Opinion
Plaintiffs Joseph A. Saunders and Joseph A. Saunders, P.C. (Saunders) appeal the judgment entered following the grant of summary judgment in favor of Weissburg & Aronson (Weissburg), County of Los Angeles (County), and two hospitals. We affirm the judgment.
Facts
Pursuant to a written agreement, Saunders and Weissburg jointly represented a large group of hospitals in contingency fee litigation against the *871 Medicare program. That litigation is referred to by the parties as “the Group Appeal.” The Group Appeal was ultimately settled by the unanimous vote оf its nine member hospitals for $8 million. Saunders was paid both the contingency fee and a consulting fee contemplated in the agreement with Weissburg.
Saunders alleged that Weissburg made certain misrepresentations to Saunders and the Group Appеal members which affected their assessment of the settlement offer that the hospitals ultimately accepted. Specifically, Saunders contended that Weissburg manipulated the course of the litigation to obtain a greater recоvery for the individual defendant hospitals and the hospitals owned by the County, to the detriment of the remaining hospital members of the Group Appeal. Because the hospitals allegedly favored by Weissburg were not subject to the contingency fеe agreement between Saunders and Weissburg, this manipulation resulted in a greater fee recovery by Weiss-burg, at Saunders’s expense.
The complaint alleged causes of action against Weissburg for breach of contract, breach of fiduciary duty, constructive fraud, fraudulent concealment, interference with the practice of a profession, defamation, negligence, and conversion, all premised on Saunders’s argument that he was injured when, as a result of Weissburg’s prevarications, the Group Appeal was settled for less than its true value. 1 Saunders claimed as damages the contingency fee he would have received if the Group Appeal had not been settled for less than it was worth.
Discussion
Each of Saunders’s causes of action is based on the premise that Weissburg breached certain duties owed to cocounsel Saunders pursuant to a joint venture agreement between them, by misusing and mishandling a contingency fee case. The Court of Appeаl considered one lawyer’s duties to successor counsel in
Mason
v.
Levy & Van Bourg
(1978)
The Court of Appeal rejected the notion that the defendant attorneys owed a duty to the plaintiff under the facts of that case. The court stated: “It is fundamental to the attorney-client relationship that an attorney have an undivided loyalty to his clients. (See ABA Code of Prof. Responsibility, canon 5.) This loyalty should not be diluted by a duty owed to some other person, such as an earlier attorney. While, as a practical matter, both the client and the former attorney stand to benefit from any recovery in the client’s action, their interests are not identical. ... It would be inconsistent with an attorney’s duty to exercise independent professional judgment on behalf of his client to impose upon him an obligation to take into account the interests of predecessor attorneys.” (Mason v. Levy & Van Bourg, supra, 77 Cal.App.3d at pp. 66-67.)
The appellate court considered the ramificatiоns of recognizing a legally cognizable duty on the part of one attorney to another attorney representing the same client: “If the law were to recognize duties, such as are suggested here, between successive attorneys reрresenting the same client, a multitude of litigation could be spawned with an attendant adverse impact on attorney-client relationships. Every lawyer could blame his problems in a lawsuit on his predecessors. Every lawyer referring a case to another lawyer would be in a position to claim that the negligence of the second lawyer caused a meritorious claim to be lost or settled for an insufficient amount. Public confidence in the legal system may be eroded by the speсtacle of lawyers squabbling over the could-have-beens of a concluded lawsuit, even when the client has indicated no dissatisfaction with the outcome. Considerations of public policy support the conclusion that an attorney’s duty оf undivided loyalty to his client should not be diluted by imposing upon him obligations to the client’s former attorney, or at least obligations greater than the client himself owed to the former attorney. [¶] . . . And the contract between the two attorneys, whatever оther obligations it may impose, cannot legally impose upon the successor attorney a duty to pursue the client’s case according to the former attorney’s interests.”
(Mason
v.
Levy & Van Bourg, supra,
The
Mason
court concluded that “defendants owed no duty to plaintiff to prosecute the case in any particular-manner; the duties in this regard are owed to the client.” (
Another Court of Appeal considered a lawyer’s duty to concurrent, as opposed to successor, counsel in
Pollack
v.
Lytle
(1981)
The plaintiff sued the defendant for breach of fiduciary duty, fraud, breach of contract, legal malpractice, and declaratory relief. The Court of Appeal, over a dissent, reversed the trial court’s sustaining of a demurrer, ruling that simple agеncy principles govern the relationship of associate counsel.
(Pollack
v.
Lytle, supra,
120 Cal.App.3d at pp. 940-943.) The majority did not disagree with the rationale of
Mason.
It stated: “We are not unmindful of the growing body of law which holds, as a matter of public policy, that a suсcessor attorney owes no duty to his predecessor. (See, e.g.,
Gibson, Dunn & Crutcher
v.
Superior Court
(1979)
With all due respect to the majority in
Pollack,
we do not find this analysis persuasive. The duty of both the associate and successor attorney is the same: to serve the best interests of the client. Justice Johnson, dissenting in
Pollack
stated, “There is a substantial body of law cоncerning the liability of attorneys who sue each other in connection with common clients. A fiduciary relationship has not heretofore been recognized, and, regardless of legal theory asserted, there has emerged a recurring theme; a client’s right to
*874
the undivided loyalty of his or her attorneys must be protected, even when the result of such rule is the denial of an attorney’s cause of action against another attorney.”
(Pollack
v.
Lytle, supra,
We find the dissent’s position the more soundly reasoned. As both Justice Johnsоn and the
Mason
court observed, recognizing a duty on the part of cocounsel as urged by Saunders would be inconsistent with counsel’s duty to exercise independent judgment on behalf of the client. Saunders argues that here, Weissburg’s duty to its clients was precisely the same as its duty to cocounsel, so that Weissburg was faced with no conflict. Yet the record indicates that the clients were satisfied with Weissburg’s representation, while Saunders was not. That surely indicates that recognition of a duty on the part of Weissburg tо its cocounsel potentially conflicts with Weissburg’s duty to its clients of undivided loyalty and total devotion to their interests. Indeed, the
Mason
court envisioned just this situation in observing that “Public confidence in the legal system may be eroded by the spectacle of lаwyers squabbling over the could-have-beens of a concluded lawsuit, even when the client has indicated no dissatisfaction with the outcome.”
(Mason
v.
Levy & Van Bourg, supra,
As Justice Johnson wrote in dissent in
Pollack
v.
Lytle, supra,
Finally, Saunders mаintains that, even if Weissburg did not breach a common law duty owed to Saunders as cocounsel, and did not breach the joint venture agreement between the parties, Weissburg defamed Saunders when, “in approximately mid-1992 and at various times thereaftеr, [Weiss-burg] stated either orally, in writing, or both to the Group Appeal clients that
*875
Saunders’[s] opinions and judgment with respect to the Medicare offer(s) were unreliable, uninformed, and unworthy of consideration.” The foregoing statements, made in the coursе of settlement negotiations, were absolutely privileged pursuant to Civil Code section 47, subdivision (b). (See, e.g.,
Silberg
v.
Anderson
(1990)
Disposition
The judgment is affirmed.
Turner, P. J., and Grignon, J., concurred.
A petition for a rehearing was denied September 8, 1999, and the opinion was modified to read as printed above. Appellants’ petition for rеview by the Supreme Court was denied November 10, 1999.
Notes
The complaint also alleged causes of action against the County, which owned six of the Group Appeal hospitals, as well as the two individual hospital defendants, for conversion, civil conspiracy, unjust enrichment, and interference with Saunders’s business interests. In his opening brief, Saunders advances no argument and cites no authority with respect to his claims against defendant County of Los Angeles and the two individual hospital defendants. Consequently, we deem the issues waived as to these defendants.
