The issue for decision is whether a lawyer, who was found liable in a legal malpractice action for negligent advice rendered to a client which resulted in the client’s failure to sue a physician for medical malpractice before the expiration of the statute of limitations, may recover contribution or indemnity from the physician. We hold that the lawyer may not.
This case arises out of the facts described in
Togstad v. Vesely,
Otto,
Miller & Keefe,
Appellants subsequently brought this suit for contribution or indemnity against Dr. Blake in Hennepin County District Court. Upon Dr. Blake’s motion, the district court ordered appellants’ complaint dismissed with prejudice for failure to state a claim upon which relief could be granted, and this appeal followed. We affirm.
We consider first appellants’ claim for contribution. Contribution is an equitable doctrine which “requires that those who contribute to an injury bear liability in direct proportion to their relative culpability.”
Anderson v. Stream,
In this case, there was no common liability at the moment either tort was committed. When Dr. Blake allegedly treated John Togstad in a negligent manner, the Togstads could have sued him for damages for personal injuries arising from medical malpractice at that time and throughout the 2-year statute of limitations period. However, the Togstads could not have sued appellants for negligent legal advice during this 2-year period because at this point they had suffered no damage arising from the legal malpractice. The Togstads’ ability to sue appellants for damages arose only at the time, and indeed for the very reason, that they could no longer sue Dr. Blake, i.e., at the expiration of the limitations period for the medical malpractice claim.
Appellants and Dr. Blake committed separate and distinct torts, and committed them at different times; they were not jointly liable for either tort at any point in time. As R. Mallen and V. Levit, Legal Malpractice § 184 (Supp.1980) note:
[Ojnly rarely is the attorney truly a joint tortfeasor with the would-be additional defendant. An attorney retained to pursue a client’s cause of action or to protect the client from the wrongful conduct of another does not by his own negligence act in concert with or participate in the wrongful conduct of the client’s adversary.
This is a ease of first impression for the Minnesota Supreme Court. However, a similar set of facts was presented to a New York court in
Alexander v. Callanen,
The third party [doctors] did not contribute to the injuries to the plaintiff caused by the lawyers. The lawyers did not contribute to the injuries allegedly caused by the doctors. Neither is entitled to contribution from the other.
One is a cause of action for damages for a personal injury. The other is for damages occasioned by a loss of a legal right. Albeit the damages might be identical, only one is for a personal injury.
Id.
at 763,
Appellants rely on several Minnesota cases which have recognized the principle that neither an injured party’s failure to sue a tortfeasor within the statute of limitations,
e.g., Gustafson v. Johnson,
Appellants further contend that an action in equity for contribution is appropriate even if the court concludes that common liability is absent. We have consistently denied recent attempts to modify or eliminate the common liability requirement.
See, e.g., Conde v. City of Spring Lake Park,
A decision in favor of appellants would largely undercut the efficacy of the 2-year statute of limitations for medical malpractice claims. The legislative intent of limiting physicians’ liability would thereby be undermined. Such a decision would also serve to immunize lawyers as a group from legal malpractice suits. Lawyers would only be liable, if at all, for the interest on the amount of claims delayed (but never lost) because of their negligence. R. Mallen and V. Levit, supra, at § 184 discuss the underlying equities as follows:
Policy considerations, as yet unresolved by the courts, may come into play in the situation where the party to be added would have a complete defense to the plaintiff’s claim, such as a statute of limitations. Joinder or contribution would not only nullify the protection of such a statute, but ironically the negligent attorney would be able to avoid (or minimize) liability by taking advantage of this second chance. Moreover, if apportionment of fault were permitted, a jury would face the logical impossibility of allocating fault between the person who truly caused the client’s injury and the attorney who simply failed to sue the wrong doer.
Appellants seek indemnity as an alternative to their claim for contribution. “[Ijndemnity is appropriate where one party has a primary or greater liability or duty which justly requires him to bear the whole of the burden as between the parties.”
Hendrickson v. Minnesota Power & Light Co.,
The existence of joint tortfeasors is generally a prerequisite to the applicability of the
Hendrickson
rules.
See Lemmer v. IDS Properties, Inc.,
The trial court’s order dismissing appellants’ complaint with prejudice for failure to state a claim upon which relief, either for contribution or indemnity, could be granted is accordingly affirmed.
Affirmed.
