Stephens v. General Motors Corp.

1995 OK 114, 905 P.2d 797, 66 O.B.A.J. 3485, 1995 Okla. LEXIS 133, 1995 WL 620194
CourtSupreme Court of Oklahoma
DecidedOctober 24, 1995
Docket83609
StatusPublished
Cited by31 cases

This text of 1995 OK 114 (Stephens v. General Motors Corp.) is published on Counsel Stack Legal Research, covering Supreme Court of Oklahoma primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Stephens v. General Motors Corp., 1995 OK 114, 905 P.2d 797, 66 O.B.A.J. 3485, 1995 Okla. LEXIS 133, 1995 WL 620194 (Okla. 1995).

Opinion

*798 HARGRAVE, Justice.

Appellant, Sandra Stephens, appeals from the trial court’s order overruling her motion for new trial after the trial court dismissed her attorney malpractice action against Ap-pellee, United Auto Workers-GM Legal Services Plan, on the ground that it was barred by the statute of limitations.

Appellee represented Stephens in her action for breach of warranty on a mobile home purchased by Stephens and manufactured by Champion Home Builders. The mobile home was delivered to Stephens on January 13, 1984. The home came with a limited warranty for one year from the delivery date, or until January 18, 1985. Stephens’ action against Champion was filed on October 3, 1990. Champion raised the five year statute of limitations, Stephens countered with multiple theories. The trial court granted summary judgment in favor of Champion on the grounds that the statute of limitations would have required Stephens to file her action on or before January 13, 1989. This judgment was affirmed by the Court of Appeals on July 9, 1993, and petition for rehearing was denied on November 22, 1993.

Appellee sent Stephens to consult with an independent attorney in November 1990 regarding the problems she had experienced with Champion and “maybe a malpractice suit” against Appellee. The independent attorney sent Stephens a letter dated December 19, 1990, stating:

But I want to say that since they [appellee] are following through on the action and have done everything possible, any cause of action against UAW-GM would not be available to you. You have maybe had somewhat careless representation before Mrs. Foster [appellee] got in the case, and you might be aggravated because of it, yet causes of action cannot be based just on aggravation and a careless representation because you have not lost anything yet.... Therefore, my advice is to follow through with what she wants to do and what she can do under these circumstances.

Stephens, on February 3, 1994, filed her present action against appellee asserting negligence in allowing the statute of limitations to run in her action against Champion. Appellee filed a motion to dismiss, asserting her malpractice claim was time barred by the two-year statute of limitations under 12 O.S. 1991, § 95. Appellee asserted Stephens knew of her possible claim no later than receipt of the December 19, 1990 letter from the independent attorney she consulted. Ap-pellee states, “The plaintiff received specific advice from an independent attorney regarding a potential malpractice claim against the UAW-GM Legal Services Plan. Plaintiff apparently considered the advice and chose not to pursue the matter.” The Appellee, however, does not point out that the independent counsel told Stephens that she “had not lost anything yet.”

Stephens objected to the dismissal motion on the grounds that her cause of action for malpractice did not accrue until the appeal of the underlying action was decided, and that if the statute of limitations had begun to run earlier, defendant by its actions, tolled the statute. The trial court sustained Appellee’s motion to dismiss. It also overruled Stephens’ motion for new trial.

The Court of Appeals reversed, relying primarily on a California case, Laird v. Blacker, 2 Cal.4th 606, 7 Cal.Rptr.2d 550, 828 P.2d 691 (1992), that gave effect to a California statute that defines the limitation period as running from the date the client discovers, or should have discovered the cause of action, but provided for a tolling period, during such time as the negligent attorney continued to represent the client. The Court of Appeals reasoned that the tolling period provided in the California statute would be a good idea, as it would avoid disruption of the attorney/client relation by a lawsuit, while still permitting the allegedly negligent attorney to correct or minimize the apparent error. We vacate the ruling of the Court of Appeals, and reverse the dismissal granted by the trial court.

An action for legal malpractice is an action for tort and is governed by the two-year statute of limitation found in 12 O.S.Supp.1993, § 95. In Funnell v. Jones, 737 P.2d 105 (Okl.1985), this Court interpreted the two-year legal malpractice statute of limitation and the issue of the commence *799 ment of the limitation period. In Funnell at 107, we held:

In Oklahoma, an action for malpractice, whether medical or legal, though based on a contract of employment, is an action in tort and is governed by the two year statute of limitations at 12 O.S.A.1981, § 95 Third. (Seanor v. Browne, 154 Okl. 222, 7 P.2d 627 (1932)). This limitation period begins to run from the date the negligent act occurred or from the date the plaintiff should have known of the act complained of. (McCarroll v. Doctors General Hospital, 664 P.2d 382 (Okl.1983)). The period may be tolled, however, by concealment by the attorney of the negligent acts that have injured the client. This Court has previously held, in Kansas City Life Insurance Co. v. Nipper, 174 Okl. 634, 51 P.2d 741 (1935) that: “One relying on fraudulent concealment to toll the statute of limitation must not only show that he did not know facts constituting a cause of action, but that he exercised reasonable diligence to ascertain such facts.” •

However, Funnell did not involve a delayed injury and the statute of limitations contained in § 95 does not begin to run until the cause of action accrues.

According to 12 O.S.Supp.1993, § 95, an action must be commenced within the relevant period “after the cause of action shall have accrued” or it is barred. The statute of limitations begins to run when the eause of action accrues. A cause of action accrues when a litigant could first maintain an action to a successful conclusion. Sherwood Forest No. 2 Corp. v. City of Norman, 632 P.2d 368, 370 (Okl.1980); Oklahoma Brick Corp. v. McCall, 497 P.2d 215, 217 (Okl.1972). Additionally, this court has held “that for the purposes of 12 O.S.1981, § 95 Third, a negligence claim accrues when any injury to the plaintiff, for which an action could proceed, is certain and not merely speculative.” M.B.A. Constr., Inc. v. Roy J. Hannaford Co., Inc., 818 P.2d 469, 470 (Okl.1991).

Thus, the dispositive question in the instant matter is whether Appellant’s malpractice action accrued at the time the trial court dismissed the underlying action, starting the statute of limitation period, or whether the statute of limitations was tolled until after the case was finally determined adversely to Appellant on appeal. We find the statute of limitations did not begin to run until the appeal was decided in the underlying ease.

In Marshall v. Fenton, Smith, Reneau & Moon, 899 P.2d 621 (Okl.1995), this Court was faced with a similar issue. In Marshall, Vaughn Marshall hired the law firm to represent him in two guardianships and the probate of an estate. Marshall served as guardian in both instances. After the matters were ostensibly concluded, the new guardian attacked the final orders and discharge of Vaughn Marshall in both guardianships and the probate.

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Bluebook (online)
1995 OK 114, 905 P.2d 797, 66 O.B.A.J. 3485, 1995 Okla. LEXIS 133, 1995 WL 620194, Counsel Stack Legal Research, https://law.counselstack.com/opinion/stephens-v-general-motors-corp-okla-1995.