Quebec. There is not a “significant connection” as required by the Supreme Court of Canada in Beals v. Saldanha, [2003] 3 S.C.R. 416.
[12] That the plaintiff suffers damages here is, as was the case in Roed, purely as a result of her residence in British Columbia. As stated by Dickson J. in Moran v. Pyle National (Canada) Ltd., [1975] 1 S.C.R. 393, and referred to in Dembroski, if the essence of a tort is injury, “a paramount factor in determining situs must be the place of the invasion of one’s right to bodily security.” That location in this case is Quebec. The motor vehicle scenarios in Roed and Dembroski are analogous for the purposes of determining territorial competence, as they concern tortious conduct in another jurisdiction. The presence of the plaintiff in British Columbia alone does not establish a real and substantial connection in relation to events that occurred in another jurisdiction where the defendant continues to reside.
[13] Accordingly, I dismiss the plaintiff’s application.
Tags: CJPTA, Court Jurisdiction and Proceedings Transfer Act, jurisdiciton, Mr. Justice Harvey, Real and Substantial Connection, TC v. AM Posted in Civil Procedure, Sexual Assault Civil Cases, Uncategorized | Direct Link | No Comments » | top ^
April 22nd, 2011

While expert ‘advocacy‘ has always been prohibited, Rule 11-2 of the BC Supreme Court Civil Rules expressly imposes a duty on expert witnesses “to assist the court” and “not to be an advocate for any party“. Experts need to specifically acknowledge that they are aware of this duty, author reports in compliance with this duty and testify in conformance with this duty.
Despite this expert advocacy still exists as was demonstrated in reasons for judgement released this week in the BC Supreme Court.
In this week’s case (Jampolsky v. Shattler) the Plaintiff was involved in 4 seperate collisions. He sued for damages with his most serious allegation being a Traumatic Brain Injury (TBI). Ultimately the TBI claim was dismissed with Mr. Justice Harvey finding that the Plaintiff’s chronic complaints were more plausibly explained by factors other than brain trauma. Prior to doing so, however, the Court made the following critical findings of the expert retained by ICBC in the course of defending the claims:
[251] Dr. Rees is a neurologist. Since approximately 2004 his practice has been largely comprised of examining persons with suspected brain injuries on behalf of defendants, principally ICBC.
[252] In that period Dr. Rees had not examined a litigant whom he found to have suffered an MTBI where the symptoms lasted beyond two years. He opined that the plaintiff had not sustained an MTBI in the first accident or any of those which followed in August 1999…
[257] Dr. Rees initially testified that a Tesla 1.5 MRI could provide imaging of an area as small as 100 neurons in the human brain. I am satisfied that Dr. Rees was in error in this regard. Although counsel suggested, and Dr. Rees ultimately adopted, 126,000,000 as being the smallest grouping of neurons visible on the Tesla 1.5, counsel subsequently advised the Court of his own mathematical error resulting in agreement that the actual number was 126,000. While the difference between these numbers is significant, it still appears that Dr. Rees was outside his area of expertise and was “guessing” at the degree of resolution.
[258] Dr. Rees was also reluctant to acknowledge that brain trauma could occur without contact between the head and some other source. Although he acknowledged that an acceleration/deceleration injury could result in brain trauma, he confined such instances to situations where there as a concussive blast, such as that which was experienced by troops in Afghanistan when an I.E.D. exploded. He was resistant to the notion that an acceleration/deceleration injury of the type commonly seen in motor vehicles accidents could cause an MTBI
[259] A major difference in the opinion of Dr. Rees and Dr. Ancill is whether or not the plaintiff experienced a “credible event” which would account for brain trauma. During vigorous cross examination Dr. Rees acknowledged that he could not offer an opinion on the tensile strength of brain matter, and that an acceleration/deceleration impact could damage muscle tissue which he acknowledged is denser than brain matter.
[260] Dr. Janke, the other defence expert, and Dr. Ancill were both of the opinion that a force far less than that described by Dr. Rees could result in an MTBI.
[261] Dr. Rees accepted, without question, the veracity of the plaintiff when it came to maters related by the plaintiff which tended to negate or be neutral as to the existence of a brain injury, but questioned, without proper foundation, the plaintiff’s truthfulness if his answer to a particular question came into conflict with Dr. Rees’ rigidly held views as to the length of time the sequalae from MTBI could persist and the extent to which an MTBI could interfere with what he called core skills. He referred to the plaintiff’s response to queries regarding whether he had undergone any sleep studies for his reported apnea as “disingenuous.”…
[316] I place little or no reliance on the opinion of Dr. Rees. He assumed, for much of his testimony, the role of advocate as opposed to that of a disinterested and detached expert.
As recently discussed, the UK Supreme Court stripped expert witnesses of immunity exposing them to the threat of lawsuits for negligent services. The law in BC currently does not permit this making judicial criticism the strongest remedy for experts who ignore the duties set out in the Rules of Court,
Tags: Advocacy, bc injury law, Dr. Rees, Expert Advocacy, Jampolsky v. Shattler, Mr. Justice Harvey, MTBI, Rule 11-2, Rule 11-2(1), Rule 11-2(2), TBI, Traumatic Brain Injury Posted in BCSC Civil Rule 11, independent medical exams | Direct Link | No Comments » | top ^
February 11th, 2011

One of the welcome developments in the New BC Supreme Court Rules is a cap on the length of examinations for discovery. Examinations in conventional lawsuits are capped at 7 hours under Rule 7-2(a) and limited to 2 hours in Fast Track trials. The Court has a general power to permit lengthier examinations in appropriate circumstances.
When parties conclude an examination for discovery there are typically requests for further information and parties usually agree to a follow up discovery to address matters arising from the further disclosure. When a party wishes to further explore a topic already covered, however, they are usually not permitted to have a continuation of the discovery. Reasons for judgement were released today addressing this area of law.
In today’s case (Lewis v Lewis) the Plaintiff was involved in a 2005 motor vehicle collision. The Plaintiff alleged injury. The Defendant denied that she was injured and alleged that her injuries were pre-existing. In the course of the lawsuit the Plaintiff provided various medical records including pre-accident records.
The Plaintiff attended a discovery and was examined with respect to her injury claim. After concluding the discovery the Defendants requested a continuation to further explore the issue of the Plaintiff’s pre-accident health. The Plaintiff opposed arguing that she had already been examined with respect to this topic. Mr. Justice Harvey agreed with the Plaintiff and dismissed the application for a further discovery. In doing so the Court provided the following useful reasons:
[8] The case law stands for the proposition that where a further examination for discovery is sought, there is a heavy onus on the applicant to justify that further examination, and that to justify same they must demonstrate that the complexion of the case has materially changed as a result of the passage of time, new heads of damage are being advanced, or intervening events having occurred since the last discovery, which would materially alter the prosecution of the case and the defence of it.
[9] Alternatively, a party could produce evidence to show that full and frank disclosure was not made at the first discovery.
[10] Here that is not the case. Here the defendant, together with its medical advisor, failed to see what was there to be seen. Specifically, each failed to note and act upon the references to previous shoulder complaints in clinical records that were in the hands of both the medical practitioner and the solicitor conducting the discovery. I am not satisfied that the heavy onus that is set forth in the decisions I have been referred to, one of which was Sutherland (Public Trustee of) v. Lucas, has been met.
[11] Accordingly the application for a further discovery by the defendant is dismissed.
Tags: bc injury law, continuation of discovery, examination for discovery, Lewis v. Lewis, Mr. Justice Harvey, Rule 7, Rule 7-2, Rule 7-2(2), Rule 7-2(2)(a), Rule 7-2(23) Posted in BCSC Civil Rule 7, Civil Procedure, Uncategorized | Direct Link | No Comments » | top ^
December 6th, 2010

Reasons for judgement were recently released by the BC Supreme Court, New Westminster Registry, discussing the right to conduct an examination for discovery in the two weeks proceeding trial under the New Civil Rules.
In today’s case (Lewis v. Lewis) the Plaintiff sued for damages as a result of injuries sustained in a motor vehicle collision. ICBC was a statutory third party in the lawsuit and failed to exercise their right to examine the Plaintiff for discovery in a timely fashion. ICBC served the Plaintiff with an appointment to attend a discovery 10 days before trial. The Plaintiff objected arguing, amongst other things, that discoveries are not permitted within the two weeks prior to trial. ICBC applied for an order compelling the Plaintiff to attend.
In support of their application ICBC argued that the prohibition preventing discoveries in the two weeks preceding trial no longer exists in the new BC Supreme Court Civil Rules. Mr. Justice Harvey, while not directly addressing this issue, dismissed ICBC’s motion and in doing so made it clear that the rules of Court operate so as to make it difficult for a party to be permitted to conduct a late discovery. Mr. Justice Harvey provided the following reasons:
[7] In response to (ICBC’s argument) Mr. Parsons, on behalf of the plaintiff, says that a clear reading of Rule 12-4(3) makes clear that the new rules still contemplate a prohibition against any step, including an examination for discovery, within the period prescribed in Rule 12-4(2).
[8] Rule 12-4(2) reads
A trial certificate must be filed at least 14 days before but not more than 28 days before the scheduled trial date.
[9] I am not persuaded in these circumstances I need to decide that very interesting issue, because I have also been referred to Rule 12-4(6) which says that:
A party who fails to file a trial certificate under subrule (1) is not, without leave of the court, entitled to make further applications.
[10] The third party has not filed a trial certificate nor could they have given the requirement to have conpleted examinations for discovery as part of the requirement of “readiness”. Now, 10 days before trial, it is too late to do so.
[11] Counsel for the third party see this as an excuse allowing them to, at this late date, seek the Court’s leave for the application to compel the plaintiff’s attendance at the proposed discovery.
[12] That, with respect, is disingenuous. It has been open to the third party to conduct its discovery since the time it became a party. That was in October of 2008.
[13] Instead, the third party has chosen to rely on the defendant to take the lead in this litigation…
[14] The third party has, at the last moment, unilaterally set down an examination for discovery over the objections of counsel for the plaintiff as to timing. Counsel is busy with trial preparation for a 15 day jury trial.
[15] The third party failed to provide conduct money and failed to file a trial certificate in accordance with the rules…
[16] Contrary to the Rules, leave was not sought to bring the application when short leave was sought before the Master who heard the application. The application for short leave was brought without notice and counsel for the plaintiff was unable to draw to the Court’s attention the failure of the third party to (1) require leave for their application and (2) failure to provide conduct money to the plaintiff.
[17] In those circumstances, I am not prepared to gran the third party the leave required to bring this motion.
Tags: bc injury law, examination for discovery, Lewis v. Lewis, Mr. Justice Harvey, Rule 12, Rule 12-4, Rule 12-4(2), Rule 12-4(3), Rule 12-4(6), Trial Certificate Posted in BCSC Civil Rule 12, BCSC Civil Rule 7, Civil Procedure, Uncategorized | Direct Link | No Comments » | top ^
May 27th, 2010
One principle that has become clear in BC injury lawsuits is that ICBC’s LVI Policy of denying tort compensation in minimal vehicle damage accidents has no legal merit. Reasons for judgement were released today by the BC Supreme Court, Nanaimo Registry, demonstrating this.
In today’s case (Mendoza-Flores v. Haigh) the Plaintiff was involved in 2 separate motor vehicle collisions. She was injured in both. ICBC accepted that the second accident caused some injuries but argued that the first crash “was incapable of causing the injuries complained of (by) the Plaintiff“. Mr. Justice Harvey rejected this argument with the following useful comments:
[54] Regarding as the relationship between the damage to the two vehicles and the resultant claim for injuries suffered by one of the occupants, it is trite law that the fact that the damage to the plaintiff’s vehicle was minor does not lead to a conclusion that the resultant injuries are also minor: Gordon v. Palmer (1993), 78 B.C.L.R. (2d) 236 (S.C.).
The Court went on to award the Plaintiff damages for her injuries and loss including $40,000 for her non-pecuniary damages. In reaching this figure Mr. Justice Harvey made the following findings:
[61] In the result, I find that the plaintiff has experienced a moderate soft tissue injury which continues to cause both discomfort and poses problems in her employment to the present time.
[62] The plaintiff never fully recovered from the effects of the first accident although it would seem, from the evidence, she was heading toward a complete resolution of her symptoms. Her symptoms just before the second accident were appreciably better than they are presently…
[67] While unresolved to some extent, I do not view the evidence as proving the plaintiff’s injuries as permanent. Both from an investigative and treatment standpoint it appears there were, and are, further steps available to the plaintiff.
[68] Reviewing her injuries and comparing them to the authorities I have been referred to, I conclude that $40,000 represents a proper global assessment of the plaintiff’s general damages arising from the two accidents.
You can click here to read my archived posts discussing other BC Court cases dealing with so-called Low Velocity Impacts.
Tags: Low Velocity Impact Claims, lvi claims, LVI Defence, LVI Denial, Mendoza-Flores v. Haigh, Mr. Justice Harvey, soft tissue injuries Posted in ICBC Back Injury (soft tissue) Cases, ICBC LVI (Low Velocity Impact) Cases, ICBC Soft Tissue Injury Cases, ICBC Whiplash Cases, Uncategorized | Direct Link | No Comments » | top ^
January 19th, 2010
(Please not the case discussed in the below post was overturned by the BC Court of Appeal who ordered a new trial. You can read the BCCA decision by clicking here)
While unusual the answer is yes. Reasons for judgement were released today discussing this area of the law.
In today’s case (Skinner v. Guo) the Plaintiff was involved in a 2006 BC Car Crash. The Plaintiff was driving on Highway 1 when he rear-ended the Defendant’s vehicle which was stationary in the Plaintiff’s lane of travel. The Defendant did not give any evidence at trial although it appears the Defendant stopped because he struck a coyote. Given the Defendant’s lack of explanation for being stopped in a travelled portion of the roadway the Court found that he was in violation of s. 187 of the Motor Vehicle Act.
The Plaintiff argued that the Defendant was at fault for the collision for stopping his vehicle and failing to activate his emergency flashers. Mr. Justice Harvey disagreed and found the Plaintiff 100% at fault for failing to see a stationary vehicle that was there to be seen. Before dismissing the case Mr. Harvey said the following with respect to fault when a motorist rear ends another in British Columbia:
[15] All of the cases referred to me by counsel note that there is a high onus on a following driver, as stated in Molson v. Squamish Transfer Ltd. (1969), 7 D.L.R. (3d) 553 (B.C.S.C.). One principle to be extracted from the rear‑end cases is that when one car runs into another from behind, the onus is on the driver of the rear car to show that the collision was not occasioned by his fault. However, each case must be decided upon its facts, and I have been referred to cases where substantial liability has been imposed upon the front driver and others where the following driver has been assessed one hundred percent of the claim. I do not find this case similar to the authorities referred to me by counsel for the plaintiff, which include McMillan v. Siemens, [1994] B.C.J. No. 2546 (S.C.); Lloyd v. Fox (1991), 57 B.C.L.R. (2d) 332 (C.A.); and W.K. Enterprises Ltd. v. Stetar, [1976] B.C.J. No. 484 (S.C.). In each of those cases the hazard created by the negligence of the driver who had stopped his vehicle was not apparent for either reasons of weather conditions or the design of the roadway until a point where the plaintiff’s vehicle was much closer than was the case here.
[16] Baker v. Cade, [1999] B.C.J. No. 239 (S.C.), has facts which are most analogous to the case at bar. There, the collision involved two cars and a motorcycle. The first car stopped in the middle of a bridge, and the car immediately behind that car came to a stop as well, without activating emergency flashers. The plaintiffs were following behind on a motorcycle. The stopped vehicles were approximately 800 feet away when the plaintiff crested the bridge and had a view of what was happening. The plaintiffs were unable to stop the motorcycle and collided with the rear of the second vehicle, suffering significant injury. The role of the driver of the second vehicle in that situation is analogous to that of the defendant in this case. While Drost J. concluded that the driver of the second vehicle was negligent, he held that his negligence was not the proximate cause of the accident. I reach the same conclusion here.
[17] The only distinguishing factor in this case is that the accident occurred at night. However, I find as a fact that the area was well lit and the sight line of the plaintiff would have allowed him to the defendant’s stationary vehicle approximately a kilometre away. Indeed, the plaintiff says he did see the defendant’s vehicle, but that he did not determine until it was too late that it was stopped. Despite his description of the traffic, he took no evasive manoeuvres to avoid striking the rear of the defendant’s vehicle. He believes he was some 20 to 30 yards away when he slammed on the brakes.
[18] Accordingly, the action is dismissed.
For more on this area of the law click here to read a case summary where a motorist was found partially at fault for being rear-ended.
Tags: fault, ICBC claims, liability, Mr. Justice Harvey, rear end collisions, rear end crashes, rear ending another vehicle, Skinner v. Guo Posted in ICBC Liability (fault) Cases, Uncategorized | Direct Link | 1 Comment » | top ^
January 13th, 2010

As readers of the blog know Rule 37B of the BC Supreme Court Rules has given the Court considerable discretion with respect to awarding parties costs when formal offers of settlement are beat at trial. One pattern that is becoming clear under the new Rule is that token offers of settlement are not particularly effective in triggering meaningful costs consequences. Reasons for judgement were released today demonstrating this.
In today’s case (Skinner v. Fu) the Plaintiff was involved in a BC Car Crash and sued the other motorist. The issue of fault was hotly contested by ICBC who argued that the Plaintiff was fully at fault for the accident and his injuries. Mr. Justice Harvey of the BC Supreme Court agreed and dismissed the Plaintiff’s claim after a summary trial.
Having successfully defended the lawsuit ICBC (through the Defendant) applied for costs from the Plaintiff. Prior to trial the Defendant made a formal offer to settle the claim for $1. ICBC asked the Court to award them double costs.
Mr. Justice Harvey dismissed the motion for double costs. In doing so he commented that a $1 offer in an ICBC Claim with contested liability is not a ‘reasonable offer’ which ought to trigger increased costs consequences for the losing party. Specifically the Court held as follows:
[15] Liability was the central issue between the parties. The defendants, from the time the matter was first reported to the Insurance Corporation of British Columbia, took the position that no liability rested with the defendant driver despite his apparent breach of s. 187 of the Motor Vehicle Act, R.S.B.C. 1996, c. 318.
[16] Immediately after the writ of summons was issued, the offer to settle the matter for $1 was forwarded to the plaintiff.
[17] Where, as in the case at bar, the central issue is liability, I do not consider an offer of $1 plus costs of filing the writ of summons an offer which ought reasonably be accepted, either on the date that the offer to settle was delivered or on any later date. Were it so, all defendants in similar positions would follow suit and, as a result, enhance their entitlement to costs without promoting the underlying objective of Rule 37B, which is to encourage reasonable settlement. As a result, this offer to settle will have no effect on the order of costs in this case.
This is not the first case interpreting Rule 37B in this way (click here to read my previous posts discussing the Court’s application of Rule 37B in BC Injury Claims) and the pattern seems well established that nominal offers will rarely be effective for triggering meaningful costs consequences.
In my continued efforts to get prepared for the New BC Supreme Court Civil Rules I am cross referencing Civil Procedure cases that I discuss on this blog with the New Rules. I will again point out that Rule 37B will be replaced with Rule 9 under the New Rules. The new rule uses language that is almost identical to Rule 37B which should help cases such as this one retain their value as precedents.
Tags: $1 settlement offer, bc injury law, ICBC settlement offers, Mr. Justice Harvey, New BC Supreme Court Civil Rules, Rule 37B, Rule 9, Skinner v. Fu Posted in Civil Procedure, Uncategorized | Direct Link | No Comments » | top ^
October 31st, 2009
Reasons for judgement were released yesterday (Boyd v. Shortreed) by the BC Supreme Court, New Westminster Registry, dealing with a Low Velocity Impact (LVI). The Plaintiff testified that she was involved in a rear-end crash and that she was injured despite having minimal damage to her vehicle. Interestingly, the Defendant denied that the crash happened at all.
Mr. Justice Harvey rejected the Defendant’s evidence and concluded that a crash did occur. Specifically he held that:
[33] The plaintiff reported the accident on April 19, 2005 by telephone and advised the adjuster for ICBC of the damage to her vehicle and the fact she had been injured. Without first bringing the vehicle to ICBC, she took the car to an auto body shop for repairs and the bumper was fixed. She testifies that the total cost of repairs was about $360. No documentary evidence concerning the repairs was ever produced in evidence. Photographs of the rear bumper of the plaintiff’s vehicle were of little assistance in determining whether there was any damage visible. It is conceded that the damage amounted to nothing more than an abrasion or scratch requiring repainting. There was no structural damage to the plaintiff’s car…
[59] There were other inconsistencies in the evidence of the defendant which cause me to reject his evidence as to the happening of the incident. Accordingly, wherever the evidence of the plaintiff and the defendant conflict, I accept the evidence of the plaintiff as being the accurate version of events.
[60] That being found, I conclude that the defendant struck the plaintiff’s car from the rear. While I accept there was a situation of peril created by the driver of the tractor trailer, the proximate cause of the collision between the defendant’s vehicle and that of the plaintiff was the inattention of the defendant by travelling too close to the rear of the plaintiff’s vehicle or, alternatively, the condition of the brakes on his vehicle which did not allow him to slow his vehicle in time to avoid hitting the plaintiff’s vehicle.
[61] I do not find the plaintiff’s reaction to the danger created by the tractor trailer driver to be wanting and decline to apportion any fault for the accident to her. She reacted appropriately to a situation of emergency created by another driver who is not a party to the action.
[62] As a result, the defendant is 100% liable for the collision and resultant damages.
In valuing the Plaintiff’s Non-Pecuniary Damages at $25,000 Mr. Justice Harvey made the following findings with respect to her accident related injuries:
[76] The only new complaint arising from the accident appears to be the onset of mid-back pain. This is based mainly on self report. The extent and duration of these symptoms are described in some detail in the reports of Dr. O’Connor and Dr. McKenzie. This complaint seems to have occasioned the most pain and has persisted, although significantly improved, to the date of trial. Her recovery was estimated by the plaintiff to be at 85% of normal when she last attended Dr. McKenzie in August 2009. There is no ongoing disability related to the complaints nor has there been for some since late in 2007.
[77] In summary, the plaintiff suffered an exacerbation of her previous symptoms in her neck and lower back. I find these complaints had substantially resolved to their pre-accident condition inside of one year. In April of 2006, according to the notes of Dr. Shah, there was a further onset of lower back pain but, on the whole of the evidence, I cannot relate this flare up to the accident of April 2005. The injury to her mid-back was as a result of the accident. It persisted longer and caused her more discomfort than the exacerbation of her pre-existing symptoms.
[78] Accordingly, taking all of this into account, I assess general damages in the amount of $25,000 in respect of her soft tissue injuries.
Tags: Boyd v. Shortreed, Low Velocity Impact, LVI, mid back pain, Mr. Justice Harvey, soft tissue injuries Posted in ICBC Back Injury (soft tissue) Cases, ICBC LVI (Low Velocity Impact) Cases, ICBC Soft Tissue Injury Cases, ICBC Whiplash Cases, Uncategorized | Direct Link | No Comments » | top ^
|