Shevlin v. Shafran, No. Cv99-033 71 89 S (Nov. 6, 2001)

2001 Conn. Super. Ct. 14961, 30 Conn. L. Rptr. 647
CourtConnecticut Superior Court
DecidedNovember 6, 2001
DocketNo. CV99-033 71 89 S
StatusUnpublished

This text of 2001 Conn. Super. Ct. 14961 (Shevlin v. Shafran, No. Cv99-033 71 89 S (Nov. 6, 2001)) is published on Counsel Stack Legal Research, covering Connecticut Superior Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Shevlin v. Shafran, No. Cv99-033 71 89 S (Nov. 6, 2001), 2001 Conn. Super. Ct. 14961, 30 Conn. L. Rptr. 647 (Colo. Ct. App. 2001).

Opinion

[EDITOR'S NOTE: This case is unpublished as indicated by the issuing court.]

MEMORANDUM OF DECISION
The plaintiff instituted a legal malpractice action against the defendant, Attorney Peter W. Shafran, in a six count complaint alleging breach of fiduciary duty, breach of contract, violation of the Connecticut Unfair Trade Practices Act (CUTPA), emotional distress, violation of 42 U.S.C. § 1983 and legal negligence/malpractice.1 Specifically, Sheylin alleges that Shafran was negligent in performing his duties and failing to conduct discovery while representing Shevlin in medical malpractice claim.2 The relationship between Shevlin and Shafran lasted until June 10, 1999, when Shevlin discharged Shafran as his attorney. Subsequently, Shevlin retained Attorney Eddi Z. Zyko to represent him with respect to the same medical malpractice action. Shevlin alleges that as a result of Attorney Shafran's actions, the court denied Shevlin's motion for a continuance of trial after retaining his new counsel, Zyko, necessitating him to withdraw his complaint.

On January 24, 2000, Shafran filed an apportionment complaint pursuant to § 52-572h of the General Statutes against the successor attorney, Zyko, seeking a proportionate share of damages, should he recover damages. Zyko now moves to strike the apportionment complaint on five separate grounds, namely: (1) that monetary damage or economic loss do not fall within the purview of the phrase "damage to property," as that phrase is used in § 52-572h; (2) that an apportionment complaint cannot be brought in an action based on fiduciary obligations; (3) that the apportionment complaint violates public policy in Connecticut; (4) that there is no appropriate cause for the complaint against Zyko, since CT Page 14962 Shafran denies that Shevlin was injured; and (5) that the apportionment complaint is moot.

"The purpose of a motion to strike is to contest . . . the legal sufficiency of the allegations of any [complaint] . . . to state a claim upon which relief can be granted." (Internal quotation marks omitted.)Peter-Michael, Inc. v. Sea Shell Associates, 244 Conn. 269, 270 (1998). "In ruling on a motion to strike, the court is limited to the facts alleged in the complaint." (Internal quotation marks omitted.) Waters v.Autuori, 236 Conn. 820, 825 (1996). "If facts provable under the allegations would support a defense or a cause of action, the motion to strike must be denied." RK Constructors, Inc. v. Fusco Corp.,231 Conn. 381, 384 (1994). "The court must construe the facts in the complaint most favorably to the plaintiff" (Internal quotation marks omitted.) Waters v. Autuori, supra.

Zyko argues primarily that public policy in Connecticut prevents an attorney from seeking apportionment from a successor attorney in a legal malpractice action. Shafran argues that § 52-572h3 of the General Statutes clearly applies to legal malpractice actions and, further, relies on case law from other jurisdictions that allow a defendant in a legal malpractice action to make a successor attorney a third-party defendant.

The Supreme and Appellate Courts have not ruled on the issue of whether public policy prohibits a former attorney from maintaining an apportionment claim against a successor attorney in a legal malpractice action. Whitaker v. Erdos Maddox, Superior Court, judicial district of Fairfield at Bridgeport, Docket No. 371896 (November 14, 2000, Skolnick,J.). The Appellate Court has only decided the issue of whether a former attorney can seek the defense of comparative negligence in a legal malpractice action. In Somma v. Gracey, 15 Conn. App. 371 (1988), the court held that "[i]n situations where the claim of malpractice sounds in negligence . . . the defense of comparative negligence should be made available." (Citation omitted.) Id., 378. Somma, however, is distinguishable because, in that case, the former attorney was seeking the defense of comparative negligence against a former client and not a successor attorney.

Notably, as both parties argue, there is a split among other jurisdictions with respect to this issue. Some hold that public policy prohibits a former attorney from filing a third party claim for indemnity or contribution against a successor attorney. See Melrose floor Co.,Inc. v. Lechner, 435 N.W.2d 90 (Minn.App. 1989); Holland v. Thacher,199 Cal.App.3d 924, 245 Cal.Rptr. 247 (1988); Waldman v. Levine,544 A.2d 683 (D.C.App. 1988); Hughes v. Housley, 599 P.2d 1250 (Utah CT Page 14963 1979); see also Olds v. Donnelly, 150 N.J. 424, 696 A.2d 633 (1997) (holding that the trial court properly dismissed the third party complaint because the successor attorney did not owe the predecessor attorney a duty of care). "Underlying the various formulations of the policy rationale is the concern that a cross-complaint for indemnity might adversely affect the relationship between the client and the successor attorney." Holland v. Thacher, supra, 199 Cal.App.3d 930.

However, there are jurisdictions that hold that a former attorney may assert a claim against a successor attorney for contribution or indemnification. See Parler Wobber v. Miles Stockbridge, P.C.,359 Md. 671, 756 A.2d 526 (2000) (unwilling to exempt a potential joint tortfeasor from accepting the blame for its negligent actions); Goran v.Glieberman, 276 Ill. App.3d 590, 659 N.E.2d 56 (1995) (holding that an attorney may seek contribution for a legal malpractice claim); Brown v.LaChance, 165 Wis.2d 52, 477 N.W.2d 296 (1991) (holding that the absence of privity between the attorneys did not defeat an action for contribution and indemnity); Maddocks v. Ricker, 403 Mass. 592,531 N.E.2d 583 (1988) (holding that the successor attorney is not immunized from liability to the former attorney for contribution if the negligence of each caused the same injury to the client); Schauer v.Joyce, 54 N.Y.2d 1, 429 N.E.2d 83

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Related

Hughes v. Housley
599 P.2d 1250 (Utah Supreme Court, 1979)
Olds v. Donnelly
696 A.2d 633 (Supreme Court of New Jersey, 1997)
Brown v. LaChance
477 N.W.2d 296 (Court of Appeals of Wisconsin, 1991)
Melrose Floor Co., Inc. v. Lechner
435 N.W.2d 90 (Court of Appeals of Minnesota, 1989)
Parler & Wobber v. Miles & Stockbridge, P.C.
756 A.2d 526 (Court of Appeals of Maryland, 2000)
Goran v. Glieberman
659 N.E.2d 56 (Appellate Court of Illinois, 1995)
Commonwealth v. Davis
531 N.E.2d 577 (Massachusetts Supreme Judicial Court, 1988)
Holland v. Thacher
199 Cal. App. 3d 924 (California Court of Appeal, 1988)
Waldman v. Levine
544 A.2d 683 (District of Columbia Court of Appeals, 1988)
Gauthier v. Kearns
47 Conn. Super. Ct. 166 (Connecticut Superior Court, 2000)
Schauer v. Joyce
429 N.E.2d 83 (New York Court of Appeals, 1981)
Maddocks v. Ricker
403 Mass. 592 (Massachusetts Supreme Judicial Court, 1988)
RK Constructors, Inc. v. Fusco Corp.
650 A.2d 153 (Supreme Court of Connecticut, 1994)
Waters v. Autuori
676 A.2d 357 (Supreme Court of Connecticut, 1996)
Peter-Michael, Inc. v. Sea Shell Associates
709 A.2d 558 (Supreme Court of Connecticut, 1998)
Somma v. Gracey
544 A.2d 668 (Connecticut Appellate Court, 1988)

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Bluebook (online)
2001 Conn. Super. Ct. 14961, 30 Conn. L. Rptr. 647, Counsel Stack Legal Research, https://law.counselstack.com/opinion/shevlin-v-shafran-no-cv99-033-71-89-s-nov-6-2001-connsuperct-2001.