Baker v. Coombs

219 S.W.3d 204, 2007 Ky. App. LEXIS 88, 2007 WL 865554
CourtCourt of Appeals of Kentucky
DecidedMarch 23, 2007
Docket2005-CA-001993-MR
StatusPublished
Cited by7 cases

This text of 219 S.W.3d 204 (Baker v. Coombs) is published on Counsel Stack Legal Research, covering Court of Appeals of Kentucky primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Baker v. Coombs, 219 S.W.3d 204, 2007 Ky. App. LEXIS 88, 2007 WL 865554 (Ky. Ct. App. 2007).

Opinion

OPINION

COMBS, Chief Judge.

Janice Baker appeals an order of summary judgment of the Jefferson Circuit Court dismissing her professional negligence claim against Ronald L. Coombs. Because we find that Coombs owed no duty to Baker under the facts of this case, we affirm.

In 1989, Baker filed an action for dissolution of marriage against her former husband, James C. Collins, in the Jefferson Circuit Court. They were divorced by a decree entered on December 11, 1990, which incorporated by reference their “Property Settlement Agreement” (filed into the record on December 10,1990). As part of this Agreement, Collins agreed to pay Baker the sum of $500,000.00 to be paid as follows: a balloon payment of $800,000.00 due by January 1, 2002, and the remaining $200,000.00 due in ten (10) annual installments of $20,000.00 continuing through January 1, 2001. However, the Agreement also provided that if the $300,000.00 balloon payment were paid pri- or to its due date, any of the remaining $20,000.00 payments would be forgiven. As security for these payments, Baker was given liens on all of Collins’s stock holdings in a number of closely-held corporations. Of particular significance for this case, paragraph 11(a) of the Agreement provided that Collins was to “execute all necessary documents to effectuate these liens” and that “[t]he Certificates shall be held by Ronald Coombs, Attorney.” Attorney Coombs represented Collins in the divorce proceedings and in a number of other matters.

Despite the terms of the Agreement, Collins never provided any stock certificates to Coombs before he died on September 30, 1999. In his deposition, Coombs testified that although he had asked Collins for the stock certificates at the time that the Agreement was negotiated and after it was signed, Collins never delivered them. Moreover, shortly before Collins’s death, Baker discovered that he had apparently sold his interest in his largest corporation, Advanced Care Medicine, in 1992 without perfecting a lien in his stock holdings in that company and making the agreed upon transfer to Baker. Although Baker was unsure of what happened to Collins’s other corporations, none of them was listed among the assets of his estate. Baker testified in a deposition that she was never provided with any documents evidencing that the hens had been perfected and that she had no knowledge of whether any hens were ever prepared or presented to Collins. She also could not recall ever making any inquiries as to the hens or as to the stock certificates before Collins’s death.

On November 30, 1999, Baker filed a proof of claim against Collins’s estate for monies owed to her under the Property Settlement Agreement. The estate objected to the claim. Therefore, on December 22, 1999, Baker filed a complaint against: the estate; Cohins’s surviving widow, Julie Harris Collins; and Coombs in the Jefferson Circuit Court. In the complaint, Baker alleged that prior to Collins's death, several properties were transferred out of his name in a deliberate effort to prevent the payment of monies owed to her and to reduce the inheritance of his minor child.

*206 She also alleged that Coombs failed to follow the terms of the Agreement in not holding Collins’s stock certificates and that he allowed Collins’s businesses to be sold without taking action to assure that Baker be paid what was owed her under the Agreement. She charged that the actions of the defendants were “deliberate attempts” to defeat her claims and to deprive her of monies rightfully owed to her.

Baker was awarded a judgment against the estate on August 6, 2003. Both Baker and Coombs filed cross-motions for summary judgment, and in an opinion and order entered on August 26, 2005, the circuit court concluded that Coombs did not commit professional negligence and that he was not personally liable for any unpaid debts attributable to the Property Settlement Agreement. In reaching this conclusion, the court rejected Baker’s argument that Coombs had an affirmative duty to force or to compel Collins to provide him with the stock certificates or — in the alternative — to advise Baker that he could not obtain them. Instead, the court held that the language of the Agreement did not require Coombs to take action to satisfy either of these alleged duties. The court also held that Coombs signed the Agreement only in his capacity as Collins’s counsel and not as a party to the Agreement itself. Thus, only Collins and his estate should bear liability for the financial consequences of Collins’s failure to perform under the contract. This appeal followed.

On appeal, Baker argues that the circuit court erred in its interpretation of the Property Settlement Agreement and in finding that Coombs committed no acts of professional negligence. Although her brief is not entirely clear on the matter, it appears that she asserts two related grounds in support of her argument: (1) that by agreeing to hold Collins’s stock certificates as security for the payments owed to her under the Agreement, Coombs placed himself in the position of becoming a fiduciary to her; and (2) that she should be deemed a third-party beneficiary of Coombs’s legal services because he agreed to hold Collins’s stock certificates as security for the payments owed to her. Under both theories, Baker contends that Coombs had an affirmative obligation to obtain the stock certificates from Collins, to compel Collins to provide them, or to advise Baker that he had not obtained them.

As a general rule, “[t]he standard of review on appeal of a summary judgment is whether the trial court correctly found that there were no genuine issues as to any material fact and that the moving party was entitled to judgment as a matter of law.” Scifres v. Kraft, 916 S.W.2d 779, 781 (Ky.App.1996); Kentucky Rules of Civil Procedure (“CR”) 56.03. “Because summary judgments involve no fact finding, this Court reviews them de novo, in the sense that we owe no deference to the conclusions of the trial court.” Blevins v. Moran, 12 S.W.3d 698, 700 (Ky.App.2000). However, in conducting our review, we must consider the record in a light most favorable to the party opposing the motion for summary judgment and resolve all doubts in his favor. Steelvest, Inc. v. Scansteel Service Center, Inc., 807 S.W.2d 476, 480 (Ky.1991).

We shall first address Baker’s contention that as a result of being mentioned in the Property Settlement Agreement, Coombs owed her a general fiduciary duty to obtain the stock certificates from Collins. At the threshold, we cannot agree any such duty arose solely from the fact that Coombs signed the Agreement because of the mandate imposed upon all attorneys to sign pleadings. Kentucky Rule of Civil Procedure (CR) 11 requires *207 that “[ejvery pleading, motion and other paper of a party represented by an attorney shall be signed by at least one attorney of record in his individual name.... ”

Apart from CR 11, Baker’s argument has some arguable merit because of the unique circumstances of the case — namely, the Agreement’s language designating Coombs as the intended holder of the certificates as security for the payments owed to Baker.

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Cite This Page — Counsel Stack

Bluebook (online)
219 S.W.3d 204, 2007 Ky. App. LEXIS 88, 2007 WL 865554, Counsel Stack Legal Research, https://law.counselstack.com/opinion/baker-v-coombs-kyctapp-2007.