Glover v. Southard

894 P.2d 21, 18 Brief Times Rptr. 1827, 1994 Colo. App. LEXIS 333, 1994 WL 597966
CourtColorado Court of Appeals
DecidedNovember 3, 1994
Docket93CA1261
StatusPublished
Cited by12 cases

This text of 894 P.2d 21 (Glover v. Southard) is published on Counsel Stack Legal Research, covering Colorado Court of Appeals primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Glover v. Southard, 894 P.2d 21, 18 Brief Times Rptr. 1827, 1994 Colo. App. LEXIS 333, 1994 WL 597966 (Colo. Ct. App. 1994).

Opinions

Opinion by

Judge HUME.

Plaintiffs, Lavern and Athlyn Glover, appeal the trial court’s judgment dismissing with prejudice their complaint against defendant, William Southard, for failure to state a claim. We affirm.

Defendant, an attorney employed by a Greeley bank, drafted a trust agreement by which a settlor designated a non-profit corporation as sole residual beneficiary to the trust corpus which included most of settlor’s property. The agreement named the bank as trustee.

Two months later, defendant drafted a codicil to the settlor’s previously executed will to add a bequest of a sum of money to plaintiffs.

Five months after the trust’s creation, the settlor told a bank trust officer that she wished to leave her entire estate to plaintiffs. The trust officer contacted defendant who, without discussing the proposed change with the settlor, drafted an amendment to the trust agreement. The revision provided that all of the trust assets should be distributed to plaintiffs upon settlor’s death. Defendant did not revise the settlor’s will to make it consistent with the terms of the trust.

After the settlor’s death, in settlement of a dispute about the validity of the trust, plaintiffs relinquished their rights under the trust instrument in exchange for a cash settlement. They then initiated a malpractice action against defendant for his failure to amend the settlor’s will to conform to the amended trust.

[23]*23Acting pursuant to defendant’s C.R.C.P. 12(b)(5) motion, the trial court ruled that plaintiffs lacked standing to assert a claim against defendant and, accordingly, dismissed the malpractice action.

Plaintiffs contend that third parties do have standing to bring an independent action for attorney malpractice if, as here, they are the intended beneficiaries of a negligently drafted testamentary instrument. We disagree.

In passing upon a motion to dismiss a complaint, a court may consider only matters stated therein and must not go beyond the confines of the pleading. In reviewing the action of a trial court in dismissing for failure to state a claim, an appellate court is in the same position as the trial court. McDonald v. Lakewood Country Club, 170 Colo. 355, 461 P.2d 437 (1969).

Material allegations of the complaint are deemed admitted. The motion should be granted only if it appears that plaintiff would not be entitled to relief under the facts pleaded. Davidson v. Dill, 180 Colo. 123, 503 P.2d 157 (1972).

An attorney must act in his Ghent’s best interest and is not hable to a third party absent conduct that is fraudulent or malicious. Hill v. Boatright, 890 P.2d 180 (Colo. App.1994). See Klancke v. Smith, 829 P.2d 464 (Colo.App.1991) (attorney for spouse in wrongful death action owed no duty to decedent’s children); Schmidt v. Frankewich, 819 P.2d 1074 (Colo.App.1991) (absent fraud or malicious conduct, attorney for corporation not hable to shareholders or guarantors of corporation); McGee v. Hyatt Legal Services, Inc., 813 P.2d 754 (Colo.App.1990) (law firm representing a mother in a custody action had no duty to child); In re Estate of Brooks, 42 Colo.App. 333, 596 P.2d 1220 (1979) (attorney for trustee not hable to aheged beneficiary for alleged breach of trust).

The rule that an attorney’s habihty to third parties is strictly limited rests upon three pubhe pohcy bases: the protection of the attorney’s duty of loyalty to and effective advocacy for his or her client; the nature of the potential for adversarial relationships between the attorney and third parties; and the attorney’s potential for unhmited habihty if his duty of care is extended to third parties. Schmidt v. Frankewich, supra.

This court has ruled that a third party may assert a claim for neghgent misrepresentation against a professional engineer who supplied false information to a prospective home buyer, Wolther v. Schaarschmidt, 738 P.2d 25 (Colo.App.1986), and it has also broadened the scope of attorney malpractice habihty as well, extending it to non-client third parties under a few narrow exceptions.

A division of this court reversed the dismissal of an investor’s claim for neghgent misrepresentation against an attorney who misstated material facts in an opinion letter issued to potential investors knowing they would hkely rely upon them. Central Bank Denver v. Mehaffy, Rider, Windholz & Wilson, 865 P.2d 862 (Colo.App.1993). Another division of this court concluded that a bankruptcy trustee stated a claim for restitution of fees improperly obtained by attorneys for a debtor’s adversary. Berger v. Dixon & Snow, P.C., 868 P.2d 1149 (Colo.App.1994).

However, in an appeal challenging a dismissal of another malpractice claim against defendant under the instruments involved here, a division of this court refused to extend a duty of care in favor of a non-profit corporation whose interest under the trust was eliminated in favor of plaintiffs. In that case, the plaintiff corporation could not allege that inconsistencies between the settlor’s will and the trust instrument reflected an unequivocal intent to benefit it at settlor’s death. Instead, the last instrument executed by the settlor facially evinced a contrary intent. This court refused to impose a duty upon the attorney in favor of the corporation to question or challenge the settlor’s testamentary capacity at the time she amended the trust eliminating the corporation as a beneficiary. See Shriners v. Southard, 892 P.2d 417 (Colo.App.1994).

A.

Plaintiffs urge that we follow foreign authorities such as those referenced in Annot., 61 A.L.R.4th 615 (1988) that impose a duty of [24]*24care upon lawyers in favor of beneficiaries named in testamentary instruments that they draft. We decline to do so.

Whether a legal duty is owed a plaintiff as well as the scope of such duty are questions of law which the court must decide. Perreira v. State, 768 P.2d 1198 (Colo.1989). The court’s conclusion as to the existence of duty is an expression of the sum total of those considerations of policy which lead the law to say the plaintiff is or is not entitled to protection. University of Denver v. Whit-lock, 744 P.2d 54 (Colo.1987).

Although the court may consider a variety of relevant factors in reaching its decision, the question becomes one of fairness under a contemporary standard: would a reasonable person recognize and agree that a duty of care exists? Perreira, supra.

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Glover v. Southard
894 P.2d 21 (Colorado Court of Appeals, 1994)

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Bluebook (online)
894 P.2d 21, 18 Brief Times Rptr. 1827, 1994 Colo. App. LEXIS 333, 1994 WL 597966, Counsel Stack Legal Research, https://law.counselstack.com/opinion/glover-v-southard-coloctapp-1994.