Irа E. BRANHAM; Miller Kent Carter; and Branham and Carter, P.S.C., Appellants, v. Elizabeth STEWART (Guardian of the Estate of the Person of Gary Ryan Stewart, an Incompetent Person), Appellee.
No. 2007-SC-000250-DG.
Supreme Court of Kentucky.
March 18, 2010.
307 S.W.3d 94
III. Conclusion
Therefore, for the reasons stated, I dissent.
VENTERS, J., joins this dissent.
David C. Stratton, Stratton, Hogg & Maddox, PSC, Herman Michael Lucas,
John J. Mueller, John J. Mueller, LLC, Cincinnati, OH, Counsel for Appellee.
Opinion of the Court by Chief Justice MINTON.
I. INTRODUCTION.
The trial court dismissed this legal malpractice and breach of fiduciary duty case by granting summary judgment in favor of the defendant-attorney who argued that he owed no legal duty to a minor on whose behalf he had filed and settled a personal injury case. The defendant-attorney asserted that no attorney-client relationship existed between the minor and him because the minor‘s next friend and statutory guardian retained him to pursue the minor‘s tort claim. On discretionary review, we hold that an attorney pursuing a claim on behalf of a minor does have an attorney-client relationship with the minor. And that relationship means that the attorney owes professional duties to the minor, who is the real party in interest.1 So it is possible for the minor to state a claim fоr legal malpractice or breach of fiduciary duty against the attorney who has been retained by a person acting as the minor‘s next friend or statutory guardian. Thus, we affirm the Court of Appeals opinion reversing the summary judgment and remanding for further proceedings.
II. FACTS.
Gary Ryan Stewart suffered severe injuries in a car accident in which his father and brother were killed. He was a minor2 at the time of the accident. His mother, Vicky Backus, retained attorney Ira Branham to represent her in three capacities: (1) individually, (2) as Next Friend3 of Gary Ryan Stewart, and (3) as administrator of the deceased brother‘s estate in filing tort claims in Pike Circuit Court for the injuries her sons suffered in the accident. Shortly after filing suit in circuit court, Branham represented Backus in Pike District Court4 on her petition for appointment as the statutory guardian5 of Stewart, who was then still a minor.6 Backus was required to post a $5,000 bond; but no surety was required.7
During the ensuing years, Stewart reached the age of majority, married, and fathered two children. An Arkansas resident, he filed suit in his own name in Arkansas, alleging that his mother and stepfather, who also lived in Arkansas, failed to transfer to him the money he was awarded in the Kentucky car accident case. A few months later, his wife, Elizabeth Stewart, petitioned an Arkansas court to have Stewart declared incompetent. Stewart had allegedly suffered a head injury in the Kentucky accident that resulted in brain damage. The Arkansas court eventually declared him incompetent and named Elizabeth as her husband‘s guardian.
Meanwhile, Elizabeth, aсting as Stewart‘s guardian, filed the instant legal malpractice and breach of fiduciary duty case8 in Pike Circuit Court, alleging that an attorney-client relationship between Branham and Stewart was formed by Branham‘s representation of Stewart‘s mother as his Next Friend and Guardian and that Branham breached his duties to Stewart. Discovery commenced; and Branham filed a motion for summary judgment, contending that the claims should be dismissed on two alternate bases: (1) Branham allegedly having no attorney-client relationship with Stewart and, thus, owing duties only to Backus and not to Stewart and (2) running of the statute of limitations.9 Following a hearing, the Pike Circuit Court granted summary judgment in favor of Branham, orally stating that the lawsuit seemed to assert a cause of action that had never before been recognized by Kentucky courts. The trial court indicated an intention to allow the appellate courts of this state to decide whether this cause of action should be recognized before a trial be held on the matter.
Stewart appealed to the Court of Appeals. The Court of Appeals reversed the trial court, holding that an attorney-client relationship existed between Branham and Stewart, the real party in interest. We accepted discretionary review and now affirm the opinion of the Court of Appeals.
III. ANALYSIS.
A. Applicable Standard of Review is De Novo.
In reviewing a trial court‘s grant of summary judgment, we can uphold the summary judgment only if the party opposing summary judgment “could not prevail under any circumstances” at trial, viewing the evidence in the light most favorable to that party.10 Because factual findings are not at issue and because the trial court‘s grant of summary judgment was based on its determination of the legal issue of duty,11 its judgment is entitled to no deference but must be reviewed under the de novo standard.12
B. Attorneys Retained by a Minor‘s Next Friend or Guardian Owe Professional Duties to the Minor.
Under Kentucky law, a next friend may bring an action on behalf of a minor.13 The next friend is the minor‘s agent14 under Kentucky law.15 And the minor is the real party in interest in any lawsuit filed on the minor‘s behаlf by the minor‘s next friend. Kentucky case law has long boldly proclaimed that the minor “himself is the plaintiff” in cases filed by the minor‘s next friend.16
There are other theories, such as recognizing a duty to the next friend‘s or guardian‘s minor or ward as a third-party beneficiary; but it seems clear to us that an attorney in this situation has аn attorney-client relationship with, and owes professional duties to, the minor or ward. Perhaps the Georgia Court of Appeals said it best in rejecting an argument that an attorney for a minor plaintiff‘s guardian ad litem21 owed no duties to the minor plaintiff:
In this case, defendant acted as the attorney for plaintiff‘s guardian ad litem. But in doing so, he clearly undertook to represent plaintiff‘s interests. Plaintiff was the real party with the legal interest warranting representation. As the intended beneficiary of the relationship between her guardian ad litem and defendant, plaintiff also was in privity with defendant, despite her minority. In cases like this, to suggest that the guardian alone is the attorney‘s client, and not the minor, is to ignore the guardian ad litem‘s representative capacity and the minor‘s direct interest.22
While we perceive no conflict between the interests of Stewart as beneficiary and ward and the interests of Backus as next friend and guardian, we recognize the existence of potential conflicts in this case between Stewart‘s interests and Backus‘s interests as an individual and as administrator of her deceased son‘s estate. But the fact that Branham accepted legal representation of these potentially conflicting interests does not negate the duties he owed to Stewart.25
Branham argues that finding that attorneys owe duties to the minor wards of their clients serving as next friends or guardians is unnecessary because of the statutory protections provided in these situatiоns. Namely, he points to the necessity of court approval for any settlement of the ward‘s claim by a guardian26 and bonding requirements to be set by the courts.27 Essentially, he argues that given these statutory protections for minors, he was not at fault for not demanding that Backus post a larger bond or provide a surety because it was the district judge‘s responsibility to require a surety for the protection of the minor. We agree that courts have responsibilities to protect minors; and, perhaps at least in hindsight, the district judge erred in not setting a larger bond or requiring a surety.28 But the fact that a court and the next friend or guardian also have responsibilities does not relieve an attorney of the duties owed to the real party in interest in the litigation. Rather, these various responsibilities may simply present a factual question as to causation of damages.
Brаnham also argues that since a guardian is a fiduciary, a Kentucky Bar Association ethics opinion (KBA E-401, issued September 1997) stating that the attorney represents the fiduciary, not the estate or beneficiaries, is applicable. But this ethics opinion specifically addresses “the lawyer‘s responsibilities to the beneficiaries of estates and trusts” and does not specifically apply to a minor‘s guardian or next friend. This ethics opinion is not binding on us in this context;33 and we think that Stewart raises a valid point that guardians are only obligated to work for the benefit of one person (the ward), rather than trustees or executors who may owe duties to beneficiaries with conflicting interests. So despite Branham‘s arguments to the contrary, we hold that the attorney retained by an individual in the capacity as a minor‘s next friend or guardian establishes an attorney-client relationship with the minor and owes the same professional duties to the minor that the attorney would owe to any othеr client.34
Branham urges us to adopt the test stated in RESTATEMENT (THIRD) GOVERNING LAWYERS § 5135 for determining if lawyers owe duties to minors in these situations. But this test expressly applies to determining if a lawyer owes a duty to a non-client, third-party beneficiary. Because we have found that the attorney in these situations does have an attorney-client relationship with the minor ward, this test is not applicable.
C. No Reason for Limiting This Holding to Apply Prospectively.
This is a matter of first impression in Kentucky, but we see no reason to limit our holding to apply prospectively as Branham argues. Rather, we find it clear that Branham owed, and should have known he owed, duties to the minor whose interests he and the next friend and guardian were obligated to advance and protect. While we may occasionally exercise our discretion to make application of a holding prospective only,36 we, nonetheless, generally embrace the idea that although legislation may only apply prospectively, judicial decisions generally apply retroactively.37 And we have generally made decisions prospective only when overruling old precedent upon which the losing party has relied.38 This case does not overrule precedent so we see no reason to limit application prospectively. In fact, under longstanding precedent regarding next friends and guardians as minors’ agents and the minors involved as the real parties in interest in lawsuits filed or settled on their behalf, we think it was abundantly clear that an attorney retained by an individual in the capacity as the next friend or guardian of a minor owed professional duties to that minor. So we decline to hold this opinion operates only prospectively.
D. We Express No Opinion on Whether or When Attorney-Client Relationship Came to an End.
Because the existence of an attorney-client relationship between Branham and Stewart is the principal issue addressed by the parties to this appeal, the parties did not address arguments to the duration of the attorney-client relationship that we, by today‘s holding, have found to exist. We will attempt, nevertheless, to address briefly any concern about the terminus of the attorney‘s duties to any minor or ward retained by a next friend or guardian to pursue legal action on behalf of the minor or ward.
While we reject the argument that no attorney-client relationship was ever formed between Branham and Stewart, we do not hold that the attorney-client relationship in this or similar cases automatically continues indefinitely; and we express no opinion whether the attorney-client relationship had ceased by the time of any of the alleged actions for which Stewart aims to hold Branham responsible. In granting summary judgment for Branham based on its perception of a lack of recognition of a cause of action for a minor or ward against the attorney retained by the next friend or guardian to pursue legal action on behalf of the minor or ward, the trial court seemingly found that no attorney-client relationship ever existed. Accordingly, the trial court never issued any explicit findings about whether or when such an attorney-client relationship had ceased. It would be improper for this Court to make any factual findings concerning whether or when the attorney-client relationship ceased. Rather, cessation of the attorney-client relationship is a matter of proof39 for the trial court. While we express no opinion on whether or when the attorney-client relationship ceased because the issue is not properly before us, in no way does our opinion foreclose inquiry into this issue upon remand.
IV. CONCLUSION.
We affirm the opinion of the Court of Appeals reversing the summary judgment granted by the trial court in Branham‘s favor. But in reversing the trial court‘s summary judgment, we express no opinion on the ultimate merits of Stewart‘s legal malpractice and breach of fiduciary duty lawsuit against Brаnham because we do not reach the questions of whether breach, causation, and damages are established by the facts in the case.
All sitting. ABRAMSON, NOBLE, SCHRODER, and VENTERS, JJ., concur.
SCOTT, J., dissents by separate opinion in which CUNNINGHAM, J., joins.
SCOTT, J., dissenting.
I must respectfully dissent from the majority‘s opinion extending the attorney-client relationship with a guardian to the ward of the guardian actually represented. I do so for several reasons.
Secondly, it introduces an expensive complexity into litigation for minors that is unjustified given its infrequency and the fact that matters related to guardianships are committed to the exclusive supervision of the courts. “Where [the] legal disability of the individual is shown, the jurisdiction of the court is plenary and potent to afford whatever relief may be necessary to protect his interests and preserve his estates.” DeGrella By and Through the Parrent v. Elston, 858 S.W.2d 698 (Ky. 1993) (citing Strunk v. Strunk, 445 S.W.2d 145, 147 (Ky. 1969)). “The court‘s action in such a case is not limited by any narrow bounds, but it is empowered to stretch forth its arm in whatever direction its aid and protectiоn may be needed.” Strunk, 445 S.W.2d at 147; see also
Moreover, such an extension will necessarily endanger the finality of a guardian‘s decisions even though approved by a court, as well as extend, by several multiples, the attorneys necessary to represent a parent/guardian with multiple children/wards, not to mention the additional attorney necessary for the parent‘s personal claims. With such a “cast of counsel” imposed on one lay parent—each arguing for inconsistent results—how can one realistically expect our current statutory scheme to function inexpensively and expeditiously?
Here, Vicky Backus (Backus) retained Appellant, Ira Branham (Branham), to represent her in litigation stemming from an automobile accident, which killed her ex-husband, Gary Stewart (Stewart), and
On August 14, 1997, Branham filed the suit on behalf of Backus individually, as administratrix of Adam‘s estate, and as next-friend of Gary Ryan, a minor. Several months later, on December 17, 1997, an application and petition for Backus‘s appointment as guardian for Gary Ryan was filed in the Pike District Court.2 The reasons given for the appointment were: “Gary Ryan Stewart has acquired interest in real property in Pike County which is going to be sold and a guardian must sign the deed.” The Pike County District Court guardianship record discloses an order setting the matter for hearing at 4:00 p.m. on December 23, 1997. It also discloses an order appointing Backus and setting the bond at “$5,000.00 w/o surety”3 The order appointing and setting the bond was signed on December 23, 1997, but not entered until January 5, 1998.
In addition, attorney Michael Lucas was appointed guardian ad litem to represent Gary Ryan in regards to the рroposed sale of his interest in the real estate. His report recommending approval of the sale was filed January 29, 1998. Thus, at its inception, the guardianship proceeding was an “adversary” proceeding. See
Several months later, an agreement was reached to settle the multi-party wrongful death and personal injury suit for $1.3 million dollars, with $325,000.00 to be payable to Backus individually; $325,000.00 to be payable to Adam‘s estate; and $650,000.00 to be paid for the benefit of Gary Ryan.4 On March 31, 1998, a petition was filed in Gary Ryan‘s guardianship action to approve the settlement of his personal injury claim disclosing the stated settlement amount of $650,000.00. It was approved by order of the same date.
Given the majority‘s extension of the attorney-client relationship on the facts at hand, a future guardian, such as Backus, will not be able to rely upon the advice of one (1) counsel in navigating the myriad number of issues she will face in resolving multi-party, multi-issue litigation. Due to the inherent conflict now created for counsel, she will need three (3) attorneys: one for her individual claims, another to advise her as administratrix of Adam‘s estate, and a third to advise her as next friend/guardian on Gary Ryan‘s claims—each of which counsel must necessarily, by virtue of our loyalty rule, be solely devoted to maximum benefits for the single interest they represent. One could only imagine the difficulties this will present in the decision-making process for lay people, whether parents or not, who must handle these various fiduciary positions. It not only increases the complexity of litigation involving minors and other beneficiaries but inhibits the fundamental precept embodied by the court‘s mandatory supervision of a guardian‘s actions and decisions.
Certainly,
[t]he citadel of privity is under ... attack. The potency of attack is rooted in modern tort law‘s goal of providing maximum recovery to injured parties and placing the risk of loss among those thought to be most able to bear the cost. However, the attack on privity threatens to impose upon the attorney [and the legal process] more than just increased exposure to liability; he or she increasingly faces a real ethical dilemma.
Keybank Nat. Ass‘n v. Shipley, 846 N.E.2d 290, 300 (Ind.App. 2006). “When lawyers must be conce[r]ned about their potential liability to third parties, the resultant self-protective tendencies may deter vigorous representation of the client. Attention to third-party risk might cause the attorney improperly to consider ‘personal interests’ or ‘the desires of third parties’ above the client‘s interests. This would contravene the lawyer‘s duty of loyalty to the client.” Id. Citing JACK I. SAMET, ET AL., THE ATTACK ON THE CITADEL OF PRIVITY, 20 A.B.A. Winter Brief 9, 40 (1991). And “[l]oyalty is an essential element in the lawyer‘s relation-ship to a client.” Baker v. Coombs, 219 S.W.3d 204, 209 (Ky. App. 2007) (citing
The “unavoidable tension between these ethical standards on the one hand, and the fear of exposure to malpractice liability to non-clients on the other, is an issue that must be confronted and dealt with squarely.” Shipley, 846 N.E.2d at 300. And in resolving such a dilemma, we cannot ignore the inherent difficulties and expense of commanding multiple counsel. “It is well recognized that a fiduciary relationship exists between an attorney and a client, and the attorney owes the client the utmost fidelity, honesty[,] and good faith. An attorney [should owe] a duty to a nоn-client only in the most limited circumstances.” Grimes v. Saikley, 388 Ill.App.3d 802, 328 Ill.Dec. 421, 904 N.E.2d 183, 194 (2009).
Under our previous precedents, although a legal malpractice claim may ac-
Here, the problem was the bond. It was too low and lacked a surety. Yet, “[t]o hold an attorney responsible for the damages occasioned by an erroneous judicial order, even though the error be induced by him, would make the practice of law one of such financial hazard that few men would care to incur the risk of its practice.” Rose, 157 S.W.2d at 285. Rose involved an action by a former husband against the wife‘s attorney to recover alimony improperly paid due to an erroneous court order directing such payments. Although the impropriety of the payments was evident, the court in Rose upheld the dismissal of the claim against the attorney, finding that:
It does not appear from the petition that appellee made any false representations to the court or concealed any facts from the court in order to obtain the rulings of which complaint is made. On the other hand, the chancellor had before him all material facts in the case, and, with full knowledge of all the facts, rendered judgment....
Id. at 285. That being said, “[a] false or fraudulent, and collusive, decision is beyond the power of a court to approve.” Elston, 858 S.W.2d at 710. Thus, the court in Revill v. Pettit, 3 Met. 314, 60 Ky. 314, 1861 WL 5630 (1860), upheld the liability of an attorney for his participation with the court in a wrongful proceeding. See also Wood v. Weir, 5 B.Mon. 544, 44 Ky. 544, 1845 WL 3330 (1845). Yet, this action—and the majority‘s opinion—is not based upon or limited to allegations or collusion of fraud.
That being said, I recognize the majority‘s reliance upon precedent from other states—specifically Leyba v. Whitley, 120 N.M. 768, 907 P.2d 172, 182 (1995), Toporek v. Zepp, 224 Ga.App. 26, 479 S.E.2d 759, 761 (1996), and In re Guardianship of Karan, 110 Wash.App. 76, 38 P.3d 396, 401 (2002)—as well as other cases un-cited, such as Pederson v. Barnes, 139 P.3d 552 (Alaska 2006), Jenkins v. Wheeler, 69 N.C.App. 140, 316 S.E.2d 354 (1984), and Estate of Treadwell ex rel. Neil v. Wright, 115 Wash.App. 238, 61 P.3d 1214 (2003).5
A better analysis is provided within the context of the RESTATEMENT (THIRD) OF THE LAW GOVERNING LAWYERS § 51 (2000). Subsection 4 negates a duty of care to a non-client unless, “such a duty would not significantly impair the lawyer‘s performance of obligation to the client.” Id. The RESTATEMENT goes on to state:
A lawyer representing a client in the client‘s capacity as a fiduciary (as opposed to the client‘s personal capacity) may in some circumstances be liable to a beneficiary for a failure to use care to protect the beneficiary. The duty should be recognized only when the requirements of Subsection (4) are met and when action by the lawyer would not violate applicable professional rules.
Id. at 363 (emphasis added). The RESTATEMENT specifically sets forth a similar analysis when it states in § 51:
A lawyer owеs no duty to a beneficiary if recognizing such duty would create conflicting or inconsistent duties that might significantly impair the lawyer‘s performance of obligations to the lawyer‘s client in the circumstances of the representation. Such impairment might occur, for example, if the lawyer were subject to liability for assisting the fiduciary in an open dispute with a beneficiary or for assisting the fiduciary in exercise of its judgment that would benefit one beneficiary at the expense of another. For similar reasons, a lawyer is not subject to liability to a beneficiary under Subsection (4) for representing the fiduciary in a dispute or negotiation with the beneficiary with respect to a matter affecting the fiduciary‘s interests.
Id. at 365. This is consistent with KBA Ethics Opinion E-401, which states, “[a] lawyer who represents a fiduciary ... stands in a lawyer-client relationship with the fiduciary and not with respect to the fiduciary‘s estate.”6
CUNNINGHAM, J., joins this dissenting opinion.
Notes
(1) Except as provided in subsections (2) and (3) of this section, no guardian or conservator shall act until the guardian or conservator has been appointed by the proper District Court, and given bond to the Commonwealth of Kentucky with good surety, either corporate or personal, approved by the District Court to faithfully discharge the trust of guardian or conservator. The bond shall be carefully kept by the clerk of the District Court in a book to be provided for that purpose.
(2) A limited guardian shall be exempt from the requirements of subsection (1) of this section.
(3) (a) If the person or entity appointed by the District Court as guardian or conservator is a person or entity nominated pursuant to
(b) If the District Court directs that the assets of a ward‘s estate be deposited in a restricted account as set out in
(4) No mаster or other commissioner whose duty it is to settle the accounts of a guardian or conservator, nor judge or clerk of a court, or practicing attorney, shall be accepted as surety on the bond of a guardian or conservator.
For purposes of liability under § 48 [Professional Negligence], a lawyer owes a duty to use care within the meaning of § 52 [Standard of Care applicable in Professional Negligence and Breach of Fiduciary Duty cases] in each of the following circumstances:
(1) to a prospective client, as stated in § 15;
(2) to a nonclient when and to the extent that:
(a) the lawyer or (with the lawyer‘s acquiescence) the lawyer‘s client invites the nonclient to rely on the lawyer‘s opinion or provision of other legal services, and the nonclient so relies; and
(b) the nonclient is not, under applicable tort law, too remote from the lawyer to be entitled to protection;
(3) to a nonclient when and to the extent that:
(a) the lawyer knows that a client intends as one of the primary objectives of the representation that the lawyer‘s services benefit the nonclient;
(b) such a duty would not significantly impair the lawyer‘s performance of obligations to the client; and
(c) the absence of such a duty would make enforcement of those obligations to the client unlikely; and
(4) to a nonclient when and to the extent that:
(a) the lawyer‘s client is a trustee, guardian, executor, or fiduciary acting primarily to perform similar functions for the nonclient;
(b) the lawyer knows that appropriate action by the lawyer is necessary with respect to a matter within the scope of the representation to prevent or rectify the breach of a fiduciary duty owed by the client to the nonclient, where (i) the breach is a crime or fraud or (ii) the lawyer has assisted or is assisting the breach;
(c) the nonclient is not reasonably able to protect its rights; and
(d) such a duty would not significantly impair the performance of the lawyer‘s obligations to the client.
