CORRECTED OPINION ON MOTION FOR REHEARING
Our opinions of August 28, 1997, and October 23, 1997, are withdrawn and this one substituted for them. The issues presented in this appeal from a summary judgment all revolve around one main issue: whether fee forfeiture is a viable remedy in Texas when an attorney breaches a fiduciary duty to a client, and, if fee forfeiture is a viable remedy, how it is applied. Concluding that fee forfeiture is a viable remedy, we reverse and remand in part and affirm in part.
On October 23,1989, a series of explosions rocked the Phillips 66 chemical plant in Pasadena, Texas. Twenty-three people were killed and hundreds were injured. Appellants hired appellees to file their individual suits against Phillips. All appellees agreed to payment on a contingency fee basis.
According to appellants, appellees did not develop or evaluate their claims individually, and instead, without discussion or authority, reached an “aggregate settlement” with Phillips for the entire suit. Only then were appellants “summoned” for a brief, twenty-minute meeting to discuss the settlement arrangements. Appellants allege appellees lied, and/or intimidated them into accepting the settlement and, in the process, “skimmed-off” sixty million dollars in attorneys’ fees.
Appellees, on the other hand, claim appellants became unhappy with their settlements when rumors began to circulate about larger settlements received by plaintiffs who were represented by other attorneys. Appellees allege appellants then began to believe their settlements were unfair and blamed their attorneys. Appellees contend there was no “aggregate settlement,” the settlements were adequate and fair.
Ultimately, appellants filed suit against ap-pellees alleging breach of fiduciary duty, fraud, violations of the Texas Deceptive Trade Practices Act (DTPA), negligence, and breach of contract. They asked to be awarded all fees paid to appellees, punitive or special damages under the DTPA, prejudgment and postjudgment interest, and attor *244 ney’s fees. According to appellees, however, appellants’ pleadings covered liability, but were “strangely vague” about damages. Ap-pellees filed a motion for summary judgment and a first supplemental motion for summary judgment alleging three grounds: (1) no aggregate settlement took place; (2) estoppel and ratification barred appellants from attacking the settlement agreements; and (3) nothing appellees did caused any damage to appellants, i.e., appellees’ settlements were fair and reasonable.
On January 11, 1995, the trial court held a hearing on the original and first supplemental motion for summary judgment. The court denied the motions and sent a letter to the parties explaining its ruling. The letter first stated that a fact issue existed “on whether there was an aggregate settlement of the plaintiffs’ claims against Phillips” and second, that the defendants had not addressed the plaintiffs’ claims for damages on the aggregate settlement. 1
Subsequently, the court held another hearing on appellees’ second supplemental motion for summary judgment, which included and incorporated their original and first supplemental motions for summary judgment. After the hearing, the trial court entered an order in which it found the motion should be denied as to the claim that there was no breach of duty because the court found there was evidence of an aggregate settlement sufficient to create a fact issue. The court also found, however, that the motion should be granted because (1) the summary judgment proof established that appellants suffered no damages as a result of any breach of duty, (2) the affidavits of Roberta Edwards, M.D., and Harry Wilson did not controvert the affidavit of Robert Malinack with competent evidence, and (8) fee forfeiture is not an element of damages, but a legal remedy that a court may apply only after a jury has found a breach of duty with resulting actual damages. Appellants perfected this appeal.
In reviewing a trial court’s order granting summary judgment, the court must determine whether the summary judgment proof establishes, as a matter of law, that there is no genuine issue of material fact as to one or more of the essential elements of the plaintiffs cause of action.
Gibbs v. General Motors Corp.,
In points of error one through four, appellants contend the trial court erred in granting summary judgment in favor of appellees. 2 Within these points of error, appellants raise several arguments. We will begin our review by addressing appellants’ third point of error concerning the concept of fee forfeiture and its application, if any, in Texas.
I. FEE FORFEITURE
In their third point of error, appellants argue that summary judgment was improper because they were inherently damaged by breaches of several fiduciary duties, and fee forfeiture is the appropriate remedy for those breaches. 3 To be entitled to the remedy of fee forfeiture, they do not have to prove *245 appellees caused actual damage—proof of a breach is enough. In support of this position, they remind us that the trial court found that a fact issue exists on at least one of the claimed breaches, aggregate settlement.
An aggregate settlement occurs when an attorney, who represents two or more clients, settles the entire case on behalf of those clients without individual negotiations on behalf of any one client.
See Scrivner v. Hobson,
As to the amount of forfeiture, appellants argue that once a breach is proved, the entire fee must be forfeited. In response, ap-pellees contend (1) there can be no forfeiture without actual harm to the client, and (2) total fee forfeiture is not automatic, rather the amount of forfeiture, if any, is in the trial court’s discretion.
A lawyer who represents two or more cliеnts shall not participate in making an aggregate settlement of the claims of or against the clients ... unless each client has consented after consultation, including disclosure of the existence and nature of all the claims or pleas involved and of the nature and extend of the participation of each person in the settlement. Tex Disciplinary R. Prof. Conduct 1.08(f) (1991), reprinted in Tex Gov’t Code Ann., tit. 2, suhtit. G app. (Vernon Pamph. 1997) (State Bar Rules art. X, § 9).
Considering the points appellants have raised and the responses to them, the main issue we must determine is whether an attorney’s fees can be forfeited when the attorney has breached a fiduciary duty owed the client by entering into an aggregate settlement. 6 If so, we must decide: (1) what a party must prove to be entitled to the remedy of fee forfeiture; (2) whether forfeiture of the entire fee is automatic or whether a portion of the fee be forfeited, with the attorney retaining the remainder; and (3) whether forfeiture is a question for the trial court or the trier of fact. 7 There is a corollary to the second question: if only part of the fee is subject to forfeiture, what factors should be considered in dеtermining the amount?
Inherent in any agency relationship is the fiduciary duty an agent owes to his or her principal.
Maryland Ins. Co. v. Head Indus. Coatings and Servs., Inc.,
As a remedy for a breach of a fiduciary duty, Texas has long recognized the concept of fee forfeiture in the principal-agent relationship.
8
See, e.g., Kinzbach Tool,
That leaves us with four sub-issues: (1) what a plaintiff must prove to be entitled to , fee forfeiture, (2) whether forfeiture should be automatic and total or decided on a case by case basis, (3) who should decide the forfeiture issue, judge or jury, and (4) what factors should be considered in deciding whether to forfeit fees. To answer the first of these—what a plaintiff must prove to be entitled to fee forfeiture—-we refer to those Texas cases dealing with forfeiture in the typical principal-agent relationship. In
Kinzbach Tool,
Corbett-Wallace Corporation desired to sell its patent rights on a tool to Kinzbach Tool.
Turner, a trusted Kinzbaeh Tool employee, returned to his own employer and. approached the officers of the company about the contract. Id. at 510-11. The president instructed Turner to find out Corbett’s asking price, and advised Turner that Kinzbaeh Tool would be willing to pay as much as $25,000. Id. at 511. Turner never told anyone at Kinzbaeh Tool that Corbett would be willing to sell the contract for $20,000, nor did he tell anyone he would receive a commission from Corbett. Id.
Ultimately, the companies closed the deal and Kinzbaeh Tool agreed to pay Corbett $25,000 for the contract. Id. Corbett paid Turner a commission, but Kinzbaeh Tool found out about it and refused to pay the full sale price. Id. Corbett in turn refused to accept less than $25,000, so Kinzbaeh filed suit against the company and Turner to recover Turner’s commission. Id. at 511-12. Corbett cross-claimed for breach of contract. Id.
Corbett and Turner answered Kinzbaeh Tool’s claim by arguing that Kinzbaeh Tool was not damaged because the patent was worth what the company paid for it. Id. at 514. The supreme court rejected their argument. After finding that Turner was in a fiduciary relationship with his employer, the court wrote the following:
A fiduciary cannot say to the one whom he bears such relationship: You have sustained no loss by my misconduct in receiving a commission from a party opposite to you, and therefore you are without remedy. It would be a dangerous precedent for us to say that unless some affirmative loss can be shown, the person who has violated his fiduciary relationship with another may hold on to any secret gain or benefit he may have thereby acquired. It is the law that in such instances if the fiduciary “takes any gift, gratuity, or benefit in violation his duty, or acquires any interest adverse to his principal, without a full disclosure, it is a betrayal of his trust and a breach of confidence, and he must account to his principal for all he has received.”
Id.
(quoting
United States v. Carter, 217
U.S. 286, 305-08,
Russell v. Truitt,
a case decided by the Second Court of Appeals, is similar to
Kinz-baeh Tool.
Several joint venturers in an apartment project appointed Russell their agent for the project.
Russell,
If the letter agreement constitutes a breach of the defendants’ [Russell’s and Campbell’s] equitable duties as a fiduciary, it is unnecessary to decide whether the breach was the 'proximate cause of the project’s failure. The breach automatically results in the forfeiture of the agent’s compensation.
Id. (emphasis added).
More recently, the First Court of Appeals reached the same result in
Judwin Proper
*248
ties,
We interpret the holdings in these cases by the Supreme Court and the First and Second Courts of Appeals to hold that the breach of the fiduciary relationship inherently damaged the plaintiff, and thus, there was no need to prove causation or damage.
See Kinzbach Tool,
Texas is not the only state to require fee forfeiture in a fiduciary context. In fact, our holding is supported by cases from other jurisdictions addressing the issue specifically in the context of the attorney-client relationship. In the
Perl
trilogy, the Minnesota Supreme Court held that no causation оr damage need be proved to invoke fee forfeiture because “the injury lies in the client’s justifiable perception that he or she has or may have received less than the honest advice and zealous performance to which a client is entitled.”
Gilchrist v. Perl,
Having determined that fee forfeiture exists in Texas in the contеxt of the attorney-client relationship, and that all the ehent need prove is a breach of fiduciary duty by the attorney, we must now address appellants’ claim that forfeiture is complete and automatic upon proof of a breach. This position has support in the Texas cases involving the general principal-agent relationship. The courts have sanctioned complete forfeiture,
see Kinzbach Tool,
In the first case of the
Perl
trilogy, the Minnesota Supreme Court held the failure by an attorney to disclose his conflict of interest constituted a breach of fiduciary duty entitling the ehent to a complete forfeiture of attorney’s fees.
Rice v. Perl,
We agree with the Minnesota Supreme Court that an attorney need not necessarily forfeit his or her entire fee because of a breach of fiduciary duty. It is possible that, before the breach occurred, the attorney may have provided valuable services to the ehent for which compensation is appropriate.
See Scheller,
(1) the nature of the wrong;
(2) the character of the conduct involved;
(3) the degree of culpability of the wrongdoer;
(4) the situation and sensibilities of the parties concerned;
(5) the extent to which such conduct offends a public sense of justice and propriety; and
(6) the net worth of the defendant.
Tex. Civ. PRAC. & Rem.Code Ann. § 41.011(a) (Vernon 1997).
We have considered all of the factors listed above, and hold that in determining the amount, if any, of the fеe forfeiture, the entity assessing forfeiture should consider: (1) the nature of the wrong committed by the attorney or law firm; (2) the character of the attorney’s or firm’s conduct; (3) the degree of the attorney’s or firm’s culpability, that is, whether the attorney committed the breach intentionally, willfully, recklessly, maliciously, or with gross negligence; (4) the situation and sensibilities of all parties, including any threatened or actual harm to the client; (5) the extent to which the attorney’s or firm’s conduct offends a public sense of justice and propriety; and (6) the adequacy of other available remedies.
Having decided that fee forfeiture is an equitable remedy,
see International Bankers,
In reaching our decision that fee forfeiture is a valid remedy, wе do not confuse our role with that of the state bar disciplinary committee, whose job is to oversee violations of disciplinary rules in this state. That the disciplinary committee may reprimand or sanction an attorney for certain misconduct, however, provides no relief to the client whose trust and faith have been abused. While the disciplinary committee serves the role of maintaining standards of the legal profession, the courts serve the role of compensating the client for the injury created by the client’s justifiable perception that he or she may have received less than the honest advice and zealous performance to which a client is entitled.
See Gilchrist v. Perl,
In sum, we hold that Texas recognizes fee forfeiture in the context of the attorney-client relationship. To be entitled to forfeiture, the client need only prove the existence of a breach; proof of causation and/or damage is not necessary. The amount of forfeiture, if any, is to be determined by the trial court, using the factors set out in this opinion. Because the trial court determined a fact issue exists as to one of the breaches claimed by appellants, i.e., whether appellants obtained an aggregate settlement on behalf of appellees, we must reverse and remand this case to allow appellants an opportunity to prove a breach. That there may be no causation and no damage as a matter of law is irrelevant to the availability of the remedy of fee forfeiture; proof of breach is enough. Thus, the trial court erred in finding that proof of causation and damage is a prerequisite to the invocation of the remedy of fee forfeiture. We sustain point of error three.
II. THE AFFIDAVIT OF ROBERT MALINACK
In addition to alleging several breaches of fiduciary duty, appellants alleged fraud, negligence, breach of contract, and violations of the DTP A. These claims require proof of causation and damage, and therefore, we must review appellants’ contentions regarding the alleged deficiencies of Robert Mali-nack’s affidavit, an affidavit submitted by appellees to support their motion for summary judgment.
In point of error two, appellants argue the trial court erred in granting summary judgment because the affidavit of Robert Mali-nack (1) dоes not concern a subject upon which the trier of fact must be guided solely by expert testimony, and (2) is too conclusory to support summary judgment. We disagree with both contentions.
In his affidavit, Malinack essentially avers that appellees caused no damage to appellants, thereby negating the elements of causation and damage; he ultimately concludes the settlements appellants received were reasonable. A movant can establish its right to summary judgment solely on the uncontroverted testimony of an expert witness if the subject is one in which the trier of fact would be guided solely by the opinion testimony of experts.
Anderson v. Snider,
These cases,
Delp v. Douglas,
Settlements of personal injury and wrongful death cases involve experience and specialized knowledge. An attorney must review and analyze, among other things, the underlying liability facts, the identity of the defendant, the damage elements available to a plaintiff, the specific injuries or losses incurred by a plaintiff, the settlement amounts received in similar cases, the complexity of the case, as well as the strength and resources of the opposing counsel. This information and its evaluation in the context of a settlement offer requires specialized knowledge of the law. This is a skill not ordinarily possessed by lay persons. A lay jury cannot be expected to ascertain, without guidance from a legal expert, whether an attorney obtained a reasonable settlement for his or her client. We hold that whether the attorneys in this case caused damage to appellants is a question upon which the trier of fact must be guided solely by expert testimony. Therefore, the Malinack affidavit does concern an issue upon which the trier of fact must be guided solely by expert testimony.
Now we must address whether the Malinack affidavit is sufficient to establish appellees’ right to judgment as a matter of law. Appellees contend the affidavit is comprised of mere legal conclusions and is therefore insufficient to support summary judgment.
Summary judgment may not be granted on conclusory evidence.
Aldridge v. De Los Santos,
The Malinack affidavit states:
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5. I have reviewed the following, and base my opinions in this Affidavit, in part, upon the following:
a. Plaintiffs’ Original Petition;
b. Affidavit of David Burrow;
c. Affidavit of Blake Tartt;
d. Plaintiff Case Analysis on each Plaintiff;
e. Plaintiff deposition summaries;
f. Excerpts frоm David Burrow’s deposition relating to liability issues.
My opinions as expressed are based upon facts in these documents, as well as upon my experience and training as a personal injury civil trial lawyer.
*253 6. Based upon the foregoing my opinions are:
It is important as an attorney in evaluating cases for settlement to consider the underlying liability facts involved, and in this instance the underlying liability facts with reference to the Phillips explosion of 1989. In my opinion it is critical to the settlement evaluation of the cases arising out of that explosion to consider the identity of the employer of the plaintiffs and/or decedents at the time of the explosion. Moreover, I believe that it is important to consider the elements of damages available to each Plaintiff, whether it be an injury case, or a death case, and to consider the losses that occurred to each Plaintiff as a result of the explosion. I have considered the underlying liability facts, the employment status of the Plaintiffs and/or decedents, and have considered the elements of and damage facts on each Plaintiff to render my opinions expressed in this Affidavit. The Plaintiffs were caused no damages by reason of any аnd/or all of the allegations made by them against the Defendants. Each and all of the Plaintiffs were reasonably and fairly compensated by way of settlement for those elements of damages that were available to them as Plaintiffs in the eases against Phillips, taking into account the employment, liability, and injury facts involved. I have not addressed the issues concerning the allegation of malpractice, wrongdoings, or omissions which allegedly resulted in damages to Plaintiffs. Irrespective of the validity of those allegations, it is my opinion that the Plaintiffs have not been damaged as a result of any of these allegations, whether groundless or valid.
Deciding whether an affidavit is sufficient, or instead, is conclusory and without basis can be a difficult matter. Nonetheless, it is a decision we must reach. In those cases in which the courts found an expert’s affidavit insufficient to support summary judgment, they often based their findings on the expert’s failure to provide any legal basis or reasoning for his or her conclusion.
See Lara v. Tri-Coastal Contractors, Inc.,
We do not find the Malinack affidavit deficient in this respect. Malinack carefully included the legal basis and reasoning for his opinion that nothing appellees did caused any damage to appellants and this reason is more than a general statement or conclusory opinion. Malinack’s affidavit shows that he formed a specific opinion, taking into account numerous factors an attorney must necessarily consider in determining whether to settle a lawsuit, and using specific information about each plaintiff in applying to those factors. Particularly, Malinack stated that he considered the underlying liability facts, employment status, available damages, and specific damage facts “on each Plaintiff” in rendering his opinion that nothing appellants did caused any damage to appellees.
Malinack could have addressed the issues by listing each plaintiff separately, with the relevant data concerning them. Although that may have been clearer and more direct, we are of the opinion it is not required. As written, the affidavit gave appellants enough information, by referring to the specific items relied on, to enable them to controvert it. In fact, appellants did understand precisely what Malinack relied on because one of their experts, Dr. Edwards, referred to the cаse summaries Malinack consulted and proclaimed them deficient. Malinack also could have listed what he considered to be the components of damages for each plaintiff, such as actual damages, mental anguish, and past and future pain and suffering, and this, too, would have made the affidavit clearer, but it is not deficient for lack of these items.
We hold the affidavit is not conclusory, and is sufficient to negate the elements of causation and damage as a matter of law. In short, based on the Malinack affidavit, and setting aside the issue of fee forfeiture, ap-pellees were entitled to judgment as a matter of law on causation and damages and, therefore, we overrule point of error two.
III. THE AFFIDAVITS OF ROBERTA EDWARDS AND HARRY WILSON
The burden then shifted to appellants, as non-movants, to introduce evidence
*254
that raised an issue of fact on the elements of causation and damage.
See Lentino v. Cullen Ctr. Bank and Trust,
Because we have held that expert testimony was required, appellees had to present expert evidence raising an issue of fact on the elements of causation and damage.
See Anderson,
In their fourth point of error, appellants raise two contentions. First, they contend summary judgment should not have been granted in favor of appellees because the affidavits of Roberta Edwards and Harry Wilson controvert the Malinack affidavit. 11 Second, appellants claim that even if the affidavits of Edwards and Wilson are insufficient to create a fact issue precluding summary judgment, certain other evidence in the record is sufficient and raises fact issues precluding summary judgment. This other evidence includes deposition testimony and affidavits containing statements by individual appellants in which they evaluate their own claims and conclude they were under compensated and therefore, suffered injury. Additionally, appellants cite to “anecdotal evidence from the lawyers’ files regarding dollar amounts assigned to each claimant.”
We hold the affidavits and deposition testimony of certain individual appellants are insufficient to raise a fact issue precluding summary judgment. As we discussed in regard to the Malinack affidavit, the question of damages in this case was directly dependent on whether appellants received reasonable settlements. This question was a matter upon which the jury had to be guided solely by expert testimony.
See
Tex.R. Civ. P. 166a(c). And, as we noted above, lay testimony is insufficient to refute an expert’s testimony.
See Anderson,
As to the notes in the attorneys’ files concerning a dollar amount assigned to each plaintiff, this “anecdоtal evidence” relied upon by appellants goes to whether an aggregate settlement occurred, not whether ap-pellees caused any injury or damage to appellants. It too, is insufficient to create a fact issue on causation or damages.
*255
Thus we are left with the Edwards and Wilson affidavits. Appellants introduced these affidavits to controvert the Malinack affidavit. To accomplish this result the affidavits must present some probative evidence of the facts at issue, specifically causation and damages.
Ryland Group, Inc. v. Hood,
We look first at the Edwards affidavit. The trial court found that Edwards’ affidavit did not controvert Malinack’s affidavit “with competent evidence.” The trial court did not explain why the evidence in the Edwards affidavit was incompetent. We have reviewed the affidavit and agree with the trial court. Edwards’ affidavit is incompetent, and therefore, does not raise a fact issue defeating summary judgment because there is nothing in the affidavit to show she is competent to testify on the reasonableness of settlements in personal injury and wrongful death cases.
Roberta M. Edwards stated her qualifications as an expert in paragraph two of her affidavit: 12
I am a medical doctor. I have been licensed since 1968 and am currently licensed to practice medicine in the state of Oklahoma. I am also a lawyer. I have been licensed to practice law by the State of Oklahoma since 1982.
Texas Rule of civil Procedure 166a(f) requires that in summary judgment proceedings, supporting and opposing affidavits “shall set forth such facts as would be admissible in evidence, and
shall show affirmatively that the affiant is competent to testify to the matters stated therein.” United Blood Servs. v. Longoria,
To be qualified to render an expert opinion, the party offering the expert testimony must show the expert has “knowledge, skill, experience, training, or education” that would “assist the trier of fact.” Id. at 30-31 (citing Tex.R. Civ. Evid. 702). If the party offering the expert testimony fails to make the showing required by rule 702, the trial court acts within its discretion in rejecting such testimony as incompetent. See id. at 31.
We find appellants completely failed to carry their burden of establishing Edwards’ qualifications. Her mere recitation that she is a lawyer, licensed by the state of Oklahoma since 1982, is inadequate to establish that she is competent to testify to the matters stated in her affidavit. See Tex.R. Civ. P. 166a(f). Edwards attempted to render an opinion on the alleged unreasonableness of the settlements received by the appellants. The settlements arose out of personal injury and wrongful death claims. The affidavit does not state whether Edwards actively practices law, much less in the relevant fields of wrongful death and personal injury. She does not state whether she even has any experience in personal injury law, or has ever evaluated, tried, or settled such a case. For comparison, we note the extensive statement of qualifications listed by Malinack. In his affidavit, Malinack stated that he has been a civil trial attorney for thirty-three years, settling and trying personal injury and death cases, he knows the duties and responsibilities of attorneys practicing in personal injury law and he is familiar with evaluating, trying, and settling personal injury and death cases. We conclude that the Edwards affidavit failed to establish that she is qualified to render the opinions stated in her affidavit *256 and hold the affidavit does not raise a fact issue that would defeat summary judgment.
Appellants also introduced the affidavit of Harry A. Wilson, an attorney licensed by the state of Indiana. The majority of the Wilson affidavit addresses the issue of breach of fiduciary duty. As we have already stated, the trial court found there was a fact issue on this question. But, in one paragraph, Wilson addresses the causation and damage:
The plaintiffs were damaged by the wrongful and improper conduct of the defendant lawyers by (1) the loss of the important right of the plaintiffs to control and make decisions regarding the ultimate disposition of the claims of the plaintiffs against the Phillips defendants, (2) the uninformed and involuntary waiver by the plaintiffs of their right to have their case tried to a jury, and (3) the difference between (a) the amount received by the plaintiffs and (b) the amount they should have received if the case was handled properly by lawyers without breach of professional standards and fiduciary duties, which exact amount is incapable of exact calculation unless and until the plaintiffs have the opportunity to reopen the case against the Phillips defendants with competent, professional, and ethical legal representation and individual not aggregate handling of the case,
(emphasis added)
While Wilson does opine that appellants were damaged, he also states that the amount of the damage is incapable of calculation barring a reopening of the underlying suit against Phillips. In effect, the Wilson affidavit says that there is no figure, no specific or estimated amount or range of money appellants should have received or by which they were damaged. According to the affidavit, determining appellants’ damages is impossible without going through settlement negotiations once again with lawyers who are faithfully adhering to their fiduciary duty to the client. A statement that damages are incapable of calculation is legally insufficient evidence of damages.
See, e.g., International & G.N.R. v. Simcock,
Thus, we hold that the Wilson affidavit did not controvert the Malinaek affidavit. Having concluded that neither of рlaintiff’s experts controverted the Malinaek affidavit, we overrule point of error four.
IV. DECISION TO STRIKE FOUR PLAINTIFFS
We now turn to the last point of error raised by appellants, their fifth point of error. In it appellants complain the trial court erred in striking four plaintiffs added in appellants’ First Amended Original Petition. Plaintiffs Gary McPherson, Jason Campbell, Justin Campbell, and Jaret Campbell were first added as plaintiffs in appellants’ First Amended Original Petition filed January 25, 1995. When the petition was filed, appellees objected on grounds of lack of service of citation and the untimeliness of the appearance of these four plaintiffs. Relying on rule 124, appellees contend the trial court properly struck the four plaintiffs because these plaintiffs had failed to serve appellants with process and appellants did not waive service.
See
Tex.R. Civ. P. 124 (stating that no judg
*257
ment shall be rendered against any defendant unless there is service, acceptance or waiver or process, or an appearance);
Commodore County Mut. Ins. Co. v. Tkacik,
Rule 63 of thе Texas Rules of Civil Procedure provides that parties may amend their pleadings freely. Tex.R. Civ. P. 63. The only limitation to free amendment is that pleadings offered within seven days of the date of trial or thereafter shall be filed only after leave of the judge is obtained.
Id.; Chapin v. Texas Sand & Gravel Co.,
According to appellees’ own objection, the First Amended Original Petition, which added the four additional plaintiffs, was filed “less than two weeks before trial,” not less than seven days. Because it was filed more than seven days before trial, appellants were entitled to amend their petition without leave of court.
See Chapin,
Thus, assuming the petition was filed less than seven days before trial, appellants were free to amend their petition under rule 63 because there was no showing of prejudice or surprise.
Cf. American Petrofina, Inc. v. Allen,
It has long been the rule in this state that a defendant who has been served but has not answered must be notified of every amendment which sets up a new cause of action or requires a more onerous judgment of him.
Weaver v. Hartford Accident and Indem. Co.,
In addition, even as long ago as 1883, Texas courts have held that a defendant who is in court by reason of having filed an answer is not entitled to service of new process after an amendment of the plaintiffs petition even if the amendment brings new parties into the case.
Roberson v. McIlhenny, Hutchins & Co.,
In this case, appellees answered the original petition, and therefore, were bound to take notice of the pleading that added the four additional plaintiffs. They obviously did take notice, because they quickly filed an objection to the addition of the four plaintiffs. Based on the eases cited above, we hold the addition of the four plaintiffs did not set up a new cause of action, and service of citation from these plaintiffs was not required. Therefore, the trial court erred in striking plaintiffs Gary McPherson, Jason Campbell, Justin Campbell, and Jaret Campbell. We sustain point of error five.
y. CONCLUSION
In conclusion, we sustain point of error three concerning the fee forfeiture issue and hold that fee forfeiture is recognized in this state and requires only proof of a breach of fiduciary duty. We also sustain point of error five and hold the trial court erred in striking plaintiffs Gary McPherson, Jason Campbell, Justin Campbell, and Jaret Campbell. We overrule point of error two and hold the Malinack affidavit was sufficient to support summary judgment on those claims where causation and damage was necessary. We also overrule point of error four and hold that none of the summary judgment evidence submitted by appellants was sufficient to raise a fact issue. 14 Based on these rulings, we reverse the trial court’s judgment and remand the case. Upon any trial of this case, the only issues remaining are whether there was a breach of any fiduciary duty, and if so, the amount, if any, of the fee forfeiture. The issues of causation and damage as to all other claims have been negated as a matter of law.
Notes
. The letter's only import is background information, for the judgment is the only place we can look for the reasons the judgment was entered.
Shannon v. Tex. Gen. Indent. Co.,
. Point of error one is a general point stating "The trial court erred in granting the defendants' motion for summary judgment.” Points of error two through four are specific contentions subsumed under this general contention. We will refer to a specific argument by the point of error to which it relates. So, we will rule on point of error one by ruling on the points containing a specific contention.
.Appellants contend appellees breached their fiduciary duties by (1) soliciting business through a lay intermediary, (2) failing to fully investigate and assess individual claims, (3) failing to communicate offers received and demands made, (4) entering into an aggregate settlement, (5) agreeing to limits on their practice of law, and (6) intimidating clients into settlement through subtle and overt threats, coercion, and false entreaties or promises.
.Furthermore, it is a violation of the Texas Disciplinary Rules of Professional Conduct of an attorney who represents two or more clients to make an aggregate settlement without the clients’ consent. Rule 1.08(f) states:
. We note that neither appellants nor appellees have argued that entering into an aggregate settlement without the clients’ consent is not a breach of fiduciary duty.
. This opinion is limited to thе 1ype of fiduciary duty potentially breached in this case. It does not address or consider if breaches of any fiduciary duty owed by a lawyer to a client would support fee forfeiture.
. We must address this last issue because the trial court notified the parties by letter that ”... fee forfeiture is not an element of damages, but a legal remedy that a Court (as opposed to a jury) may apply as a matter of law after a jury has found both breach of duty by an attorney and damages arising out of that breach.”
. Texas also recognizes other equitable remedies for breaches of fiduciary duty including rescission or the imposition of a constructive trust.
Chien
v.
Chen,
. Though some jurisdictions require a showing of damage, we find the better approach is that represented by the Minnesota cases.
See Frank v. Bloom,
. At the time of this writing, the draft of the Restatement (Third) of the Law Governing Lawyers has not been considered by the members of The American Law Institute. Restatement (Third) of the Law Governing Lawyers § 49 n.a (Proposed Final Draft No. 1, 1996). . Therefore, we refer to it cautiously, acknowledging that any portions *250 cited by this court do not reflect the position of any member of the Institute. Nevertheless, those sections cited by this court reflect our opinion on the issue, regardless of subsequent approval or disapproval by the Institute.
. Appellants also claim the trial court abused its discretion by striking Edwards' affidavit. Appel-lee John E. Williams, individually and as a partner in Umphrey, Burrow, Reaud, Williams & Bailey, objected to and moved to strike Edwards’ affidavit on the ground that she was not designated as an expert witness and appellants’ deadline to designate experts had expired. In its judgment, the trial court denied the objection; however, the trial court also specifically stated "the Affidavits of Roberta Edwards, M.D. and Harry Wilson do not controvert the Affidavit of Robert Malinack with competent evidence.” Thus, it appears the trial court did consider Edwards’ affidavit, but found that it was insufficient to raisе a fact issue precluding summary judgment. In their brief, appellees admit the trial court considered the affidavit and raise no complaint to its consideration. In light of these facts, we will consider the Edwards affidavit in our review, and therefore, it will be unnecessary to determine whether the trial court abused its discretion in sustaining the objection based on the competency of the evidence.
. Edwards’ qualifications as a medical doctor are irrelevant insofar as the issue of causation and damage are concerned. As we discussed with regard to the Malinack affidavit, the question of causation and damage in this case was a matter requiring expert legal testimony. Thus, our review is limited to the two statements in Edwards’ affidavit concerning her qualifications in the legal field.
. This rule is analogous to the rule that an intervener need not have formal service of process issued on a defendant who has made an appearance in a case. 1 McDonald, Texas Civil Practice, § 5.81.
. As we noted at the beginning of this opinion, point of error one is a general point of error complaining that the trial court erred in granting summary judgment. The remaining points of error are specific complaints about the summary judgment. By ruling on points of error two through five, we have ruled on point of error one.
