Love v. Tyson

460 S.E.2d 204, 119 N.C. App. 739, 1995 N.C. App. LEXIS 677
CourtCourt of Appeals of North Carolina
DecidedAugust 15, 1995
Docket9420SC527
StatusPublished
Cited by3 cases

This text of 460 S.E.2d 204 (Love v. Tyson) is published on Counsel Stack Legal Research, covering Court of Appeals of North Carolina primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Love v. Tyson, 460 S.E.2d 204, 119 N.C. App. 739, 1995 N.C. App. LEXIS 677 (N.C. Ct. App. 1995).

Opinion

McGEE, Judge.

In 1984 plaintiff James F. Love, III and defendant Okey M. Landers, Jr., became general partners in L&L Partnership, a business organized to acquire, develop and sell real property and other assets. Landers managed partnership assets in North and South Carolina and Love oversaw the assets in West Virginia.

Affidavits filed by the parties show at least ten transactions were completed under this partnership arrangement, many involving new automobile dealerships. Depending upon thé requirements of the par *741 ticular automobile manufacturer, the ownership in the various car dealerships was often held separately by Landers or Love with an oral agreement between the two partners that each held that particular interest equally for the benefit of the other unnamed partner. L&L Partnership employed attorney Frank L. Bryant to handle several of these real property transactions.

Problems developed in the partnership and in December, 1990 Bryant filed an action in Mecklenburg County Superior Court on behalf of Love against Landers, L&L Partnership and Landers Oldsmobile-Cadillac, Inc. Among other things, Love alleged Landers mishandled partnership assets and conducted unauthorized land transactions, some of which involved defendants Carlton Tyson and Tyson Realty, Inc.

In March 1992, Landers filed a motion in the Mecklenburg County action requesting Bryant be removed as counsel for plaintiff under Rule 5.2(C) of the Rules of Professional Conduct. Landers claimed that in the past, Bryant had been involved with L&L Partnership in various property transactions and that Bryant would be a necessary witness in the lawsuit. Judge Claude Sitton denied the motion saying “it appears to the Court that, at this time, it is not apparent that counsel for the Plaintiff should withdraw under the provisions of Rule 5.2(c) of the North Carolina Code of Professional Conduct.”

Love filed a second lawsuit against Landers in June 1993 in Union County Superior Court and Love was joined as a plaintiff by L&L Partnership. Among others, they named Carlton Tyson and Tyson Realty, as well as Okey Landers and his wife, Carol, as defendants in the action. This complaint was an action to quiet title to 68.643 acres of land located in Union County, the bulk of which plaintiffs alleged Landers fraudulently conveyed to one of Landers’ corporations, Myrtle Beach Chrysler Plymouth, Inc., with a smaller acreage conveyed to Carlton Tyson and Ty-Par Realty, Inc.

In February 1994, defendants Carlton Tyson and Tyson Realty, Inc. filed a motion to disqualify Bryant and his law firm from further representing plaintiffs in this Union County action. Defendants argued Bryant and his firm previously represented co-defendant Landers in transactions similar to the one now in dispute and that Landers had not consented to such representation. Judge Preston Cornelius heard the motion on 21 February 1994. In an order filed 3 March 1994, the trial court granted the motion to disqualify Bryant saying:

*742 It appears to the court that Frank L. Bryant and the law firm of Morton, Bryant, McPhail & Hodges have previously represented Plaintiff L & L Partnership, a general partnership comprising of Love and Landers, and Defendant Landers, in similar transactions to the one-in-disputo in this case [handwritten initials: PC] and defendant Landers has not consented to such representation.

Plaintiffs objected to the trial court’s order disqualifying Bryant from further representing plaintiffs in this matter and they have brought forward three arguments: (1) defendants Carlton Tyson and Tyson Realty, Inc. did not have standing to raise the issue of attorney disqualification; (2) there were insufficient facts to support the court’s order; and (3) there was insufficient evidence to sustain the court’s ruling. We disagree with plaintiffs’ contentions and we affirm the decision of the trial court.

I. Standing

Tyson’s disqualification motion states that Bryant “[has] previously represented co-defendants in similar transactions to the one in dispute with the Plaintiff and the record does not disclose a consent to such representation by the co-defendant. . . .” (emphasis added). Plaintiffs argue Tyson does not have standing to raise the issue of attorney disqualification because Tyson has not alleged Bryant represented Tyson in the past, only that Bryant represented “co-defendants.” Plaintiffs cite two cases in support of their contention that Tyson does not have standing. We find both cases distinguishable.

In Saintsing v. Taylor, 57 N.C. App. 467, 291 S.E.2d 880, disc. review denied, 306 N.C. 558, 294 S.E.2d 224 (1982), plaintiffs sued their foster child, Evelyn Taylor, and her former husband, Norman Taylor, regarding a real estate matter. Plaintiffs hired as their attorney in the case the attorney who had previously represented co-defendant Evelyn Taylor in her divorce proceeding against Norman Taylor. Co-defendant Norman Taylor objected to this representation on the grounds that it was a conflict of interest and he would suffer prejudice by his former wife’s attorney now representing plaintiffs in this matter. This Court stated:

We agree with the trial judge that defendant has no standing to complain of a conflict. The plaintiffs in this case knew of Attorney Haworth’s previous representation of Evelyn Taylor and both Evelyn Taylor and the plaintiffs agreed to Haworth’s representation of plaintiffs in this action.

*743 Saintsing, 57 N.C. App. at 471, 291 S.E.2d at 883. Saintsing is distinguishable from this case because the co-defendant consented to her attorney’s representation of the plaintiffs in the real estate matter. Because of the previous client’s consent, the Rules of Professional Conduct were not breached and, therefore, co-defendant Norman Taylor lacked standing to pursue the issue since there was no justi-ciable controversy.

The other case which plaintiff cites is Swenson v. Thibaut, 39 N.C. App. 77, 250 S.E.2d 279 (1978), disc. review denied, appeal dismissed, 296 N.C. 740, 254 S.E.2d 181-83 (1979). Swenson is a derivative shareholder lawsuit in which thirty-three minority shareholders of All American Assurance Company brought suit in the name of All American against the named defendants, who were officers and directors of All American, alleging “self-dealing and negligent acquiescence ... amounting to ‘looting’ of [All American’s] assets.” Swenson, 39 N.C. App. at 84, 250 S.E.2d at 285. The defendants filed a motion to disqualify plaintiffs’ attorney based, among other things, on a conflict of interest in that plaintiffs’ attorney was using confidences gained by having previously represented All American. The Swenson Court first discussed the unique nature of a derivative shareholder lawsuit and whether a corporation can defend itself against a derivative action when it is a named party defendant.

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Cite This Page — Counsel Stack

Bluebook (online)
460 S.E.2d 204, 119 N.C. App. 739, 1995 N.C. App. LEXIS 677, Counsel Stack Legal Research, https://law.counselstack.com/opinion/love-v-tyson-ncctapp-1995.