Browne v. Robb

583 A.2d 949, 1990 Del. LEXIS 360
CourtSupreme Court of Delaware
DecidedNovember 5, 1990
StatusPublished
Cited by127 cases

This text of 583 A.2d 949 (Browne v. Robb) is published on Counsel Stack Legal Research, covering Supreme Court of Delaware primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Browne v. Robb, 583 A.2d 949, 1990 Del. LEXIS 360 (Del. 1990).

Opinion

MOORE, Justice.

We review a plethora of civil claims asserted by plaintiff Cecil Browne against his former counsel, James A. Robb, Esquire. The latter was appointed to represent *950 Browne, as an indigent accused of a crime, pursuant to 29 Del.C. § 4605. 1 After his conviction Browne filed suit against Robb in the Superior Court claiming: (1) legal malpractice; (2) Robb’s breach of contract to the court by failing to take certain action during Browne’s criminal trial; and (3) common law fraud by Robb’s misrepresenting the level of his legal skills and experience. Browne also claimed deprivations of his 4th, 5th, 6th, 8th and 14th Amendment rights and sought $500,000 in punitive damages, $500,000 in compensatory damages and all legal fees.

Robb moved to dismiss for failure to state a claim under Superior Court Civil Rule 12(b)(6). The trial court granted the motion. Browne v. Robb, Del.Super., C.A. No. 90C-JA7, Ridgely, J., slip op. (Mar. 2, 1990). We agree and affirm. Mr. Robb, as a court-appointed contract lawyer enjoys qualified immunity from legal malpractice claims under the State Tort Claims Act 10 Del.C. §§ 4001-4005. Plaintiff’s complaint was insufficient to rebut the presumption of statutory immunity. Browne’s appeal of the dismissal of his breach of contract claim against Robb is also meritless. He is not a beneficiary to the agreement between Robb and the State. Thus, he lacks standing to sue on the contract. Finally, Browne cannot sustain a fraud claim against Robb because his complaint did not meet the specificity requirements of Superior Court Civil Rule 9(b).

I.

Following his most recent trial and conviction, Browne was sentenced to a term of imprisonment. Robb served as counsel for indigent defendants pursuant to 29 Del.C. § 4605. 2 He represented Browne in that capacity. The terms of the appointment were established in a contract between Robb and the Superior Court.

Browne’s malpractice claims are based on a number of alleged defects in Robb’s performance. In an unreported decision the trial judge ruled that Robb enjoyed qualified immunity from malpractice suits under the State Tort Claims Act, and found that Browne’s complaint was insufficient to rebut the statutory presumption of immunity. Browne, slip op. at 4-5. On appeal Browne contends that a court appointed defense counsel is not entitled to qualified immunity under the State Tort Claims Act.

A.

We review the trial court’s ruling on Robb’s 12(b)(6) motion to determine whether Browne’s “complaint contained] allegations sufficient to state a cause of action.” Spence v. Funk, Del.Supr., 396 A.2d 967, 973 (1978). The complaint sufficiently states a cause of action when a plaintiff can recover “under any reasonably conceivable set of circumstances susceptible of proof under the complaint.” Id. at 968. All facts stated in the complaint are accepted as truthful. Id.

The State Tort Claims Act grants, in part, general qualified immunity to certain state officials and employees. 10 Del.C. § 4001. Specifically, the statute immunizes any “public officer or employee, including the members of any board, commission, conservation district or agency of the State, whether elected or appointed....” Id. (emphasis added). The relevant issue, *951 therefore, is whether a lawyer who has been appointed to represent indigent defendants in lieu of the Public Defender, pursuant to 29 Del. C. § 4605, is a “public officer or employee” for purposes of the immunity statute.

The Superior Court has already ruled in two unreported decisions that court appointed counsel are “employees” for purposes of the State Tort Claims Act and therefore are not liable in any civil suit unless the plaintiff can successfully overcome the presumption of immunity. 3 See Debro Siddiq Abdul-Akbar v. Anthony A. Figliola, Del.Super., No. 88C-NO-110-1-CV, Del Pesco, J., slip op., 1990 WL 74326 (May 18, 1990); Williams v. Durstein, Del.Super., No. 87C-FE-18, Gebelein, J., slip op., 1988 WL 47308 (Apr. 26, 1988). The Williams case represented the first Delaware decision applying qualified immunity under the Tort Claims Act to appointed counsel. The trial judge in that case borrowed the definition of “employee” from the County and Municipal Tort Claims Act and applied it by analogy to immunize appointed counsel under the State Tort Claims Act. Slip op. at 3. The Superior Court’s analogy ultimately proves less than adequate although the outcome of the Williams decision was ultimately correct. The County and Municipal Tort Claims Act provides that an “employee” means any person acting on behalf of a government entity in an official capacity regardless of whether that person receives compensation for his work. 10 Del.C. § 4010(1). The statute, however, also states that an “ ‘Employee’ shall not mean a person or other legal entity acting in the capacity of an independent contractor under contract to the governmental entity.” Id. By that limitation an appointed lawyer could not be an “employee” within the meaning of the County and Municipal Tort Claims Act since Robb’s contract explicitly declared that he “shall function as an independent contractor.” Thus, we find the rationale in Williams and Abdul-Akbar to be unhelpful. That, however, does not end the inquiry.

We have already recognized that a public defender is protected by qualified immunity under the State Tort Claims Act. See Vick v. Haller, Del.Super., 512 A.2d 249, 252 (1986), aff'd in part and rev’d in part on procedural grounds, 522 A.2d 865 (1987). The Court noted in its Order affirming the Superior Court’s decision jn Vick that public defenders were indeed State “employees” within the meaning of the State Tort Claims Act. Vick v. Haller,, Del.Supr., 522 A.2d 865 (1987) (ORDER).’ The Court approvingly cited a decision of the United States Supreme Court which presented arguments in favor of granting immunity to public defenders based upon the traditions of the common law. Id. See Tower v. Glover, 467 U.S. 914, 921, 104 S.Ct. 2820, 2825, 81 L.Ed.2d 758 (1984). These same policy arguments were similarly echoed in an often-cited dissent of a Pennsylvania Supreme Court decision. See Reese v. Danforth, 486 Pa. 479, 406 A.2d 735, 743 (1979) (O’Brien, J., dissenting). These basic common law principles apply with equal force when we consider the status of court appointed contract lawyers as “employees” under the State Tort Claims Act. This is so, because they serve in the same capacity as public defenders, replacing the latter when they are unavailable.

The dissent in Reese

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