Drollinger v. Mallon

260 P.3d 482, 350 Or. 652, 2011 Ore. LEXIS 708
CourtOregon Supreme Court
DecidedSeptember 1, 2011
DocketCC 08127040L; CA A142452; SC S058839
StatusPublished
Cited by9 cases

This text of 260 P.3d 482 (Drollinger v. Mallon) 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
Drollinger v. Mallon, 260 P.3d 482, 350 Or. 652, 2011 Ore. LEXIS 708 (Or. 2011).

Opinion

*654 DE MUNIZ, C. J.

This is a legal malpractice action brought by plaintiff, a convicted felon, against lawyers who undertook to represent him in his attempt to obtain post-conviction relief, and then, shortly before the matter was scheduled for trial, withdrew. Defendant lawyers moved to dismiss the malpractice action for lack of subject matter jurisdiction and failure to state a claim, ORCP 21 A(8). They argued that, under this court’s decision in Stevens v. Bispham, 316 Or 221, 851 P2d 556 (1993), the malpractice action was barred because plaintiff had not been exonerated of the underlying offenses. The circuit court agreed with defendants, granted their motion, and dismissed the complaint. On appeal, the Court of Appeals affirmed without opinion. For the reasons set out below, we conclude that Stevens, a case addressing the statute of limitations in a malpractice action brought by a former criminal defendant against trial counsel in the underlying case, does not preclude this convicted plaintiff from pursuing a malpractice action against post-conviction counsel. Because the circuit court treated actual exoneration as a prerequisite for bringing the action, we reverse and remand to that court for further proceedings.

We set out the facts as they were pleaded in the complaint, supplemented by certain undisputed parts of the record that we believe will advance the reader’s understanding of the case. In 1999, in two separate cases (one in Crook County and one in Deschutes County), plaintiff was charged with a number of sex crimes. Plaintiff entered into a plea agreement that encompassed both cases and, pursuant to that agreement, pleaded guilty to two of the Crook County felony charges and a single Deschutes County felony charge. Plaintiff was sentenced to lengthy terms of imprisonment. Judgment was entered in the two cases in February and April 2000. Plaintiff did not appeal to the Court of Appeals.

In 2002, plaintiff filed a petition for post-conviction relief in each case. Both post-conviction cases were filed in Malheur County, where plaintiff was incarcerated, and the post-conviction court treated the cases as if they were consolidated. Plaintiff initially was represented by appointed counsel, but, after several consecutively appointed lawyers withdrew from the cases, plaintiff decided to proceed pro se. He *655 continued to represent himself for the next three years, during which time the circuit court first dismissed, and then later reinstated, plaintiffs post-conviction petitions.

In May 2006, plaintiffs former trial lawyer contacted defendants about representing plaintiff in his post-conviction cases. Defendants Mallon and Lamborn thereafter met with plaintiff, and plaintiff ultimately signed an agreement retaining their law firm (defendant Mallon Lamborn and Raschio, PC) and deposited $5,000 into defendants’ accounts in partial payment of defendants’ fees and other expenses. 1 At the time the written retainer agreement was signed, defendants made certain oral promises to plaintiff, including promises: (1) to use a named private investigator, who would “be paid by defendants by and through application for state funding”; (2) to depose witnesses that the investigator had and would identify, and to otherwise work with the investigator to develop evidence; (3) to “conduct an adequate investigation of [a named police detective’s] credibility”; (4) to “take the necessary steps” to hire a named audio analyst to analyze plaintiffs recorded confession to the underlying crimes, with that audio analyst being paid “by defendants by and through application for state funding”; (5) to seek withdrawal of plaintiffs guilty pleas and to have property and money in the hands of plaintiffs criminal trial lawyer diverted back to plaintiff; and (6) to “take the necessary steps” to hire a psychologist to test plaintiff for certain mental disorders for purposes of setting aside plaintiffs guilty pleas.

After the retainer agreement was signed, defendants had little contact with plaintiff. Meanwhile, plaintiff wrote lengthy letters to defendants at regular intervals, instructing them to take certain actions and expressing concern about the apparent lack of activity in the cases.

In October 2006, the Malheur County Circuit Court issued an order in plaintiffs post-conviction cases, setting a November deadline for filing all motions and a trial date in early February 2007, “with no further continuance to be granted.” A week after the order issued, defendant Lamborn *656 spoke to plaintiff on the phone. Plaintiff expressed his concerns about the looming deadlines and the lack of activity in the cases. Lamborn told plaintiff that he felt unqualified to represent plaintiff in the matter, that he should have a more qualified attorney, and that he would assist plaintiff in finding someone. He assured plaintiff that he would ask the court for a hearing to reset the final filing date for motions.

Weeks went by and Lamborn did not communicate with plaintiff about replacement counsel or the request to reset the final filing date for motions. Plaintiff wrote a number of letters to defendants Lamborn and Mallon, insisting that they take “necessary and appropriate steps to protect his legal interests.” Defendants did not respond to those letters. Plaintiff then filed a motion in circuit court seeking to compel defendants to conduct certain discovery that plaintiff believed was essential. The circuit court held a hearing on the motion in late December 2006, at which time defendant Lamborn told the court that he and plaintiff had a disagreement about how the case should be handled. Lamborn told the court that he had talked to plaintiff about withdrawing from the case and that he did not think that he could represent plaintiff. The circuit court ultimately denied plaintiffs motion to compel and told Lamborn that, if he wanted to withdraw, he would have to file a motion.

On January 10, 2007, Lamborn filed a motion to be relieved as counsel. The motion stated that plaintiff did not object to Lamborn’s withdrawal. On January 16, 2007, the circuit court granted Lamborn’s motion to withdraw as counsel for plaintiff, three weeks before the post-conviction petitions were scheduled for trial.

Plaintiffs factual allegations in his complaint do not describe the end result of the foregoing events. However, we can determine from the record, and from statements embedded in plaintiffs claims, that, a few days before the scheduled post-conviction trial, plaintiff was confronted with the choice of dismissing his post-conviction petitions with prejudice or going forward with the trial, unprepared and without representation. Plaintiff chose to dismiss the petitions.

Plaintiff thereafter filed the present action on his own behalf, alleging claims for legal malpractice and breach *657 of contract. Putting the very best face on the legal malpractice claims, we understand plaintiff to allege that (1) defendants had a duty to represent plaintiff in his post-conviction bid to have his guilty pleas set aside, with the level of skill and diligence that lawyers are expected to use on behalf of their clients in such circumstances; (2) that defendants

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Cite This Page — Counsel Stack

Bluebook (online)
260 P.3d 482, 350 Or. 652, 2011 Ore. LEXIS 708, Counsel Stack Legal Research, https://law.counselstack.com/opinion/drollinger-v-mallon-or-2011.