West Virginia Canine College, Inc. v. Rexroad

444 S.E.2d 566, 191 W. Va. 209, 1994 W. Va. LEXIS 52
CourtWest Virginia Supreme Court
DecidedMay 20, 1994
Docket21970
StatusPublished
Cited by12 cases

This text of 444 S.E.2d 566 (West Virginia Canine College, Inc. v. Rexroad) is published on Counsel Stack Legal Research, covering West Virginia Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
West Virginia Canine College, Inc. v. Rexroad, 444 S.E.2d 566, 191 W. Va. 209, 1994 W. Va. LEXIS 52 (W. Va. 1994).

Opinion

MILLER, Justice:

The appellants, West Virginia Canine College, Inc., and Wayne Davis, its president (hereinafter collectively called Canine College), appeal an order of the Circuit Court of Upshur County which dismissed under Rule 12(b)(6) of the West Virginia Rules of Civil Procedure their amended complaint against attorney Roy D. Law. The circuit court found that the amended complaint failed to state a cause of action.

The underlying civil action was filed to recover damages which the Canine College claimed it suffered as a result, in part, of professional malpractice on the part of Mr. Law. The malpractice claim was based on the fact that in June of 1988, Mr. Law examined the title to a 13.65 acre tract of land that the Canine College was purchasing from David R. Rexroad and Lynne W. Rexroad, his wife, which was located in Upshur County. This property was part of a larger tract of 122 acres which the Rexroads owned that had been conveyed to Mr. Rexroad in May of 1982 by the Board of Trustees of the West Virginia Annual Conference of the United Methodist Church. 1

The Canine College asserted in its amended complaint that Mr. Law’s title report implied that there was a valid 1958 oil and gas lease on the adjacent property. It also was asserted that Mr. Law breached his attorney-client relationship with the Canine College. It is claimed that this breach occurred in 1990 when Mr. Law filed suit challenging the validity of the 1958 oil and gas lease. In that suit, he represented the Jolynne Corporation which is owned by the Rexroads, both of whom are attorneys. In 1990, the Rex-roads ' conveyed the minerals underlying a *211 section of the remaining portion of the 122 acre tract to the Jolynne Corporation. The defendants were Donald Michels and Inco 3, Inc., who were the leaseholders of the oil and gas.

I.

With regard to the first claim, Mr. Law points out that the title report specifically excepted and reserved to the parties of the first part (the Rexroads) “all of the coal, oil and gas in and underlying said property hereinabove conveyed together with any right to free gas for the use in a dwelling.” 2 The appellants focus on that portion of the quoted language “together with any right to free gas for use in a dwelling” as being indicative of an oil and gas lease that carried with it the right on the part of the mineral owner to have free gas.

There is no dispute that there was no oil and gas lease on the 13.65 acre tract conveyed by the Rexroads to the Canine College. Moreover, the amended complaint recognized that the minerals underlying the 13.65 acre tract were reserved by the Rex-roads.

Under this acknowledged set of facts, we agree with the circuit court that Mr. Law was guilty of no misconduct with regard to the June 26, 1988, title report. There was nothing in the report that in any manner misrepresented the quantity or quality of the estate that was to be conveyed to the appellants. In Keister v. Talbott, 182 W.Va. 745, 391 S.E.2d 895 (1990), we discussed a malpractice claim against an attorney. There, the attorney overlooked an earlier coal severance deed. As a consequence, the attorney prepared a deed conveying both the surface and mineral estates to the grantees, the Keisters. When they attempted to lease the coal, the earlier severance deed was discovered. Thereafter, they sued the attorney.

We set out in the Syllabus Points of Keister several general rules with regard to the duty of care owed to a client by an attorney, 3 its proximate cause to the client’s injury, 4 and the necessity of actual damages. 5 We also set out this general principle with regard to a defective title report in Syllabus Point 4 of Keister:

“Where a client has been injured by an attorney’s negligence in certifying or examining title to real estate, the exact nature of damages may depend on the nature of the Ghent’s interest in the property, the character of the attorney’s error, and the other facts of the case.”

There was no question in Keister that an error was made by the attorney in examining the title. Indeed, on appeal, this point was not contested and the issue centered on the amount of damages. However, here, unlike Keister, there exists a finding by the circuit court that no error was made in the title report, and, therefore, no malpractice occurred. We find this to be correct as a matter of law even under the rigors of a Rule 12(b)(6) standard, which we set out in the Syllabus of Fass v. Nowseo Well Service, Ltd., 177 W.Va. 50, 350 S.E.2d 562 (1986):

“ ‘ “The trial court, in appraising the sufficiency of a complaint on a Rule 12(b)(6) motion, should not dismiss the complaint unless it appears beyond doubt that the plaintiff can prove no set of facts in support of his claim which would entitle him to relief.” Syl., Flowers v. City of Morgan- *212 town, 166 W.Va. 92, 272 S.E.2d 663 (1980).’ Syl. pt. 2, Sticklen v. Kittle, 168 W.Va. 147, 287 S.E.2d 148 (1981).”

The appellants do not assert that they were entitled to free gas from the property that it purchased. Rather, they assert that the reference to the mineral exclusion in its deed which included “any right to free gas for the use in a dwelling” implies that the lease on the adjoining tract is valid. Under no set of facts could this be deemed malpractice arising from the title report.

II.

The claim of a breach of his attorney-client relationship by Mr. Law rests on events occurring after the transfer of the 13.65 acre tract by the Rexroads to the Canine College, which occurred on July 9,1988. This second cause of action rests upon a somewhat different legal analysis than was discussed in Keister, supra, which dealt with the general law with regard to attorney malpractice for failure to exercise reasonable professional care. Here, the cause of action is predicated on the fact that Mr. Law is claimed to have represented conflicting interests. The general rule is stated in 7 Am. Jur.2d Attorneys at Law § 198 (1980):

“An attorney’s representation of two or more clients with adverse or conflicting interests constitutes such misconduct as to subject him to liability for malpractice, unless the attorney has obtained the consent of the clients after full disclosure of all the facts concerning the dual representation.” 6 (Footnote omitted).

See also Annot., 28 A.L.R.3d 389 (1969). As a part of this malpractice cause of action, as we indicated in Keister v. Talbott, supra,

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Bluebook (online)
444 S.E.2d 566, 191 W. Va. 209, 1994 W. Va. LEXIS 52, Counsel Stack Legal Research, https://law.counselstack.com/opinion/west-virginia-canine-college-inc-v-rexroad-wva-1994.