Nationwide Mutual Fire Ins. Co. v. Benjamin, L.

J-S44026-20


NON-PRECEDENTIAL DECISION - SEE SUPERIOR COURT I.O.P. 65.37

    NATIONWIDE MUTUAL FIRE                     :   IN THE SUPERIOR COURT OF
    INSURANCE COMPANY                          :        PENNSYLVANIA
                                               :
                                               :
                v.                             :
                                               :
                                               :
    LEE BENJAMIN, JR., BENJAMIN                :
    CONSTRUCTION, LEE BENJAMIN                 :   No. 190 MDA 2020
    CONSTRUCTION, BENJAMIN                     :
    ROOFING AND MODULAR HOMES,                 :
    JAMIE DIETTERICK, AND MARK                 :
    DAVENPORT                                  :
                                               :
                                               :
    APPEAL OF: LEE BENJAMIN, JR.,              :
    BENJAMIN CONSTRUCTION, LEE                 :
    BENJAMIN CONSTRUCTION,                     :
    BENJAMIN ROOFING AND MODULAR               :
    HOMES                                      :

               Appeal from the Order Entered January 2, 2020
      In the Court of Common Pleas of Columbia County Civil Division at
                           No(s): 2017-CV-1182

BEFORE: BENDER, P.J.E., NICHOLS, J., and McCAFFERY, J.

MEMORANDUM BY NICHOLS, J.:                     FILED: FEBRUARY 22, 2021

       Appellants Lee Benjamin, Jr., Benjamin Construction, Lee Benjamin

Construction, and Benjamin Roofing and Modular Homes appeal from the

order granting the motion for summary judgment in favor of Appellee

Nationwide Mutual Fire Insurance Company.1 On appeal, Appellants contend

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1 The remaining two captioned defendants, Jamie Dietterick and Mark
Davenport, are not parties to this appeal.
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they were insured for the accident and that the Nanty-Glo2 rule precluded

any grant of summary judgment. We affirm.

        We adopt the facts and procedural history as set forth in the trial court’s

opinion.    See Trial Ct. Op., 1/2/20, at 1-3.      As the trial court accurately

quoted, Appellants’ commercial liability insurance policy with Appellee had the

following relevant exclusions:

        d. Workers’ Compensation And Similar Laws

        Any obligation of the insured under a workers’ compensation
        disability benefits or unemployment law or any similar law.

        e. Employer’s liability

        “Bodily Injury” to:

        (1) An “employee” of the insured arising out and in the course of:

           (a) Employment by the insured; or

           (b) Performing duties related to the conduct of the insured’s
           business; or

        (2) The spouse, child, parent, brother or sister of that “employee”
        as a consequence of Paragraph (1) above.

        This exclusion applies whether the insured may be liable as an
        employer or in any other capacity and to any obligation to share
        damages with or repay someone else who must pay damages
        because of the injury.

R.R. at 30a.3

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2Borough of Nanty-Glo v. Am. Surety Co. of New York, 163 A. 523 (Pa.
1932). We discuss the Nanty-Glo rule in further detail below.
3   We may cite to the reproduced record for the parties’ convenience.


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       The insurance policy defined “employee” as follows:

       5. “Employee” includes a “leased worker”. “Employee” does not
       include a “temporary worker”.

                                      *        *   *

       10. "Leased worker" means a person leased to you by a labor
       leasing firm under an agreement between you and the labor
       leasing firm, to perform duties related to the conduct of your
       business. “Leased worker” does not include a “temporary worker”.

                                      *        *   *

       19. “Temporary worker” means a person who is furnished to you
       to substitute for a permanent “employee” on leave or to meet
       seasonal or short-term workload conditions.

R.R. at 41a-42a, 44a.

       On January 2, 2020, the trial court granted Appellee’s motion for

summary judgment. Order, 1/2/20.4 The trial court applied the factors set

forth in Hammermill Paper Co. v. Rust Eng’g Co., 243 A.2d 389, 392 (Pa.

1968) (Hammermill),5 and held that Davenport was Appellants’ employee

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4 The order, although dated December 26, 2019, was not docketed until
January 2, 2020.
5 Briefly, “a determination regarding the existence of an employer/employee
relationship is a question of law that is determined on the unique facts of each
case.” Shay v. Flight C Helicopter Servs., Inc., 822 A.2d 1, 13 (Pa. Super.
2003) (citation omitted and formatting altered). In resolving that question,
the factors set forth by the Hammermill Court are applied:

       While no hard and fast rule exists to determine whether a
       particular relationship is that of employer-employee or owner-
       independent contractor, certain guidelines have been established
       and certain factors are required to be taken into consideration:



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under those factors. Id. at 5-8. The trial court also held that Davenport was

not   an    independent       contractor       under   the   Construction   Workplace

Misclassification Act (CWM Act), 43 P.S. §§ 933.1 to 933.17, which we discuss

in further detail below.       Id. at 8-11.      The trial court held that the policy

excluded coverage and therefore granted Appellee’s motion for summary

judgment. Id. at 12. Appellants timely appealed and timely filed a court-

ordered Pa.R.A.P. 1925(b) statement.

       Appellants raise the following issues, which we reordered to facilitate

disposition.

       1. Whether the trial [court] erred in granting Appellee’s Motion for
          Summary Judgement where the Nanty-Glo Rule prevents the
          entry of Summary Judgment in this matter.

       2. Whether the trial [court] erred in granting Appellee’s Motion for
          Summary Judgement where the exclusion language at issue is
          ambiguous, and therefore should be found to not exclude
          coverage to [Appellants].

       3. Whether the trial [court] erred in granting Appellee’s Motion for
          Summary Judgement where Mark Davenport was not an
          employee of [Appellants] at the time of the injury, was a
          volunteer, or Davenport’s employment was casual in nature.

____________________________________________


           Control of manner work is to be done; responsibility for
           result only; terms of agreement between the parties; the
           nature of the work or occupation; skill required for
           performance; whether one employed is engaged in a distinct
           occupation or business; which party supplies the tools;
           whether payment is by the time or by the job; whether work
           is part of the regular business of the employer, and also the
           right to terminate the employment at any time.

Id. at 13-14 (citation omitted and formatting altered).


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Appellants’ Brief at 5 (formatting altered).

      In support of their first issue, after summarizing the Nanty-Glo rule,

Appellants’ entire argument follows:

      In the case at bar, . . . Appellee solely relies on the deposition of
      Mark Davenport, Lee Benjamin, the Complaint of Mr. Davenport
      in the underlying injury accident, and the policy at issue. The trial
      court should still have weighed the credibility of the testimony of
      Mark Davenport and Lee Benjamin to determine whether or not,
      as a matter of law, Davenport was an employee of [Appellants].
      Therefore, the summary judgment motion should have been
      denied.

Id. at 18-19 (some formatting altered).

      The following standard and scope of review applies:

      When reviewing the decision of the trial court in a declaratory
      judgment action, our scope of review is narrow. Consequently,
      we are limited to determining whether the trial court’s findings are
      supported by substantial evidence, whether an error of law was
      committed or whether the trial court abused its discretion. The
      test is not whether we would have reached the same result on the
      evidence presented, but whether the trial court’s conclusion can
      reasonably be drawn from the evidence. Where the trial court’s
      factual determinations are adequately supported by the evidence
      we may not substitute our judgment for that of the trial court.

Consolidation Coal Co. v. White, 875 A.2d 318, 325 (Pa. Super. 2005)

(citation omitted).

      Because summary judgment was granted in this declaratory judgment

action, we also adhere to the following standard of review:

      Our scope of review of a trial court’s order granting or denying
      summary judgment is plenary, and our standard of review is clear:
      the trial court’s order will be reversed only where it is established
      that the court committed an error of law or abused its discretion.


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      Summary judgment is appropriate only when the record clearly
      shows that there is no genuine issue of material fact and that the
      moving party is entitled to judgment as a matter of law. The
      reviewing court must view the record in the light most favorable
      to the nonmoving party and resolve all doubts as to the existence
      of a genuine issue of material fact against the moving party. Only
      when the facts are so clear that reasonable minds could not differ
      can a trial court properly enter summary judgment.

Michael v. Stock, 162 A.3d 465, 472-73 (Pa. Super. 2017) (citation omitted).

      “The Nanty-Glo rule means the party moving for summary judgment

may not rest solely upon its own testimonial affidavits or depositions, or those

of its witnesses, to establish the non-existence of genuine issue of material

fact.” Wells Fargo Bank, N.A. v. Premier Hotels Grp., LLC, 177 A.3d 248,

250 (Pa. Super. 2017) (citation omitted and formatting altered). The rule

does not apply “where the moving party supports the motion by using

admissions of the opposing party or the opposing party’s own witness.”

Lineberger v. Wyeth, 894 A.2d 141, 149 (Pa. Super. 2006) (citation omitted

and formatting altered); see also Com., Dept. of Environmental

Resources v. Bryner, 613 A.2d 43, 46 n.4 (Pa. Cmwlth. 1992) (explaining

that “the Nanty-Glo rule does not apply where, as here, the deposition

testimony offered in support of a summary judgment constitutes an adverse

admission of a non-moving party.” (citation omitted)).

      Here, in support of Appellee’s motion for summary judgment, Appellee

relied on the deposition testimony of Davenport and Benjamin, both of whom

are adverse parties to Appellee. Therefore, the trial court correctly held that




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the Nanty-Glo rule does not apply.      See Lineberger, 894 A.2d at 149;

Bryner, 613 A.2d at 46 n.4.

      Next, we summarize Appellants’ argument for their second issue.

Appellants begin by quoting the definitions of “employee” and “temporary

worker,” from the policy at issue, which we previously quoted above.

Appellants’ Brief at 13. Appellants’ one paragraph argument follows:

      These definitions and exclusions are the very definition of
      ambiguous. None of the above referenced exclusions adequately
      or clearly defines employee. Appellant argues that this alone is
      enough to permit reversal of the [trial] court as “employee” is not
      defined under the policy. However, assuming arguendo that a
      standard definition is applied by the Court to determine if
      Davenport was an employee. [sic]. The crux of this matter then
      becomes whether Mark Davenport was an employee of Lee
      Benjamin. It is clear from the testimony that he is not an
      employee, he was volunteering his time for something to do.

Id. at 14.

      By way of background, in interpreting an insurance policy, we are guided

by the following:

      The interpretation of an insurance policy is a question of law that
      we will review de novo. Our primary goal in interpreting a policy,
      as with interpreting any contract, is to ascertain the parties’
      intentions as manifested by the policy’s terms.         When the
      language of the policy is clear and unambiguous, we must give
      effect to that language. Alternatively, when a provision in the
      policy is ambiguous, the policy is to be construed in favor of the
      insured to further the contract’s prime purpose of indemnification
      and against the insurer, as the insurer drafts the policy, and
      controls coverage.

      A contract is ambiguous if it is fairly susceptible of different
      constructions and capable of being understood in more than one
      sense. This question is not to be resolved in a vacuum. Rather,
      contractual terms are ambiguous if they are subject to more than

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       one reasonable interpretation when applied to a particular set of
       facts.

Michael, 162 A.3d at 474 (citations omitted and formatting altered).

       Instantly, Appellants summarily assert that “[t]hese definitions and

exclusions are the very definition of ambiguous. None of the above referenced

exclusions adequately or clearly defines employee.” Appellants’ Brief at 14.

Appellants, however, do not explain why or how Appellee’s definition of

“employee” and “temporary worker” are “the very definition of” ambiguous.

Appellants do not identify any other “reasonable interpretation when applied

to a particular set of facts.” See Michael, 162 A.3d at 474. This Court is not

a position to act as Appellants’ counsel and argue why these definitions are

purportedly ambiguous, let alone identify a particular set of facts. See Sutton

v. Bickell, 220 A.3d 1027, 1036 (Pa. 2019) (refusing to consider undeveloped

argument); Hess v. Hess, 212 A.3d 520, 526 (Pa. Super. 2019) (same).6

Appellants have not established entitlement to relief on this issue.

       Last, Appellants argue that because Davenport was a volunteer, he was

not an employee under the CWM Act. Appellants’ Brief at 14. Appellants note



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6 See Collins v. Phila. Suburban Dev. Corp., 179 A.3d 69, 77 (Pa. Super.
2018) (refusing to consider the appellant’s four-sentence argument, which
was devoid of citation or analysis of relevant authority); see also
Commonwealth v. Williams, 782 A.2d 517, 532 (Pa. 2001) (Castille, J.,
concurring) (“This Court is neither obliged, nor even particularly equipped, to
develop an argument for a party. To do so places the Court in the conflicting
roles of advocate and neutral arbiter.”).


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that Davenport did not file a workers’ compensation claim. Id. Appellants

contend that this case is controlled by Brookhaven Baptist Church v.

Workers’ Comp. Appeal Bd., 912 A.2d 770 (Pa. 2006) (Brookhaven). Id.

at 16-17. After summarizing the facts of Brookhaven, Appellants argue as

follow:

       In the case at bar, Benjamin testified that Davenport was there to
       keep cars safe when they came through the alley, and to pick up
       materials thrown off the roof. Davenport was not there to get on
       the roof, which of course he did on his own accord. Second,
       Davenport’s alleged employment was clearly occasional, irregular
       or incidental, in that he was only helping out for the second time
       with Benjamin. In fact, Benjamin Construction has no employees
       according to Lee Benjamin. Helping out twice with no prearranged
       negotiated payment arrangement is clearly casual in nature.

Id. at 17-18.7

       By way of background, the CWM Act “concerns the construction industry

and affects the determination of who is an independent contractor versus an

employee” “for purposes of workers’ compensation.”         Dept. of Labor &

Indus. v. Workers’ Comp. Appeal Bd., 155 A.3d 103, 111 (Pa. Cmwlth.

2017) (footnote and citation omitted).8 Simply, “[i]f a worker falls within the

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7 In relevant part, Appellee notes that although the trial court relied on
Hammermill, Appellants have not cited or discussed Hammermill in its
appellate brief. Appellee’s Brief at 23 n.5 (arguing “how can [Appellants]
satisfy their burden on appeal when they have not even addressed the
controlling legal framework underlying the issue they raised before this
Honorable Court?”).
8“We note that this Court is not bound by decisions of the Commonwealth
Court. However, such decisions provide persuasive authority, and we may



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purview of the [CWM Act] and does not meet the requirements to be

considered an independent contractor under the [CWM Act], then that

individual will be deemed to be an employee for purposes of workers’

compensation.” Id. (citation omitted). The Commonwealth’s Department of

Labor & Industry (Department of Labor) enforces the CWM Act:

       (d) Enforcement.—If, subsequent to issuing an order to show
       cause under subsection (c), the secretary finds probable cause
       that an employer has committed a criminal violation of this act,
       the secretary shall refer the matter to the Office of Attorney
       General for investigation or impose administrative penalties under
       section 6.

43 P.S. § 933.4(d).9 See generally Dept. of Labor & Indus., 155 A.3d at

113 & nn.17-18 (discussing Department of Labor’s enforcement activities and

noting legislative history that the CWM Act was intended to give enforcement

power to the Department of Labor).

       Instantly, Appellee correctly notes that Appellants’ appellate brief fails

to address the trial court’s Hammermill analysis. Appellants do not challenge

the trial court’s Hammermill reasoning and explain how the trial court erred.

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turn to our colleagues on the Commonwealth Court for guidance when
appropriate.” Haan v. Wells, 103 A.3d 60, 68 n.2 (Pa. Super. 2014) (citation
omitted and formatting altered).
9 See also 43 P.S. § 933.6 (discussing the administrative penalties that may
be imposed by the “Secretary of Labor and Industry of the Commonwealth or
the secretary’s authorized representative” (referencing § 933.2)), § 933.7
(stating that the secretary may issue a stop-work order for any violation), §
933.8 (noting that certain actions are subject to the provisions of
administrative law), § 933.17 (stating “the department shall not be required
to enforce this act until adequate funding is appropriated”).


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Even if we held that the trial court erred regarding its interpretation of the

CWM Act, Appellants simply did not dispute the trial court’s application of

Hammermill. Appellants therefore have not established any basis for this

Court to reverse the trial court’s order.

      Regardless, Appellants cannot rely on the CWM Act, as the CWM Act

impacts only workers’ compensation law and not the interpretation of

insurance policies. See Dept. of Labor & Indus., 155 A.3d at 111. Further,

only the Commonwealth’s Department of Labor may enforce the CWM Act and

impose civil penalties. See 43 P.S. §§ 933.4(d), 933.6, 933.7, 933.8, 933.17;

Dept. of Labor & Indus., 155 A.3d at 113 & nn.17-18. The Commonwealth’s

Department of Labor is not a party to this action, and therefore the CWM Act

is inapplicable. For these reasons, Appellants are not entitled to relief. See

Michael, 162 A.3d at 472-73.

      Order affirmed.

Judgment Entered.




Joseph D. Seletyn, Esq.
Prothonotary



Date: 02/22/2021




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