Rhode Island Bar Ass'n v. Lesser

26 A.2d 6, 68 R.I. 14, 1942 R.I. LEXIS 26
CourtSupreme Court of Rhode Island
DecidedApril 30, 1942
StatusPublished
Cited by9 cases

This text of 26 A.2d 6 (Rhode Island Bar Ass'n v. Lesser) is published on Counsel Stack Legal Research, covering Supreme Court of Rhode Island primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Rhode Island Bar Ass'n v. Lesser, 26 A.2d 6, 68 R.I. 14, 1942 R.I. LEXIS 26 (R.I. 1942).

Opinion

*15 Flynn, C. J.

This is a bill in equity to enjoin the respondent from engaging in certain activities in Rhode Island which are alleged to amount to the practice of law and to be in violation of general laws 1938, chapter 612, § 43. The complainants' are five members of the bar, who are authorized to practice law in this state and who have brought this bill, as individuals and on behalf of the Rhode Island Bar Association, by virtue of § 45 of said chapter. The respondent is not authorized to practice law but is an individual doing business under the trade name' of Rhode Island Fire Loss Appraisal Bureau.

After a hearing in the superior court on bill, answer, replication and proof, a decree was entered granting an injunction as to certain of the respondent’s activities which were found to amount to a violation of § 43 of said chapter, and denying relief as to. other alleged activities that were not proved or that were found not to come exclusively within the practice of law. The cause is before us on the respondent’s appeal from that decree.

The bill alleged, in substance, that the respondent is not authorized to practice law in this state; that he openly held himself out and represented to the public generally that he was qualified to make appraisals and adjustments of claims for losses under fire insurance policies and to obtain a better adjustment of these losses than the insured could otherwise obtain; that he solicited from the public *16 the adjustment of fire losses and actually represented them in negotiating and making settlements or adjustments thereof, giving incidental advice and handling substantially all of the matters necessary to promote such adjustments; and that his contracts for compensation for such services were based upon a percentage of the amount ultimately paid by the insurer to adjust these claims.

The answer of the respondent admitted that he was not authorized to practice law in this state; denied all the material allegations of the bill, in so far as they related to the soliciting, negotiating or obtaining for others an adjustment of their fire losses under policies of insurance; and specifically asserted, as a complete defense to the bill, that he was engaged solely in soliciting and making “appraisals” and “that as to adjusting losses caused by fire, this respondent does not participate therein, or initiate, undertake or handle the same in any way.”

The trial justice found on the evidence that complainants had not proved that respondent had violated certain specific provisions of paragraph (3) of clause B, § 43 of chap. 612; and that they had proved certain other activities and conduct on his part that amounted to practice of law as contemplated in § 43, clauses A and B, of that chapter.

The substantial questions underlying the respondent’s appeal are: (1) Whether the activities of respondent that are enjoined by the decree come within the purview of the practice of the law-as contemplated in chap. 612, § 43; (2) in the event such activities come within such statute, whether there was evidence to support the trial justice’s findings that respondent had in fact engaged in those activities in any respect; and (3) whether certain provisions of the decree are inconsistent with the other paragraphs which enjoin certain activities appearing in the evidence.

We have held that certain pertinent statutory provisions, now appearing in G. L. 1938, chap. 612, were constitutional and were enacted in aid of this court’s jurisdiction to regulate and supervise the practice of law by way of protecting *17 the public against such practice by unauthorized persons, so far as therein set forth. Rhode Island Bar Ass’n. v. Automobile Service Ass’n., 55 R. I. 122; Creditors’ Service Corp. v. Cummings, 57 R. I. 291. We also have stated that the practice of law, though difficult to define precisely, was understood to embrace in general all advice to clients and all action taken for them in matters connected with the law; and further, as stated by the United States supreme court, that: “Persons acting professionally in legal formalities, negotiations or proceedings by the warrant or authority of their clients may be regarded as attorneys at law within the meaning of that designation as employed in this country.” Rhode Island Bar Ass’n. v. Automobile Service Ass’n., supra. In that case we cited with approval the scope of the language used to describe the practice of law as it appears in the Opinion of the Justices to the Senate, 289 Mass. 607, at page 613; and the further treatment of that subject in Fitchette v. Taylor, 191 Minn. 582. For general treatment of what constitutes the practice of law, see also cases in 111 A. L. R. 19-51 and 125 A. L. R. 1173-1185.

If the respondent here openly and continuously held himself out to the public as being qualified professionally and otherwise to represent them in negotiating and obtaining settlements or adjustments of claims for losses under policies of fire insurance; and if he in fact solicited such claims and generally acted for other persons in negotiating and obtaining adjustments thereof, involving, directly or indirectly, advice or counsel with reference to their claims and rights under the policies; and if he contracted with them for compensation for such services in an amount based upon a percentage of the payment that he thus obtained from the insurer for the insured, such a continued course of conduct and activities, in our opinion, would come within the practice of the law as understood generally in this country and as contemplated in chap. 612, § 43. Since respondent here was enjoined only from such activities, as are above indicated and as were found to exceed mere “appraisal ser *18 vice”, the first question presented by the appeal is answered in the affirmative.

The second question really boils down to whether, upon the evidence, the respondent in fact restricted his activities to the performing of a mere “appraisal service”, as he insists, or whether he persistently engaged in a course of conduct that included solicitations for adjustment of claims for fire losses under policies of insurance, and the representation of and acting generally for others in negotiating and-obtaining for them adjustments of such claims and losses.

The complainants introduced evidence from many witnesses who held policies of fire insurance and who had sustained damage to their real or personal property by reason of fire. The details of their testimony differed somewhat but the general substance was the same, as follows: The respondent, personally or through his solicitor, would seek out the insured very shortly after the occurrence of a fire and sell him the idea that respondent was so professionally qualified or otherwise situated as to be able to obtain a better adjustment of his claim under the insurance policy than could be otherwise obtained. He would induce the insured to sign a printed “appraisal service contract”. This called for the respondent to make an appraisal and an itemized schedule of valuation of the damaged property, as it was before and after the fire, and to turn over the completed schedule of appraisal to the insured.

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Bluebook (online)
26 A.2d 6, 68 R.I. 14, 1942 R.I. LEXIS 26, Counsel Stack Legal Research, https://law.counselstack.com/opinion/rhode-island-bar-assn-v-lesser-ri-1942.