Meighan v. Shore

34 Cal. App. 4th 1025, 40 Cal. Rptr. 2d 744, 95 Cal. Daily Op. Serv. 3354, 95 Daily Journal DAR 5734, 1995 Cal. App. LEXIS 420
CourtCalifornia Court of Appeal
DecidedMay 4, 1995
DocketB073932
StatusPublished
Cited by31 cases

This text of 34 Cal. App. 4th 1025 (Meighan v. Shore) is published on Counsel Stack Legal Research, covering California Court of Appeal primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Meighan v. Shore, 34 Cal. App. 4th 1025, 40 Cal. Rptr. 2d 744, 95 Cal. Daily Op. Serv. 3354, 95 Daily Journal DAR 5734, 1995 Cal. App. LEXIS 420 (Cal. Ct. App. 1995).

Opinion

Opinion

EPSTEIN, Acting P. J.

In this case we hold that when a husband and wife consult an attorney about a personal injury action against a third party on account of personal injury to one of them, and the other spouse has a potential claim for loss of consortium of which the attorney is or ought to be aware, the attorney has a duty to inform that spouse of the consortium cause of action.

In this case, appellant and her husband thought that he had been the victim of medical malpractice. She sought out an attorney, and found respondent. He was a specialist in that field, and appellant arranged an appointment for herself and her husband to consult with him. They met in respondent’s law office, where the case was discussed. Respondent agreed to take the case. He told appellant that her husband, rather than she, was the client, and that only he was to sign the retainer agreement. Nothing was said during the interview about appellant’s right to pursue an action in her own right for loss of consortium, and neither appellant nor her husband had any idea that there was such a tort.

Respondent filed a suit for medical malpractice against a physician and a hospital. Appellant’s husband was the only named plaintiff. More than one *1030 year later, and after they had substituted in new counsel, appellant and her husband learned of appellant’s entitlement to pursue an action for loss of consortium. By that time, the right had become barred against the health care providers. The medical malpractice suit was eventually settled, and appellant brought this action for negligence against respondent attorney and his law firm (hereafter respondent).

Respondent moved for summary judgment. Given the proofs presented to the trial court, it must be assumed for purposes of the motion that appellant had a viable cause of action for loss of consortium, which was barred by the time she learned about it. The principal issue framed in respondent’s motion and the opposition was whether respondent owed a duty to inform appellant of her right to pursue a cause of action, or to alert her to the need to consult another attorney about it.

Given the particular circumstances of this case, and assuming that appellant’s evidence matches her proofs in opposition to the motion, we conclude that respondent had that duty. The trial court erred in ruling that he did not.

We emphasize the narrowness of our holding. It pertains to the peculiar tort of loss of consortium, where both spouses consult an attorney with respect to a personal injury suffered by one of them and the attorney knows or could readily ascertain that the other spouse has a potential claim for loss of consortium, and where that spouse is unaware of his or her rights.

Factual and Procedural Summary

The lawsuit was brought by Joan Meighan, wife of Dr. Clement Meighan, an anthropologist and member on the faculty of the University of California, Los Angeles. The respondent is Samuel Shore, an attorney. Since the case reaches us on summary judgment, we apply a strict construction of the evidence presented by respondent and a liberal reading of the proofs submitted by the appellant. (See Molko v. Holy Spirit Assn. (1988) 46 Cal.3d 1092, 1107 [252 Cal.Rptr. 122, 762 P.2d 46].)

The information available to respondent indicated that Dr. Meighan had experienced chest pains on October 8, 1988, and was taken to a hospital. He was in the emergency room for about an hour, then transferred to the coronary care unit under “coronary precaution” orders. His initial cardiogram was abnormal, but did not definitively show that a heart attack was in progress or that heart damage had occurred. In fact, he was suffering a heart attack. The first abnormal heart enzyme study was taken the next morning, about 4 a.m. The first cardiogram to show heart damage was taken about 7 *1031 a.m. that morning. Mrs. Meighan was with her husband for two to three hours in the coronary care unit, on the evening of October 8. She left for home about 10 p.m. after being told by the attending physician that Dr. Meighan was not having a heart attack. Respondent concluded that Dr. Meighan had a viable medical malpractice claim against the hospital and the attending physician for failing to administer medication that might have limited the extent of damage from the heart attack he suffered during the 12-hour period, 7 p.m. October 8 to 7 a.m. October 9.

Had respondent inquired, he would have ascertained the following about Mrs. Meighan’s knowledge and impressions. She “had been trained as a nurse.” He also would have ascertained she knew that heart attacks are caused by blood clots, that medication is available to dissolve clots, and that it is only effective during the early hours of a heart attack. Dr. Meighan had had two previous bypass procedures, and appellant was concerned about his care. She was particularly concerned because, she understood, the on-call cardiologist did not appear and initiate therapy for three and one-half hours after being called. She was hysterical and afraid, and demanded that the nurses get a cardiologist to examine her husband.

Respondent did not ask appellant or her husband whether either of them had any medical training, and he assumed they had none. Appellant had not come in as a referred client, and based on “the evolution of the facts in the case, at the conclusion of the meeting” respondent “ruled out the possibility “that she might have a viable right to proceed against the defendant for loss of consortium and emotional distress. Whether or not respondent formed that opinion (as we shall discuss, the trial court rejected his disclaimer), he never discussed the subject with appellant or her husband. Appellant declared that before meeting her present counsel (who was substituted in February 1991), she “had no idea that I might have any claim at all. I have never heard of a spouse of a negligently-injured person having any possibility of suing in her own right. Mr. Shore never mentioned as |>zc] such thing to me, or my husband, in my presence or to my knowledge, [f] If I had known of any such spousal rights, I would have joined my husband in the medical malpractice lawsuit.” Her husband’s testimony is to the same effect.

According to appellant’s declaration, after being released from the hospitalization and treatment that were the subject of the underlying lawsuit, Dr. Meighan suffered physically and she was required to take over many things that he used to do. He was unable to provide her with emotional and physical support that he previously had given. Their personal relationship was affected. Appellant declared that her husband, who had been very active despite two bypass operations, “has been unable to provide me with the same *1032 emotional support that I received before; his disability completely changed our lives. He was compelled to leave a job that he had had and had always loved for many, many years as a full Professor at UCLA due to his disability and his pervasive fear of another massive, and potentially fatal, heart attack.”

When Dr.

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Bluebook (online)
34 Cal. App. 4th 1025, 40 Cal. Rptr. 2d 744, 95 Cal. Daily Op. Serv. 3354, 95 Daily Journal DAR 5734, 1995 Cal. App. LEXIS 420, Counsel Stack Legal Research, https://law.counselstack.com/opinion/meighan-v-shore-calctapp-1995.