Case Information
*2 Before HARTZ , HOLMES , and MATHESON , Circuit Judges.
HOLMES , Circuit Judge.
This case presents a difficult question of Kansas law: when do legal malpractice claims involving a failure to act sound in tort rather than contract? Kansas, like other states, distinguishes between legal malpractice claims. Some sound in contract. Others sound in tort. Generally, breach of a specific contractual provision or agreement to do a certain action sounds in contract, while breach of a duty imposed by law on attorneys by virtue of the attorney-client relationship sounds in tort. But the line separating failure to perform an agreed- upon action from breach of a duty imposed by law is not always bright.
Here, the plaintiff, Cory Sylvia, sued his former attorneys, James L. Wisler and David Trevino, for legal malpractice allegedly sounding in tort and breach of contract arising from their representation of Mr. Sylvia in a suit for wrongful termination against Goodyear Tire & Rubber Co. (“Goodyear”), his former employer. Later, Mr. Sylvia amended his complaint to add as a defendant Xpressions, L.C. (“Xpressions”), a limited liability company formerly known as the Wisler Law Office, L.C.
Mr. Sylvia’s initial complaint characterized his claims as sounding both in tort and in contract. Specifically, he faulted (1) both individual defendants for *3 failing to include in, or to later amend, his complaint to aver a workers’ compensation retaliation claim; and (2) solely Mr. Wisler for voluntarily dismissing Mr. Sylvia’s case on the erroneous belief that all claims could be refiled, causing one of his claims to become barred by the statute of limitations. For each of these claims, Mr. Sylvia advanced both tort and contract theories of liability.
Messrs. Wisler and Trevino each filed Federal Rule of Civil Procedure 12(b)(6) motions to dismiss, which were granted in part and denied in part. The court granted dismissal of the legal malpractice claims—allegedly sounding in tort—holding that the claims were not properly characterized as torts and merely duplicated the breach of contract claims. The court allowed the breach of contract claims to go forward. On motions for summary judgment by Mr. Trevino and by Mr. Wisler and Xpressions, filing jointly, the court granted both motions, disposing of the remaining contract claims and the case.
Mr. Sylvia appeals from both the district court’s dismissal of his alleged tort claims and its grant of summary judgment for the defendants on the breach of contract claims. Exercising jurisdiction pursuant to 28 U.S.C. § 1291, [1] we hold *4 that, under Kansas law, Mr. Sylvia has alleged that defendants breached a duty imposed by law in the context of their attorney-client relationship; such claims sound in tort. Accordingly, for reasons further detailed infra , we reverse in part and vacate in part the district court’s judgment dismissing Mr. Sylvia’s legal malpractice claims. However, regarding the district court’s grant of summary judgment for the defendants on the breach of contract claims, we affirm. We remand the case for further proceedings not inconsistent with this opinion.
I. BACKGROUND
Mr. Sylvia’s claims against Messrs. Wisler and Trevino arose from a lawsuit against Goodyear for wrongful termination in which the defendants represented Mr. Sylvia. Mr. Sylvia had sustained repeated injuries working for Goodyear. He filed multiple workers’ compensation claims for those injuries but was fired when he allegedly failed to report a medically necessary absence in violation of a “Last Chance Agreement” Mr. Sylvia had entered into with Goodyear. Aplt.’s App. at 11–13 (Compl., dated Oct. 16, 2013). After his firing, *5 Mr. Sylvia filed a charge with the Equal Employment Opportunity Commission alleging that his termination violated the Americans with Disabilities Act (“ADA”), 42 U.S.C. §§ 12101–213, and later received a notice of right to sue. Between filing the charge and receiving the notice of right to sue, Mr. Sylvia received an award from the Kansas Division of Workers’ Compensation for his claims against Goodyear.
Shortly after receiving the notice of right to sue, Mr. Sylvia retained Wisler & Trevino, L.C., the defendants’ former law firm, to represent him in a wrongful termination suit against Goodyear. Mr. Sylvia signed a written contract with Wisler & Trevino, L.C., that stated in part:
Cory Sylvia has been wrongfully discharged due to disability discrimination and FMLA [i.e., Family and Medical Leave Act, 29 U.S.C. §§ 2601–54] violation/retaliation and Workers Compensation retaliation from GoodYear Tire and Rubber Company on or about May 9, 2009. The firm will file suit in federal court in Kansas on one or more of these claims .
Aplt.’s App. at 132 (Wisler & Xpressions’ Mem. Supp. Mot. Summ. J., dated Mar. 5, 2015) (emphasis added). Mr. Sylvia alleges that before or at the time the contract was executed, he was assured by Messrs. Wisler and Trevino that all five claims discussed by the parties would be brought against Goodyear. [2] The *6 complaint filed by Mr. Trevino, however, omitted both retaliation claims (i.e., FMLA retaliation and workers’ compensation retaliation).
Further, Mr. Sylvia avers that after the lawsuit was filed he received a copy of the complaint and—alerted to the fact that his attorney had included only three of the claims—raised the issue of the missing retaliation claims with Mr. Wisler, who allegedly responded: “[W]e had to file these three claims first, but we will file the other two claims later.” Id. at 191 (Pl.’s Mem. Opp’n Mot. Summ. J., dated Apr. 7, 2015). Mr. Sylvia asserts that, in relying on Mr. Wisler’s statement, he did not insist that the written contract be modified to require the filing of all five claims.
During the course of the underlying litigation, Messrs. Wisler and Trevino dissolved their partnership, and Mr. Sylvia chose Mr. Wisler to continue the representation; Mr. Trevino withdrew. About the same time, the Social Security Administration determined that Mr. Sylvia was disabled and so eligible for disability benefits beginning April 1, 2009—over a month before he was discharged by Goodyear on May 8, 2009. As a result, Mr. Wisler believed that he could not argue in good faith that Mr. Sylvia had a good claim or had suffered substantial damages.
According to Mr. Sylvia, around this time he and Mr. Wisler had multiple conversations regarding the possibility of voluntarily dismissing the case against Goodyear. Mr. Sylvia allegedly asked Mr. Wisler multiple times not to dismiss *7 so that Mr. Sylvia could find other counsel to prosecute the case. But Mr. Sylvia says that Mr. Wisler repeatedly assured him that he would be able to refile all of the claims. Allegedly relying on those assurances, Mr. Sylvia consented to the voluntary dismissal of his case.
Mr. Sylvia retained new counsel who filed suit in the District of Kansas against Goodyear for (1) interference in violation of the FMLA, (2) FMLA retaliation, (3) wrongful discharge in violation of the Employee Retirement Income Security Act (“ERISA”), 29 U.S.C. §§ 1000–461, and (4) disability discrimination in violation of the ADA. However, on April 26, 2012, Mr. Sylvia’s claim for disability discrimination under the ADA was dismissed as time-barred because state tolling and savings statutes do not apply to ADA claims, which must be filed within 90 days of receiving a notice of right to sue. Mr. Sylvia settled his remaining claims against Goodyear for $12,000.
On October 16, 2013, Mr. Sylvia brought suit against Messrs. Wisler and Trevino in the District of Kansas for allegedly tortious conduct and breach of contract. Before answering the complaint, Messrs. Wisler and Trevino moved to dismiss the claims against them for failure to state a claim. The district court granted in part the motions to dismiss, dismissing the legal malpractice claims that Mr. Sylvia asserted sounded in tort, while permitting the contract claims to proceed.
In doing so, the district court held that Mr. Sylvia had failed to state a *8 facially plausible claim that the defendants violated a duty imposed by law and thus committed a tort. Mr. Sylvia then moved to amend his complaint to add Xpressions, formerly Wisler Law Office, L.C., as a defendant. He conformed his amended complaint to the district court’s dismissal order by omitting the alleged tort claims.
After limited discovery, the defendants moved for summary judgment on the remaining contract claims. The district court granted the defendants’ motions for summary judgment, dismissing the remaining contract claims. The court rejected Mr. Sylvia’s arguments, and held, inter alia , (1) that the parol evidence rule barred evidence of oral statements before or contemporaneous with the execution of the written contract; (2) that Mr. Sylvia had failed to show a subsequent oral agreement supported by consideration; and (3) that the voluntary dismissal of the underlying case did not breach the terms of the written contract or any other contractual obligation.
Mr. Sylvia now appeals from the district court’s dispositions of the motions to dismiss and the motions for summary judgment. We examine each set of motions in turn, beginning with the district court’s granting of the motions to dismiss for failure to state a claim as to Mr. Sylvia’s alleged tort claims, before turning to the granting of the summary judgment motions in favor of the defendants on Mr. Sylvia’s contract claims.
II. DISCUSSION
*9
As to the claims at issue here, we note at the outset that “[b]ecause the
district court’s jurisdiction was based on diversity of citizenship, [Kansas]
substantive law governs . . . . This court must therefore ‘ascertain and apply
[Kansas] law with the objective that the result obtained in the federal court should
be the result that would be reached in [a Kansas] court.’”
Brady v. UBS Fin.
Servs., Inc.
,
A. Dismissal of Mr. Sylvia’s Alleged Tort Claims
This court reviews “de novo the district court’s granting of a motion to
dismiss under Federal Rule of Civil Procedure 12(b)(6).”
Albers v. Bd. of Cty.
Comm’rs
,
On appeal, Mr. Sylvia argues that his complaint stated facially plausible
claims for legal malpractice sounding in tort against Messrs. Wisler and Trevino.
Specifically, he argues that the district court erred by not recognizing that he had
properly pleaded claims for malpractice sounding in both tort and breach of
contract, which is permitted under Kansas law. He further argues that these tort
claims are based on violations of a duty imposed by law by virtue of the attorney-
client relationship, independent of obligations arising under the contract. Messrs.
Wisler and Trevino respond that the district court was correct in its holding and
that Mr. Sylvia’s claims most closely resemble the kind found in
Juhnke v. Hess
,
Because the same principles of Kansas law apply to the dismissal of the claims against Messrs. Wisler and Trevino, we first analyze the Kansas caselaw to establish the relevant legal principles before applying them to these claims.
1. Kansas Caselaw Characterizing Legal Malpractice Claims
Under Kansas law, “[l]egal and medical malpractice generally constitute both a
tort and a breach of contract.”
Pancake House, Inc. v. Redmond
,
The leading Kansas case on the characterization of legal malpractice claims, Pancake House , offers the following guidance:
A breach of contract may be said to be a material failure of performance of a duty arising under or imposed by agreement. A tort, on the other hand, is a violation of a duty imposed by law, a wrong independent of contract. Torts can, of course, be committed by parties to a contract. The question to be determined here is whether the actions or omissions complained of constitute a violation of duties imposed by law, or of duties arising by virtue of the alleged express agreement between the parties.
. . . Where the act complained of is a breach of specific terms of the contract without any reference to the legal duties imposed by law *12 upon the relationship created thereby, the action is contractual. Where the essential claim of the action is a breach of a duty imposed by law upon the relationship of attorney/client and not of the contract itself, the action is in tort.
. . . .
While other jurisdictions are divided as to whether legal malpractice may be categorized as a cause of action in tort or one in contract, Kansas has held that where a legal duty is imposed by law, the cause of action is in tort. Where the malpractice involves failure to perform a contractual obligation, whether express or implied, the cause of action is in contract.
As in other jurisdictions, Kansas courts most commonly have addressed legal
malpractice claims that sound in tort.
See Pancake House
,
In this regard, in a host of cases, the Kansas courts have determined that malpractice actions sounded in tort, where the claims alleged that attorneys failed to properly perform their professional duties imposed on them by law in the context of the attorney-client relationship. For example, in Pancake House , attorneys who had previously represented a corporation filed suit against the corporation on behalf of certain of its shareholders; Kansas’s high court held that the corporation’s malpractice claim sounded in tort because the obligation allegedly breached was “not a part of any express or implied contract,” but instead stemmed from “a legal duty [] imposed by law.” 716 P.2d at 578. The legal duty at issue related to the circumstances under which an attorney is prohibited from suing a business for whom she had previously provided legal services. Id. at 577–78. In effect, the plaintiff claimed that the attorney defendants had “breach[ed] a duty imposed by law upon the relationship of attorney/client” by their allegedly improper actions. Id.
Likewise, in
Kansas Public Employees Retirement System
, the Kansas Supreme
Court held that a failure “to provide
sound and appropriate
legal services” or “failing to
properly
advise” in relation to investment transactions sounded in tort rather than
contract.
Additionally, in
Jeanes v. Bank of America, N.A.
—a case cited by all parties—the
Kansas Court of Appeals held that a trust and estate attorney’s failure to provide legal
advice in estate-planning services that would have saved millions in estate tax liability
was not a breach of any specific contractual provision and instead sounded in tort as a
failure “to exercise ordinary skill and knowledge in giving legal advice.”
On the other hand, in limited instances, the Kansas courts have classified
malpractice actions as sounding in contract. A clear example in this regard is the Kansas
Supreme Court’s decision in
Juhnke v. Hess
. There, an attorney was expressly retained to
file an appeal and failed to do so, resulting in his client’s right to appeal becoming time-
barred.
See
Moreover, in an instructive opinion, the Kansas Court of Appeals applied
Juhnke
to conclude that the plaintiff’s claim against the attorney and law firm that handled a
domestic relations matter for her sounded in contract.
Pittman v. McDowell, Rice &
Smith, Chartered
,
[The attorney] was employed to file a motion for child support, obtain service on [the plaintiff’s ex-husband], and obtain a child support order.
. . . The only thing [the attorney] failed to do was to prepare and file a journal entry which would have completed his express agreement for services to [the plaintiff].
We hold [the attorney] has failed to perform a duty arising under or imposed by agreement, which is in contract . . . .
Id.
Pittman underscores Juhnke ’s message that claims sounding in contract typically involve bargained-for promises by attorneys to perform certain actions—whether those actions are concentrated at the outset of the representation, as in Juhnke , or are just particular steps during the journey of the representation to a definite destination, as in Pittman . See Anderson & Steele, supra , at 251 (“The core ingredient of a contract action by a client against his attorney is breach of promise by the attorney. Accordingly, the client must plead and prove by a preponderance of the evidence breach of a promise, as well as the other basic ingredients of a contract cause of action, such as foreseeability, causation, and damages.”); id. at 244–45 (“[A] suit between a client and his lawyer may be based on a breach of contract without raising issues of negligence or violation of the attorney’s fiduciary obligations. In such cases, the allegation is simply that the attorney did not do what the contract, by expression or implication, said that he would do.”); see also Keeton et al., supra , § 92, at 658 (“When one makes a promise—a commitment as to what he will do or will not do in the future—this generally induces reasonable reliance . . . . But contractual liability can be regarded as limited to the type of case where promises are found to be enforceable, and the damage results from the breach of an enforceable promise.”).
Thus, in contrast to claims sounding in tort, the focus of these claims sounding in *17 contract is not whether the attorney “exercise[d] the learning and skill ordinarily possessed by members of their profession in the community,” or even whether the attorney offered unenforceable assurances regarding her performance. Bowman , 686 P.2d at 120; cf. Keeton et al., supra , § 92, at 659 (“[I]n some situations when one undertakes to act he may be doing so under circumstances where, apart from the contract that he makes , there should be a duty to exercise reasonable care to others whose economic interests are likely to be affected by the way the conduct is performed . This is especially true of representations made to a client by a lawyer . . . .” (emphases added)).
All that said, we acknowledge that “legal malpratice actions often fall on th[e]
‘borderland of tort and contract,’” Anderson & Steele,
supra
, at 266 (quoting William
Lloyd Prosser,
The Borderland of Torts and Contract, in
S ELECTED T OPICS ON THE L AW
OF T ORTS 380 (1953)), and that “[t]he distinction between tort and contract liability” may
be a “difficult distinction to make,” Keeton et al.,
supra
, § 92, at 655;
see Hunt v. KMG
Main Hurdman
,
Specifically, in
Bowman
, the plaintiff, Michael Bowman, retained an attorney,
defendant Harold Doherty, to represent him in connection with a charge of passing a
worthless check.
See
Mr. Bowman then sued Mr. Doherty for both legal malpractice and breach of contract. See id. at 115. As relevant here, the jury rendered a verdict in Mr. Bowman’s favor and awarded him damages, including punitive damages. See id. at 117. Mr. *19 Doherty appealed from the jury’s verdict on the grounds that Mr. Bowman’s claim sounded solely in contract and therefore punitive damages were not available. See id. at 117, 120. At the outset, the Supreme Court of Kansas concluded that the trial court “correctly” denied Mr. Doherty’s motions for directed verdicts upon “determining that both a legal and contractual obligation could have been breached.” See id. at 120 (emphasis added). However, the court upheld the punitive damages award under the view that the jury ultimately determined that Mr. Doherty was negligent. Id. at 117, 120. That is, the punitive damages award was permissible because the “action sounded in tort” (i.e., stemmed from the breach of a legal duty). Id. at 120.
Yet, the claims at issue in
Bowman—
at least on a superficial level—arguably
resemble the claims in
Juhnke
and
Pittman
, which the Kansas courts held sounded in
contract. In this regard, like the attorneys in those two cases, Mr. Doherty made
assurances to Mr. Bowman that he would take certain steps in the representation and then
failed to accomplish them.
See Bowman
,
Thus, Mr. Doherty’s liability turned on his failure to undertake such necessary steps in the representation by “exercis[ing] the learning and skill ordinarily possessed by members of [the legal] profession in the community.” Id. at 120; see also id. at 119 (“The jury believed the defendant took insufficient action to obtain a continuance in the plaintiff’s criminal case. Without a continuance, plaintiff’s arrest for his failure to appear *21 was foreseeable to a lawyer.” (emphasis added)). And, accordingly, the Kansas Supreme Court held that Mr. Bowman’s claim sounded in tort.
On closer inspection, then, Bowman is distinguishable from Juhnke and Pittman . The holdings of these three cases nevertheless may be harmonized in a way that clarifies and sheds light on the “borderland” between tort and contract in Kansas legal malpractice claims. In brief, a claim that a lawyer failed to perform acts in his legal representation of a client that were the subject of bargained-for promises sounds in contract, whereas a claim that an attorney’s acts or omissions in carrying out a representation fell short of the ordinary standard of learning or skill in the legal community sounds in tort.
***
We now proceed to apply the foregoing principles to Mr. Sylvia’s claims against Messrs. Wisler and Trevino. We begin with the claims against Mr. Wisler before turning to the claim against Mr. Trevino.
2. Claims Against Mr. Wisler Mr. Sylvia argues that his complaint stated facially plausible claims for legal malpractice sounding in tort against Mr. Wisler for two separate breaches of duty: (1) failure to amend the complaint in the underlying litigation to include a claim of workers’ compensation retaliation, resulting in that claim becoming time-barred; and (2) voluntarily dismissing Mr. Sylvia’s case after erroneously advising him that he would be able to refile all claims, causing his ADA discrimination claim to become time-barred. Notably, these two breaches—that is, claims of legal malpractice allegedly sounding in *22 tort—both appeared in a single count of the original complaint, Count I, which was denominated “Legal Malpractice.” Aplt.’s App. at 17. The district court dismissed this count in its entirety; its analysis, however, only expressly addressed the first alleged breach of duty related to the failure to amend.
More specifically, Mr. Sylvia’s original complaint alleged that he met with Mr. Wisler along with Mr. Trevino “to employ them to file a lawsuit on his behalf,” that he “signed a written contract with Wisler & Trevino, L.C.,” and that, when Mr. Trevino withdrew from the litigation, Mr. Wisler filed an entry of appearance on behalf of Mr. Sylvia. Id. at 13–15.
Count I of the complaint alleges that Mr. Wisler “failed to amend the complaint [in the underlying litigation] to include a claim of workers[’] compensation retaliation.” Id. at 17. Because of that failure to amend the complaint to include a claim of workers’ compensation retaliation, Mr. Sylvia was unable to bring that claim in his second suit against Goodyear filed by new attorneys because “such a claim was never asserted in [the first lawsuit], and therefore the claim was time-barred.” Id. at 16.
Count I also alleges that Mr. Wisler later refused Mr. Sylvia’s requests not to voluntarily dismiss the case and repeatedly and “erroneously advised Mr. Sylvia that all of the claims in that case could be re-filed.” Id. at 17. However, after filing a new action, the district court dismissed his claim for ADA discrimination as time-barred because Kansas’s savings statute does not apply to ADA cases. Id. at 16–17. The loss of the workers’ compensation retaliation claim and the ADA discrimination claim “substantially *23 diminished” “the value of Mr. Sylvia’s claims” in his second suit against Goodyear. Id. at 17. This diminution in value allegedly was caused by Mr. Wisler’s negligence. Id.
The question presented here is whether these two claims sound in tort, rather than contract, under Kansas law. As to the first claim relating to the failure to amend, we conclude that the district court committed reversible error in granting Mr. Wisler’s motion to dismiss. Based on the authorities and reasoning explicated supra , this claim sounds in tort. As to the second claim (i.e., relating to the dismissal of the underlying action based on erroneous advice), though the district court’s judgment effectively dismissed this claim, the court’s analysis did not expressly address it, much less characterize it as sounding in contract rather than tort. Consequently, for reasons that we explicate infra , we believe it to be most prudent and fair to permit the district court to address the merits of this second claim in the first instance, with the benefit of our sketch herein of the contours of Kansas law.
a. Claim Against Mr. Wisler for Failure to Amend the Complaint to Include a Claim for Workers’ Compensation Retaliation
In dismissing Mr. Sylvia’s claim against Mr. Wisler for failure to amend the complaint to include a workers’ compensation retaliation claim, the district court characterized the claim as being like that in Juhnke :
Plaintiff entered into a contract with Wisler & Trevino, L.C. for legal services, namely to file a claim of wrongful termination against Goodyear based on a variety of grounds. Plaintiff now alleges that Defendants failed to do exactly that by not asserting a claim of workers’ compensation retaliation. . . . Plaintiff fails to set forth a *24 facially plausible argument that Defendants violated a legal duty, and therefore committed a tort, by not filing a petition that contained a claim for workers’ compensation retaliation.
Aplt.’s App. at 73–74. We must disagree with the district court’s analysis and ultimate conclusion.
The court’s analysis centered on the existence of an attorney-client contract
between Mr. Sylvia and Mr. Wisler’s firm for the filing of certain claims with respect to
Mr. Sylvia’s wrongful termination from Goodyear; based on its analysis, the court
concluded that Mr. Sylvia’s first Count I claim sounded in contract. But the existence of
this contract in itself does not shed much light on whether Mr. Sylvia may properly allege
that Mr. Wisler violated a
legal duty
stemming from their attorney-client relationship
(evidenced by the contract) when he failed to amend the complaint to include a workers’
compensation retaliation claim.
See Pancake House
,
More specifically, the same relationship between a client and her attorney may
conceivably provide the basis for claims sounding in both contract and tort.
See Pancake
*25
House
,
Accordingly, the mere existence of an attorney-client contractual relationship
*26
between Mr. Sylvia and Mr. Wisler for the latter’s firm to file certain claims with respect
to Mr. Sylvia’s wrongful termination from Goodyear should not have the effect of
transforming any subsequent malpractice claims by Mr. Sylvia related to such filing into
ones sounding solely in contract.
Cf. Juhnke
,
Naturally construed, the complaint alleges that Mr. Wisler’s failure to amend the complaint was an act of negligence that caused a viable workers’ compensation claim to become time-barred, diminishing the value of Mr. Sylvia’s claims against Goodyear. Aplt.’s App. at 13–17. In our view, Mr. Wisler’s failure to act is akin to the failure of performance of Mr. Doherty in Bowman . Accordingly, Mr. Sylvia properly stated a claim for malpractice sounding in tort.
More specifically, contrary to the district court’s apparent view, we believe that
Mr. Sylvia’s Count I claim is better analogized to that in
Bowman
than that in
Juhnke
.
Unlike in
Juhnke
, the facts alleged by Mr. Sylvia do not show that Mr. Wisler expressly
contracted with Mr. Sylvia to file each of the claims discussed by the parties, and that Mr.
Wisler then breached that contract by not including the workers’ compensation retaliation
claim. And the plain text of Mr. Sylvia’s written agreement with Mr. Wisler’s firm does
not establish the existence of such a contract. Though in complaint averments
incorporated into Count I, Mr. Sylvia maintains that Mr. Wisler assured him that he
would file all claims identified in their agreement, including the workers’ compensation
*27
retaliation claim, there is no indication in the complaint that these assurances constituted
bargained-for promises (i.e., contracts in themselves).
Cf. Pittman
,
Moreover, the Kansas Court of Appeals’s decision in
Jeanes
—which the district
court used as the exemplar of a malpractice claim sounding in tort, Aplt.’s App. at
73—suggests that the mere allegation of a
failure
to provide services does not of itself
produce a claim sounding in contract rather than tort. In
Jeanes
, the plaintiff complained
of what was essentially a failure “to exercise ordinary skill and knowledge in giving legal
advice”—that is, failing to counsel a client to take steps that would have avoided
substantial estate tax liability upon her death.
Mr. Wisler contends that, “[w]here doubt exists as to whether an action is based on
contract or tort, words appropriate to a tort action will be disregarded and the petition will
be treated as sounding in contract.” Aplees. Wisler & Xpressions’ Br. at 10 (quoting
Juhnke
,
The complaint does not allege breach of an implied contract—
viz.
, “[a] contract
implied in fact aris[ing] from facts and circumstances showing mutual intent to contract”
or “[a] contract implied in law, or quasi contract, . . . a fiction of the law designed to
prevent unjust enrichment.”
Mai v. Youtsey
,
Mr. Wisler further argues that Mr. Sylvia abandoned his tort claims for legal
malpractice by having omitted them from the amended complaint filed after those claims
were dismissed. Aplees. Wisler & Xpressions’ Br. at 11. In making this argument, Mr.
Wisler cites scant legal authority and none on point. The only case cited is an
unpublished disposition of the Kansas Court of Appeals in a malpractice suit.
See Guinn
v. Raymond
, No. 90971,
Furthermore, and perhaps more to the point, this court has held that “a notice of
appeal which names the final judgment is sufficient to support review of all earlier orders
that merge in the final judgment.”
McBride v. CITGO Petroleum Corp.
,
***
In sum, Mr. Sylvia’s first malpractice claim relating to the failure to amend the complaint to add a workers’ compensation retaliation claim sounds in tort. Thus, we reverse the district court’s judgment as to that claim.
b. Claim Against Mr. Wisler for Voluntarily Dismissing the Underlying Litigation on the Erroneous Belief That All Claims Could Be Refiled As noted, although Mr. Sylvia’s complaint did plead a second malpractice claim against Mr. Wisler in Count I for voluntarily dismissing the underlying lawsuit after erroneously advising Mr. Sylvia that he would be able to refile all claims, the district court did not explicitly address this claim in dismissing the entirety of Mr. Sylvia’s legal malpractice action (i.e., Count I) and, more specifically, did not opine on whether this claim was properly characterized as sounding in tort or breach of contract. Presumably, this was an oversight by the district court. In any event, although the district court’s judgment in favor of Mr. Wisler regarding Count I did have the effect of tacitly resolving this claim, we do not have the benefit of the district court’s rationale for doing so.
For the reasons stated below, we decline to review the merits of the court’s disposition of this second claim, which would oblige us to address the tort-contract characterization issue in the first instance. Instead, we remand the case with instructions to the district court to vacate the portion of its Count I judgment encompassing this claim and to resolve in the first instance under the principles of Kansas law explicated supra the characterization of this claim. In other words, the court should determine under these principles whether the claim is in fact a legal malpractice claim sounding in tort or whether it is more properly viewed as a claim for breach of contract.
We recognize that Mr. Sylvia argues vigorously on appeal that this second claim pleaded averments that “state a facially plausible claim for legal malpractice [sounding in tort] against Mr. Wisler” under “the principles established” in Juhnke , Bowman , and other Kansas cases bearing on the characterization of claims as sounding in tort or contract. Aplt.’s Opening Br. at 28. But Mr. Sylvia’s argument does not acknowledge that the district court did not expressly reach his second claim, much less apply Juhnke and Bowman to it. In other words, Mr. Sylvia’s argument does not engage with the district court’s reasoning regarding this claim because there is not any.
We are not saying—at least in the context of de novo review, as here—that the fact
that a district court’s underlying reasoning is nonexistent necessarily precludes our review
of its judgment effectively dismissing a claim.
See Cox v. Glanz
,
But there is also an absence of meaningful adversarial briefing here regarding the
tort-contract characterization issue with respect to this claim. In this regard, Mr. Wisler,
too, has failed to acknowledge the district court’s failure to address Mr. Sylvia’s second
claim. And, because his appellate briefing substantially tracks the rationale of the district
court’s order, Mr. Wisler (like the district court) elides this claim entirely. In other
words, he does not respond to Mr. Sylvia’s appellate briefing regarding this claim. This
absence of meaningful adversarial briefing—at least under the circumstances of this
case—militates against our review.
See Abernathy v. Wandes
,
To be sure, one might argue that Mr. Wisler’s failure to make an argument in
defense of the district court’s judgment regarding the second claim—in the face of Mr.
Sylvia’s
appellate
briefing regarding it—is tantamount to a waiver.
See, e.g.
,
United
States v. De Vaughn
,
*36 Deprived of meaningful adversarial briefing regarding this claim, as well as a reasoned district court decision resolving it, we believe that the most prudent and fair course is to allow the district court to address this claim in the first instance on remand under the Kansas law principles articulated supra . We turn now to the single legal malpractice claim allegedly sounding in tort that Mr. Sylvia alleged against Mr. Trevino.
3. Malpractice Claim Against Mr. Trevino for Failure to Include a Claim of Workers’ Compensation Retaliation Mr. Sylvia contends that he pleaded a facially plausible claim for legal malpractice sounding in tort against Mr. Trevino and that the district court erred in dismissing his claim for the “same . . . reasons discussed in detail . . . in regard to Mr. Wisler.” Aplt.’s Opening Br. at 30. But Mr. Trevino argues (a) that Mr. Sylvia has failed to meet the federal pleading standards, and (b) that the Kansas cases that Mr. Sylvia cites are not analogous to his case and so fail to demonstrate error by the district court.
Specifically, Mr. Trevino first asserts that Mr. Sylvia has merely pleaded legal conclusions insufficient to make out a claim for legal malpractice: “Mr. Sylvia has not alleged any facts that even infer Mr. Trevino breached a duty to exercise ordinary skill and knowledge. Moreover, no facts were pled that Mr. Trevino was negligent as an attorney by not filing a claim for workers[’] compensation retaliation.” Aplee. Trevino’s Br. at 16. But, under contemporary pleading standards, we conclude that Mr. Sylvia adequately pleaded a legal malpractice claim sounding in tort against Mr. Trevino.
“[T]he Rule 12(b)(6) standard doesn’t require a plaintiff to ‘set forth a prima facie
*37
case for each element.’”
Urban Settlement Servs.
,
But the nature and specificity required of a complaint “depends on context.”
Robbins
,
Naturally construed, Mr. Sylvia alleges that Mr. Trevino failed to exercise the skill and knowledge required of an attorney by failing to amend the complaint to include a workers’ compensation retaliation claim before withdrawing from the attorney-client relationship. This alleged negligent omission caused the retaliation claim to become time-barred, resulting in diminishment of the value of Mr. Sylvia’s claims against *38 Goodyear. These allegations are sufficient on their face to state a facially plausible claim for legal malpractice sounding in tort because they are sufficient to have put Mr. Trevino on notice of the precise conduct alleged to be negligent and to be the cause of Mr. Sylvia’s injury.
Mr. Trevino maintains that the district court was correct in holding that Mr.
Sylvia’s claim sounded in contract rather than tort and that Mr. Sylvia fails to “address
the [d]istrict [c]ourt’s reasoning in dismissing Mr. Sylvia’s malpractice claim[s].” Aplee.
Trevino’s Br. at 14. According to this argument, the Kansas cases that Mr. Sylvia cites
are not analogous to his case and so do not support Mr. Sylvia’s contention that his
malpractice claim sounds in tort. Specifically, Mr. Trevino contends that the cases “all
concern which statute of limitations appl[ies] in a legal malpractice case and involve
situations in which a trial court dismissed a cause of action because the perceived harm fit
more appropriately within the realm of either tort or breach of contract.”
Id.
(citing
Pancake House
,
Mr. Trevino’s argument rests on a mistaken understanding of the cases. Of the
cases he cites, only
Juhnke
turned directly on whether the two-year limitations period for
torts or the longer period for contracts would apply.
Mr. Trevino’s argument also fails because the Kansas Supreme Court has
expressly decided whether to characterize malpractice claims as sounding in tort or
contract in a variety of contexts.
See Tamarac Dev. Co. v. Delamater, Freund & Assocs.
,
Mr. Trevino offers no further argument as to why the malpractice claim lodged
against him must sound in contract rather than tort. The same legal principles that we
applied to the claims against Mr. Wisler are controlling here. In the context of Count I,
Mr. Sylvia does not allege that Mr. Trevino breached some bargained-for promise to
amend the complaint to add the workers’ compensation retaliation claim; instead, he
essentially alleges that Mr. Trevino did not follow through with his bald assurances that
all of Mr. Sylvia’s five claims—including the workers’ compensation claim—would end
up in the complaint. In other words, Mr. Sylvia alleges that, by failing to amend the
complaint, Mr. Trevino failed to “exercise the learning and skill ordinarily possessed by
members of [the legal] profession in the community,”
Bowman
,
***
In sum, for the reasons noted above, we reverse the district court’s judgment granting Mr. Trevino’s motion to dismiss Mr. Sylvia’s malpractice claim for failing to *41 include a workers’ compensation retaliation claim in the original complaint. We turn now to Mr. Sylvia’s contract claims, which the district court disposed of on summary judgment.
B. Summary Judgment as to the Contract Claims We review de novo the district court’s grant of summary judgment. Burnett v. Sw.
Bell Tel., L.P.
,
Mr. Sylvia’s post-dismissal amended complaint included two separate sets of contract claims: (1) claims against Messrs. Wisler and Trevino, as willful participants in a breach of contract by Wisler & Trevino, L.C., for failure to include a claim of workers’ compensation retaliation; and (2) a claim against Xpressions (formerly Wisler Law Office, L.C.) and against Mr. Wisler, as a willful participant in the breach of contract of Xpressions by voluntarily dismissing the underlying case. Aplt.’s App. at 81–82, 89 (Am. Compl., dated Oct. 27, 2014). The district court granted summary judgment on Mr. *42 Sylvia’s contract claims because the undisputed facts failed to show the existence of a contract to bring a workers’ compensation retaliation claim or to refrain from voluntarily dismissing the case. [6]
As to the first claim of breach of contract by failure to include a workers’
compensation retaliation claim, Mr. Sylvia argues (a) that the written contract with Wisler
& Trevino, L.C. was incomplete, permitting the introduction of evidence of prior or
contemporaneous parol, or (b) that the written contract was modified by a subsequent oral
agreement. As to the second claim against Mr. Wisler and Xpressions, Mr. Sylvia
appears to argue, as he did below, that Mr. Wisler entered into a contract to “assure the
effect of legal services rendered” by making assurances that all claims could be refiled.
Aplt.’s Opening Br. at 36 (emphasis omitted) (quoting
Juhnke
,
As to the first claim, Mr. Trevino’s liability on the written contract is said to stem from his having “participated and acquiesced in the express assurances made by Mr. Wisler that a claim for workers[’] compensation retaliation would be specifically included in the suit against Goodyear.” Id. at 37. Accordingly, Mr. Trevino’s contractual liability depends entirely on whether Mr. Wisler’s assurances supplemented or modified the *43 written contract. In other words, Mr. Trevino stands or falls with Mr. Wisler; if the latter’s arguments fail, so do Mr. Trevino’s. We turn to this first claim and then examine the district court’s judgment regarding the contract claim against Mr. Wisler and Xpressions arising from the voluntary dismissal.
1. Contract Claims Against Messrs. Wisler and Trevino for Failing to Include a Workers’ Compensation Retaliation Claim Before the district court, Mr. Sylvia contended that Mr. Wisler made oral promises before, during, and after the execution of the written contract of representation that served to either clarify or modify the written contract such that it would require Mr. Wisler to file a workers’ compensation retaliation claim. Messrs. Wisler and Trevino argued that: (a) any prior or contemporaneous statements are barred by the parol evidence rule and so evidence of those statements is not admissible and could not create a genuine dispute as to a material fact; and (b) even assuming arguendo that subsequent oral promises were made to Mr. Sylvia, they would still be entitled to summary judgment because those promises are not enforceable for want of consideration.
On appeal, Mr. Sylvia contends that the district court erred in holding (a) that the written contract was complete, and (b) that there was no subsequent oral agreement modifying the written contract for want of consideration. For the reasons noted below, these arguments fail. We affirm the district court’s grant of summary judgment on the breach of contract claims against Messrs. Wisler and Trevino for failure to include, or amend to include, a claim for workers’ compensation retaliation.
a. Incompleteness Mr. Sylvia first contends that the written contract is incomplete, and so parol evidence is admissible and creates a genuine factual dispute preventing summary judgment.
Under Kansas law, unless a contract is incomplete, ambiguous, or uncertain, “parol
evidence of prior or contemporaneous agreements or understandings tending to vary the
terms of the contract evidenced by the writing is inadmissible.”
Decatur Cty. Feed Yard,
Inc. v. Fahey
,
But there is a “wide distinction between an attempt to contradict the terms of a
written instrument and to explain the circumstances and conditions under which it was
executed and delivered.”
Souder
,
We conclude that the contract is not incomplete; more specifically, it is not silent as to whether Wisler & Trevino, L.C. was obligated to bring a workers’ compensation retaliation claim. The relevant clause reads:
Cory Sylvia has been wrongfully discharged due to disability discrimination and FMLA violation/retaliation and Workers Compensation retaliation from GoodYear Tire and Rubber Company on or about May 9, 2009. The firm will file suit in federal court in Kansas on one or more of these claims .
Aplt.’s App. at 132 (emphasis added). Put simply, the contract is not silent regarding whether Wisler & Trevino, L.C. was required to file in particular a workers’ compensation retaliation claim: the firm was not. Rather, it was only obliged to bring at least one of the enumerated claims.
Further, Mr. Sylvia’s parol averment attributed to the defendants that “a claim for workers[’] compensation retaliation would be specifically included” directly contradicts the plain language of the contract. Aplt.’s Opening Br. at 33. The contract required only that the firm bring at least one of the claims. Aplt.’s App. at 132. Even were this parol evidence admissible in other respects, it would not be admissible to directly contradict an express contractual term.
Mr. Sylvia contends that the contract is incomplete because “it does not
specifically identify which ‘one or more of these claims’ would be included in the suit
*46
against Goodyear.” Aplt.’s Opening Br. at 33. However, at best this is an argument for
ambiguity of the contract, not for incompleteness or silence. But the agreement is not
ambiguous. “There can be no ambiguity in a written agreement unless after the
application of pertinent rules of construction there is left a genuine uncertainty which of
two or more possible meanings was intended by the parties.”
Mays v. Middle Iowa Realty
Grp.
,
Accordingly, the district court did not err in holding that the written contract was complete. Mr. Sylvia next contends that, even if the agreement is complete, it was modified by a subsequent oral agreement. This argument, too, fails.
b. Subsequent Oral Agreement The district court found that Mr. Sylvia did not raise a genuine dispute of fact regarding whether Mr. Wisler “bargained for or received any consideration in exchange for [the] alleged promise [to file the two claims omitted from the initial filing later]” or *47 whether Mr. Sylvia “incurred any loss or detriment in exchange for the promise.” Aplt.’s App. at 218 (Mem. & Order, dated Oct. 26, 2015). Mr. Sylvia argues, however, that the district court erred because he suffered a detriment sufficient to serve as consideration. Consistent with the district court’s holding, we conclude that Mr. Sylvia’s evidence, taken as true, shows nothing more than bare promises by Mr. Wisler—unsupported by consideration—that fall well short of a subsequent agreement to modify the written contract.
Specifically, Mr. Sylvia contends that, “[i]n reliance on [Mr. Wisler’s promise to
file the two claims omitted from the initial filing later], I did not insist that the contract of
representation be re-written to specifically state that all five claims would be included in
the complaint.” Aplt.’s Opening Br. at 34;
accord
Aplt.’s App. at 173 (Decl. Cory Sylvia,
dated Apr. 1, 2015). As support for this argument, Mr. Sylvia directs us to the Kansas
Supreme Court’s decision in
Temmen v. Kent-Brown Chevrolet Co.
,
As Professor Williston’s treatise explains:
[D]etriment in this context [has] a technical meaning. . . . [T]he detriment to the promisee need [not] be actual; rather, it is a sufficient legal detriment to the promisee [to satisfy the consideration *48 requirement] if it promises or performs any act, regardless of how slight or inconvenient, which it is not obligated to promise or perform so long as it does so at the request of the promisor and in exchange for the promise.
3 Samuel Williston et al., W ILLISTON ON C ONTRACTS § 7:4 (4th ed.), Westlaw (database
updated May 2017) (second emphasis added) (footnote omitted);
see In re Shirk’s Estate
,
In
Temmen
, the court identified facts that—while admittedly bearing a “[t]enuous”
connection to the concept of legal detriment—provided “a sufficient showing of
consideration.”
There are no such facts present here. Though steadfastly maintaining that he “did not insist that the contract of representation be re-written to specifically state that all five *49 claims would be included in the complaint against Goodyear” because of his reliance on Mr. Wisler’s promise to subsequently include the two omitted claims, at no point does Mr. Sylvia identify facts from which it could be reasonably inferred that Mr. Wisler asked him to forgo making a request to have the contract rewritten (i.e., an act Mr. Sylvia did not have to forgo). Therefore, a key element of a legal detriment—a request from the promisor, Mr. Wisler—is not present here. Consequently, Mr. Sylvia’s detriment was not sufficient to constitute consideration for any alleged assurances from Mr. Wisler regarding the inclusion of the omitted claims. Such assurances were nothing more than naked promises. Thus, Mr. Sylvia’s contention that his written contract of representation was modified by a subsequent oral agreement is without merit; any such agreement was devoid of consideration. [7]
***
Because Mr. Sylvia has failed to show that the district court erred in holding that the contract was complete and that it was not modified by a subsequent oral agreement, we uphold the district court’s grant of summary judgment for all defendants on the breach of contract claims for failure to include a workers’ compensation claim in the underlying lawsuit against Goodyear.
*51 2. Contract Claims Against Mr. Wisler and Xpressions for Voluntarily Dismissing the Underlying Case The district court held that Mr. Sylvia had failed to show breach of any contract by Mr. Wisler and Xpressions arising from Mr. Wisler’s dismissal of the case against Goodyear. As the district court put it, while alleging that Mr. Wisler “breached his contractual obligations,” Mr. Sylvia failed to explain “which contractual obligations” Mr. Wisler breached. Aplt.’s App. at 219. In support of his position that the district court erred in granting summary judgment for Mr. Wisler and Xpressions, Mr. Sylvia offers only one argument. Although the exact contours of this argument are difficult to discern, he appears to assert that under Juhnke a contractual obligation can be implied from attorneys assuring the effect of legal services rendered. See Aplt.’s Opening Br. at 36. Thus, as the argument goes, Mr. Wisler—by assuring Mr. Sylvia that voluntary dismissal would not prevent the refiling of all claims—became subject to just such a contractual obligation. See id. But Juhnke stands for no such proposition.
Mr. Sylvia is only able to cite dicta from Juhnke —dicta that, properly read, refutes his argument. He quotes:
Courts in other jurisdictions which have considered the question are not in harmony as to which statute of limitations—contract or tort—governs a damage action against an attorney for neglect in the performance of his professional services. The majority appears to favor the contract approach and uniformly so where the contract breached is one to obtain a specific result or to assure the effect of legal services rendered (see [H. H. Henry, Annotation, What Statute of Limitations Governs Damages Action Against Attorney for Negligence in Performance of Professional Services ,] 49 A[.]L[.]R[.] 2d 1216[, superceded by2 A.L.R. 4th 284 ,] and Later Case Service).
Aplt.’s Opening Br. at 36 (emphasis added by appellant) (quoting
Juhnke
,
The language cited offers no principle of law akin to that which Mr. Sylvia advances. The language reads: “The majority appears to favor the contract approach and uniformly so where the contract breached is one . . . to assure the effect of legal services rendered.” Id. (emphasis added). On its face, this language requires an existing contract. It does not call for implying a contract from a naked promise assuring the effect of legal services rendered. As the district court pointed out, the written contract here does not prohibit dismissal of the case and so cannot be the source of the alleged contractual obligation. The only alleged source of a contractual obligation that Mr. Sylvia identifies, even obliquely, is that Mr. Wisler “repeatedly assured [him] that all of the claims in the case could be re-filed.” Aplt.’s Opening Br. at 36. But the Juhnke dictum does not make of those assurances a contractual obligation.
Mr. Sylvia fails to explain or support his assertion that such assurances created a binding contractual obligation on the part of Mr. Wisler and Xpressions not to dismiss the case. Nor does he present any other reason to reverse. Accordingly, we uphold the *53 district court’s grant of summary judgment for Mr. Wisler and Xpressions on this claim.
III. CONCLUSION
For the foregoing reasons, we AFFIRM the district court’s judgment as to the breach of contract claims and REVERSE in part and VACATE in part the court’s judgment regarding the allegedly tort-based legal malpractice claims, and REMAND the case for further proceedings consistent with this opinion.
Notes
[1] On July 1, 2016, this court ordered the parties to file a joint response to state the citizenship of Messrs. Wisler and Trevino and all members of Xpressions at the time that proceedings commenced in the district court. Mr. Sylvia’s amended complaint had failed both to make clear the state of domicile of Mr. Wisler, as well as to indicate the citizenship of all members of Xpressions. (continued...)
[1] (...continued)
In response, the parties clarified to our satisfaction that all the defendants and all
members of Xpressions are citizens of Kansas. Because Mr. Sylvia is a citizen of
Massachusetts, the requirements of diversity jurisdiction are met.
See, e.g.
,
Middleton v. Stephenson
,
[2] Not entirely apparent from the face of the contract, the five claims are: disability discrimination under both the ADA and the Kansas Act Against Discrimination, a violation of the FMLA, FMLA retaliation, and workers’ compensation retaliation. See id. at 67 (Mem. & Order, dated June 19, 2014).
[3] Mr. Doherty undertook some actions to represent Mr. Bowman in
each proceeding, such as negotiating a continuance with the deputy district
attorney for the original proceedings regarding the worthless-check case and
obtaining a court date with the aim of resolving both the worthless-check case
and
the failure-to-appear case.
See
[4] Mr. Sylvia certainly understood the notion of seeking reconsideration. In this regard, though not in a stand-alone motion, Mr. Sylvia purported to conditionally seek reconsideration of the district court’s June 19 dismissal order in his response to Mr. Trevino ’s motion for summary judgment. Specifically, Mr. Sylvia argued that, if the district court concluded, at the (continued...)
[4] (...continued) summary-judgment phase, that Mr. Sylvia’s remaining claims—which were ostensibly contractual claims—“do not, as a matter of law, ‘stem from a breach of contract,’ then the court must reconsider whether Mr. Sylvia’s claims stem from a breach of duties imposed by law.” Aplt.’s App. at 202 (quoting id. at 74). Mr. Sylvia made no request for reconsideration, however, of the effective dismissal of his second claim arising from the voluntary dismissal of the underlying action, in his response to Mr. Wisler’s motion for summary judgment and, notably, he never brought to the court’s attention its failure to expressly resolve his second legal malpractice claim against Mr. Wisler.
[5] Mr. Wisler’s motion to dismiss did target this second malpractice claim, but he only argued that the claim was time-barred, because the dismissal of the underlying lawsuit—in his view, the nub of the “alleged negligence”—fell outside of Kansas’s two-year limitations period for legal malpractice actions (i.e., tort actions). Aplt.’s App. at 24. Mr. Sylvia’s response brief—when addressing this second Count I claim—only responded to this specific argument, contending that it “must be rejected because it is plausible that Mr. Wisler is equitably estopped from asserting the statute of limitations as a defense.” Id. at 46 (Pl.’s Mem. Opp’n Def. Wisler’s Mot. Dismiss, dated Apr. 2, 2014). In other words, in their motion-to-dismiss briefing, neither Mr. Wisler nor Mr. Sylvia made arguments regarding the tort-contract characterization issue, as it relates to this second claim.
[6] In its dismissal order, the district court ruled that, although the individual attorneys were not parties to the written contract, they could be held liable as owners for willful participation in the entity’s breach of contract under a veil-piercing theory. Id. at 75–76; see also Speer v. Dighton Grain, Inc. , 624 P.2d 952, 958–59 (Kan. 1981) (“[A] corporate officer or director acting on behalf of a corporation is personally liable for damages caused by his willful participation in acts of fraud or deceit to one directly injured.”). No party challenges this ruling on appeal, and therefore we need not opine on the matter.
[7] In his reply brief, Mr. Sylvia largely shifts gears. For the first time,
he points to different language in
Temmen
, where the court is discussing the
substantial conceptual similarity between principles of consideration and
estoppel.
See
Aplt.’s Reply Br. at 14–15 (quoting
Temmen
,
[7] (...continued)
In this regard, Mr. Sylvia has attempted for the first time in this appeal to
demonstrate under this rubric that he supplied sufficient consideration through his
“forbearance.” Aplt.’s Reply Br. at 14. As a general matter, however, this court
has routinely “declined to consider arguments that are not raised, or are
inadequately presented, in an appellant’s opening brief.”
Bronson v. Swensen
,
