Michels v. Sklavos

869 S.W.2d 728, 1994 Ky. LEXIS 8, 1994 WL 23623
CourtKentucky Supreme Court
DecidedJanuary 31, 1994
Docket93-SC-126-DG
StatusPublished
Cited by48 cases

This text of 869 S.W.2d 728 (Michels v. Sklavos) 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
Michels v. Sklavos, 869 S.W.2d 728, 1994 Ky. LEXIS 8, 1994 WL 23623 (Ky. 1994).

Opinion

LEIBSON, Justice.

John P. Sklavos was discharged from his employment as a maintenance manager for the Pennwalt Corporation on September 24, 1987. Attorneys Frederic E. Michels and Nicholas W. Carlin filed a wrongful discharge suit on his behalf against Pennwalt in McCracken Circuit Court, which was later transferred on Pennwalt’s motion to the United States District Court for the Western District of Kentucky. While the suit was *729 pending in Federal Court, on September 27, 1988, Sklavos discharged Michels and Carlin as his counsel, and employed Benjamin J. Lookofsky, his present attorney, to represent his interests and pursue the action.

After Lookofsky was employed, Pennwalt filed a motion for summary judgment which was sustained on September 14, 1989. The order was accompanied by a Memorandum Opinion stating the reason for dismissing the case against Pennwalt was because Sklavos had failed to “first pursue” administrative remedies available to him with the Kentucky Human Rights Commission (KHRC), or with the Secretary of Labor under the Occupational Safety and Health Act (OSHA). The final order entered in Federal Court stated the summary judgment was granted “without prejudice as to [Sklavos’] administrative claims.”

Sklavos, represented by Lookofsky, then filed the present action on March 23, 1990 in Jefferson Circuit Court, against attorneys Michels and Carlin, alleging it was their negligence “in failing to institute actions before the proper regulatory agencies” which caused his otherwise valid claim for wrongful discharge to be dismissed in Federal Court. Whether the claim is in fact otherwise valid has yet to be determined. It is the so-called “case within the case” in the present malpractice action.

Attorneys Michels and Carlin responded to the malpractice claim made against them with a statute of limitations defense, asserting the claim against them was barred by KRS 413.245, which provides in pertinent part:

“... a civil action, whether brought in tort or contract, arising out of any act or omission in rendering, or failing to render, professional services for others shall be brought within one (1) year from the date of the occurrence or from the date when the cause of action was, or reasonably should have been, discovered by the party injured.”

The trial court sustained their motion for summary judgment stating the following reasons:

“The Plaintiff in the case at the bar knew or should have known of any alleged wrong at the time he retained new counsel [Lookofsky], approximately one and one-half years before the filing of this suit. Plaintiffs new counsel knew or should have known of any alleged negligence immediately upon taking over the case and should have filed his malpractice action at that time. The Plaintiff... is time barred by the applicable one year statute of limitations.”

Upon appeal, the Court of Appeals reversed and remanded, stating grounds which appear, at least superficially, somewhat conflicting. First the Opinion states:

“The first point at which he [Sklavos] can be held to have actual or constructive knowledge of the alleged mishandling of his claim is when the action was dismissed. Because a legal malpractice action cannot be based on damages which are merely speculative, Northwestern National Ins. Co. v. Osborne, 573 F.Supp. 1045 (E.D.Ky.1983), aff'd, 787 F.2d 592 (6th Cir.1986), Sklavos could not have prevailed against Carlin and Michels prior to the dismissal of his action against Penwalt (sic.).”
“[W]e now hold that where applicable, the statute of limitations in a legal malpractice action shall commence upon the termination of the proceeding on which the malpractice action is based.”
The Opinion then shifts gears, stating: “The limitations period shall commence prior to this time only where there is clear evidence that the plaintiff knew or should have known of the alleged wrong. For example, had Lookofsky advised Sklavos of the alleged malpractice prior to the termination of the action in Federal Court, the statute of limitations would have begun to run at that time. This rule in no way alters KRS 413.245, but rather establishes a rebuttable presumption that a plaintiff is not aware of possible legal malpractice until the termination of the action.”

Thus the Court of Appeals has stated at one place that the cause of action for legal malpractice cannot begin to run until “the termination of the proceeding upon which the malpractice action is based,” because until *730 then “damages ... are merely speculative.” But the Court of Appeals has also said, notwithstanding, if the proof shows that “Loo-kofsky advised Sklavos of the alleged malpractice prior to the termination of the action in Federal Court, the statute of limitations would have begun to run at that time.”

In this somewhat confused state of affairs, we have granted discretionary review. We affirm the results, reversing the summary judgment and remanding the case for further proceedings. But for reasons to be stated, we conclude that when Sklavos “knew or should have known of the alleged wrong” is irrelevant to the statute of limitations issue. The statute of limitations does not apply as a matter of law in present circumstances.

The statute of limitations in KRS 413.245 is actually two separate statutes of limitations: one, a statute limiting to “one year from the date of occurrence,” and then a second statute providing a limit of “one year ... from the date when the cause of action was, or reasonably should have been, discovered by the party injured,” if that date is later in time. The threshold question is what does the statute mean in part one by “the date of the occurrence”? If the suit was filed within one year of the “date of occurrence,” we need not concern ourselves with the meaning and application of the discovery rule. The statute itself provides some insight because in it the term “cause of action” is used synonymously with “occurrence” when describing the discovery rule in the alternative phrase. As properly explained by Judge Bertelsman in Northwestern Nat. Ins. Co. v. Osborne, 610 F.Supp. 126, 128 (D.C.Ky.1985):

“[A] cause of action is deemed to accrue in Kentucky where negligence and damages have both occurred, subject in certain kinds of actions to the additional requirement of discovery of the claim by the plaintiff_ [T]he use of the word ‘occurrence’ in KRS 413.245 indicates a legislative policy that there should be some definable, readily ascertainable event which triggers the statute.”

As Judge Bertelsman explains, this is the date of “irrevocable non-speculative injury.” Id.

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Cite This Page — Counsel Stack

Bluebook (online)
869 S.W.2d 728, 1994 Ky. LEXIS 8, 1994 WL 23623, Counsel Stack Legal Research, https://law.counselstack.com/opinion/michels-v-sklavos-ky-1994.