Acerra v. Gershinzon

558 N.E.2d 137, 200 Ill. App. 3d 327, 146 Ill. Dec. 174, 1990 Ill. App. LEXIS 856
CourtAppellate Court of Illinois
DecidedJune 14, 1990
DocketNo. 1—88—3665
StatusPublished
Cited by1 cases

This text of 558 N.E.2d 137 (Acerra v. Gershinzon) is published on Counsel Stack Legal Research, covering Appellate Court of Illinois primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Acerra v. Gershinzon, 558 N.E.2d 137, 200 Ill. App. 3d 327, 146 Ill. Dec. 174, 1990 Ill. App. LEXIS 856 (Ill. Ct. App. 1990).

Opinion

PRESIDING JUSTICE McMORROW

delivered the opinion of the court:

Plaintiff, Louis Acerra, appeals from an order granting the motion of defendant, Barry Gershinzon, the administrator of the estate of David Wolfson, for the imposition of sanctions against plaintiff and his attorneys in an action to enforce an oral contract. Plaintiff contends that the imposition of sanctions under section 2 — 611 of the Code of Civil Procedure (Ill. Rev. Stat. 1987, ch. 110, par. 2—611) was an abuse of the trial court’s discretion.

On August 25, 1987, plaintiff filed a three-count verified complaint seeking a declaratory judgment, specific performance, injunctive relief and an accounting in connection with an alleged oral contract for an interest in a parcel of real property. Plaintiff alleged that on December 31, 1986, pursuant to an oral agreement between them, Wolfson purchased a vacant commercial building in Chicago for $150,000 of which he (plaintiff) contributed $20,000. Under the agreement, plaintiff was to renovate the building and, in return for his monetary and renovation contributions, would then receive a 49% interest in the property. Plaintiff’s allegation that he performed approximately 70% to 75% of the renovation work between the date of purchase and April 13, 1987, was admitted by defendant in his answer.

On April 13, 1987, Wolfson disappeared. Thereafter, plaintiff was denied further access to the property pending an investigation into Wolfson’s disappearance. On July 9, 1987, Wolfson was found murdered in a wooded area in Sherwood, Illinois. Shortly thereafter, an investigation into the murder was instituted by local authorities followed by an investigation by the United States Treasury Department, Bureau of Alcohol, Tobacco and Firearms into Wolfson’s possible involvement in the trafficking of drugs and stolen merchandise.

On June 10, 1987, following a conversation with Chicago police sergeant Paul Ceffalio concerning Wolfson’s disappearance, plaintiff instructed the officer to direct any future questions to his attorneys. A few days later, one of plaintiff’s attorneys telephoned Sergeant Ceffalio and left a message that he was calling regarding the arrangement of a meeting with plaintiff. There is a dispute as to whether Sergeant Ceffalio returned the attorney’s call, but it is agreed that no conversation occurred between either the attorneys or plaintiff and Officer Ceffalio. In a conversation with Wolfson’s father on June 27, 1987, plaintiff said that he was being harassed by the police in connection with their investigation into Wolfson’s disappearance and that he had retained an attorney and was refusing to cooperate with the police.

As noted above, plaintiff filed this action against Wolfson’s estate on August 25, 1987. On September 1, 1987, plaintiff was interviewed by Officer Hanley from Shorewood and a Chicago police officer. In the course of the interview, he stated that the officers who had previously contacted him had harassed him and told him that he would be “nailed” for his involvement in Wolfson’s disappearance. At the conclusion of the interview, plaintiff gave the officers his counsel’s business card and advised them to direct all future questions to his attorneys.

On October 7, 1987, the law firm of Rudnick and Wolfe filed an appearance on behalf of defendant. By agreement of the parties, defendant was granted three extensions of time to answer or otherwise respond to plaintiff’s complaint, up to January 4, 1988. Just prior to that date, plaintiff’s counsel was notified that because of a possible conflict of interest, Rudnick and Wolfe was withdrawing from the case. Defendant was given a fourth extension, to February 4, 1988, by which to file an answer. On February 4, 1988, defendant’s current counsel filed its appearance, an answer, a request for production of documents and a notice for the deposition of plaintiff on March 9, 1988. By agreement of the parties, the deposition was rescheduled to April 13,1988.

On March 9, 1988, plaintiff’s counsel notified defendant’s counsel that he had been informed that a grand jury had been convened in Will County to investigate Wolf son’s death and possible involvement in criminal activities. Plaintiff’s attorney further advised defense counsel that until plaintiff was made aware of his status in the investigation, he could not appear for a deposition. According to the subsequently filed affidavit of Anthony Mongello, a personal and business acquaintance of plaintiff and Wolfson, he (Mongello) had been subpoenaed to appear before the Will County grand jury; plaintiff’s name was mentioned numerous times in connection with the investigation into Wolfson’s possible involvement in illegal activities; and he, Mongello, thereafter informed plaintiff of these matters.

In a letter to plaintiff’s counsel dated March 11, 1988, defense counsel noted that plaintiff’s deposition originally had been scheduled for March 9, 1988, and stated that “in light of the fact that we have already furnished you with one extension of time, we intend to take [plaintiff’s] deposition on the agreed dates of April 13th and 14th.” On March 17, 1988, defendant filed a motion to compel plaintiff to attend the April 13 deposition. Following hearings on March 21 and 30 and the filing of memoranda of law by the parties, the trial court granted defendant’s motion and ordered plaintiff to appear at the deposition scheduled for April 13.

On April 6, 1988, plaintiff filed a motion for voluntary dismissal pursuant to section 2—1009 of the Code of Civil Procedure (Ill. Rev. Stat. 1987, ch. 110, par. 2—1009). On April 13, defendant responded with a motion for dismissal with prejudice and for sanctions pursuant to section 2—611 (Ill. Rev. Stat. 1987, ch. 110, par. 2—611). The trial court granted plaintiff’s motion for voluntary dismissal without prejudice and denied defendant’s motion for dismissal with prejudice. However, the court did grant defendant’s motion for sanctions against both plaintiff and his attorneys.

The trial court based its imposition of sanctions on its findings that plaintiff and his attorneys knew or should have known, at the time the case was filed, that it could not be proven. Specifically, the court found that plaintiff knew, prior to filing the suit, that he was a potential target in the ongoing investigations into Wolfson’s possible involvement in illegal activities and his murder; that plaintiff had hired attorneys and refused to talk to the police; that he knew he could not testify until his status in those investigations was determined; and that notwithstanding his inability to testify, he proceeded to file a suit which could not be proved without his testimony. The trial court stated this was a frivolous lawsuit, not because the claim was not legitimate or because plaintiff had no evidence to support it, but, rather, because he could not “maintain the suit despite the evidence.”

Pursuant to the trial court’s order, on July 14, 1988, defendant filed a schedule of attorney fees and expenses totalling $25,606.07. On July 15, plaintiff filed a motion to reconsider the order of June 16 granting defendant’s motion for section 2 — 611 sanctions. On August 26, plaintiff filed an amended motion for reconsideration and his response to defendant’s fee schedule.

On September 19, 1988, plaintiff filed a motion for vacatur or, alternatively, for leave to withdraw his voluntary dismissal and for reinstatement of the case.

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Cite This Page — Counsel Stack

Bluebook (online)
558 N.E.2d 137, 200 Ill. App. 3d 327, 146 Ill. Dec. 174, 1990 Ill. App. LEXIS 856, Counsel Stack Legal Research, https://law.counselstack.com/opinion/acerra-v-gershinzon-illappct-1990.