Charles W. BURNETT, Appellant, v. David SHARP, Appellee.
No. 14-09-00420-CV.
Court of Appeals of Texas, Houston (14th Dist.).
Oct. 21, 2010.
We conclude we have no jurisdiction over this appeal. In addition, we deny CMH Homes‘s alternative request to construe its brief in this appeal as a petition for a writ of mandamus. This appeal is dismissed for lack of jurisdiction.
David Sharp, Angleton, for appellee.
Panel consists of Justices FROST, BOYCE, and SULLIVAN.
MAJORITY OPINION1
KEM THOMPSON FROST, Justice.
This is an appeal from a case in which a client sued his former lawyer alleging that the lawyer refused to return the unearned part of a fee retainer. The main issue is
I. FACTUAL AND PROCEDURAL BACKGROUND
Appellant Charles W. Burnett is an inmate housed in the Texas Department of Criminal Justice, Institutional Division. He filed suit in forma pauperis against appellee David Sharp, a Texas lawyer. In his petition, Burnett alleges that Sharp represented him in a criminal case and that he gave Sharp a $3,000 retainer for legal services. Burnett alleges that Sharp refused to return the unearned part of the retainer after Burnett replaced Sharp with another lawyer. Before service of process was accomplished, and without a hearing, the trial court signed an order dismissing Burnett‘s case with prejudice on grounds that Burnett “failed to state a cause of action as a matter of law.” Burnett appeals from the trial court‘s dismissal order.
II. ANALYSIS
A. Did the trial court dismiss the claims under Chapter 14 of the Texas Civil Practice and Remedies Code?
In its dismissal order the trial court states that Burnett “failed to state a cause of action as a matter of law,” without citing to any case, statute, or other legal authority. As a threshold matter, we consider whether, in dismissing Burnett‘s claims, the trial court was acting under
In part of his appellate brief, Burnett asserts that the trial court erred by dismissing his claims for “failure to state a claim” because this is not a proper basis for dismissal under
B. What claims did Burnett plead?
In determining the nature of claims in a petition to which the trial court sustained no special exceptions, this court must construe the pleading liberally in the pleader‘s favor and construe the petition to include all claims that reasonably may be inferred from the language used in the petition, even if the petition does not state all the elements of the claim in question. See London v. London, 192 S.W.3d 6, 13 (Tex.App.-Houston [14th Dist.] 2005, pet. denied) (concluding that if trial court has not sustained any special exceptions as to a petition, then it should be liberally construed). The author of the concurring and dissenting opinion urges a departure from this rule, arguing that it should not be applied to petitions subject to
Under a liberal construction of the petition, Burnett alleges the following:
- In June 2006, Burnett retained Sharp, a lawyer, to represent him in a criminal matter.
- Burnett gave Sharp a $3,000 retainer.
- Sharp had Burnett‘s case reset five times but did not provide any other legal services before Burnett replaced Sharp with another lawyer.
- Burnett called Sharp‘s office once, and Burnett‘s family called Sharp many times on behalf of Burnett, requesting a refund of the unearned portion of the retainer.
- Burnett served Sharp with a written demand for the return of the unearned portion of the retainer. Sharp did not respond to this demand, nor did Sharp return any part of the unearned retainer to Burnett.
- Sharp breached his fiduciary duty to Burnett by refusing to return the unearned part of Burnett‘s retainer.
- Sharp committed legal malpractice, negligence, and “deception.”
- Burnett is seeking compensatory damages in the amount of $10,000.
Under a liberal construction of his petition, Burnett has pleaded claims for breach of fiduciary duty, money had and received, conversion, negligence, and intentional misrepresentation.5 See London,
C. Do Burnett‘s claims have an arguable basis in law?
Whether a claim has an arguable basis in law is a legal question to be reviewed de novo. In re Humphreys, 880 S.W.2d 402, 404 (Tex.1993); Retzlaff v. Tex. Dep‘t of Crim. J., 94 S.W.3d 650, 653 (Tex.App.-Houston [14th Dist.] 2002, pet. denied). A claim has no arguable basis in law only if it is based on (1) wholly incredible or irrational factual allegations; or (2) an indisputably merit less legal theory. See Nabelek v. Dist. Attorney of Harris County, 290 S.W.3d 222, 228 (Tex.App.-Houston [14th Dist.] 2005, pet. denied). An inmate‘s claim may not be dismissed merely because the court considers the allegations “unlikely.” See Nabelek, 290 S.W.3d at 228. If Burnett‘s claims have an arguable basis in law, then the trial court erred in dismissing them as frivolous. See Retzlaff, 94 S.W.3d at 654. Burnett‘s claims are not based on wholly incredible or irrational factual allegations. Therefore, the main issue on appeal is whether each of Burnett‘s claims is based on an indisputably merit less legal theory.
1. Breach-of-Fiduciary-Duty Claim
This court noted in Avila that, under a provision of the former Code of Professional Responsibility, a lawyer was required to promptly pay or deliver to the client all funds in the possession of the lawyer which the client was entitled to receive. See Avila, 761 S.W.2d at 400. The Avila court concluded that a lawyer‘s failure to promptly pay or deliver such funds constitutes a breach of fiduciary duty. See id. In Avila, this court held that a lawyer breached his fiduciary duty by refusing to tender funds recovered for the client in a collection suit until after the client sued the lawyer for return of the funds. See id. at 399-400. By the time the client sued the lawyer, the lawyer‘s representation must have been terminated. See Stephenson v. LeBoeuf. See 16 S.W.3d 829, 836 (Tex.App.-Houston [14th Dist.] 2000, pet. denied) (stating that “[i]ndeed it cannot be said there was any attorney-client relationship when Stephenson sued LeBoeuf for his unpaid attorney‘s fees“). Therefore, the Avila court concluded that the lawyer had a fiduciary duty even after the lawyer‘s representation of
The word fiduciary “refers to integrity and fidelity.” Goffney v. Rabson, 56 S.W.3d 186, 193 (Tex.App.-Houston [14th Dist.] 2001, pet. denied) (quoting Kinzbach Tool Co. v. Corbett-Wallace Corp., 138 Tex. 565, 160 S.W.2d 509, 512 (1942)). A breach of fiduciary duty occurs when a lawyer benefits improperly from his representation of the client by, among other things, a “failure to deliver funds belonging to the client.”7 Watkins v. Plummer, No. 14-08-01040-CV, 2010 WL 2195459, at *6 (Tex.App.-Houston [14th Dist.] June 3, 2010, no pet. h.); Duerr v. Brown, 262 S.W.3d 63, 70-71 (Tex.App.-Houston [14th Dist.] 2008, no pet.); Trousdale v. Henry, 261 S.W.3d 221, 230 (Tex.App.-Houston [14th Dist.] 2008, pet. denied); Goffney, 56 S.W.3d at 193. This court repeatedly has affirmed that a lawyer breaches his fiduciary duty if he refuses to give a client funds belonging to the client, and this court has never stated that this duty ceases if the client discharges the lawyer. See Watkins, 2010 WL 2195459, at *6; Duerr, 262 S.W.3d at 70-71; Trousdale, 261 S.W.3d at 230; Goffney, 56 S.W.3d at 193. Indeed, given that a client may be discharging his lawyer for good cause based on prior breaches by the lawyer of his fiduciary duty to the client, there are compelling reasons why this fiduciary duty should continue until the lawyer returns the client funds in his possession.
The author of the concurring and dissenting opinion concludes that a lawyer has a duty to return a client‘s property upon demand during and after the representation but that this duty loses its fiduciary character when the client terminates the representation. In reaching this conclusion, the author relies upon a single case, Stephenson v. LeBoeuf. See 16 S.W.3d 829, 836 (Tex.App.-Houston [14th Dist.] 2000, pet. denied), which, unlike the case under review, did not involve a lawyer‘s failure to return the unearned portion of the retainer.
In Stephenson, the lawyer‘s representation of the client terminated in 1983. See id. Six years later, in 1989, the lawyer obtained a judgment against the former client for unpaid attorney‘s fees. See id. at 834. In 1992, the lawyer was seeking to enforce his judgment lien by pursuing proceeds from the sale of the former client‘s real property. See id. The former client asserted that the lawyer owed her a fiduciary duty in 1992 based on the representation that ended in 1983. See id. The former client contended that the lawyer breached this fiduciary duty by asserting a claim against the proceeds from the sale of her real property. See id. This court held that the lawyer owed no fiduciary duty based on the representation that had
The author of the concurring and dissenting opinion concludes that Sharp‘s fiduciary duty and his attorney-client relationship with Burnett ceased when Burnett replaced Sharp with another lawyer, relying upon the Stephenson court‘s statement that “[i]n the absence of an agreement to the contrary, an attorney-client relationship generally terminates upon the completion of the purpose of the employment.” Id. at 836. There is no sound reason why refusing to return client funds during the representation should be a breach of fiduciary duty but that refusing to return the same funds after the representation should not be a breach of fiduciary duty. Under
For the reasons stated above, if, as alleged, Sharp refused to return unearned retainer belonging to Burnett, then Sharp breached his fiduciary duty. Therefore, Burnett‘s breach-of-fiduciary-duty claim is not based on an indisputably merit less legal theory, and the trial court erred in dismissing this claim as frivolous under
2. Claims for Money Had and Received and Conversion
If, as alleged, Sharp refused to return unearned retainer belonging to Burnett, then Sharp holds money which in equity and good conscience belongs to Burnett, and Sharp could be found to have exercised dominion and control over the unearned retainer in an unauthorized manner, inconsistent with or to the exclusion of Burnett‘s superior rights in this property. See London, 192 S.W.3d at 13 (holding that under claim for money had and received, the only thing that needs to be proved “is that defendant holds money which in equity and good conscience belongs to [the plaintiff]‘“) (quoting Staats, 243 S.W.2d at 687); Vickery,
3. Negligence Claim
Burnett also alleged in a conclusory manner that Sharp was negligent. But, notably, Burnett has not alleged that Sharp failed to exercise care, skill, or diligence or that Sharp exercised less care, skill, or diligence than would be exercised by lawyers of ordinary skill and knowledge. See Deutsch v. Hoover, Bax & Slovacek, L.L.P., 97 S.W.3d 179, 189 (Tex.App.-Houston [14th Dist.] 2002, no pet.) (stating that “[i]f the gist of a client‘s complaint is that the lawyer did not exercise that degree of care, skill, or diligence as lawyers of ordinary skill and knowledge commonly possess, then that complaint should be pursued as a negligence claim“). If, as alleged, Sharp refused to return unearned retainer belonging to Burnett, this conduct would be actionable but it would not constitute professional negligence. See id. Therefore, we conclude that, to the extent Burnett asserted a negligence claim, the trial court did not err in dismissing this claim as frivolous under
4. Intentional Misrepresentation Claim
Burnett also alleged in a conclusory manner that Sharp engaged in “deception.” Notably, however, Burnett has not alleged that Sharp made any material misrepresentation or that Sharp intended that Burnett act on any such misrepresentation or that Burnett acted in reliance on such a misrepresentation. See Ernst & Young, L.L.P. v. Pacific Mut. Life Ins. Co., 51 S.W.3d 573, 577 (Tex.2001) (stating elements of intentional-misrepresentation claim). If, as alleged, Sharp refused to return unearned retainer belonging to Burnett, this conduct would be actionable but it would not constitute intentional misrepresentation. Therefore, to the extent Burnett asserted an intentional-misrepresentation claim, the trial court did not err in dismissing this claim as frivolous under
III. CONCLUSION
Burnett‘s petition, liberally construed, contains claims for breach of fiduciary duty, money had and received, conversion, negligence, and intentional misrepresentation. The first three claims are not based on (1) wholly incredible or irrational factual allegations; or (2) indisputably merit less legal theories. Therefore, the trial court erred in dismissing these three claims as frivolous under
KEM THOMPSON FROST
JUSTICE
SULLIVAN, J., concurring without opinion.
WILLIAM J. BOYCE, Justice, concurring and dissenting.
I agree that the district court‘s order operates as a dismissal of inmate Charles W. Burnett‘s in forma pauperis action against his former attorney, David Sharp, under
My disagreements focus on (1) the characterization of Burnett‘s remaining claims against Sharp; (2) the explanation for an expansive characterization of Burnett‘s remaining claims based upon the absence of special exceptions in a suit that was dismissed before service; and (3) the breach of fiduciary duty analysis.
This court should affirm the trial court‘s dismissal of the “legal malpractice” claims Burnett labeled in his original petition as “breach of fiduciary duty,” “deception,” and “negligence.” It should reverse only the trial court‘s determination that dismissal is with prejudice, and affirm the trial court‘s judgment as modified to specify that dismissal is without prejudice. This court‘s disposition is erroneous insofar as it reverses the trial court‘s judgment as to breach of fiduciary duty and remands that claim for further consideration, along with claims for conversion and money had and received that Burnett did not assert.
Therefore, I join only sections I., II.A., and II.C.3. of this court‘s opinion. I concur in this court‘s judgment in part and respectfully dissent in part.
Analysis
We usually apply an abuse of discretion standard to review dismissal of claims brought in forma pauperis by an inmate. Hickman v. Adams, 35 S.W.3d 120, 123 (Tex.App.-Houston [14th Dist.] 2000, no pet.). But when a lawsuit is dismissed without a hearing pursuant to
In “Plaintiff‘s Original Petition,” Burnett complained “of and about David Sharp, Defendant, alleging legal malpractice....” This pleading included headings entitled “Parties and Service,” “Discovery Control Plan,” “Jury Demand,” “Jurisdiction and Venue,” “Facts,” and “Prayer.” The factual and legal bases for Burnett‘s specific causes of action are alleged in numbered paragraphs in the “Facts” section of his pleading:
6. In June of 2006, plaintiff retained defendant to represent plaintiff in a criminal matter. Defendant received $3000.00 from plaintiff for [his] . . . services.
7. Defendant made an appearance in court for plaintiff‘s first court appearance, and reset the cause. 8. Defendant made four additional court appearances for plaintiff, all of which defendant reset for the next month.
9. Defendant was replaced with another attorney. Defendant did not render any more services for the fee paid to defendant.
10. Plaintiff called defendant from the jail facility. Defendant‘s secretary accepted one collect call from plaintiff. Afterwards, the secretary did not accept [any more] . . . collect calls from plaintiff.
11. Plaintiff‘s family called defendant on many [occasions] . . . to request a refund, minus defendant‘s services rendered. Defendant failed to refund any of plaintiff‘s funds.
12. Plaintiff‘s family continued to call defendant requesting a refund until plaintiff served defendant a written request for a return of [his] . . . funds in September of 2008. Defendant failed to respond nor did defendant refund plaintiff‘s funds.
13. Defendant has breached [his] . . . fiduciary duty owed to plaintiff, by deception and negligence.
In the “Prayer,” Burnett asked that “Defendant be cited to appear and answer....” He also asked for “compensatory damages in the amount of $10,000.00;” “punitive damages in the amount of $5,000.00;” and “all relief, in law and in equity, to which Plaintiff [may be] . . . entitled.”
The factual allegations quoted above are neither irrational nor wholly incredible. Burnett alleges the existence of a dispute with his former attorney arising from Burnett‘s post-termination request for a partial refund of the fee he paid to the attorney during the representation, and his attorney‘s post-termination failure to do so. Burnett‘s factual allegations provide no basis for concluding that his suit is frivolous.
Accordingly, the dispositive issue in this appeal is whether the pleaded legal theories are “indisputably meritless.” Minix, 162 S.W.3d at 637 (quoting Gill, 64 S.W.3d at 603). Answering this question requires us first to identify Burnett‘s pleaded legal theories. To do so, we must construe a pro se appellant‘s brief and a pro se petition that was dismissed before service of process was accomplished on the defendant. There is no appellee‘s brief and no trial court pleading by the defendant to assist us in identifying the causes of action at issue. Nor are these causes of action identified by name in the dismissal order. The order states that the trial court “reviewed the pleadings in the above referenced cause” and concludes as follows: “It appearing that the Plaintiff has failed to state a cause of action as a matter of law, it is ORDERED that the cause is dismissed with prejudice to the rights of the Plaintiff to refile the same.”
I. Determining Which Legal Theories Burnett Asserted Against Sharp
Identifying the legal theories Burnett pleaded is made more difficult by his appellate brief‘s nonspecific references to a “legal malpractice claim.” Burnett contends on appeal that he has asserted a non-frivolous claim for “legal malpractice.” He asserts that “[a]ll of the elements for a legal malpractice claim [were] presented in appellant‘s petition.” Burnett does not refer in his brief to causes of action for “breach of fiduciary duty,” “deception,” or “negligence,” which are the labels he used in his petition.
Taking this potential nomenclature problem into consideration, the proper approach on appeal is to address the legal viability of Burnett‘s “legal malpractice” claim under
II. Determining the Disposition of Burnett‘s Legal Theories
A. Conversion and Money Had and Received
Burnett sued Sharp for “legal malpractice” based on an allegation that Sharp “has breached [his] . . . fiduciary duty owed to plaintiff, by deception and negligence.” This allegation does not assert claims for conversion or money had and received.
Section II.B. of the plurality opinion explains a broad interpretation of Burnett‘s allegation on grounds that Sharp did not file special exceptions to the original petition. In so doing, the plurality opinion relies on inapposite case law arising outside the
Burnett did not plead causes of action for conversion or money had and received when he sued Sharp for “legal malpractice” based on an allegation that Sharp “breached [his] . . . fiduciary duty owed to plaintiff, by deception and negligence.” The absence of special exceptions does not transform Burnett‘s narrow allegation into a claim for conversion or money had and received. Therefore, this court errs when it concludes that the trial court erred under
B. Breach of Fiduciary Duty
A legally viable claim for breach of fiduciary duty requires the existence of a fiduciary relationship between Burnett and Sharp. See, e.g., Trousdale v. Henry, 261 S.W.3d 221, 239 (Tex.App.-Houston [14th Dist.] 2008, pet. denied). Such a relationship existed while Sharp represented Burnett. See Duerr, 262 S.W.3d at 69. The attorney-client relationship ended upon Burnett‘s termination of Sharp‘s representation. See Stephenson v. LeBoeuf, 16 S.W.3d 829, 836 (Tex.App.-Houston [14th Dist.] 2000, pet. denied). Under these cir-
The circumstances here parallel Stephenson, 16 S.W.3d at 836, in which this court rejected a breach of fiduciary duty claim in connection with a dispute over certain escrowed sums that arose in 1992 between attorney Stephenson and his former client LeBoeuf. “Stephenson argues his representation of LeBoeuf in her divorce could not give rise to a fiduciary duty with respect to the escrow account because that representation terminated upon her divorce in 1983.” Id. at 836. “We agree.” Id. “The attorney-client relationship is based [on] a contractual relationship in which the attorney agrees to render professional services for the client.” Id. “In the absence of an agreement to the contrary, an attorney-client relationship generally terminates upon the completion of the purpose of the employment.” Id. This court concluded that the terminated representation provided no basis for a breach of fiduciary duty claim by LeBoeuf predicated entirely on Stephenson‘s conduct after the representation had ended. Id.
Just as there was no attorney-client relationship in existence when Stephenson committed the conduct of which LeBoeuf complained, here too there was no attorney-client relationship in existence when Sharp is alleged to have committed the conduct of which Burnett complains. Therefore, Burnett‘s allegation does not present a legally viable claim for breach of fiduciary duty. See id.
Section II.C.1. of the plurality opinion relies on Avila v. Havana Painting Co., 761 S.W.2d 398, 399-400 (Tex.App.-Houston [14th Dist.] 1988, writ denied), for the proposition that “[a] lawyer who refuses to pay or deliver funds belonging to his former client upon termination of the representation has breached a fiduciary duty owed to the former client.” See ante, at 8. This reliance on Avila is misplaced.
The client hired attorney Avila to collect past-due accounts and paid him a fee to do so. Avila, 761 S.W.2d at 399. During the representation, Avila collected $8,755 belonging to the client but refused to tender that sum to the client and demanded payment of an additional fee. Id. The client then sued Avila, alleging that he “breached his fiduciary duty to his client, Havana, and . . . converted funds which belonged to Havana.” Id. at 399-400. The trial court rendered judgment in the client‘s favor following a bench trial, and Avila appealed. Id.
This court affirmed. Id. at 400. “At trial, Havana presented evidence that Avila received funds from Woodland Oaks Apartments which Havana was entitled to receive and that Avila refused to deliver those funds to Havana until Havana sued Avila and requested an injunction to compel Avila to release the funds.” Id. “Havana also presented evidence that it was necessary to hire an attorney to bring suit against Avila to collect the money to which Havana was entitled.” Id. This court held that sufficient evidence established Avila‘s breach of his fiduciary duty to the client. Id.
Avila addresses an attorney‘s conduct during the representation that breached a fiduciary obligation owed during the representation in connection with a fee dispute that arose during the representation and then continued after the representation ended. Id. Contrary to the plurality opinion‘s conclusion, Avila does not establish that a breach of fiduciary duty claim is available to address a post-representation dispute between an attorney and a former client that is based wholly on attorney
The plurality opinion cannot bolster its position by asserting that Sharp had a “duty” to refund to Burnett any unearned part of the retainer upon termination of his representation of Burnett. See ante, at 9-10 (citing
The plurality opinion‘s approach would effect a significant change in this court‘s case law. Left unaddressed are the potential consequences of expanding far-reaching fiduciary obligations to encompass disputes between an attorney and a former client that are predicated entirely on attorney conduct occurring after the representation has ended. Because Avila focuses on a different situation, that decision also does not address the existence, duration, scope and consequences of a fiduciary duty that applies to a dispute based wholly on an attorney‘s post-representation conduct.
We should follow Stephenson and affirm dismissal of Burnett‘s claim for breach of fiduciary duty.
C. Negligence
A “legal malpractice” claim predicated on professional negligence focuses on whether an attorney represented a client with the requisite level of skill. Duerr, 262 S.W.3d at 70. “If the gist of a client‘s complaint is that the attorney did not exercise that degree of care, skill, or diligence as attorneys of ordinary skill and knowledge commonly possess, then that complaint should be pursued as a negligence claim, rather than some other claim.” Deutsch, 97 S.W.3d at 189.
Burnett‘s allegations do not support a legally viable claim against Sharp predicated on professional negligence. Burnett contends that Sharp failed to respond after Burnett replaced him with another attorney and then requested a partial refund of Sharp‘s fee. Burnett does not challenge the quality of Sharp‘s professional activity while he represented Burnett, and he does not contend that Sharp failed to exercise the degree of care, skill, or diligence commonly possessed by attorneys of ordinary skill. Therefore, Burnett‘s “legal malpractice” claim is based on an indisputably meritless legal theory insofar as he asserts a claim for professional negligence arising from a post-termination dispute over a partial refund of the portion of Sharp‘s fee that, according to Burnett, Sharp did not earn before being terminated. Cf. Duerr, 262 S.W.3d at 70 (professional negligence claims were predicated on allegations that attorneys mishandled filing of client‘s requests for additional benefits pursuant to class settlement).
D. “Deception”
It is not clear whether Burnett‘s pleaded claim for “deception” refers to a statutory claim under the
Burnett cannot assert a legally viable statutory cause of action for “deception” against Sharp under the circumstances alleged because the
Similarly, Burnett cannot assert a legally viable common law fraud claim absent circumstances in which Sharp made affirmative misrepresentations or failed to disclose information when there was a duty to disclose it. See, e.g., Johnson v. Brewer & Prichard, P.C., 73 S.W.3d 193, 211 n. 45 (Tex.2002) (fraud based on affirmative misrepresentation); Bradford v. Vento, 48 S.W.3d 749, 755 (Tex.2001) (“As a general rule, a failure to disclose information does not constitute fraud unless there is a duty to disclose the information.“). No such circumstances are described here.
III. Determining Whether Dismissal Should Be With Prejudice
Burnett contends that the trial court erred in dismissing his claims “with prejudice.” Dismissal with prejudice constitutes an adjudication on the merits and operates as if the case had been fully tried and decided. Hickman, 35 S.W.3d at 124. Orders dismissing cases with prejudice have full res judicata and collateral estoppel effect, barring subsequent litigation of the same causes of action or issues between the same parties. Id. Dismissal with prejudice is proper under
Although Burnett‘s allegations do not comport with his stated causes of action, I cannot say that Burnett‘s failure to comply with
Conclusion
The trial court‘s April 14, 2009 order dismissing Burnett‘s suit with prejudice should be modified to state that Burnett‘s suit is dismissed without prejudice. As modified, the April 14, 2009 dismissal order should be affirmed. Therefore, I concur in the court‘s judgment in part and dissent in part.
WILLIAM J. BOYCE
JUSTICE
SULLIVAN, J., concurring without opinion.
