Bowman v. Abramson

545 F. Supp. 227, 1982 U.S. Dist. LEXIS 13910
CourtDistrict Court, E.D. Pennsylvania
DecidedJuly 27, 1982
DocketCiv. A. 81-4701
StatusPublished
Cited by31 cases

This text of 545 F. Supp. 227 (Bowman v. Abramson) is published on Counsel Stack Legal Research, covering District Court, E.D. Pennsylvania primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Bowman v. Abramson, 545 F. Supp. 227, 1982 U.S. Dist. LEXIS 13910 (E.D. Pa. 1982).

Opinion

MEMORANDUM

NEWCOMER, District Judge.

Defendants move to dismiss this legal malpractice action, asserting lack of a justi-ciable controversy. Plaintiff argues in response that unless he is permitted to maintain his suit here it may become barred by the statute of limitations. For the reasons set forth below, the defendants’ motion to dismiss will be granted.

Plaintiff, James Bowman, alleges that his former attorneys, defendants Gilbert Abramson, Jeffrey Freedman, Allen Get-son, and Lawrence Corson, were negligent *228 in their conduct of two medical malpractice lawsuits commenced in the Philadelphia Court of Common Pleas, Bowman v. Mattei, et al., July Term, 1974, No. 1817 and Bowman v. Nappi, et al., April Term, 1977, No. 987. The court granted the medical defendants’ motions for summary judgment on January 21,1981 because the suits were not filed before the statute of limitations expired. The plaintiff then selected new counsel, appealed the summary judgments, and on November 17, 1981, instituted this legal malpractice suit against his former attorneys. His causes of action are in tort and in contract. The tort claim is based on the defendants’ alleged negligent failure to bring timely suit against the medical defendants and for the attorney defendants’ failure to respond to New Matter which raised the statute of limitations as a defense. The plaintiff’s contract claim alleges that the attorney defendants breached their contracts of professional employment.

The plaintiff has brought this suit because he believes the statute of limitations has started to run on his legal malpractice claim. He fears that unless he sues his former attorneys now he may be precluded from suing them in the future. Plaintiff’s concern is based upon his belief that the discovery of his attorney’s negligence started the running of the statute of limitations. This occurred, according to the plaintiff, when the underlying suits against the medical defendants were dismissed as time-barred on January 21, 1981. He fears that if he does not sue his attorneys within the two year statutory period ending January 21, 1983 his right to sue will lapse. This would mean that if plaintiff’s appeals in the original cases fail after January 1983 he will be denied the possibility of any recovery for his injuries.

The defendants argue in their motion to dismiss that this legal malpractice action is premature because the underlying medical malpractice actions have not been fully adjudicated. Should the Superior Court reverse the trial court and allow the medical malpractice cases to proceed, the law suit here will become moot. Therefore the defendants contend that the plaintiff has not presented this court with a case or controversy as required by article III, section 2, clause 1 of the Constitution. I agree and will dismiss plaintiff’s complaint.

There are two grounds for dismissal. One is based on federal jurisdictional power and the other is based on state substantive law, though only the fjrst is necessary to dispose of the complaint. Each is founded on plaintiff’s inability to demonstrate that he has been harmed in a way that the law will recognize. First, the plaintiff has not met the jurisdictional requirement of justiciability, which limits access to federal courts to cases that are ripe for adjudication. 1 Until the underlying medical malpractice cases are decided adversely to the plaintiff the case against his former attorneys is hypothetical and his damages are speculative. Second, the plaintiff has not satisfied the substantive requirements of Pennsylvania law for a legal malpractice action. The elements for legal malpractice are:

1. The employment of the attorney or other basis for duty;
2. The failure of the attorney to exercise ordinary skill and knowledge;
3. That such negligence was the proximate cause of damage to the plaintiff. 2

Guy v. Liederbach, 279 Pa.Super. 543, 421 A.2d 333, 336 (1980); Duke & Company v. Anderson, 275 Pa.Super. 65, 418 A.2d 613, *229 616 (1980); Schenkel v. Manheit, 266 Pa.Super. 396, 399, 405 A.2d, 493, 494 (1979). This is merely a restatement of the traditional elements of negligence: duty, breach, cause, and damages. Proof of damages is also an essential element for a legal malpractice action brought in contract. Duke & Company v. Anderson, 418 A.2d at 617. Plaintiff has failed to show that he has been damaged on either his tort or contract theory. Again, this is because his medical malpractice cases are still pending. Plaintiff has also not demonstrated a causal link in his tort claim between the defendants’ nonfeasance and his injury. This of course he cannot do until he has been injured. There can be no case until there is a cause of action, and there can be no cause of action until there is an injury.

It has been suggested that this Court might chose to stay rather than to dismiss the present proceedings pending the outcome of the underlying cases. That would only be necessary if plaintiff’s interpretation and application of the discovery rule to the statute of limitations was correct. However, the discovery rule, which starts the running of the statute of limitations when the plaintiff discovers his injury and its causal connection to the defendant, is not the normative rule for determining when the statute of limitations commences. It is rather a corollary to the occurrence rule, which triggers the running of the statute when the injury occurs, and is employed only to mitigate the occurrence rule’s occasional harshness. 3

I note that there is a conflict of authority regarding the appropriate rule in the early Pennsylvania legal malpractice cases. The early case of Derrickson v. Cady, 7 Pa. 27 (1847) seems to imply that the statute commences when the attorney’s negligence is discovered by the client. “The Pennsylvania rule, I take it, would be for the statute to begin to run from the time the client had notice of the attorney’s [nonfeasance].” Derrickson, 7 Pa. at 31. However, a subsequent line of cases follows the occurrence rule without overruling Derrickson. 4 According to these cases, a cause of action accrues when the attorney breaches his duty to his client and not when the lawyer’s negligence is discovered by the client, even though the client neither knows nor has reason to know of his attorney’s misfeasance or nonfeasance. “The cases have usually arisen on the statute of limitations, and it has been uniformly held that the right of action is complete so that the statute begins to run from the breach although the damage may not be known or may not in fact occur until afterwards.” Lawall v. Groman, 180 Pa. 532, 541, 37 A. 98 (1897).

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Cite This Page — Counsel Stack

Bluebook (online)
545 F. Supp. 227, 1982 U.S. Dist. LEXIS 13910, Counsel Stack Legal Research, https://law.counselstack.com/opinion/bowman-v-abramson-paed-1982.