Bob Godfrey Pontiac, Inc. v. Roloff

630 P.2d 840, 291 Or. 318, 1981 Ore. LEXIS 921
CourtOregon Supreme Court
DecidedJuly 8, 1981
Docket78-5902, CA 16378, SC 27430
StatusPublished
Cited by71 cases

This text of 630 P.2d 840 (Bob Godfrey Pontiac, Inc. v. Roloff) is published on Counsel Stack Legal Research, covering Oregon Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Bob Godfrey Pontiac, Inc. v. Roloff, 630 P.2d 840, 291 Or. 318, 1981 Ore. LEXIS 921 (Or. 1981).

Opinions

[320]*320TONGUE, J.

This is an action for damages against two attorneys alleging violations of their duties as attorneys as provided by ORS 9.460, which states that:

“An attorney shall:
íi* * * * *
“(4) Employ, for the purpose of maintaining the causes confided to him, such means only as are consistent with truth, and never seek to mislead the court or jury by any artifice or false statement of law or fact; * *

A previous action had been brought by plaintiff, an automobile dealer, who had sued the purchaser of a used car for the balance of the purchase price. The purchaser, represented by these two attorneys, filed in that action a counterclaim for damages against the dealer alleging, among other things, that the dealer had impliedly warranted the merchantable quality and fitness of the used car; that the car was defective in various aspects, and that the dealer had refused to repair the defects at no cost to the purchaser.

After prevailing in that action, the dealer brought this action against the two attorneys. Its second amended complaint alleged, among other things:

“IV. That during the course of the proceedings of said lawsuit, Defendants Larry Roloff and Douglas Melevin used means that were not consistent with the truth and sought to mislead the Court and jury by artifice and false statements of fact in the following particulars:
“A. By intentionally falsely alleging in the pleadings that Plaintiff had sold the automobile to Defendant Ruth Mellen with warranties.
“B. By intentionally falsely alleging in the pleadings that Plaintiff had failed and refused to repair alleged defects in the automobile purchased by Ruth Mellen from Plaintiff at no cost to Ruth Mellen.
“C. By allowing Ruth Mellen to give false sworn testimony to the effect that Plaintiff had never offered to repair her automobile if it were defective at no charge to her.
“D. By seeking to exclude testimony and evidence from the Court and jury as to Plaintiffs offers to fix Defendant Ruth Mellen’s automobile at no cost to her if the automobile purchased were defective.
[321]*321“V. As a direct and proximate result of Defendants Larry Roloff and Douglas Melevin’s conduct, as alleged hereinabove, Plaintiff was required to defend against Ruth Mellen’s action against Plaintiff, and Plaintiffs reputation was damaged in the amount of $25,000.00, and Plaintiff incurred attorney’s fees, not recoverable in Ruth Mellen’s action against Plaintiff, in the amount of $3,311.55.”

Defendants’ (the two lawyers) demurrer to that complaint upon the ground that it failed to state a cause of action was sustained. Plaintiff then filed a third amended complaint, with somewhat different allegations, to which defendants filed an unsuccessful demurrer, an answer, and a motion for summary judgment, which was allowed.1

Plaintiff then appealed to the Court of Appeals from the resulting adverse judgment and assigned as error the sustaining of defendants’ demurrer to its second amended complaint. In that appeal plaintiff contended that:

“Intentional violations of the statutory duties of an attorney as set out in ORS 9.460 should give rise to a claim for relief by a party damaged as a consequence.”

In support of that contention plaintiff cited, among other cases and authorities, the decision by this court in O’Toole v. Franklin, 279 Or 513, 569 P2d 561 (1977).

[322]*322The Court of Appeals affirmed the trial court by an opinion in which that court said:

“Of course, the Supreme Court’s statement in O’Toole is dictum, not binding precedent. In view of the potential ramifications of a rule such as plaintiff here seeks, we believe that the Supreme Court, if squarely faced with the problem, would follow the weight of authority in other jurisdictions to the effect that a statute or rule setting forth the duties of an attorney toward clients or the public does not create a new and separate tort action.” 48 Or App 601, 605, 617 P2d 672 (1980).

We granted plaintiffs petition for review to consider this question.

1. Our decision in O’Toole v. Franklin.

O’Toole v. Franklin, supra, was an action by a doctor against attorneys and their client, charging both malicious prosecution of a medical malpractice action and also negligence by the attorneys in failing, among other things, to properly investigate the claim of malpractice before filing that action. The complaint by the doctor sought $50,000 for damage to his professional reputation and for “emotional disturbance and anguish.” The appeal in that case was also from a judgment following an order sustaining a demurrer to that complaint.

In affirming the trial court, this court held that in the action for malicious prosecution the demurrer was properly sustained because there was no “special injury,” upon application of the rule that “special injury” is required in such cases, and that “ ‘[s]pecial injury’ in [the] procedural sense excludes the kind of secondary consequences that are a common and often unavoidable burden on defendants in ‘all similar causes,’ ” 279 Or at 517, citing Buck v. Gale, 271 Or 90, 92, 530 P2d 1248 (1975). Although recognizing (at 520) that “[t]his court is not unprepared to reconsider an old common law rule,” we refused to abandon the “special injury” rule, as proposed by plaintiffs, noting (at 521) that “the legislative process is not inappropriate, given adequate time and preparation, for studying and resolving the competing and the common interests at stake in private law,” as had been done on such subjects as comparative negligence, assumption of risk, and no-fault automobile insurance.

[323]*323This court also held in O’Toole (at 522) that plaintiffs complaint did not state a cause of action for negligence because it would be incongruous to allow recovery of damages other than for “special injury” in an action based upon “mere carelessness” while denying such recovery in an action for malicious pursuit of an unfounded civil action.

The court then noted (at 522-23) that in support of his cause of action for negligence the plaintiff in that case relied upon the duties imposed by ORS 9.460(3) and (7) to protect members of the public.2 In rejecting violation of the provisions of that statute as the basis for a negligence action, this court said (at 523-24):

“It is true that the duties expressed in these provisions of the Oregon State Bar act run to members of the public beyond an attorney’s clients. In the present case, the complaint did not in fact allege that defendants were motivated by the ‘passion or interest’ proscribed by subsection (7), but the allegation quoted above does appear to invoke subsection (3). Taken by itself, it asserts a violation of that subsection by pursuit of an action

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Cite This Page — Counsel Stack

Bluebook (online)
630 P.2d 840, 291 Or. 318, 1981 Ore. LEXIS 921, Counsel Stack Legal Research, https://law.counselstack.com/opinion/bob-godfrey-pontiac-inc-v-roloff-or-1981.