The plaintiff sued the representatives of the estate of an attorney, alleging that the attorney negligently had failed to commence an action on behalf of the plaintiff before the statute of limitations barred that action. The defendants moved for judgment on the pleadings (Mass. R. Civ. P. 12[c],
The essential allegations of the complaint may be stated briefly. In August, 1971, the plaintiff was injured as a result of the gross negligence of the operator of a motоr vehicle in which the plaintiff was a passenger. Early in 1972, the plaintiff retained the services of Mr. Maynard G. Evans, a member of the bar of the Commonwealth, to pursue his rights against the operator and the owner of the motor vehicle. Mr. Evans undertook to represent the plaintiff. He was careless and negligent in *806 representing the plaintiff and failed, within the time prescribed by law, to commеnce an action against the operator and the owner of the motor vehicle. The plaintiff claimed damages equivalent to those he would have recovered for the personal injuries sustained in the August, 1971, motor vehicle accident. Mr. Evans died on November 4, 1975. The complaint in this case was filed on July 8, 1976. It does not allege when the plaintiff first learned that Mr. Evans had not seasonably commenced the motor vehicle tort action.
The defendants rest their argument that the plaintiff’s claim did not survive the attorney’s death on principles of the common law and оn the inapplicability of G. L. c. 228, § 1, as amended through St. 1975, c. 377, § 62, which reads in part: "In addition to the actions which survive by the common law, the following shall survive: ... (2) Actions of tort (a) for assault, battery, imprisonment or other damage to the person ... or (d) for damage to real or personal property----” In particular, the defendants rely on our decision in
Connors
v.
Newton Nat’l Bank,
In this Commonwealth, the view has been that actions of contract survive by the common law
(Sliski
v.
Krol,
A client’s claim against an attorney has aspects of both a tort action and a contract action. Most legal malpractice cases in Massachusetts have been brought as tort actions. In addition to
Connors
v.
Newton Nat’l Bank, supra,
see
McLellan
v.
Fuller,
The general rule elsewhere has been that an action for malpractice may be brought against the estate of a deceased attorney. See Annot, 65 A.L.R 2d 1211 (1959). See also
McGill
v.
Lazzaro,
We have looked with disfavor on rigid procedural distinctions between contract and tort and are more concerned today with substance than with form. See, e.g.,
Mechanics Nat'l Bank
v.
Killeen, ante
100, 115 (1979);
Hendrickson
v.
Sears,
Under principles of notice pleading (see
Nader
v.
Citron,
We acknowledge that this decision may raise the question of which statute or statutes of limitations аpply to an action against an attorney, a matter which, in the medical malpractice field, has been resolved by statute. See G. L. c. 260, § 4 (three-year period of limitation regardlеss of whether claim is based on tort or contract). No issue of the statute of limitations is involved in this case at this stage. 5
The order allowing the defendants’ motion for judgment on the pleadings is vacаted, and the case is remanded to the Superior Court for further proceedings.
So ordered.
Notes
The judge has reported four questions to us. He might simply have reported the question whether his order allowing the motion to dismiss was proper. See
Liberty Mut. Ins. Co.
v.
Westerlind,
The four questions reported are:
"1. Is an action for legal malpractice based on breach of an express or implied contract?
"2. Could an action for legal malpractice be held to survive on a theory of fraudulent breach of a fiduciary duty?
"3. Does the survival statute, G. L. c. 228, sec. 1, as drafted by the legislature and applied by the court, violate thе United States Constitution or the Declaration of Rights of the Commonwealth of Massachusetts?
"4. Does a cause of action against an attorney for negligence in failing to commencе an action on behalf of his client within the time provided by the applicable statute of limitations, survive the death of the attorney?”
A review of the papers in the Connors case shows that the declaration referred to thе action as one in tort and that the plaintiffs brief asserted no claim based on any contractual obligation. This court construed the declaration as presenting only a claim based on the attorney’s negligent failure to give the timely statutory notice required to prosecute the plaintiffs claim for injuries sustained on snow and ice. The only relevant argument advanced by the plaintiff in that case was that she sustained "damage to ... personal property” within the meaning of G. L. c. 228, § 1.
In recent years, particularly, "[t]his court has frequently had occasion to effeсt through its decisions not insignificant changes in the field of tort law.”
Lewis
v.
Lewis,
In
Hendrickson
v.
Sears,
