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    "parties": [
      "EDITH B. RAGAN and CALVIN P. RAGAN v. JAMES T. HILL, Administrator of the Estate of JERRY WAYNE THOMAS and JOHN K. WILLIFORD"
    ],
    "opinions": [
      {
        "text": "FRYE, Justice.\nIn this appeal, plaintiffs contend that the Court of Appeals erred in holding that their personal injury action was barred because a claim was not presented to the personal representative of decedent\u2019s estate within six months of decedent\u2019s death. Plaintiffs further contend that defendant and plaintiffs\u2019 underinsured motorist carrier are estopped from asserting this time bar as a defense because they did not raise the defense until twenty-two months after the complaint was filed and after representing during discovery that no such defense was present. We find it unnecessary to address plaintiffs\u2019 estoppel argument since we conclude that the applicable statute does not operate in this case to bar plaintiffs\u2019 cause of action.\nOn. 23 March 1986, Edith B. Ragan was driving an automobile owned by Mae White Womble along Highway 55 near Fuquay-Varina. Ragan sustained serious permanent injuries when a vehicle driven by Jerry Wayne Thomas veered into the path of the Womble vehicle, causing a head-on collision. Thomas died as a result of injuries suffered in the accident. It is undisputed that Thomas was negligent in the operation of his automobile and that his negligence resulted in serious personal injury to Ms. Ragan and a loss of consortium to Mr. Ragan. The collision also involved Dr. John K. Williford, whose vehicle collided into the rear of the Womble vehicle. Although Dr. Williford was a defendant in this case at trial, the jury found no negligence on his part and he is not a party to this appeal.\nOn 8 July 1988, plaintiffs initiated this action against James T. Hill, Administrator of Thomas\u2019 estate, and against Williford. Integon Insurance Company, Thomas\u2019 liability carrier, elected not to file an answer on defendant\u2019s behalf and admitted liability to the extent of its $25,000 policy limit. Nationwide Mutual Insurance Company, the underinsured motorist (UIM) carrier for the Womble vehicle, filed an answer on behalf of defendant Hill. Pursuant to N.C.G.S. \u00a7 20-279.21(b), the Ragans\u2019 UIM carrier, North Carolina Farm Bureau Insurance Company (Farm Bureau), also filed an answer in its own name denying any negligence on the part of Thomas and asserting a second defense of contributory negligence. On 6 July 1990, defendants Hill and Farm Bureau were granted leave to amend their answers to add a defense of statute of limitations. Prior to trial, defendants Hill and Farm Bureau filed motions for summary judgment which were denied. On 6 February 1991, Farm Bureau elected, pursuant to N.C.G.S. \u00a7 20-279.21(b), to appear and participate in the trial in the name of James T. Hill, Administrator of the Estate of Jerry Wayne Thomas.\nThe case came on for trial before Judge J. Milton Read, Jr. Defendant Hill moved for a directed verdict at the close of plaintiffs\u2019 evidence and again at the close of all the evidence. Judge Read denied both motions. On 13 September 1991, the jury returned a verdict in favor of Ms. Ragan in the amount of $325,000 for her personal injuries and in favor of Mr. Ragan in the amount of $10,000 for loss of consortium. Defendant Hill then filed a motion for judgment notwithstanding the verdict, and Judge Read denied that motion and entered judgment on the jury\u2019s verdict. Defendants Hill and Farm Bureau appealed.\nThe Court of Appeals reversed, holding that the case was indistinguishable from Brace v. Strother, 90 N.C. App. 357, 368 S.E.2d 447, rev. denied, 323 N.C. 171, 373 S.E.2d 104 (1988), which held that a similar claim was barred by time limitations under N.C.G.S. \u00a7 28A-19-3. This statute has since been amended to provide that such claims are not barred where there is underinsured or uninsured motorist coverage that might extend to such claims. 1989 N.C. Sess. Laws ch. 485, \u00a7 65.\nThe version of N.C.G.S. \u00a7 28A-19-3 applicable in Brace, and in the instant case, provides:\n(b) All claims against a decedent\u2019s estate which arise at or after the death of the decedent, . . . founded on contract, tort, or other legal basis are forever barred against the estate, . . . unless presented to the personal representative or collector as follows:\n(2) With respect to any claim other than a claim based on a contract with the personal representative or collector, within six months after the date on which the claim arises.\n(i) Nothing in this section shall bar:\n(1) Any claim alleging the liability of the decedent or per sonal representative; . . .\nto the extent that the decedent or personal representative is protected by insurance coverage with respect to such claim, proceeding or judgment.\nN.C.G.S. \u00a7 28A-19-3(b)(2), (i)(l) (1984).\nIn Brace v. Strother, the plaintiff filed his personal injury action twenty-three months after an automobile accident in which he was injured and the defendants\u2019 son was killed. At the time of the accident the defendants\u2019 son had an automobile liability insurance policy providing up to $25,000 in bodily injury coverage. The plaintiff\u2019s automobile insurance policy provided up to $100,000 in UIM coverage. In his suit, the plaintiff sought damages from the defendants and from his own insurance carrier for the limits of the UIM coverage. The trial court granted the UIM carrier\u2019s summary judgment motion as to all the plaintiff\u2019s claims and granted the defendants\u2019 summary judgment motion for the plaintiff\u2019s claims in excess of $25,000. Applying the above statute, the Court of Appeals stated that\n[p]laintiff had an outside time limit of six months, or until 2 January 1985, to file an action against the decedent\u2019s estate. Since plaintiff did not initiate this action until 13 June 1986, he is clearly barred from recovering anything from the decedent\u2019s estate, except \u201cto the extent that the decedent... is protected by insurance coverage with respect to such claim . ...\u201d N.C. Gen. Stat. \u00a7 28A-19-3(i) (1984). The decedent in this case had an automobile liability insurance policy with Nationwide with policy limits of $25,000 for bodily injury. Plaintiff may recover only up to this amount if he prevails in his negligence action against decedent\u2019s personal representative or collector.\nBrace, 90 N.C. App. at 360, 368 S.E.2d at 449. Following Brace, the Court of Appeals, in the present case, reversed the trial court\u2019s denial of defendant\u2019s motion for a directed verdict and vacated that part of the judgment greater than $25,000, the amount of the decedent\u2019s liability insurance.\nIn considering the application of Brace to the present case, it is necessary that we first clarify the nature and operation of section 28A-19-3. This section is the type of statute that is commonly referred to as a \u201cnon-claim statute.\u201d Though similar to a statute of limitations, it serves a different purpose and operates independently of the statute of limitations that may also be applicable to a given claim. Section 28A-19-3 is apart of Chapter 28A, entitled \u201cAdministration of Decedents\u2019 Estates,\u201d enacted in 1973 to provide faster and less costly procedures for administering estates. The time limitations prescribed by this section allow the personal representative to identify all claims to be made against the assets of the estate early on in the process of administering the estate. The statute also promotes the early and final resolution of claims by barring those not presented within the identified period of time.\nSubsection (b) of section 28A-19-3 specifically requires that claims arising at or after the death of the decedent be presented to the personal representative or collector within six months after the date on which the claim arises. Section 28A-19-1 sets out the manner of presentation of claims including some circumstances under which the filing of an action in a court of law may constitute the presentation of a claim. N.C.G.S. \u00a7 28A-19-1 (1984). However, contrary to language from the Court of Appeals in Brace, section 28A-19-3 does not require the filing of an action in a court of law. Brace, 90 N.C. App. at 360, 430 S.E.2d at 449. Instead, the statute requires only that a claim be presented to the personal representative or collector within the stated period. The filing of an action is of course applicable to statutes of limitations which restrict the assertion of legal rights to a specific time period in order to avoid stale claims. The usual statute of limitations applicable to a personal injury action is three years as found in N.C.G.S. \u00a7 1-52(5). A cause of action may be barred by either or both of these statutes.\nUnder the above statutes, plaintiffs in the present case were required to present their claim to the personal representative or collector of the estate within six months after the claim arose and then, if not satisfied with the response, to file their personal injury action within the three year statute of limitations. To the extent that Brace interprets \u00a7 28A-19-3 as requiring the filing of an action in court within six months after the claim arises, it is overruled.\nPlaintiffs complied with the statute of limitations, but did not present their claim in accord with the non-claim statute. Plaintiffs contend, however, that their claim should not be barred by the non-claim statute since there was no \u201cpersonal representative or collector of the estate\u201d to whom a claim could be presented during the six months following the decedent\u2019s death. Plaintiffs argue that this fact distinguishes the present case from Brace, in which the decedent\u2019s parents did serve as collectors by affidavit pursuant to N.C.G.S. \u00a7 28A-25-1. Defendants, however, contend that this distinction is meaningless since the collector by affidavit is not a \u201cpersonal representative or collector of the estate\u201d as those terms are used in Chapter 28A.\nThe plaintiffs in Brace could have presented their claim to the collectors by affidavit, persons authorized by the Small Estates Article of Chapter 28A to pay claims against the estate to the extent that personal property of the decedent has been collected by them. N.C.G.S. \u00a7 28A-25-3(a) (1984). However, the Court of Appeals, in Brace, did not focus on the question of whether presenting a claim to the parents as collectors by affidavit would satisfy the non-claim statute but instead focused on whether a suit could be maintained against them in their representative capacity. Furthermore, according to the opinion in Brace, \u201c[p]laintiff concede [d] that his recovery [was] limited to the amount of insurance applicable to this claim, since he filed suit more than six months after the decedent\u2019s death.\u201d Brace, 90 N.C. App. at 360, 368 S.E.2d at 449. Thus, we do not consider Brace as authority for this case where no one had been appointed or purported to act on behalf of the estate in any official capacity; thus, there was no \u201cpersonal representative or collector of the estate\u201d to whom a claim could have been presented within the six months following the death of the decedent.\nSection 28A-19-3(b) requires that claims be presented \u201cto the personal representative or collector.\u201d Under section 28A-19-1, presentation of a claim is accomplished by mailing or delivering \u201cto the personal representative or collector\u201d a written statement of the claim. N.C.G.S. \u00a7 28A-19-1 (1984). While the Uniform Probate Code and some other states allow claims to also be filed with the clerk of court, Chapter 28A recognizes only presentment to the personal representative or collector. See Uniform Probate Code (U.L.A.) \u00a7 3-804(1); Colo. Rev. Stat. \u00a7 15-12-804(1) (1987); N.D. Cent. Code \u00a7 30.1-19-04(1) (3-804) (1976). Thus, our statutory scheme for handling claims against decedents\u2019 estates presumes the appointment of a personal representative or collector to receive those claims. We do not believe that the legislature intended the non-claim statute to operate where no personal representative or collector has been appointed.\nThis result is not in conflict with the purpose of the statute, the prompt and cost-effective administration of estates where no prior action has been taken to administer the estate; Plaintiffs\u2019 pursuit of their claim in the present case, more than two years after the claim arose, had no adverse impact on the timeliness of the administration of the decedent\u2019s estate, since no one had been appointed to administer the estate. Because there was no personal representative or collector against whom their claim could be asserted, plaintiffs requested that James T. Hill qualify as administrator. Once Hill was appointed administrator, plaintiffs were able to proceed with this action against Hill in his role as administrator pursuant to N.C.G.S. \u00a7 28A-18-1. If anything, plaintiffs\u2019 efforts to recover on their claim caused the administration of this estate to take place sooner than it otherwise would have. We further note that claimants who, like plaintiffs, find no personal representative to whom they may present their claims are not without some time limitations on actions to recover on their claims. As noted above, any action filed in a court of law will be subject to the applicable statute of limitations, in this case, three years. Further, N.C.G.S. \u00a7 28A-19-3(f) provides that any claims barrable under subsections (a) and (b) \u201cshall, in any event, be barred if the first publication or posting of the general notice to creditors ... does not occur within three years after the death of the decedent.\u201d N.C.G.S. \u00a7 28A-19-3(f) (1984).\nDefendants argue that the present cause of action should be barred even though no personal representative had been appointed, because plaintiffs had the means to secure the appointment of a personal representative prior to the expiration of the non-claim period, citing N.C.G.S. \u00a7 28A-5-2. Section 28A-5-2 provides for the appointment of an administrator in cases where qualified persons renounce the right to apply for letters of administration. N.C.G.S. \u00a7 28A-5-2 (1984). This section specifically allows an interested person to apply to have entitled persons adjudged to have renounced and to then have letters of administration issued to some other person. This statute addresses the rights of various persons to administer the estate, including allowing interested persons to \u201cquicken [the] diligence\u201d of persons primarily entitled to administration by applying to have some other person appointed. Royals v. Baggett, 257 N.C. 681, 682, 127 S.E.2d 282, 283 (1962). However, there is no requirement in this statute or elsewhere in Chapter 28A that persons in plaintiffs\u2019 position have a personal representative appointed when no one entitled to serve steps forward to administer the estate. We decline to judicially impose such a requirement under the facts of the present case.\nWe thus conclude that plaintiffs\u2019 cause of action is not barred for failure to present the claim to the personal representative within the time prescribed by N.C.G.S. \u00a7 28A-19-3(b) where no personal representative or collector had been appointed for the estate. For the reasons stated herein, the decision of the Court of Appeals is reversed, and the case is remanded for reinstatement of the judgment of the trial court.\nREVERSED AND REMANDED.",
        "type": "majority",
        "author": "FRYE, Justice."
      }
    ],
    "attorneys": [
      "Haywood, Denny, Miller, Johnson, Sessoms & Patrick, by George W. Miller, Jr., and Robert E. Levin, for plaintiff - appellants.",
      "Bryant, Patterson, Covington & Idol, P.A., by Lee A. Patterson, II, for defendant-appellee Hill; and Thompson, Barefoot & Smyth, by Sanford W. Thompson, TV, for unnamed defendantappellee N.C. Farm Bureau Mutual Insurance Company."
    ],
    "corrections": "",
    "head_matter": "EDITH B. RAGAN and CALVIN P. RAGAN v. JAMES T. HILL, Administrator of the Estate of JERRY WAYNE THOMAS and JOHN K. WILLIFORD\nNo. 296PA93\n(Filed 9 September 1994)\nLimitations, Repose, and Laches \u00a7 69 (NCI4th); Executors and Administrators \u00a7 103 (NCI4th)\u2014 claim against estate \u2014 not timely presented \u2014 no personal representative or collector appointed \u2014 claim not barred\nA claim against an estate arising from an automobile collision was not barred because it was not timely presented where no personal representative or collector had been appointed. N.C.G.S. \u00a7 28A-19-3 requires that claims arising at or after the death of the decedent be presented to the personal representative or collector within six months after the date on which the claim arises; however, contrary to language in Brace v. Strother, 90 N.C. App. 357, this statute requires only that a claim be presented to the personal representative or collector and does not require the filing of an action in court. The statutory scheme presumes the appointment of a personal representative or collector to receive those claims and the legislature did not intend the non-claim statute to operate where no personal representative or collector has been appointed. Although N.C.G.S. \u00a7 28A-5-2 allows an interested person to apply to have entitled persons adjudged to have renounced and to then have letters of administration issued to some other person, this statute addresses the rights of various persons to administer the estate and there is no requirement that persons in plaintiffs\u2019 position have a personal representative appointed when no one entitled steps forward to administer the estate. N.C.G.S. \u00a7 28A-19-3 is a non-claim statute which serves a different purpose and operates independently of the statute of limitations, which may also be applicable.\nAm Jur 2d, Executors and Administrators \u00a7\u00a7 584 et seq., 633 et seq.\nOn discretionary review pursuant to N.C.G.S. \u00a7 7A-31 of a unanimous decision of the Court of Appeals, 110 N.C. App. 648, 430 S.E.2d 489 (1993), reversing and remanding a judgment entered by Read, J., in the Superior Court, Durham County, on 13 September 1991. Heard in the Supreme Court 3 February 1994.\nHaywood, Denny, Miller, Johnson, Sessoms & Patrick, by George W. Miller, Jr., and Robert E. Levin, for plaintiff - appellants.\nBryant, Patterson, Covington & Idol, P.A., by Lee A. Patterson, II, for defendant-appellee Hill; and Thompson, Barefoot & Smyth, by Sanford W. Thompson, TV, for unnamed defendantappellee N.C. Farm Bureau Mutual Insurance Company."
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