JOHN MOLIN and wife, FREDERICKA )
LITTLEFAIR-MOLIN, )
)
Plaintiffs/Appellants, ) Appeal No.
) 01-A-01-9705-CV-00232
v. )
) Davidson Circuit
PERRYMAN CONSTRUCTION CO., ) No. 95C-3506
)
Defendant/Appellee. )
FILED
COURT OF APPEALS OF TENNESSEE
February 27, 1998
APPEAL FROM THE CIRCUIT COURT FOR DAVIDSON COUNTY
AT NASHVILLE, TENNESSEE Cecil W. Crowson
Appellate Court Clerk
THE HONORABLE BARBARA N. HAYNES, JUDGE
MICHAEL A. MEYER
Sidwell & Barrett, P.C.
121 First Avenue South, Suite 200
Franklin, Tennessee 37064
ATTORNEY FOR PLAINTIFFS/APPELLANTS
LEE ANNE MURRAY
Feeney & Lawrence, PLLC
2040 First American Center
P. O. Box 198685
Nashville, Tennessee 37219-8685
ATTORNEY FOR DEFENDANT/APPELLEE
REVERSED AND REMANDED
WALTER W. BUSSART, JUDGE
OPINION
The plaintiff/appellant homeowners brought suit against the defendant/appellee construction
company alleging breach of contract. The trial court granted the appellee summary judgment finding
that the appellants' claim fell outside of the three-year statute of limitations found in section 28-3-105
of the Tennessee code. In addition, the court denied a motion by the appellants to amend the original
complaint. The case is here on appeal to determine whether the trial court erred.
I.
Procedural and Factual Background
The facts giving rise to this law suit began when John Molin and Fredericka Littlefair-Molin
(the “Molins”) entered a contract with Perryman Construction Co. (“Perryman”) for construction
work to be done on the Molins' home. The agreement, which was executed on March 1, 1991,
provided that the appellee Perryman would renovate part of the interior of the existing structure as
well as build an addition to that structure. The Molins planned to live in the house while the work
was being done. However, after a fire damaged their home they moved into a rental home during
the construction.
The contract between the Molins and Perryman provided that Appellee "[a]t the time as the
entirety of the work . . . has been performed . . . shall file a Notice of Completion." Perryman did
file a notice of completion on September 24, 1991 which stated that the work was completed on
September 20, 1991. However, Appellants, who claimed to have been unaware of the notice of
completion, moved back into their home in October of 1991 after exhausting their rental insurance
proceeds. When they moved back home, there was no lock on the front door which was held
together by a piece of wood. Appellee’s workers continued to work on the house for two or three
more months. In her deposition, Ms. Molin stated that the bulk of the work was done by late
September or early October of 1991. However, the house did not pass the final codes inspection
until June 19, 1992, and a certificate of occupancy was not issued by the city until June 24, 1992.
Ms. Molin also stated in her deposition that, within a year after the completion of the work,
the roof began to leak, doors and windows started to buckle, and portions of the wall and floor
developed cracks. Though the Molins began to notice some of the defects in late 1991, it was
February or March of 1992 when the family first noticed the roof leaking. Each time that Appellants
noticed something wrong, they would notify Appellee who would send an employee to make the
necessary repairs. However, the repairs were insufficient and the problems continued. In late 1992
or early 1993, Dr. Molin wrote a letter containing a comprehensive list of everything that the Molins
thought to be wrong with the house at that time. Appellee responded by informing Appellants that
he did not do maintenance work.
2
On October 19, 1995, Appellants filed a complaint for breach of contract which made the
following allegations:
Under the terms of the contract, [Appellee] was under an obligation to utilize good
workmanship at all times during the construction process. This obligation extended
to work done on the roof. . . .
[Appellee] breached its contract with [Appellants] by failing to exercise good
workmanship in the construction of [Appellants'] residence. There are a number of
leaks in the roof which [Appellee] has failed to correct.
Appellee answered the complaint and alleged the statute of limitations barred the claim. Appellee
later amended its answer to include the statute of repose as a defense. On October 7, 1996, Appellee
filed a motion for summary judgment in which it argued that both the statute of limitations and the
statute of repose barred Appellants’ claim. Appellants moved to amend their complaint on
November 7, 1996. The amendment which was submitted added allegations against Perryman as
follows:
[Appellant] also failed to exercise good workmanship in the construction of the
foundation, floors and walls of [Appellants'] residence. Floor joints have been
crushed and twisted. Outside walls are bowing and sagging. All of these failures
also constitute a breach of [Appellee's] agreement to exercise good workmanship. .
..
In the alternative, the defects described in [the above paragraph] are the result of the
negligence of [Appellee].
The proposed amended complaint concluded by asserting that the Molins had "been injured as a
result of [Appellee's] breach and/or negligence."
The trial court granted Appellee’s motion for summary judgment based upon its
determination that the three-year statute of limitations set forth in section 28-3-105 of the Tennessee
code barred Appellants’ claims. In addition, the court overruled Appellants’ motion to amend the
complaint without giving a reason and merely stating that the motion was not "not well-taken." To
reiterate the issues before this court, we must determine whether the trial court erred in dismissing
Appellants' original pleadings and whether it erred in not allowing Appellants to amend their
complaint.
II.
Standard of Review
Rule 56.03 of the Tennessee Rules of Civil Procedure provides that summary judgment is
appropriate when two prerequisites are met. First, there must be no genuine issue as to any fact
necessary to resolve the substantive claim or defense embodied in the summary judgment motion,
Byrd v. Hall, 847 S.W.2d 208, 210 (Tenn. 1993), and second, the moving party must be entitled to
a judgment as a matter of law. Mansfield v. Colonial Freight Sys., 862 S.W.2d 527, 530 (Tenn. Ct.
App. 1993). In reviewing the record to determine whether the requirements of Rule 56 have been
met, this court should view all evidence in the light most favorable to the opponent of the motion,
allow all reasonable inferences in favor of that party, and discard any countervailing evidence.
3
Carvell v. Bottoms, 900 S.W.2d 23, 26 (Tenn. 1995) (citing Byrd, 847 S.W.2d at 210-11). Summary
judgment should only be granted if the facts and conclusions permit a reasonable person to reach
only one decision. McCall v. Wilder, 913 S.W.2d 150, 152 (Tenn. 1995). Summary judgment is
ordinarily not appropriate in negligence cases. Roe v. Catholic Diocese of Memphis, 950 S.W.2d
27, 31 (Tenn. Ct. App. 1996).
III.
Appropriate Statute of Limitations
Initially, we must determine which statute of limitations is applicable to this cause of action.
As stated, the trial court found that Appellants' claim was barred by section 28-3-105 of the
Tennessee code which provides in pertinent part:
The following actions shall be commenced within three (3) years from the accruing
of the cause of action:
(1) Actions for injuries to personal or real property.
Tenn. Code Ann. § 28-3-105 (Supp. 1997). On appeal, Appellants insist that the court erred in
applying this section and urge the application of the six-year statute found in section 28-3-109 which
provides that "[a]ctions on contracts not otherwise expressly provided for . . . shall be commenced
within six (6) years after the cause of action accrued." Tenn. Code Ann. § 28-3-109 (1980).
"It is well settled in this state that the gravamen of an action, rather than its designation as
an action for tort or contract, determines the applicable statute of limitations." Pera v. Kroger Co.,
674 S.W.2d 715, 719 (Tenn. 1984); Keller v. Colgems-EMI Music, Inc., 924 S.W.2d 357, 359
(Tenn. Ct. App. 1996). In other words, the "statute of limitations is determined by the subject matter
of the controversy rather than the remedial procedure employed." Taylor v. Trans Aero Corp., 924
S.W.2d 109, 113 (Tenn. Ct. App. 1995) (while plaintiff's claim for recovery of property damage to
an airplane was barred under section 28-3-105 because the gravamen of this claim was property
damage, the same plaintiff was allowed a trial on its claim for damages based on the defendants'
breach of the contractual promise to insure the aircraft because the gravamen of that claim is breach
of contract which has a longer statutory period under section 28-3-109). As even Appellants
concede, the pertinent case law supports a conclusion that the gravamen of the complaint in this case
is for injury to real property. See Williams v. Thompson, 443 S.W.2d 447 (Tenn. 1969); Kirby
Farms Homeowners Ass'n v. Citicorp, Citibank, N.A., 773 S.W.2d 249 (Tenn. Ct. App. 1989).
Under similar facts, the court in Kirby Farms held that "[w]hen the damages for which
recovery is sought represent the cost of repair or the replacement cost of property and such accrued
damages are the result of negligent acts, the action is for damage to property and covered by T.C.A.
§ 28-3-105." Kirby Farms, 773 S.W.2d at 251. There, the plaintiff homeowners association was
made up of individual homeowners who purchased condominiums and subsequently "notice[d]
various defects in the project; including but not limited to the foundations, roofs, drainage systems,
4
sanitary sewers, asphalt, stone work, brick work, sliding glass doors, carports, storage buildings,
plumbing, wiring, heating and air conditioning, and recreational facilities." Id. at 250. Five years
subsequent to the homeowners' demand for correction of the defects, they filed a complaint
"alleg[ing] defendants were guilty of breach of express warranties, breach of implied warranties of
workmanship and habitability, breach of oral warranties, breach of fiduciary duty, negligence,
negligent misrepresentation, strict liability and fraudulent concealment." Id.
The Kirby Farms court found that "the determinative issue before [them] is whether the
three-year statute of limitations for injury to real property . . . or the six-year statute of limitations
for contracts not otherwise covered . . . applies to the facts of this case." Id. While the plaintiffs
conceded that the three-year statute barred the claims for negligence, negligent misrepresentation,
strict liability and fraudulent concealment, they contended that the longer period applied to the
claims of breach of express warranty, breach of implied warranty and breach of fiduciary duty. Id.
The court disagreed stating that "[t]he word 'actions' in T.C.A. § 28-3-105 refers to the subject
matter of the controversy and not to the remedial procedure." The court then found that the
gravamen of the complaint was for injury to real property refusing to distinguish the case on the
ground that the plaintiffs were alleging breach of contract and not tort. Id. at 251.
In reaching its conclusion, the Kirby Farms court cited the earlier supreme court case of
Williams v. Thompson, 443 S.W.2d 447 (Tenn. 1969). Williams was a factually similar case which
involved a suit against a construction company over a home it built, specifically over defects in this
home such as cracks in the walls, alignment problems with window and door frames, and general
foundation problems. Id. at 448. Alleging breach of an implied warranty in the sales contract, the
plaintiffs sought to recover damages for injury to their property arising out of the contractual
relationship with the defendants. However, as in Kirby Farms, the court found that it was not the
six-year statute of limitations for contracts, but rather the three-year statute that applied to this action.
The court noted that "[w]hether an action for the recovery of damages for injury to personal or real
property results from a breach of contract or from a tort, independent of contract, is immaterial." Id.
at 449. The court concluded that "although complainants' bill sounds in contract, . . . the only injury
alleged in the bill is physical injury to the residence which allegedly occurred and was known to
complainants more than three years prior to commencing the action." Id. at 449.
Both Kirby Farms and Williams support our conclusion that section 28-3-105 contains the
appropriate statute of limitations for the action in this case. In the instant case, the gravamen of the
Molins' complaint is for injury to real property. As in Williams, the complaint in this case sounds
in contract denoting as the "cause of action" a "breach of contract." However, the injury alleged is
the damage to the Molins' home. The complaint alleges that "[t]here are a number of leaks in the
roof which [Perryman] has failed to correct. . . . [The Molins] have been injured as a result of
[Perryman's] breach of contract. [They] have or will incur substantial expenses to repair the leaks
5
and other damages caused by the water." In the proposed amendment, Appellants alleged that "[t]he
floors are buckling, sagging and cracking. Floor joints have been crushed and twisted. Outside walls
are bowing and sagging. . . . [The Molins] will have to incur substantial expense to correct these
problems." Thus, even a consideration of the allegations in the proposed amendment reveals that
there are no damages other than this injury to the real property which have been claimed by
Appellants. See Prescott v. Adams, 627 S.W.2d 134, 137 (Tenn. Ct. App. 1981) ("The major
criterion in ascertaining the gravamen of an action is the kind of damage alleged."). Accordingly,
we are of the opinion that section 28-3-105 applies to the facts in this case.
Appellants attempt to distinguish Williams on the grounds that it involved a breach of
implied warranty. Where a plaintiff is suing to enforce an express provision of the contract,
Appellants argue that the six year contact statute of limitations should apply. Appellants' argument
is untenable. The cases are clear that an inquiry as to which statute is applicable focusses on the
subject matter of the controversy and not the remedial means employed.1 Hence, whether or not
Appellants have sued under a theory of implied contract or one of express contract is immaterial to
our determination of which statute applies. Indeed, the decision in Kirby supports this conclusion.
The plaintiff in Kirby sued for breach of express warranty as well as breach of implied warranty, and
the court made no distinction in holding that the gravamen of the complaint was for injury to real
property and hence, the three year statute barred all claims. Kirby Farms, 773 S.W.2d at 250.
IV.
Application of Section 28-3-105
Section 28-3-105 gives a plaintiff three years from the accrual of his action to bring his
complaint for injuries to real property. The words "from the accruing of the cause of action" found
in section 28-3-105 have been defined to mean "from the time when the plaintiff knew or reasonably
should have known that a cause of action existed." Prescott v. Adams, 627 S.W.2d 134, 138 (Tenn.
Ct. App. 1981) (citing Stone v. Hinds, 541 S.W.2d 598, 599 (Tenn. Ct. App.1976)). In addition, this
court has held that "[a] cause of action for breach of contract arises when the acts of one of the
contracting parties demonstrate a clear, total repudiation of the contract. . . . Thus, the statute of
limitations begins to run when a contracting party first knows or should know that the contract will
not be performed." Wilkins v. Third Nat'l Bank, 884 S.W.2d 758, 761-62 (Tenn. Ct. App. 1994).
Thus, the question in this case is when should Appellants have reasonably known that the contract
was not going to be performed such that a cause of action arose.
1
We similarly reject Appellants' argument that the decision in Williams, which rested on the
premise that the doctrine of caveat emptor governed the transaction, was substantially undermined
when the supreme court moved away from that doctrine in Dixon v. Mountain City Constr. Co., 632
S.W.2d 538 (Tenn. 1982). Dixon's holding that initial purchasers of newly constructed homes
should receive certain implied warranties has no effect on the statue of limitations determination
which focusses on "the subject matter of the controversy and not . . . the remedial procedure."
Williams, 443 S.W.2d at 449.
6
The complaint in this case was filed on October 19, 1995. The deposition testimony of Ms.
Molin was that Appellants began to notice defects late in the year of 1991. However, employees
from Appellee's business were sent as needed to remedy the defects until late in 1992 or early in
1993 when Appellee refused to fix the defects any longer. Were we to find that the action accrued
at Appellants' initial discovery of the defects, the October 19, 1995 complaint would be barred by
the three-year statute of limitations as this initial discovery occurred more than three years before
the complaint was filed. However, if we find that the action did not accrue until that time when
Appellee first refused to fix the defects in late 1992 or early 1993, Appellants would still have their
cause of action so long as this refusal took place subsequent to October 19, 1992. We interpret
"accrual," in this case, to mean that time when Appellants learned Appellee would no longer repair
the defects. Otherwise, Appellants would be penalized for attempting to obtain compliance with the
contract without litigation.
In light of our holding regarding accrual, we find that the allegations of the various
complaints and the deposition of Ms. Molin do not offer sufficient dates from which this court can
determine that no genuine issue exists as to the accrual of the cause of action. This court has stated
that "[t]he time of the accrual of the cause of action, as affecting limitations, is frequently a question
of fact to be determined by the jury or trier of fact, as where the evidence is conflicting or subject
to different inferences." Prescott v. Adams, 627 S.W.2d 134, 139 (Tenn. Ct. App. 1981) (quoting
54 C.J.S. Limitations of Actions § 399(b) (1948)). Finding this to be true in the case at bar, we
remand this case to the jury for a determination of the time that Appellants reasonably knew the
contract would not performed and thus had a cause of action.
V.
Statute of Repose
If the statute of limitations does not barr Appellants' action, the action must be considered
under the statute of repose found in Tennessee Code Annotated section 28-3-202.2 That section
provides as follows:
All actions to recover damages for any deficiency in the design, planning,
supervision, observation of construction, or construction of an improvement to real
property, for injury to property, real or personal, arising out of any such deficiency,
or for injury to the person or for wrongful death arising out of any such deficiency,
shall be brought against any person performing or furnishing the design, planning,
supervision, observation of construction, construction of, or land surveying in
connection with, such an improvement within four (4) years after substantial
2
While the court has referred to section 28-3-202 as a “statute of limitations” on numerous
occasions, see e.g., Briggs v. Riversound Ltd. Partnership, 942 S.W.2d 529, 532 (Tenn. Ct. App.
1996); Brookridge Apartments, Ltd. v. Universal Constructors, Inc., 844 S.W.2d 637, 638 (Tenn.
Ct. App. 1992), recent cases have termed this section a “statute of repose.” See Bowers v.
Hammond, 954 S.W.2d 752, 758 (Tenn. Ct. App. 1997); Chrisman v. Hill Home Dev., Inc., No.
03A01-9607-CV-00218, 1997 WL 36833, at *3 (Tenn. Ct. App. 1997). Despite this ambivalence,
the supreme court left no doubt that the limitations articulated in this section was to function as a
statute of repose. Watts v. Putnam County, 525 S.W.2d 488, 491 (Tenn. 1975).
7
completion of such an improvement.3
Courts in Tennessee have stated that statutes of limitations affect only a party's remedy for a cause
of action, while the running of a statute of repose abolishes both the remedy and the right. Wyatt v.
A-Best Prods. Co., 924 S.W.2d 98, 102 (Tenn. Ct. App. 1995) (citing Bruce v. Hamilton, 894
S.W.2d 274, 276 (Tenn. Ct. App.1993)). Our supreme court has held that section 28-3-202 was
enacted "to provide outer limits of liability." Watts v. Putnam County, 525 S.W.2d 488, 491 (Tenn.
1975). It is "entirely unrelated to the accrual of any cause of action, since [it] begin[s] to run on the
date of substantial completion as opposed to the date of injury or damage." Id.
Tennessee Code Annotated section 28-3-201 defines substantial completion as: “that degree
of completion of a project, improvement, or a specified area or portion thereof (in accordance with
the contract documents, as modified by any change order agreed to by the parties) upon attainment
of which the owner can use the same for the purpose for which it was intended.” The statute further
provides that "the date of substantial completion may be established by written agreement between
the contractor and the owner." Tenn. Code Ann. § 28-3-201(1980). Pursuant to this latter portion
of the statute, the parties' inclusion of a "date of substantial completion" in the record would have
rendered unnecessary a factual determination of when the Molins' house was substantially
completed. With regard to completion, the contract only includes the following language under the
heading "notice of completion": "At such time as the entirety of the work hereinabove described has
been performed, CONTRACTOR shall file a Notice of Completion." We do not find that this
contract language represents the parties' agreement on a date of substantial completion. See
Brookridge Apartments, Ltd. v. Universal Constructors, Inc., 844 S.W.2d 637, 638 (Tenn. Ct. App.
1992) (finding that the parties had established a date of substantial completion where the contract's
language mirrored that of section 28-3-201 "provid[ing] that the 'date of substantial completion shall
be the date'" that a certain report was signed by one person and endorsed by another).
As stated, the complaint in this case was filed on October 19, 1995. Thus, in order to avoid
the statutory bar, the Molins' home can not have been substantially complete before October 19,
1991. From the record before us, we do know that a notice of completion was filed during the month
of September preceding October of 1991 but that a certificate of occupancy was not issued until June
24, 1992. This court stated that "it is probably an erroneous conclusion that issuance of a certificate
of occupancy by a governmental agency establishes substantial completion of a construction project
as a matter of law." Meyer v. Bryson, 891 S.W.2d 223, 225 (Tenn. Ct. App. 1994). Rather,
"[s]ubstantial completion occurs when the owner can use the building for its intended use. If the
owner can use the building for its intended use, then any defects in the construction are usually held
3
The statute does extend the four year period when an injury occurs during the fourth year
after such substantial completion by giving plaintiffs another year from the date of injury. Tenn.
Code Ann. § 28-3-203 (a) (1991). The court has summarized this statute's effect: "if the injury
occurred or was discovered on the last day of the four year period, the plaintiffs would receive an
additional year to bring suit." Prescott v. Adams, 627 S.W.2d 134, 138 (Tenn. Ct. App. 1981).
8
not to be material." Id. (quoting Howard G. Lewis Constr. Co. v. Lee, 830 S.W.2d 60 (Tenn. Ct.
App. 1991) (quoting Construction and Design Law (1991))). From Ms. Molin's testimony, we
know that the Molins moved back into the house in October of 1991 but it does not follow that they
were immediately using the portions of the home which were affected by the construction contract
between the parties. Indeed, the record is silent as to Appellants' use of the specific areas of the
home. Because a determination of when an improvement is substantially complete is a fact-intensive
one and because the record below is factually sparse, we remand this issue to the lower court to
resolve the issue through evidence.
VI.
Amendment of Complaint
As stated above, Appellants moved to amend their complaint on November 7, 1996.
Whereas, the allegations in the original complaint, filed October 19,1995, related only to the roof,
the amendment added charges against Appellee involving the foundation, floors and walls of
Appellants' residence. While the trial court gave no reason for its refusal to allow amendment, it did
state that "[a]fter considering the written memoranda submitted by counsel for the parties, the oral
argument presented by counsel for the parties, and pleadings filed in this lawsuit," it concluded that
the motion was not "not well-taken." The only written memoranda in the record regarding the
motion to amend was Appellee's "Response to Plaintiff's Motion to Amend." The gist of Appellee's
argument was that the amendment was futile in light of the fact that it was barred by the statute of
repose.
Once a responsive pleading has been filed, Rule 15 of the Rules of Civil Procedure gives the
court leave to freely permit amendments to complaints "when justice so requires." This court has
held that "where a motion to amend pleadings is submitted after responsive pleadings have been filed
in a case, the grant or denial of the motion is within the sound discretion of the trial judge. Once
decided, such matters are seldom adversely reviewed on appeal unless abuse of discretion has been
shown." Wilson v. Ricciardi, 778 S.W.2d 450, 453 (Tenn. Ct. App. 1989). While the court's
discretion can encompass many factors, Merriman v. Smith, 599 S.W.2d 548, 559 (Tenn. Ct. App.
1979), the court can not base a decision to deny a motion to amend pleadings on an erroneous
interpretation of the law. Since it is possible that the court's denial rested on an assumption that the
relation back provisions of Rule 15.03 do not apply after the statute of repose has run, we must
determine this legal issue to know if the court abused its discretion.
Thus, the question for this court, which is one of first impression, is whether pleadings
initially filed within the statute of repose can be amended after the statute of repose has run. Initially,
we note that the court has addressed the related issue regarding amendment of pleadings subsequent
to the running of the statute of limitations. In Floyd v. Rentrop, 675 S.W.2d 165, 168 (Tenn. 1984),
the supreme court made clear that "[n]otice is the critical element involved in determining whether
amendments to pleadings relate back." When the conditions of Rule 15.03 are met, such that the
9
opposing party has notice of the claim against him within the original statutory period, "the effect
of the Rule [is] to avoid the impact of the statute of limitations by letting the amendment relate back
to the original filing." Id. at 168.
Appellee attempts to distinguish Floyd by arguing that since the running of the statute of
repose nullifies a plaintiff's right and remedy, the court does not possess subject matter jurisdiction
over claims raised outside of the statute of repose. However, in the recent cases of Sharp v.
Richardson, 937 S.W.2d 846 (Tenn. 1996), and Cronin v. Howe, 906 S.W.2d 910 (Tenn. 1995), our
supreme court did not permit the substantive nature of the statute of repose to prohibit actions from
being brought beyond the statute's running. Both Sharp and Cronin involved the application of the
savings statute to save actions initially filed in a timely fashion but refiled beyond the statutes of
repose, and in both cases, the court found that the actions could be refiled outside of the statute. See
Tenn. Code Ann. § 28-1-105(a) (1980 & Supp.1995) (savings statute).
In Cronin, the specific issue was the construction of the medical malpractice statute of repose
as it interacted with the savings statute. With the goal to give effect to the legislative intent and to
provide harmonious operation of the two laws, the court emphasized the spirit of the savings statute
which "is remedial and should be liberally construed in furtherance of its purpose and in order to
bring cases within its spirit and fair intention." Cronin, 906 S.W.2d at 913 (citing Kee v. Shelter
Ins., 852 S.W.2d 226, 228 (Tenn.1993)). After acknowledging the substantive nature of the statute
of repose, the court found that "[b]ecause the plaintiff initially brought her medical malpractice
action within the one-year statute of limitations, and within the three-year statute of repose, she
complied with the letter of the statute of repose, avoided the substantive bar of the statute, and
fulfilled its legislative purpose--to limit the time period during which a physician is subject to a
claim of potential liability." Cronin, 906 S.W.2d at 914. Furthermore, the original action's
"conclusion on a ground other than the merits brought its refiling within the long-standing purpose,
spirit, and express terms of the savings statute--to provide a diligent plaintiff with an opportunity to
renew a suit that is dismissed by any judgment or decree that does not conclude the right of action."
Id.
The issue in Sharp was "whether the savings statute applies to save an action that is timely
filed within both the products liability statute of limitations and statute of repose, but refiled beyond
the six-year statute of repose." Sharp, 937 S.W.2d at 848. As in Cronin, the court focussed on the
long history and remedial spirit of the savings statute. It concluded that the plaintiffs had, by filing
their action with in the statute of repose, "complied with the letter of the products liability statute of
repose and fulfilled its legislative purpose--to limit the time period during which a manufacturer is
subject to a claim of potential liability." Id. at 850. Moreover, "[s]ince the plaintiff's suit was
'commenced within the time limited by a rule or statute of limitation,' and was concluded by an order
of voluntarily dismissal without prejudice, its refiling was within the express terms and longstanding
10
purpose and spirit of the savings statute--to provide a diligent plaintiff with an opportunity to renew
a suit that is dismissed by any judgment or decree that does not conclude the right of action." Id.
The court concluded that "application of the savings statute in this case does not conflict nor frustrate
either the letter or purpose of the products liability statute of repose." Id.
As in Sharp and Cronin, in the case at bar we must determine the legislative intent for which
we look first to "the natural and ordinary meaning of the language used, without forced or subtle
construction that would limit or extend the meaning of the language." Cronin, 906 S.W.2d at 912
(citing Carson Creek Vacation Resorts, Inc. v. State, Dept. of Revenue, 865 S.W.2d 1, 2
(Tenn.1993)). Where, as here, amending the complaint does not change the party or naming of that
party, the following portion of Rule 15.03 governs the timeliness of the amendment:
Whenever the claim or defense asserted in amended pleadings arose out of the
conduct, transaction, or occurrence set forth or attempted to be set forth in the
original pleading, the amendment relates back to the date of the original pleading.
Tenn. R. Civ. P. 15.03. From the language of Rule 15.03, relation back is qualified only upon the
amendment having arisen "out of the conduct, transaction, or occurrence set forth or attempted to
be set forth in the original pleading." Significantly, our courts have long stressed the importance of
a liberal interpretation of Rule 15. Floyd v. Rentrop, 675 S.W.2d 165, 168 (Tenn. 1984);
Huntington Nat. Bank v. Hooker, 840 S.W.2d 916, 923 (Tenn. Ct. App. 1991). The supreme court
has stated that Rule 15 was intended "to insure that cases and controversies be determined upon their
merits and not upon legal technicalities or procedural niceties." Karash v. Pigott, 530 S.W.2d 775,
777 (Tenn.1975).
If a plaintiff initially brings his suit within the statute of repose, he has complied with the
letter of that statute by fulfilling the statute's purpose which is to "provide outer limits of liability."
Watts v. Putnam County, 525 S.W.2d 488, 491 (Tenn. 1975). Furthermore, the purpose and spirit
of Rule 15 is furthered by permitting an amendment which meets the Rule's criteria. Under these
circumstances, a diligent plaintiff is given the opportunity to amend his complaint such that the
controversy may be fully determined on it merits. However, compliance with Rule 15 ensures that
the non-amending party will not be surprised by the amended pleading which must "[arise] out of
the conduct, transaction, or occurrence" of the original pleading. We therefore hold that Rule 15.03
permits amendment of pleadings beyond the statute of repose. Our holding today is a logical
extension of the decision in Floyd v. Rentrop. We order that the court below reconsider Appellants'
motion to amend after it makes its conclusions regarding the timeliness of Appellants' original
complaint, in light of this holding.
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VII.
Conclusion
In conclusion, we hold that since the gravamen of the Molins' complaint is injury to real
property, section 28-3-105 contains the applicable statute of limitations. However, because there
is a genuine issue as to when the action accrued, we remand the case to the trial court on the issue
of accrual. In addition, we remand on the issue of whether the Molins' home was substantially
complete prior to October 19, 1991 such the their action is barred by the statute of repose. Finally,
we hold that under Rule 15.03 of the Tennessee Rules of Civil Procedure, pleadings may be amended
after the statute of repose has run. If the trial court determines that Appellants' October 19, 1995
complaint was filed within the statute of limitations as well as within the statute of repose, it must
reconsider Appellants' motion to amend in light of our holding with regard to Rule 15.03. The
judgment of the trial court is reversed and the cause remanded for further proceedings consistent
with this opinion. The cost of appeal shall be taxed to Appellee.
_______________________________________
WALTER W. BUSSART, JUDGE
CONCUR:
_______________________________________
HENRY F. TODD, P.J.
_______________________________________
BEN H. CANTRELL, J.
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