Chalet Apartments, Inc. v. Farm & Home Savings Ass'n

658 S.W.2d 508, 1983 Mo. App. LEXIS 3544
CourtMissouri Court of Appeals
DecidedSeptember 20, 1983
DocketNo. 45467
StatusPublished
Cited by8 cases

This text of 658 S.W.2d 508 (Chalet Apartments, Inc. v. Farm & Home Savings Ass'n) is published on Counsel Stack Legal Research, covering Missouri Court of Appeals primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Chalet Apartments, Inc. v. Farm & Home Savings Ass'n, 658 S.W.2d 508, 1983 Mo. App. LEXIS 3544 (Mo. Ct. App. 1983).

Opinion

GAERTNER, Judge.

Plaintiff appeals from a directed verdict in favor of defendants in a suit for fraud and legal malpractice. Appellant is Chalet Apartments, Inc. (Chalet), developer of a 38 unit apartment complex in St. Louis County. Defendants-Respondents are Farm and Home Savings Association (Farm & Home), who foreclosed in March of 1973 on a $435,-100 loan for the apartment project, and David Lacks, an attorney employed by Chalet. Chalet alleged that Farm & Home fraudulently concealed an alternative to foreclosure involving assignment of the loan to the Housing and Urban Development Authority (HUD) which insured the loan and that Lacks was negligent in not advising Chalet of the assignment possibility.

Plaintiff’s sole witness at the trial was Joseph Frager, principal stockholder and contractor for Chalet. At the close of Frager’s direct testimony both defendants moved for a directed verdict. The trial judge expressed his opinion that such motions were premature. However, during the ensuing discussion between the court and counsel, plaintiff’s attorney admitted that he had no additional “substantive evidence” to offer. He told the court that one prospective witness would testify as to the procedures followed by HUD if the mortgage had been assigned to it by defendant Farm & Home. His other witness was an attorney who was expected to express opinions based upon testimony already on the record. The following colloquy sums up the entire discussion:

“The Court: So, what you’re telling the Court is that in substance is that based upon the way that the plaintiff has testified, you can no longer make a submissi-ble case, and to put on the additional witnesses that you have would really merely be a charade to put on additional evidence but that wouldn’t be substantive in the standpoint of making a submissible case for the jury.
Mr. Denlow: All I can say, Your Honor, is all the substantive evidence is being provided by Mr. Frager as now stands.”

The court thereupon sustained the motion of defendants for directed verdicts. On appeal, Chalet first attacks the timeliness of the sustention of the motion before the close of plaintiff’s case. A motion for a directed verdict may be granted after plaintiff’s opening statement where it affirmatively appears from the plaintiff’s statement of the case that he cannot recover from the defendants. Hanes v. Bacon Sales Co., 602 S.W.2d 50, 52 (Mo.App.1980). Such action should not be taken because of mere failure to state facts sufficient to constitute a submissible case “unless counsel affirmatively admits that no additional facts will be shown by the evidence.” Zabol v. Lasky, 498 S.W.2d 550, 553 (Mo.1973). The rationale underlying this rule is stated in Hays v. Missouri Pacific R.R. Co., 304 S.W.2d 800, 803 (Mo.1957), “if counsel admits he is unable to prove facts essential to a recovery, or to disprove facts fatal to a recovery, there is no need of going to the trouble and expense of hearing evidence which, it is known in advance will be insufficient.” Although referring to it as a “commendable practice,” 304 S.W.2d at 803, the Hays court cautions that directing a verdict at the conclusion of plaintiff’s opening statement should be done only “after counsel has been afforded an opportunity, after the motion for directed verdict has been made, to correct or add to his opening statement.” 304 S.W.2d at 805.

We see no significant difference as to timeliness of a motion for a directed verdict sustained after opening statement or after partial presentation of plaintiff’s case if the circumstances justify the direction of a verdict for the purpose stated in Hays. Procedurally, all of the requirements and caveats of the cases cited above were satisfied when plaintiff’s attorney conceded this additional evidence did not go to the substance of the case and that all of the substantive evidence had been adduced. It is apparent from his statements to the court that the testimony of one witness would be concerned with what a third party, HUD, might do if Farm & Home had taken a different course than foreclosure. [510]*510Such testimony, entirely speculative and hypothetical, would not even be admissible over objection and not probative if admitted without objection. As to the proposed testimony of the lawyer expert witness, plaintiff’s attorney conceded this would be based upon the evidence already adduced and would not add to the “record as it now stands” so as to enable him to make a submissible case against defendant Lacks. The deficiency in the record as it then stood, as shall be more fully developed below, related to the absence of proof of causal relationship between the alleged negligence and the claimed damage. We cannot conceive of how the testimony of a witness called as an expert in a legal malpractice case, which testimony was admittedly to be based only upon evidence already adduced and not upon any personal knowledge of the facts, could possibly serve to prove such a causal connection.

Further, appellant presents this point purely in the abstract. Nowhere in its brief does it attempt to suggest what additional evidence it might have offered which might have rendered the case submissible as to either defendant. It does not even purport wherein and why the timing of the court’s action constituted reversible error. Under the circumstances evident from the record in this case, appellant’s point relating to timeliness has no merit.

Nor do we find substantive error in the sustaining of the motions for directed verdict. Chalet contends the testimony of Frager made a submissible case of fraudulent concealment against Farm & Home. In support of this contention, Chalet directs our attention to Frager’s testimony regarding a meeting with George McDonald, an officer of Farm & Home which occurred two days after the foreclosure. Frager testified that at this meeting he was advised for the first time that HUD could have extended the foreclosure. Then he added “but it was at McDonald’s option.” Failure to disclose this possibility at an earlier date, Chalet contends, constitutes fraud. In order to develop this theory, Chalet describes its relationship with Farm & Home as a confidential relationship, thereby implying a duty upon Farm & Home to tell Frager how Chalet might avoid the consequences of his default in mortgage payments. This tenuous argument simply fails to hold water. The evidence describes nothing more than normal dealings between a borrower and a mortgage lender — a debtor and secured creditor relationship. We know of no authority and are cited to none which requires a creditor to advise his debtor of possible means of evading the consequences of his default. Nor does any such duty arise from the fact that the loan was insured by HUD, an agency with which Farm & Home had more familiarity than did Frager.1

The dispositive fact, however, is Frager’s testimony that an extension was at McDonald’s, that is Farm & Home’s, option. The clear import of this testimony is that the purported concealment or non-disclosure of HUD practices and procedures related to a matter not within HUD’s control, but within the sole control of the party charged with the concealment. Farm & Home had foreclosed.

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Bluebook (online)
658 S.W.2d 508, 1983 Mo. App. LEXIS 3544, Counsel Stack Legal Research, https://law.counselstack.com/opinion/chalet-apartments-inc-v-farm-home-savings-assn-moctapp-1983.