Graves v. Webber

CourtSuperior Court of Maine
DecidedFebruary 5, 2007
DocketYORre-06-107
StatusUnpublished

This text of Graves v. Webber (Graves v. Webber) is published on Counsel Stack Legal Research, covering Superior Court of Maine primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Graves v. Webber, (Me. Super. Ct. 2007).

Opinion

STATE OF MAINE SUPERIOR COURT CIVIL ACTION YORK, ss. DOCKET NO. RE-06-107 6 4 % - - / U P - 2,s1 a' o 3 - l \

I I

JEFF M. GRAVES,

Plaintiff

ORDER

JONATHAN L. WEBBER, TINAL L. WEBBER and JOSEPH G. CARLETON, JR.,

Defendants

This matter comes before the Court on Defendant Carleton's Motion to Dismiss

per M.R. Civ. P. 12(b)(6). Following hearing, it is Granted in part and Denied in part.

FACTUAL BACKGROUND

Plaintiff Jeff Graves ("Graves") owns a residence located at 37 Whispering Pine

Circle in Wells, Maine. Defendants Jonathan and Tina Webber ("the Webbers") own

land abutting Graves' property. Defendant Joseph Carleton ("Carleton") is a Maine

attorney practicing law in Wells.

The prior owners of the Webbers' property had an agreement with Graves that

they could retain their garage, even though it was partially located over the boundary

line of Graves' property. When they transferred their property to the Webbers in 2004,

Carleton prepared the deed. Graves alleges that the boundaries set forth in the deed

exceed the real legal boundaries of the property, and that Carleton was aware of this problem when he drafted the deed.' Additionally, Graves contends that the Webbers

claim to have acquired some of h s land and have entered his property to remove

stakes, fencing, and other markers of his without his permission.

In August 2006, Graves filed a four-count complaint alleging trespass and

seehng a declaratory judgment against the Webbers to quiet title, and alleging slander

of title and negligence against both the Webbers and Carleton. The Webbers deny the

allegations and raise several affirmative defenses. Carleton has moved to dismiss the

two counts against h m for failure to state a claim upon which relief can be granted.

DISCUSSION

1. Standard of Review.

A motion to dismiss "tests the legal sufficiency of the complaint." Livonia v.

Town of Rome, 1998 ME 39, ¶ 5,707 A.2d 83/05. The Court should dismiss a claim only

"when it appears 'beyond doubt that [the] plaintiff is entitled to no relief under any set

of facts that [it] might prove in support of [its] claim."' McAfee v. Cole, 637 A.2d 463, 465

(Me. 1994) (quoting Hall v. Bd. of Envtl. Protection, 498 A.2d 260, 266 (Me. 1985)).

2. Slander of Title.

To prevail on a claim for slander of title, a plaintiff must prove that "(1)there

was a publication of a slanderous statement disparagng [the] claimant's title; (2) the

statement was false; (3) the statement was made with malice or made with reckless

disregard of its falsity; and (4) the statement caused actual or special damages."

Colquhoun v. Webber, 684 A.2d 405, 409 (Me. 1996). An action for slander of title is

intended to protect a plaintiff from the use of language that could call his or her legal

title into question. Id. A lawyer may be liable to someone other than h s or her client

1 Graves claims that Carleton contacted him to seek his approval for the description of his property as it related to the Webbers. He refused to approve Carleton's description. for intentional acts if a non-lawyer could face liability in a comparable situation.

Restatement (Third)of the Law Governing Lawyers 5 56 (2000).

In h s case, accepting the facts alleged by Graves as true, the deed Carleton

drafted contained statements that may be viewed as questioning the validity of Graves'

title to the disputed portion of the property. If the statements in the deed were made

, knowing they were inaccurate and despite Graves' opposition, they may have been

made with malice or recldess disregard. Graves also claims that statements about the

Webbers' alleged interest in his property caused him damages, including reduced

property values and legal fees. Accordingly, Carleton's motion to dismiss this count is

denied because Graves has alleged the minimum required to state a cause of action for

slander of title.

3. Negligence.

"In an action alleging professional negligence, the plaintiff must establish that

the defendant had a duty to the plaintiff to conform to a certain standard of conduct

and that a breach of that duty proximately caused injury to the plaintiff." Fisherman's

Wharf Assocs. 11 v. Verrill & Dana, 645 A.2d 1133, 1136 (Me. 1994). The standard of care

in such a case is measured by the "degree of skill, care, and diligence" exercised by

others in that particular professional community. Id. Graves' complaint alleges that

Carleton's actions were unreasonable and that they caused h m damages, including

reduced property value and legal expenses.

Graves was not a party to the underlying real estate transaction. Even assuming,

for purposes of resolving h s motion, that Carleton's actions caused Graves damages,

the other two essential elements of a professional negligence cause of action are

problematic, namely: that Carleton, as attorney for the Webbers, owed Graves a duty of

care, and that he breached that duty. An attorney has a duty of care to a person who is not h s client only in limited situations. See Restatement (Third) of the Law Governing

Lawyers 5 51 (2000). Such a duty may arise with a "prospective client," or a non-client

whom the lawyer intends to benefit, to whom the lawyer may owe a fiduciary duty, or

who may justifiably rely on the lawyer's advice in certain situations. Id. Legal scholars

have found the "intent to benefit" test persuasive, explaining that "a lawyer owes no

duty of care to a person, who was not intended to be the beneficiary of the transaction."

Ronald E. Mallen & Jeffrey M. Smith, Legal Malpractice vol. 4, § 31.4, 714-717 (West 2006

ed.).

Courts have been reluctant to extend an attorney's duty of care to persons other

than h s or her client. For example, the New Hampshire Supreme Court has stated that

"'for a nonclient to succeed in a negligence action against an attorney, he must prove

that the primary purpose and intent of the attorney-client relationshp itself was to

benefit or influence the h r d party."' MacMillan v. Schefi, 787 A.2d 867, 869 (N.H.

2001) (citations omitted).

Also, the Law Court has held that beneficiaries could not sue an estate-planning

attorney whom they did not retain because he owed them no duty of care. Nevin v.

Union Trust Co., 1999 ME 47, q[ 41, 726 A.2d 694, 701. The Court discussed the policy

concerns behnd its reluctance to expand the duty of care, including the potential for

conflicts of interest if an attorney owed a duty to persons mentioned in documents who

are not his clients. Id. Recognizing a duty to all individuals named in an instrument,

such as the beneficiaries, would hamper counsel's ability to prepare the documents, as

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Related

Gerber v. Peters
584 A.2d 605 (Supreme Judicial Court of Maine, 1990)
McAfee v. Cole
637 A.2d 463 (Supreme Judicial Court of Maine, 1994)
Fisherman's Wharf Associates II v. Verrill & Dana
645 A.2d 1133 (Supreme Judicial Court of Maine, 1994)
Barnes v. McGough
623 A.2d 144 (Supreme Judicial Court of Maine, 1993)
Livonia v. Town of Rome
1998 ME 39 (Supreme Judicial Court of Maine, 1998)
Hall v. Board of Environmental Protection
498 A.2d 260 (Supreme Judicial Court of Maine, 1985)
Nevin v. Union Trust Co.
1999 ME 47 (Supreme Judicial Court of Maine, 1999)
Colquhoun v. Webber
684 A.2d 405 (Supreme Judicial Court of Maine, 1996)
MacMillan v. Scheffy
787 A.2d 867 (Supreme Court of New Hampshire, 2001)

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