Belford v. McHale Cook & Welch

648 N.E.2d 1241, 1995 Ind. App. LEXIS 417, 1995 WL 217627
CourtIndiana Court of Appeals
DecidedApril 13, 1995
Docket49A02-9312-CV-667
StatusPublished
Cited by22 cases

This text of 648 N.E.2d 1241 (Belford v. McHale Cook & Welch) is published on Counsel Stack Legal Research, covering Indiana Court of Appeals primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Belford v. McHale Cook & Welch, 648 N.E.2d 1241, 1995 Ind. App. LEXIS 417, 1995 WL 217627 (Ind. Ct. App. 1995).

Opinion

OPINION

HOFFMAN, Judge.

Appellants-plaintiffs Arthur L. Belford and Judith R. Belford appeal the entry of summary judgment in favor of appellees-defen- *1243 dants McHale Cook & Welch (MCW), a professional corporation, and Daniel P. Byron on their claim for attorney malpractice. The facts relevant to review are recited below.

Between 1984 and 1989, Arthur served as chief executive officer of Circle Express, Inc. (CEI), a holding company with subsidiaries engaged in common carrier transport services throughout the United States. Judith served as an officer and director of CEI until 1988 when she sold the majority of her shares in the company.

In 1987, the Belfords employed MCW and Byron to represent them regarding a criminal investigation involving Judge Michael Dugan. The Belfords then hired MCW and Byron to represent them when federal investigators initiated a criminal investigation of CEI regarding allegations of fraud through the illegal manipulation of corporate earnings and to defend them in civil lawsuits brought by bondholders and shareholders of CEI.

On April 13, 1990, an Information was filed charging Arthur with conspiracy to make fraudulent statements and representations to the Securities and Exchange Commission (SEC). The Information alleged six overt acts in furtherance of the conspiracy.

On the same day, Arthur filed a petition to enter a plea of guilty, together with a request for a presentence investigation and review of the presentence report prior to entry of the guilty plea. The agreement specified inter alia that Arthur was advised "that the punishment which the law provides is" a minimum of 0 years' imprisonment, a maximum of five years' imprisonment, and a maximum fine of $250,000.00 "and that [his] sentence will fall within the minimum and maximum." Further the agreement provided that Arthur understood that restitution could also be imposed and that "probation may or may not be granted." In that vein, the agreement stated:

"Except for the provisions of the Plea Agreement, I declare that no officer or agent of any branch of government (federal, state or local), nor any other person, has made any promise or suggestion of any kind to me, or within my knowledge to anyone else, that I would receive a lighter sentence, or probation, or any other form of leniency, if I would plead 'Guilty' I hope to receive probation, but am prepared to accept any punishment permitted by law which the Court may see fit to impose. However, I respectfully request that the Court consider in mitigation of punishment at the time of sentencing the fact that by voluntarily pleading 'Guilty' I have saved the Government and the Court the expense and inconvenience of a trial. I understand that before it imposes sentence, the Court will address me personally and ask me if I wish to make a statement on my behalf and to present any information in mitigation of punishment."

An amended judgment dated July 12, 1990, recited Arthur's sentence. Arthur was sentenced to a three-year term of imprisonment. Restitution in the amount of $200,000.00 was ordered and a fine of $250,000.00 was imposed. One week after entry of the amended sentence, the Belfords notified Byron and MCW that they had retained different counsel.

Arthur did not initiate an appeal of the amended judgment. Instead, through new counsel, Arthur filed a motion to reduce his sentence on October 11, 1990. The motion recited the factual basis for the guilty plea. Also, the motion requested a more lenient sentence including waiver of the fine and community service in lieu of his remaining prison term. The motion was denied on October 16, 1990. Arthur did not appeal the decision.

In February 1991, Arthur was represented by another attorney at a hearing before the United States Parole Commission. At the hearing, Arthur acknowledged inter alia his guilt for the crime for which he had been sentenced and that his acts had caused at least $400,000.00 in losses to the shareholders of CEI. The Commission assessed the damages at a range between $400,000.00 and several million dollars. The Commission then determined Arthur should serve a minimum of 24 months' imprisonment.

In July 1991, Arthur, by new counsel, filed a motion collaterally attacking the validity of his guilty plea and sentence pursuant to 28 U.S.C. § 2255. In his motion, Arthur alleged *1244 Byron and MCW were ineffective in their representation. Arthur's motion was denied by the District Court. Arthur appealed the denial to the Seventh Circuit Court of Appeals. In his Seventh Circuit appeal, Arthur requested relief because he was raising constitutional issues not raised previously and that the failure to appeal earlier was due to Byron's failure to advise Arthur of his limited appellate rights. Thus, according to Arthur, Byron's ineffective assistance constituted the requisite "cause and prejudice" in a § 2255 motion. The Seventh Cireuit affirmed denial of the motion. Belford v. U.S. (7th Cir.1992), 975 F.2d 310, 316.

In July 1992, the Belfords filed their complaint alleging three counts of professional malpractice by Byron and MCW due to Byron's representation. In Count I, Arthur alleged malpractice regarding the criminal investigation and ultimate guilty plea and sentencing. In Count II, Arthur and Judith alleged malpractice relative to the same investigation and ultimate guilty plea resulting in a conflict of interest. In Count III, Arthur and Judith alleged malpractice regarding the defense of the civil lawsuits brought by bondholders and shareholders of CEI.

On August 18, 1998, the trial court entered partial summary judgment in favor of Byron and MCW. The court concluded that "there is no just reason for delay" and granted summary judgment as to all issues except "Judith Belford's alleged conflict of interest in negotiating the Plea Agreement against MCW as stated in Count II of the Complaint and Plaintiffs' alleged negligence and conflict of interest in connection with the [civil suits] against MCW and Byron as stated in Count III of the Complaint." This appeal ensued.

The Belfords raise five issues for review. As restated, the dispositive issues are:

(1) whether Arthur's repeated acknowledgment of his guilt, coupled with the plain language of the guilty plea agreement, act to bar a claim that Arthur did not receive the sentence that he expected after discussions with Byron;
(2) whether the Belfords are collaterally estopped from pursuing a malpractice claim arising from a conviction and sentence which were affirmed by the United States District Court and the Seventh Circuit Court of Appeals, both of which determined the issue of ineffective assistance of counsel adversely to Arthur; and
(3) whether the court erred in finding that Judith's claim for punitive damages could not stand.

Review of a ruling on summary judgment requires this Court to implement the same standard used by the trial court. This Court must liberally construe all designated evidentiary matter in favor of the non-moving party and resolve any doubt against the moving party.

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Cite This Page — Counsel Stack

Bluebook (online)
648 N.E.2d 1241, 1995 Ind. App. LEXIS 417, 1995 WL 217627, Counsel Stack Legal Research, https://law.counselstack.com/opinion/belford-v-mchale-cook-welch-indctapp-1995.