Marshall v. Goodwine

332 S.W.3d 51, 2010 Ky. LEXIS 197, 2010 WL 3374404
CourtKentucky Supreme Court
DecidedAugust 26, 2010
Docket2009-SC-000495-MR
StatusPublished
Cited by2 cases

This text of 332 S.W.3d 51 (Marshall v. Goodwine) is published on Counsel Stack Legal Research, covering Kentucky Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Marshall v. Goodwine, 332 S.W.3d 51, 2010 Ky. LEXIS 197, 2010 WL 3374404 (Ky. 2010).

Opinion

Opinion of the Court by Justice

ABRAMSON.

E. David Marshall, Susan Hardy, and Clay Avenue, LLC appeal from a July 9, 2009 Opinion of the Court of Appeals denying their petition for a writ prohibiting *53 Fayette Circuit Judge Pamela Goodwine from conducting a contempt hearing. The circuit court has ordered the appellants to show cause why they should not be held in contempt for obstructing enforcement of the court’s 2005 judgment in favor of the real parties in interest, Dermot and Hilary Halpin. Appellants contend that the reversal on appeal of the 2005 judgment rendered the enforcement issues moot and so abrogated the circuit court’s authority to order proceedings meant to vindicate the nullified judgment. We agree and therefore reverse and remand to the Court of Appeals for issuance of a writ.

RELEVANT FACTS

In 2003 the Halpins brought suit against Susan Hardy’s husband, Bill Hardy, and others for alleged Consumer Protection Act violations in conjunction with the salé of a large-screen television. Following a jury trial in May 2005, the Halpins were awarded damages, fees, and expenses in excess of $140,000.00. The judgment was entered in July 2005 and became final and appealable in October of that year. In the meantime, the Hardys consulted an attorney, E. David Marshall, regarding whether Susan’s assets could be separated from Bill’s and shielded from the judgment. Marshall’s advice included the formation of, and transfer of assets to, Clay Avenue, LLC. Having learned of the transfer, in August 2005 the Halpins filed suit against the Hardys and Clay Avenue LLC alleging the fraudulent concealment of assets in derogation of their rights under the July 2005 judgment. Their complaint was eventually amended to add attorney Marshall as a defendant.

Bill Hardy appealed from the 2005 judgment, and then in May 2006 paid the Halpins $154,897.82 and filed a notice of satisfaction of judgment. A series of motions followed, none of which proved dis-positive, in which the parties debated the continuing viability of the Halpins’ 2005 complaint. In April 2007, the Court of Appeals reversed in its entirety the July 2005 judgment and remanded for a new trial. In September 2008, this Court denied discretionary review. Appellants thereupon moved for summary judgment on the ground that the nullification of the 2005 judgment rendered the 2005 enforcement complaint moot. The Halpins responded by moving to have Appellants held in contempt for resisting enforcement of the reversed judgment. By order entered January 20, 2009, the trial court denied Appellants’ motion for summary judgment and scheduled a hearing at which Appellants were to show cause why they should not be held in contempt. That order prompted the petition now before us for a writ prohibiting the show cause hearing. In denying the petition, the Court of Appeals held that because Appellants had not yet been found in contempt their petition was not ripe and also that the circuit court was acting within its jurisdiction by invoking its contempt power to enforce its 2005 judgment. We are convinced that the trial court is acting outside its authority, however, and that therefore the ripeness question is not reached.

ANALYSIS

As the parties and the Court of Appeals correctly note, writs of prohibition and mandamus are reserved for those rare instances when “(1) the lower court is proceeding or is about to proceed outside of its jurisdiction and there is no remedy through an application to an intermediate court; or (2) ... the lower court is acting or is about to act erroneously, although within its jurisdiction, and there exists no adequate remedy by appeal or otherwise and great injustice or irreparable injury will result if the petition is not granted.” *54 Hoskins v. Maricle, 150 S.W.3d 1, 10 (Ky.2004). We review the Court of Appeals’ writ decisions under an abuse of discretion standard, reversing only where the grant or denial of relief was erroneous as a matter of law, was not based on substantial evidence, or was otherwise clearly unreasonable. Grange Mutual Insurance Company v. Trade, 151 S.W.3d 803 (Ky.2004).

I. The Trial Court Is Without Authority To Vindicate A Reversed Judgment.

In ruling that Appellants’ petition did not satisfy the writ standard, the Court of Appeals relied on Newell Enterprises, Inc. v. Bowling, 158 S.W.3d 750 (Ky.2005), in which we denied a petition for a writ to prohibit a contempt hearing and noted that “Appellants have not been held in contempt. They petitioned the Court of Appeals before the circuit court held the scheduled contempt hearing.” 158 S.W.3d at 757. Apparently understanding this passage as foreclosing relief in all contempt cases until a finding of contempt has been made, the Court of Appeals rejected Appellants’ petition as premature. In Newell, however, the petitioner sought relief under the second prong of the writ standard, which requires a showing of irreparable injury were the writ denied. The quoted passage was part of our discussion of how that requirement could not be met until the petitioner had been found contemptuous. In the very next paragraph we observed that the petitioner might well have fared better under the first prong of the writ standard, the outside-of-its-jurisdiction prong, as the show-cause order at issue appeared to be outside the trial court’s “jurisdiction to render the particular judgment sought, or as is sometimes said, jurisdiction of the particular case.” Id. Because Appellants here are proceeding under the first prong of the writ standard, not the second, the Court of Appeals’ reliance on Newell was misplaced.

The Court of Appeals further held, however, that the petitioners had failed to demonstrate that the circuit court was proceeding outside its jurisdiction. Citing Shelby Petroleum Corp. v. Croucher, 814 S.W.2d 930 (Ky.App.1991), and Akers v. Stephenson, 469 S.W.2d 704 (Ky.1970), the Court of Appeals observed that a trial court enjoys wide discretion in the use of the contempt power “to enforce its own judgments and remove any obstructions to such enforcement.” Akers at 706. As does this case, Shelby Petroleum involved claims that a judgment creditor had incurred costs and damages attempting to enforce a judgment against a recalcitrant judgment debtor. On the basis of that similarity, the Court of Appeals concluded that the trial court had authority to invoke contempt proceedings whenever there were allegations that a party had attempted to obstruct enforcement of a judgment. Again, however, the Court of Appeals read the case law too broadly.

While we have no quarrel with the general proposition that trial courts enjoy broad contempt authority to vindicate their judgments, that authority does not exist if there is no judgment to vindicate. Akers and Shelby Petroleum

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Bluebook (online)
332 S.W.3d 51, 2010 Ky. LEXIS 197, 2010 WL 3374404, Counsel Stack Legal Research, https://law.counselstack.com/opinion/marshall-v-goodwine-ky-2010.