In Re Crews

159 S.W.3d 355, 2005 Mo. LEXIS 58, 2005 WL 757906
CourtSupreme Court of Missouri
DecidedApril 5, 2005
DocketSC 86212
StatusPublished
Cited by17 cases

This text of 159 S.W.3d 355 (In Re Crews) is published on Counsel Stack Legal Research, covering Supreme Court of Missouri primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In Re Crews, 159 S.W.3d 355, 2005 Mo. LEXIS 58, 2005 WL 757906 (Mo. 2005).

Opinion

PER CURIAM.

I.

James F. Crews, Respondent, obtained his Missouri license to practice law in 1964. Respondent’s disciplinary action involves multiple violations of the rules of professional conduct in relation to his representation of Tom and Betty Hodge and Betty’s son, Richard Vaughn (collectively Plaintiffs). Respondent is ordered suspended from the practice of law indefinitely with leave to apply for reinstatement in one year subject to the successful completion of this Court’s enumerated conditions.

II.

The facts, as reported by the Disciplinary Hearing Panel (DHP), are as follows: The Plaintiffs suffered injuries when a vehicle driven by Jerry Daniels executed a left-hand turn immediately in front of their vehicle making it impossible for Plaintiffs to avoid the ensuing collision. Respondent initially advised Plaintiffs that their own insurance policy would cover their injuries. After that coverage was exhausted, Respondent agreed to represent the Plaintiffs in a personal injury suit against Mr. Daniels and his employer, Miller County Motors (MCM). The fee contingency agreement for this representation was never memorialized in writing.

Respondent hired an investigator to substantiate whether Daniels was acting within the scope of his employment at the time of the accident; a fact the investigator was unable to confirm. As four years ticked by, Respondent failed to pursue the action further and was unresponsive to the Plaintiffs’ repeated inquiries concerning the case. Finally, the Plaintiffs conducted their own investigation and were able to obtain an affidavit from Mr. Daniels stating that he was acting in the course of his employment at the time of the accident. Due to Respondent’s delay in developing the case, the petition was not filed until five days prior to the running of the five-year statute of limitations.

*358 Respondent was also uncommunicative with the Plaintiffs when MCM filed its motion for summary judgment alleging that Daniels was not acting in the scope of his employment at the time of the accident. Respondent filed no response to this motion and did not attend the hearing on the motion resulting in a ruling in favor of the defendants. Later, at the disciplinary hearing, Respondent would testify that it was unnecessary to defend against a summary judgment motion that he believed was deficient on its face. Respondent discounted the language in Rule 74.04(c)(2) mandating a response to summary judgment motions stating that it “doesn’t mean anything.”

The Plaintiffs discovered their case was dismissed when they contacted the circuit clerk’s office and inquired about when the case would be docketed. Plaintiffs immediately contacted Respondent who informed them the court had mistaken their case for another case he was handling for them. Respondent assured the Plaintiffs that he would have the summary judgment set aside and filed a motion to set it aside alleging that his staff had improperly calendared the hearing date. In response to the Chief Disciplinary Counsel’s (CDC) inquiry, Respondent wrote that he failed to appear at the hearing because he had confused the personal injury case with the other case.

Respondent next informed Plaintiffs that his motion to set aside the summary judgment had been overruled and that he would have to appeal the ruling. Plaintiffs offered to hire additional attorneys to assist but them offer was refused. Respondent’s initial brief with the court of appeals was stricken for failure to comply with Rule 84.04; however, he was given another opportunity to correctly comply with the rule. Respondent failed on his second attempt to correct his briefs deficiencies and the appeal was dismissed. He never informed the Plaintiffs about the first time his brief was rejected, and when pressed for explanations about the dismissal, he informed them that their case was dismissed, he assumed, “because it was not worth pursuing.”

Plaintiffs filed a complaint with the CDC, and after investigation the CDC filed an information against Respondent’s license. The CDC alleged violations of Rules 4-1.1 (competence), 4H.3 (diligence), 4-1.4 (communication), 4-1.5(c) (fees), and 4r-8.4(c) (misconduct involving dishonesty). Hearing was held before the DHP and the panel recommended that Respondent be disbarred. The CDC now seeks affirmation of the DHP’s recommendations. This Court has jurisdiction because it has the inherent authority to regulate the practice of law. 1

III.

The findings of fact, conclusions of law, and the recommendations from the DHP are advisory. 2 This Court reviews the evidence de novo, independently determining all issues pertaining to the credibility of witnesses and the weight of the evidence, and draws its own conclusions of law. 3 Professional misconduct must be proven by a preponderance of the evidence before discipline will be imposed. 4

Having reviewed the briefs, the transcripts from the DHP hearing and all supporting documentation, and having heard *359 oral argument, the Court finds by a preponderance of the evidence that Respondent committed professional misconduct. Respondent’s multiple positions on the events that transpired not only severely dimmish his credibility, but a close examination of the record reveals that he does not contest the factual events as presented and determined by the DHP. Instead, Respondent maintains that the rules of professional conduct would not have required him to perform at a higher standard. This Court disagrees.

Rule 4-1.1 requires competent representation evidenced by the legal knowledge, skill, thoroughness, and preparation reasonably necessary to complete the representation. Rule 4-1.3 states that a “lawyer shall act with reasonable diligence and promptness in representing a client.” Rule 4-1.4 requires a lawyer to keep a client reasonably informed about the status of a matter, to promptly comply with reasonable requests for information, and to explain matters to the extent necessary to allow the client to make informed decisions regarding the representation. Respondent breached these rules by (1) failing to keep the Plaintiffs informed of the progress of their case, (2) failing to adequately investigate Plaintiffs’ claim, (3) failing to diligently pursue Plaintiffs’ claim, (4) failing to respond to the summary judgment motion when required, and (5) failing to prepare an acceptable appellate brief, even after receiving an additional opportunity to correct the original briefs deficiencies. 5

Respondent’s consistent position that a response was not required when the defendants filed a motion for summary judgment is not only erroneous but is particularly egregious. Respondent’s assertion that the version of Rule 74.04 in effect at the time did not mandate a response in all situations is incorrect. The rale and case precedent have always been clear that if any allegations in the motion were not sufficiently refuted in a response, or if the response failed to refute those allegations in conformity with the rule, that said allegations would be deemed true. 6

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Cite This Page — Counsel Stack

Bluebook (online)
159 S.W.3d 355, 2005 Mo. LEXIS 58, 2005 WL 757906, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-crews-mo-2005.