Introduction
Dr. Mark R. Rosenberg (Plaintiff) appeals the judgment of the Circuit Court of St. Louis County granting summary judgment in favor of Burton H. Shostak and his former law firm, Moline & Mehan, LLC (the Firm) (collectively, Defendants), on Plaintiffs petition for legal malpractice. Plaintiff argues that the trial court erred in granting Defendants’ motion for summary judgment because: (1) genuine issues of material fact remain in dispute; (2) the statute of limitations did not bar Plaintiffs claim; (3) neither Plaintiffs criminal conviction, the denial of his coram nobis petition, nor the medical licensing boards’ disciplinary actions collaterally estopped Plaintiffs claim; (4) Plaintiffs inconsistent positions did not judicially estop his claim; and (5) Defendants were not entitled to estoppel due to unclean hands. We affirm.
Factual and Procedural Background
The record reveals the following undisputed facts: Plaintiff was licensed to practice medicine in Missouri, Kentucky, Maryland, North Carolina, and Ohio and was certified as a specialist in psychiatry by the American Board of Psychiatry and Neurology, Inc. (ABPN). Plaintiff served as officer, director, and shareholder of Neuropsychiatric and Counseling, P.S.C., a Kentucky professional services corporation (the Corporation). The Corporation discontinued operations following a raid by federal ■ agents. Plaintiff retained Mr. Shostak and the Firm in connection with “the investigation currently being conducted relative to alleged insurance fraud in the northern Kentucky area and any criminal litigation that may result from it in the United States District Court.”
Plaintiff notified the medical licensing boards of Missouri, Kentucky, Maryland, North Carolina, and Ohio of his conviction. Based on the conviction, the Missouri board publicly reprimanded Plaintiff, the Kentucky and North Carolina boards placed him on probation, the Ohio board suspended him, and the Maryland board revoked his medical license. Due to the boards’ disciplinary actions, the ABPN revoked Plaintiffs certification as a specialist in psychiatry.
Plaintiff filed a petition for writ of error coram nobis in the United States District Court for the Eastern District of Kentucky. Plaintiff sought to vacate his conviction due to ineffective assistance of counsel, alleging that Defendants misad-vised him about the “extreme collateral consequences” of pleading guilty. Plaintiff asserted that as a result of Defendants’ inaccurate advice, he did not plead guilty knowingly, voluntarily, or intelligently. After an evidentiary hearing, the district court found that Defendants did not mis-advise Plaintiff concerning the effect of his guilty plea on his medical licenses and that Defendants “conveyed only [the] belief or hope that the negotiated plea would avoid license issues as well as imprisonment.” The district court also found that at the time of the guilty plea, Plaintiff was aware of potential adverse consequences. The district court determined that Defendants did not render ineffective assistance of counsel and denied Plaintiffs petition.
Plaintiff filed a legal malpractice petition alleging that he pleaded guilty “upon the advice [of] Defendant Shostak, even though [Plaintiff] was not guilty and had a good and meritorious defense, because Defendant Shostak regularly and repeatedly assured Plaintiff that if he took the federal plea there would be no negative impact [on Plaintiffs] professional licensing status.” Plaintiff claimed that but for Mr. Shostak’s allegedly negligent advice, he would have proceeded to trial and succeeded in defending the criminal charges. Plaintiff stated that as a result of Defendants’ advice, he incurred the following damages: (1) the medical boards’ disciplinary actions; (2) the ABPN’s revocation of his specialist certification; (3) expenditure of attorneys’
The Firm filed a motion for summary judgment, and the trial court granted Mr. Shostak leave to join the motion. Defendants contended that they were entitled to judgment as a matter of law on the grounds that the following barred Plaintiffs claim: (l)the statute of limitations; (2) collateral estoppel based on Plaintiffs guilty plea and conviction, his unsuccessful petition for writ of error coram nobis, or the medical boards’ disciplinary actions; and (3) judicial estoppel due to Plaintiffs inconsistent positions regarding Mr. Shos-tak’s advice. The trial court granted Defendants’ motion without providing a basis for its decision. Plaintiff appeals.
Standard of Review
We review the entry of summary judgment de novo.
“As the trial court’s judgment is founded on the record submitted and the law, an appellate court need not defer to the trial court’s order granting summary judgment.” Id. “If the trial court grants summary judgment without specifying the basis upon which it was granted, we will uphold the decision if it was appropriate under any theory.” English ex rel. Davis v. Hershewe,
When reviewing a trial court’s grant of summary judgment, this court views the record in the light most favorable to the party against whom summary judgment was entered. ITT Commercial Fin. Corp.,
Discussion
Plaintiff presents seven points on appeal. Because our resolution of Plaintiffs third point is dispositive of the appeal, we decline to address his remaining six points.
In his third point on appeal, Plaintiff claims that the trial court erred in granting summary judgment in Defendants’ favor because they were not entitled to judgment as a matter of law on the ground that Plaintiffs criminal conviction has not been vacated. More specifically, Plaintiff argues that vacation of his conviction was not a prerequisite to maintaining his legal malpractice action against Defendants. Defendants respond that Plaintiffs criminal
The four elements of a legal malpractice action are: “(1) an attorney-client relationship; (2) negligence or breach of contract by the defendant; (3) proximate causation of plaintiffs damages; [and] (4) damages to the plaintiff.” Klemme v. Best,
“Collateral estoppel, or issue preclusion, is used to preclude the relitigation of an issue that already has been decided in a different cause of action.” Brown v. Carnahan,
A party may assert collateral es-toppel offensively or defensively. Brown,
Under the so-called “exoneration rule,” a legal malpractice defendant may successfully invoke collateral estoppel if the plaintiff was convicted of an offense and failed to obtain exoneration by appellate or post-conviction relief, because the adjudication of the plaintiffs guilt precludes him from proving proximate cause. State ex rel. O'Blennis v. Adolf,
A legal malpractice plaintiff who pleads guilty and/or subsequently denies his or her guilt is equally subject to the exoneration rule. Where a plaintiff pleads guilty, his responses under oath at the plea hearing establish the factual basis of the guilty plea and his admission of commission of the charged acts. Id. Collateral estoppel bars such a plaintiffs malpractice claim because “[t]hat plea decided the same issue of fact present in [the] malpractice case; it resulted in a judgment on the merits; [a malpractice plaintiff] is a party to both cases; [and] he had a full and fair opportunity to litigate his guilt or innocence.” Id. The result is the same even when a plaintiff asserts that he pleaded guilty not because he was guilty but for “subjective reasons,” such as to avoid the
Public policy considerations clearly support the exoneration rule. “[I]t would undermine the effective administration of the judicial system to allow the relitigation of the issue of guilt or innocence in a subsequent action.” Id. at 386 (quotation omitted). In addition, to permit such litigation would allow the malpractice claimant “to profit by his own fraud, or to take advantage of his own wrong, or to found [a] claim upon his iniquity, or to acquire property by his own crime.” O’Blennis,
Here, Defendants invoke the exoneration rule. More specifically, Defendants assert that collateral estoppel establishes their right to judgment as a matter of law on the basis that Plaintiffs undisturbed criminal conviction prevents him from proving that Defendants’ advice proximately caused Plaintiffs damages.
All four elements of collateral estoppel are present. First, Plaintiff based his unsuccessful coram nobis petition on the ground that his guilty plea was involuntary and therefore invalid because Defendants misinformed him about the collateral consequences of pleading guilty. The validity of Plaintiffs guilty plea and the related issue of Plaintiffs guilt are also at issue in the malpractice action because if Plaintiff was guilty, then his own illegal acts proximately caused his damages irrespective of Defendants’ advice. See id. at 113-14 (applying collateral estoppel where the malpractice suit was “based on the exact same allegations made in the post-conviction proceedings,” that the plea was involuntary due to counsel’s misinformation). Second, because the federal district court analyzed and rejected Plaintiffs claim that his guilty plea should be vacated due to ineffective assistance of counsel, there was a judgment on the merits in the coram nobis proceeding. Third, Plaintiff was a party to both the coram nobis action and the instant case. Finally, Plaintiff had a full and fair opportunity to litigate the validity of his guilty plea in the coram nobis proceeding because that was the basis of his writ petition. Moreover, Plaintiff had every incentive to prove his allegation in the coram nobis proceeding because if he had succeeded, the federal district court would have vacated the conviction upon which the medical boards relied in imposing discipline. See id. at 114; Brewer v. Hagemann,
The fact that Plaintiff pleaded guilty makes invocation of collateral estoppel particularly appropriate because Plaintiff admitted under oath to committing criminal acts but now seeks damages on the basis that he never committed those acts. Civil procedure scholar Geoffrey C. Hazard, Jr. described this situation as “particularly galling” because “a criminal convicted on his own guilty plea seeks as plaintiff in a subsequent civil action to claim redress based on a repudiation of the confession.” Geoffrey C. Hazard, Jr., Revisiting the Second Restatement of Judgments: Issue Preclusion and Related Problems, 66 Cornell L.Rev. 564, 578 (1981). We agree with Professor Hazard that “[t]he effrontery or, as some might say it, chutzpah, is too much to take.” Id.
The Court of Appeals of Michigan recently affirmed a grant of summary judgment on the ground of collateral estoppel in a case with nearly identical facts. In Orzame v. Taglia, a physician’s attorneys informed him that if he pleaded guilty to a charge, “it was possible his medical license would be revoked, but [the attorneys] assured him that it would not be revoked because he would plead guilty only to a misdemeanor.” No. 253260,
Plaintiff asserts that the case that Defendants primarily rely on, State ex rel. O’Blennis v. Adolf, is distinguishable because Plaintiff premised his malpractice claim not on trial error but rather on negligent advice to plead guilty despite his actual innocence and, therefore, O’Blennis does not mandate application of collateral estoppel here. We disagree. In O’Blennis, the plaintiff filed a legal malpractice action after succeeding on his motion for post-conviction relief.
Plaintiff also argues that his conviction does not prevent him from maintaining a malpractice action against Defendants, relying on Jepson v. Stubbs,
Jepson does not assist Plaintiff. As an initial matter, Jepson solely concerned whether the plaintiffs action was barred by the applicable statute of limitations. Id. at 310, 314. The specific question the Supreme Court answered was the date upon which the plaintiffs damages were “sustained and ... capable of ascertainment.” Id. at 311. The Supreme Court did not consider the implication of a guilty plea on a plaintiffs ability to establish proximate cause. As the O’Blennis court noted, Jepson “[did] not present a situation where the defendant’s plea admitted the facts necessary for his conviction.” O’Blennis,
In any event, even if Jepson is considered a viable precedent, Plaintiffs obstacles to proving proximate cause extend beyond that posed by Defendants’ invocation of collateral estoppel. Plaintiff alleged in his petition that Defendants were negligent by “repeatedly assuring] Plaintiff that if he took the federal plea there would be no negative impact [on Plaintiffs] professional licensing status.” Plaintiff claimed that but for Defendants’ advice, he would have proceeded to trial and succeeded in defending the criminal charges. Implicit in Plaintiffs argument is that if he had been successful at trial,
“Proximate cause requires something in addition to a ‘but for’ causation test to exclude causes upon which it would be unreasonable to base liability ... because they are too far removed from the ultimate injury or damage.” Alcorn v. Union Pac. R.R. Co.,
Here, Plaintiffs damages of license discipline, loss of specialist certification, loss of income, and emotional injury resulted from the actions of independent decision-makers with discretion. In Missouri, the State Board of Registration for the Healing Arts has the discretion to take one of several actions, including warning, probation, suspension, and license revocation, upon finding that a medical licensee pleaded guilty to an offense involving fraud or dishonesty. Mo.Rev.Stat. §§ 334.100.2(2), 334.100.4.
In particular with respect to Missouri, even if Plaintiff had proceeded to trial and been acquitted, Missouri’s board may have nonetheless instituted disciplinary proceedings against him. A physician’s acquittal in a criminal case does not preclude disciplinary action for the same act because the board is “free to pursue its own proceedings independently.” Younge v. State Bd. of Registration for Healing Arts.
Given the boards’ discretion, each board could have responded in a number of ways to Plaintiffs conviction. We would have to resort to speculation and conjecture to conclude that the disciplinary measures the boards chose to implement in this particular case were the natural and probable consequences of Defendants’ allegedly negligent advice. Defendants’ advice is simply too far removed from Plaintiffs damages to constitute their proximate cause.
Conclusion
The judgment of the trial court is affirmed.
Notes
. In Plaintiff’s response to Defendants' motion for summary judgment, Plaintiff disputed this factual assertion on the ground that it “reflects only a part of what Defendants were hired to do” and that Defendants "also agreed to represent Plaintiff regarding all professional licensing issues.”
. The United States Attorney also charged the Corporation with one felony count of knowingly receiving and retaining stolen property of the United States. Plaintiff pleaded guilty to the charge on behalf of the Corporation. The district court sentenced the Corporation to unsupervised probation for one year.
. Both parties rely on Missouri law throughout their briefs, with the single exception of Defendants' argument that the Kentucky statute of limitations applies to Plaintiff's claim. Given the parties’ apparent agreement that Missouri law governs all other issues on appeal, we apply Missouri law to the issues we address.
. Although the instant case concerns the pre-clusive effect of a federal criminal judgment, Plaintiff and Defendants rely on Missouri precedents in their briefs. Accordingly, we decline to decide whether federal law governs the resolution of the issue presented here. See Gibson v. Trant,
. See, e.g., Shaw v. State, Dep't of Admin., Pub. Defender Agency,
. "In the federal courts, coram nobis is a post-conviction remedy available in the dis
. Michigan courts consider unpublished opinions, which are not binding, for instructive and persuasive value. Paris Meadows, LLC v. City of Kentwood,
. Even with respect to the issue actually decided in Jepson, at least one court has noted that "Missouri courts have moved away from, if not altogether abandoned, Jepson.” Settle v. Fluker,
. All statutory references are to RSMo 2000 as supplemented unless otherwise indicated.
. The Kentucky, Maryland, North Carolina, and Ohio boards may discipline a licensee for the sole reason that another state’s licensing authority took disciplinary action against the licensee. See Ky.Rev.Stat. Ann. § 311.595(17) (West 2012); Md. Code Ann.', Health Occupations § 14-404(a)(21), (24) (West 2012); N.C. Gen.Stat. Ann. § 90-14(a)(13) (West 2012); Ohio Rev.Code Ann. § 4731.22(B)(22) (West 2012).
. Even if we assume that Defendants’ advice was a cause of Plaintiff’s damages, we note that Plaintiff’s guilty plea may have constituted a superseding cause that severed the causal chain between Defendants’ advice and Plaintiff’s damages. See, e.g., Carmel v. Lunney,
