Moss v. Stockdale, Peckham & Werner

47 Cal. App. 4th 494, 54 Cal. Rptr. 2d 805, 96 Daily Journal DAR 8603, 96 Cal. Daily Op. Serv. 5316, 1996 Cal. App. LEXIS 683
CourtCalifornia Court of Appeal
DecidedJuly 16, 1996
DocketB063743
StatusPublished
Cited by11 cases

This text of 47 Cal. App. 4th 494 (Moss v. Stockdale, Peckham & Werner) 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
Moss v. Stockdale, Peckham & Werner, 47 Cal. App. 4th 494, 54 Cal. Rptr. 2d 805, 96 Daily Journal DAR 8603, 96 Cal. Daily Op. Serv. 5316, 1996 Cal. App. LEXIS 683 (Cal. Ct. App. 1996).

Opinion

Opinion

VOGEL (C. S.), P. J.

Introduction

In this action by plaintiff and appellant Colleen Janelle Moss for legal malpractice, the trial court granted summary judgment in favor of defendant and respondent Stockdale, Peckham & Werner, on the ground the action is barred by the statute of limitations, Code of Civil Procedure section 340.6. 1 The matter has been retransferred to us by the California Supreme Court for reconsideration in light of Adams v. Paul (1995) 11 Cal.4th 583 [46 Cal.Rptr.2d 594, 904 P.2d 1205] (hereafter Adams). We reverse the summary judgment, because under Adams there are triable issues of fact as to when plaintiff suffered actual injury.

*497 Factual and Procedural Background

Attorney Michael Wayland represented plaintiff in an insurance bad faith action styled Moss v. Interinsurance Exchange, filed in Los Angeles Superior Court on December 29, 1983. 2 Wayland failed to prosecute the case, and in early 1989 it was dismissed for failure to bring it to trial within five years as required by section 583.310. The record shows the following activity prior to the dismissal.

In the fall of 1987, Wayland became associated with the firm of defendant Stockdale, Peckham & Werner and brought plaintiff’s case with him. Sometime in the latter half of 1988, Wayland left the Stockdale firm. At all times Wayland alone remained plaintiff’s counsel of record and he was so indicated on the register of actions in the underlying case. However, on December 21, 1987, Wayland wrote a letter on Stockdale letterhead stationary to counsel for Interinsurance Exchange stating that he had become associated with the Stockdale firm, and Wayland sent a copy of this letter to plaintiff.

In January 1988, plaintiff met with Wayland in the Stockdale offices; she was there again in May 1988, but on arrival was informed in the reception area by Wayland’s secretary that he was unavailable. While Wayland was at the Stockdale firm, he undertook to represent plaintiff in another matter concerning a deferment of her student loan. On June 30, 1988, plaintiff sent Wayland a mailgram, at the Stockdale office, complaining about lack of communication and his failure to send her a status report as promised. In the mailgram she reminded Wayland “. . . that near 5 months remains; as attorney of record our contracts through 1988 must not have a loss of claims.” Apparently plaintiff’s communications with Wayland did not improve; on December 14, 1988, she sent a letter by certified mail to the Stockdale firm advising that she was unable to contact Wayland and expressing her concern and requesting an urgent response. The letter carries the reference notation: “REF: Statute Running.” Later, on December 20, 1988, plaintiff sent a mailgram addressed to the Stockdale firm in which she refers to the two occasions she was in the firm’s office to meet with Wayland, and to a January 13, 1988, motion filed by Interinsurance Exchange in the underlying action and served by mail at the firm’s office. She also requested the Stockdale firm’s “continued involvement; as the complaint was filed on 12/29/83.” On December 21, 1988, a Stockdale partner responded to plaintiff’s certified letter, informing her that messages had been left for Wayland *498 asking him to contact her and that the firm did not have the file and had no information about her cases; the Stockdale letter declined to offer plaintiff any assistance, but advised that she take immediate action. 3

The five-year deadline passed on December 29, 1988. In January and February 1989, Interinsurance Exchange filed motions to dismiss based on the five-year statute. Both motions were served by mail on the firm at its office address and on Wayland at addresses in Northridge and La CanadaFlintridge, California. The motion went unopposed, and on February 27, 1989, the underlying bad faith action was dismissed. Neither the Stockdale firm nor Wayland informed plaintiff that the motions had been filed or that her case had been dismissed. In December 1989, plaintiff contacted a lawyer who had the court file checked and determined the case had been dismissed in February of that year.

Plaintiff filed the instant legal malpractice action on February 16, 1990. Thus, plaintiff’s legal malpractice complaint was filed less than one year after the underlying action was dismissed, but more than one year after the five-year deadline imposed by section 583.310 passed.

*499 Discussion

The Statute of Limitations Requires Both Knowledge and Actual Injury

Section 340.6, subdivision (a) requires that a legal malpractice action be filed within one year after the plaintiff discovers, or through the exercise of reasonable diligence should have discovered, the facts constituting the wrongful act or omission, “except that the period shall be tolled during the time that any of the following exist: (1) The plaintiff has not sustained actual injury . . . .”

In their summary judgment papers below the parties focused almost exclusively on the question of when plaintiff discovered or should have discovered the negligence. Defendant argued plaintiff knew in December 1988 that the five-year deadline was about to expire and that her case might be dismissed. Plaintiff was aware of the requirement that cases be brought to trial within five years and she made that point in her communications to Wayland and the Stockdale firm. However, in opposition to summary judgment plaintiff declared, without any elaboration, that even though she was aware of the five-year requirement it was her understanding that some cases go forward even after expiration of the five-year period, especially in Los Angeles.

In any event, plaintiff’s knowledge is not determinative if the statute of limitations was tolled until she sustained “actual injury” and the action was filed within a year thereof. (Adams, supra, 11 Cal.4th at p. 589, fn. 2.) Even if we were to assume that plaintiff knew or should have known that the five-year period had expired and that her case was subject to dismissal, that does not end the inquiry. Defendant’s summary judgment motion simply did not address when plaintiff suffered “actual” injury; it at most claimed plaintiff “believed” she suffered injury when the five-year deadline passed.

Although the parties’ moving papers failed to address actual injury, the trial court’s order granting the motion for summary judgment did. The trial court opined, “plaintiff sustained actual injury at the time the [five-year] statute ran, December 1988, not when the case was dismissed. The damage became irremediable whe[n] the [five-year] statute ran. The fact that it took two months for the case to be dismissed is irrelevant since the case could not be brought to trial later than December 27 [sic], 1988.”

In supplemental briefs following retransfer for reconsideration in light of Adams,

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47 Cal. App. 4th 494, 54 Cal. Rptr. 2d 805, 96 Daily Journal DAR 8603, 96 Cal. Daily Op. Serv. 5316, 1996 Cal. App. LEXIS 683, Counsel Stack Legal Research, https://law.counselstack.com/opinion/moss-v-stockdale-peckham-werner-calctapp-1996.