Reynolds v. Schrock

142 P.3d 1062, 341 Or. 338, 2006 Ore. LEXIS 825
CourtOregon Supreme Court
DecidedSeptember 8, 2006
DocketCC C991357CV; CA A119200; SC S52503
StatusPublished
Cited by32 cases

This text of 142 P.3d 1062 (Reynolds v. Schrock) is published on Counsel Stack Legal Research, covering Oregon Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Reynolds v. Schrock, 142 P.3d 1062, 341 Or. 338, 2006 Ore. LEXIS 825 (Or. 2006).

Opinion

*340 BALMER, J.

This case requires us to determine whether a lawyer may be liable to a third party for aiding and abetting a client’s breach of fiduciary duty, and, if the lawyer may be so liable, what circumstances must exist to impose liability. Plaintiff 1 sued defendant for breach of fiduciary duty, and he also sued defendant’s lawyer for his role in that alleged breach. The trial court entered summary judgment in the lawyer’s favor, and the Court of Appeals reversed. Reynolds v. Schrock, 197 Or App 564, 107 P3d 52 (2005).

We allowed the lawyer’s petition for review and now reverse the decision of the Court of Appeals. We hold that a lawyer may not be held jointly liable with a client for the client’s breach of fiduciary duty unless the third party shows that the lawyer was acting outside the scope of the lawyer-client relationship. Because there is no evidence in the summary judgment record that the lawyer in this case was acting outside the scope of that relationship, the lawyer was entitled to judgment as a matter of law. We therefore reverse the decision of the Court of Appeals and affirm the trial court’s summary judgment in favor of the lawyer.

I. FACTS

We take the facts from the Court of Appeals opinion and the record. Because this case comes to us on summary judgment, we review the facts in the manner most favorable to plaintiff, the nonmoving party. ORCP 47 C. Plaintiff was a naturopathic physician, and defendant Donna Schrock was one of plaintiff’s patients. Plaintiff and Schrock bought two parcels of land together. In 1999, Schrock filed two separate actions against plaintiff. The first action concerned the jointly owned land, and the second alleged that, in the course of the doctor-patient relationship, plaintiff had engaged in improper sexual conduct with Schrock. The two actions were consolidated, and the parties later settled them in an agreement negotiated and drafted by their respective lawyers, *341 including Schrock’s lawyer, defendant Charles Markley. The settlement agreement provided, in part, that plaintiff would transfer his share of one of the two jointly owned properties (the “lodge property”) to Schrock and that Schrock and plaintiff together would sell the second property (the “timber property”) and transfer the proceeds to plaintiff. If the proceeds of the timber property sale were less than $500,000, then Schrock would pay plaintiff the difference and Schrock would grant plaintiff a security interest for that amount in the lodge property to secure the payment. If the proceeds of the timber property sale equaled or exceeded $500,000, then Schrock would owe plaintiff nothing and plaintiff would have no security interest in the lodge property.

After the parties signed the settlement agreement, plaintiff transferred his interest in the lodge property to Schrock. Markley then advised Schrock that, in his opinion, nothing in the settlement agreement expressly required her to retain the lodge property in anticipation of the possible creation of a security interest in plaintiffs favor. 2 Schrock, with Markley’s assistance and without plaintiffs knowledge, sold the lodge property to a third party before the parties sold the timber property. Markley asked the escrow officer handling the sale to keep the sale confidential. Markley also advised Schrock that she could revoke the consent that she had given earlier to plaintiffs plan to sell the jointly owned timber property. In Markley’s view, plaintiff had failed to provide Schrock with information about the value of the timber property prior to arranging to sell it, contrary to a requirement in the settlement agreement, and that breach freed Schrock from any obligation to consent to the sale of the timber property. Based on Markley’s advice, and with Markley’s assistance, Schrock revoked her consent to the sale of the timber property.

II. PROCEEDINGS BELOW

Plaintiff sued Schrock and Markley over their actions in connection with the implementation of the settlement agreement. As to Schrock, plaintiff alleged, among *342 other things, that the settlement agreement had created fiduciary duties between Schrock and plaintiff as joint ven-turers. Plaintiff asserted that Schrock, by selling the lodge property and revoking her consent to the sale of the timber property, had breached her fiduciary duty to plaintiff and the implied covenant of good faith and fair dealing that was part of the settlement agreement. 3 He further alleged that Schrock had converted his interest in the lodge property by selling that property and retaining the proceeds.

Plaintiffs complaint alleged that Markley was jointly liable with Schrock because he had aided and abetted Schrock’s torts by giving her “substantial assistance and encouragement” in the commission of the torts and acting “in concert with [her] pursuant to a common design * * He also alleged that Markley had interfered with the contract (the settlement agreement) between plaintiff and Schrock. Plaintiff and Schrock later settled, leaving Markley as the only remaining defendant.

Markley moved for summary judgment, and the trial court granted his motion, stating, in part:

“[T]he only evidence is that Mr. Markley advised his client of what she could do given the language of the agreements. * * * [T]here is no evidence that he was doing anything other than acting as Ms. Schrock’s lawyer. Mr. Markley had no duty to the plaintiff. * * * [His] duty runs only to his client.”

On appeal, plaintiff assigned error to the trial court’s judgment in Markley’s favor on the “joint-liability tort claims”— that is, the claims that Markley was jointly liable with Schrock for breach of fiduciary duty and conversion. 4 The Court of Appeals affirmed the trial court’s judgment in Markley’s favor on the conversion claim. Reynolds, 197 Or App at 578-79. The court, however, reversed the judgment on *343 the breach of fiduciary duty claim. The Court of Appeals held that this court’s precedents did not exempt a lawyer from liability for assisting in a client’s breach of fiduciary duty and that the Court of Appeals’ case law suggested that a lawyer for a fiduciary could be liable for knowingly aiding or assisting a fiduciary in a breach of duty. Id. at 573-74. As noted, Markley sought review, which we allowed. 5

III. ANALYSIS

The material historical facts in the summary judgment record are essentially undisputed, 6 and the parties focus their arguments on the applicable legal standard. The trial court’s determination that Markley was entitled to judgment as a matter of law is a legal question that we review for errors of law. Schaff v. Ray’s Land & Sea Food Co., Inc., 334 Or 94, 98-99, 45 P3d 938 (2002).

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Cite This Page — Counsel Stack

Bluebook (online)
142 P.3d 1062, 341 Or. 338, 2006 Ore. LEXIS 825, Counsel Stack Legal Research, https://law.counselstack.com/opinion/reynolds-v-schrock-or-2006.