Davis v. Cohen & Gresser LLP

CourtNew York Supreme Court
DecidedMarch 24, 2016
Docket2016 NYSlipOp 50417(U)
StatusPublished

This text of Davis v. Cohen & Gresser LLP (Davis v. Cohen & Gresser LLP) is published on Counsel Stack Legal Research, covering New York Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Davis v. Cohen & Gresser LLP, (N.Y. Super. Ct. 2016).

Opinion



Richard Davis, as Administrator of THE ESTATE OF C. ROBERT ALLEN III under Letters of Limited Administration issued January 21, 2014, Plaintiff,

against

Cohen & Gresser LLP, Defendants,




157930/14

For plaintiff: Judd Burstein, Esq.

For defendant: Gregory Joseph, Esq., of Joseph Hage Aaronson LLC
Charles E. Ramos, J.

Plaintiff Richard Davis (plaintiff) commenced this action on behalf of the estate of C. Richard Allen III (CRA) under Letters of Limited Administration (Letters of Administration) issued by the Surrogate's Court on January 21, 2014. Plaintiff's wholly-owned entity, non-party Excelsior Capital LLC (Excelsior) is a judgment creditor of CRA's estate (estate). Because the estate lacks sufficient funds to pay Excelsior's judgment, the Letters of Administration grants plaintiff limited authority to commence and prosecute an action on behalf of the estate against defendant Cohen & Gresser LLP (CG) who represented both CRA and CRA's son, Luke Allen, who was also CRA's guardian prior to CRA's death.

In the second amended complaint (complaint), plaintiff alleges that CG committed legal malpractice by allowing the statute of limitations to run on RICO claims against CRA's former attorneys, Robert Neiman and Greenberg Traurig, LLP (GT).

CG now moves to dismiss the complaint pursuant to CPLR 3211 (a) (1), (5) and (7).

Background

The allegations set forth herein are taken from the pleadings and assumed to be true for the purposes of disposition.

In 2004, fraudtser Christopher Devine tricked CRA and Excelsior, plaintiff's wholly owned company, into loaning him millions of dollars that Devine and his cronies (the Devine parties) stole. CRA personally guaranteed the Excelsior loans. After Excelsior's default under the loans, Excelsior sued CRA and Superior Broadcasting Co. (Superior), a company that CRA owned a majority interest in, to collect on $18 million of the personal guaranties that CRA executed (Excelsior action). Excelsior ultimately prevailed in the action, and obtained a judgment against CRA's estate,[FN1] in December 2012 (Excelsior Capital, LLC v Superior Broadcasting Co., 101 AD3d 670 [2nd Dept 2012], lv denied 21 NY3d 857 [2013]).

Several years prior to CRA's death, in February 2007, CRA's wife, Grace Allen, commenced an Article 81 proceeding seeking the appointment of CRA's son, Luke Allen, as guardian to manage CRA's property. Luke was appointed as guardian for CRA in March 2008. As guardian, Luke's duties included overseeing any litigation to which CRA was a party. At that time, Luke was substituted into the Excelsior action as the defendant in lieu of CRA.



2008 Retainer Agreement Between Luke, as CRA's Guardian and CG

In June 2008, Luke, as guardian of and on behalf of CRA, entered into a retainer agreement with defendant, CG for legal representation. According to plaintiff, the 2008 retainer agreement made it clear that the scope of CG's representation of CRA was broad and not limited to merely the Excelsior action.[FN2]

Under the umbrella of the 2008 retainer agreement, CG commenced an action in February 2009 in the Eastern District of [*2]New York on behalf of CRA, by Luke as guardian, against Devine and the companies he controlled for RICO, fraud, conspiracy, conversion, unjust enrichment, breach of fiduciary duty, and constructive trust (RICO action).



The Alleged Malpractice

According to the complaint in this action, the RICO action was meritorious and likely to be successful in securing a judgment in favor of CRA against the Devine parties. CG should also have brought RICO claims against CRA's former counsel and his law firm, Neiman and GT, because CG had actual knowledge at that time of facts necessary to assert RICO claims against them.

Plaintiff alleges that Neiman affirmatively assisted the Devine parties' fraud by falsely assuring CRA that his loans to Superior were sound when Neiman knew that Devine was diverting the monies for wrongful purposes, and that Neiman was lining his own pockets by virtue of his ownership interests in many of the companies to which CRA's money was transferred. Nonetheless, CG concluded at the time it brought the RICO action that there were no viable RICO claims against Neiman and GT. According to plaintiff, the four-year statute of limitations on CRA's RICO claims against Neiman and GT began to run in 2006 and expired in 2010.

In December 2010, Devine sued Luke personally in the RICO action. It was agreed that CG would represent Luke as a third party defendant and in his individual capacity in the RICO action because it was within the scope of the 2008 retainer agreement.

CRA died on March 9, 2011. On March 24, 2011, CG and Luke signed a retainer agreement (2011 retainer agreement) which states that CG's representation was limited to the third-party complaint against Luke and states that "it does not encompass, nor does it engage the Firm to represent [Luke] in any matter not specifically described herein" (Exhibit F, annexed to the Stanley Aff.). On April 13, 2011, CRA's estate was probated and CRA's wife, Grace, was appointed as executor.

Despite the language of the 2011 retainer agreement, Luke states in his affidavit that, between the time of CRA's death in March 2011 and October 2011, it was explicitly understood between CG, Grace and Luke that CG would continue as counsel for the estate so as to continue broad scope of representation set out in the 2008 retainer agreement with respect to the RICO action (Luke aff., ¶ 21).According to Luke, it was also agreed that, rather than try to immediately push forward with the RICO action by substituting the estate as the plaintiff, the goals of the 2008 retainer agreement might be better accomplished less expensively by focusing on CG's continuing efforts to seek a federal criminal prosecution of Devine, pursuant to another retainer agreement dated 2011, which states that the engagement of CG "does not encompass, nor does it engage the Firm to [*3]represent [Grace, CRA's executrix] or the Estate of [CRA] in any matter not specifically described herein" (Exhibit I, annexed to the Stanley Aff.). Luke also states that, while he understood that as a technical matter, new retainer agreements would have to be executed between the estate and CG by reason of CRA's death, it was explicitly understood between Luke, Grace as executrix of CRA's estate and CG that CG would continue as counsel for the estate. According to Luke, in or around October 2011, primarily because CG had lost the Excelsior action and was not willing to continue representing the estate in the RICO action pursuant to a contingent fee arrangement, Grace made the decision to continue with CG as counsel in the RICO action.

Thereafter, on June 15, 2011, the estate, represented by Reed P. Whitemore, Esq., moved for substitution as counsel for the plaintiff in the RICO action in lieu of CG (Exhibit D, annexed to the Stanley Aff.). Farrell Fritz, P.C. and Camplo, Middleton & McCormick, L.L.P. also appeared on the estate's behalf in the RICO action in December 2011 and April 2012 (Exhibit A, annexed to the Stanley Aff.).

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Bluebook (online)
Davis v. Cohen & Gresser LLP, Counsel Stack Legal Research, https://law.counselstack.com/opinion/davis-v-cohen-gresser-llp-nysupct-2016.