Present: Lacy, Keenan, Koontz, Kinser, Lemons, Agee, JJ.,
and Russell, S.J.
JEFFERY DAVID COX
v. Record No. 050333 OPINION BY JUSTICE CYNTHIA D. KINSER
January 13, 2006
ROBERT P. GEARY, ET AL.
FROM THE CIRCUIT COURT OF THE CITY OF RICHMOND
Paul F. Sheridan, Judge
The appellant, Jeffery David Cox, challenges the
judgment of the circuit court dismissing, with prejudice,
his legal malpractice claims against Robert P. Geary, John
F. McGarvey, Michael Morchower, Lee W. Kilduff, and the law
firm of Morchower, Luxton & Whaley (collectively the
Attorneys).1 The circuit court held, among other things,
that Cox suffered “one indivisible injury for which he had
but one claim or cause of action.” We agree and will
affirm the circuit court’s judgment.
I. FACTS AND PROCEEDINGS
In 1991, Cox was convicted in the Circuit Court of the
City of Richmond of abduction, murder, and burglary. He
was subsequently sentenced to a term of incarceration for
life plus 50 years. At trial, Geary and McGarvey
represented Cox as court-appointed counsel. After his
1
Hereinafter, all references to Morchower and Kilduff
will include the law firm of Morchower, Luxton & Whaley,
unless otherwise indicated.
1
convictions, Cox retained Morchower and Kilduff to
represent him on appeal.
In 1997, Cox petitioned for a writ of habeas corpus.2
In an order dated November 14, 2001, the Circuit Court of
the City of Richmond granted Cox habeas corpus relief.3 The
next day, in the criminal case of Commonwealth v. Cox, the
Commonwealth and Cox jointly moved to vacate the 1991
convictions and dismiss the underlying indictments. The
Circuit Court of the City of Richmond granted the motion
and entered an order vacating Cox’s 1991 convictions,
dismissing the indictments, and releasing Cox from custody.
Id. At the time of his release, Cox had served
approximately 11 years of his sentence.
In December 2001, Cox requested assistance from a
member of the Senate of Virginia in procuring compensation
from the Commonwealth for his wrongful incarceration. The
General Assembly approved “An Act for the relief of Jeffery
2
The 1997 petition for a writ of habeas corpus was the
third such petition filed by Cox.
3
The circuit court initially dismissed Cox’s petition
for a writ of habeas corpus. Cox petitioned for an appeal
to this Court from that judgment. While his petition for
appeal was pending, the parties advised the Court that they
had settled the matters in controversy, and we therefore
remanded the habeas petition to the circuit court for entry
of an order carrying out the terms of the settlement. In
the circuit court, the Attorney General of Virginia, who
represented the respondent in the habeas proceeding, moved
to grant Cox a writ of habeas corpus.
2
D. Cox” (the Act) on April 7, 2002. 2002 Va. Acts ch. 746.
In relevant part, the Act stated:
Whereas, Jeffery D. Cox (Cox) was arrested
on October 18, 1990 in the City of Richmond and
charged with First Degree Murder, Abduction with
Intent to Defile and Breaking and Entering; and
Whereas, on February 13, 1991, Cox was
convicted of these charges and sentenced to life
imprisonment plus fifty years; and
. . .
Whereas, new evidence was revealed which
supported Cox’s innocence of the crimes including
confessions by other parties; and
Whereas, based on this new evidence, the
Office of the Attorney General reached a
settlement agreement with Cox resulting in the
Richmond Circuit Court entering an order on
November 14, 2001 vacating the convictions; and
. . .
Whereas at the time of his arrest, Cox was
employed as an air conditioning repairman and was
working towards obtaining his tradesman’s
certification as an electrician; and
Whereas, Cox has lost income and a promising
career during his eleven years of incarceration;
and
Whereas, Cox has also suffered severe
physical, emotional and psychological damage as a
result of this wrongful incarceration and has no
other means to obtain adequate relief except by
action of this body; now, therefore,
Be it enacted by the General Assembly of
Virginia:
1. § 1. That there shall be paid for the relief
of Jeffery D. Cox from the general fund of the
state treasury, upon execution of a release of
3
all claims he may have against the Commonwealth
or any agency, instrumentality, officer,
employee, or political subdivision in connection
with the aforesaid occurrence, (i) the sum of
$350,000 to be paid to Jeffery D. Cox on or
before August 1, 2002 . . . and (ii) an annuity
for the primary benefit of Jeffery D. Cox . . .
in the cumulative amount of $400,000.
As required by the terms of the Act, Cox subsequently
executed a document releasing
all claims [Cox] may have against the
Commonwealth or any agency; instrumentality;
officer; employee or political subdivision of the
Commonwealth in connection with [his] arrest,
conviction and incarceration during the time
period 1990-2001, subsequently vacated by the
Richmond Circuit Court, and more specifically
described in the Virginia Acts of Assembly 2002.
Two years later, in November 2003, Cox filed the
motion for judgment in the present case alleging that the
Attorneys each “fail[ed] to comply with the applicable
standard of care as . . . Cox’s attorney” and breached
their respective “contract of representation” with Cox.
Cox sought damages from the Attorneys, jointly and
severally, for
punishment; incarceration; personal injuries;
pain and suffering; severe mental anguish;
emotional distress; loss of income; humiliation,
indignities and embarrassment; degradation;
injury to reputation; permanent loss of natural
psychological development; and restrictions on
all forms of personal freedom including but not
limited to diet, sleep, personal contact,
educational opportunity, vocational opportunity,
athletic opportunity, personal fulfillment,
4
sexual activity, family relations, recreation,
travel, enjoyment and expression.
The Attorneys countered with numerous defensive
pleadings, motions, and special pleas. After hearing
argument and considering the parties’ memoranda on the
various motions and other filings, the circuit court
dismissed Cox’s claims and the motion for judgment with
prejudice. In its final order, the circuit court made the
following rulings:
1. This Court has subject matter
jurisdiction to entertain the claims asserted by
the plaintiff in the Motion for Judgment by which
he initiated this action (the “Motion for
Judgment”).
2. The plaintiff has standing to bring this
action.
3. The claims asserted by the plaintiff in
the Motion for Judgment are not time barred.
4. The claims asserted by the plaintiff in
the Motion for Judgment are not barred by
collateral estoppel.
5. The injuries suffered by the plaintiff
from his incarceration referred to in the Motion
for Judgment constitute one indivisible injury
for which he had but one claim or cause of
action.
6. The habeas relief granted to the
plaintiff by this Court was based on newly
discovered evidence.
7. An Act for the Relief of Jeffery D. Cox
preempted any cause of action the plaintiff may
otherwise have had for his incarceration, and
there is no civil action that survives it.
5
8. The claims asserted by the plaintiff in
the Motion for Judgment are barred and precluded
by:
a. the doctrine of waiver;
b. the doctrine of estoppel; and
c. the plaintiff’s election of remedies.
The circuit court also denied Cox’s motion to reconsider.
Cox appeals from the circuit court’s judgment.
II. ANALYSIS
On appeal, Cox assigns error to the rulings of the
circuit court adverse to him. One issue is dispositive—
whether the circuit court erred in finding that the
injuries suffered by Cox as a result of his wrongful
incarceration constitute a single, indivisible injury for
which he had one claim or cause of action.
It is a generally recognized principle that there can
be only one recovery of damages for a single wrong or
injury. Pennington v. Bluefield Orthopedics, P.C., 419
S.E.2d 8, 13 (W. Va. 1992); see also McLaughlin v. Siegel,
166 Va. 374, 377, 185 S.E. 873, 874 (1936) (“the injured
party is entitled to but one satisfaction for the same
cause of action”). Cox, however, asserts that he had two
separate injuries, one caused by the Commonwealth and its
officers and employees (the Commonwealth) and the other
caused by the Attorneys. He further contends that, for
6
each injury, different types of relief would be available
and that any determination about the basis of the General
Assembly’s compensation to Cox would be an exercise in
speculation. We do not agree.
The injury for which Cox received compensation from
the Commonwealth, through the Act, was his wrongful
incarceration. The damages sustained as a result of that
injury, as described in the Act, included loss of income
and severe physical, emotional, and psychological distress.
In the present legal malpractice action, the injury
suffered by Cox as a result of the Attorneys’ alleged
“failure to exercise a reasonable degree of care, skill and
diligence in their legal representation of . . . Cox and by
breaching their contracts of representation with him” was
his wrongful incarceration. Moreover, the elements of
damage Cox seeks in this action are the same as those for
which he received compensation from the Commonwealth.
Cox does not argue that the type of injuries for which
the General Assembly compensated him differs from the type
of injuries he currently alleges. Nor does he seek in his
motion for judgment punitive damages or attorneys’ fees,
both of which would have differed from his claim against
the Commonwealth. In other words, Cox has made no attempt
to differentiate between the injury or the damages caused
7
by the negligence of the Commonwealth and the injury or
damages suffered by Cox as a result of the Attorneys’
alleged legal malpractice. See Dwyer v. Yurgaitis, 224 Va.
176, 180, 294 S.E.2d 792, 794 (1982) (because the plaintiff
never distinguished between the injuries sustained in two
collisions, she suffered an indivisible injury); Dickenson
v. Tabb, 208 Va. 184, 192, 156 S.E.2d 795, 801 (1967)
(“[a]s [the plaintiff’s] injuries were not susceptible of
apportionment . . . [they] were indivisible”); see also
Maroulis v. Elliott, 207 Va. 503, 511, 151 S.E.2d 339, 345
(1966) (“ ‘[w]here separate and independent acts of
negligence of two parties are the direct cause of a single
injury to a third person and it is impossible to determine
in what proportion each contributed to the injury, either
or both are responsible for the whole injury’ ”) (quoting
Murray v. Smithson, 187 Va. 759, 764, 48 S.E.2d 239, 241
(1948)). Thus, we conclude that the circuit court
correctly determined that Cox sustained a single,
indivisible injury.4
4
We note that Code § 8.01-443 allows a plaintiff to
bring separate actions against several joint wrongdoers and
proceed to judgment in each action. However, the
plaintiff’s acceptance of payment in satisfaction of such
judgment discharges all joint wrongdoers. Cox does not
argue that this statute salvages his legal malpractice
action against the Attorneys. The legislative policy
reflected in Code § 8.01-443, however, is in full accord
8
It is helpful to compare the nature of Cox’s legal
malpractice action, i.e., arising out of the Attorneys’
defense of criminal charges, with a legal malpractice
action arising out of representation in a civil case. In
the former, wrongful incarceration was the sole injury
suffered by Cox as a result of the alleged negligent acts
of the Commonwealth and/or the Attorneys’ alleged breach of
their respective contract of representation. Indeed, a
showing of wrongful incarceration is an element of a cause
of action for legal malpractice arising out of the defense
of a criminal charge. See Adkins v. Dixon, 253 Va. 275,
282, 482 S.E.2d 797, 801 (1997) (a plaintiff must prove
that he/she obtained post-conviction relief as part of a
cause of action for a defense attorney’s malpractice). In
a typical civil action, the underlying injury is not
usually the same as the injury caused by subsequent legal
malpractice in representing a party in that action. For
example, a plaintiff’s personal injuries arising from an
automobile accident constitute the wrong suffered and the
injury at issue in a subsequent civil action, but the
failure of that plaintiff’s attorney to file the action
with the principle that there can be only one recovery for
a single, indivisible wrong. Cox, of course, recovered for
his injury by accepting the compensation provided in the
Act and executing the release.
9
within the applicable statute of limitations would not also
be a cause of the underlying physical injuries. The
plaintiff would be separately wronged by the attorney’s
malpractice. Such is not the situation with regard to the
injury sustained by Cox.
This distinction is borne out by our decision in
Katzenberger v. Bryan, 206 Va. 78, 141 S.E.2d 671 (1965).
There, the purchasers of real property filed a motion for
judgment against an attorney who had examined and certified
title to the parcel of property they had contracted to
purchase. Id. at 79, 141 S.E.2d at 672. At the time the
suit was filed, the purchasers had already settled a claim
against the sellers of the property for breach of the
warranty of title. Id. The attorney filed a plea of
accord and satisfaction, arguing that the settlement of the
claim against the sellers was a bar to any further
proceedings in the action against him. Id. In the motion
for judgment filed against the sellers, “the [purchasers]
alleged that they were . . . ‘without legal title to a
portion of the property purported to be conveyed’ and were
‘without lawful means of ingress and egress’ and were ‘in
danger of being deprived of the use and enjoyment of the
entire property.’ ” Id. at 82, 141 S.E.2d at 674. In the
motion for judgment filed against the attorney,
10
the [purchasers] alleged that they were damaged
because they were “caused to spend a large sum of
money for property to which they did not receive
legal title” and to expend “large sums of money
in the erection of improvements on property to
which they did not have lawful means of ingress
and egress.”
Id.
We concluded that the settlement of the cause of
action against the sellers was not an accord and
satisfaction of the purchasers’ claim against the attorney.
Id. at 84, 141 S.E.2d at 675. The purchasers were wronged
by the sellers because the sellers “breached their covenant
that they had the right to convey the land,” and the
purchasers were separately wronged by the attorney because
he “breached his duty to use due care in examining the
title to the property.” Id. at 85, 141 S.E.2d at 676. We
did, however, hold that the purchasers could not have a
double recovery by collecting full compensation in the
second action if they had been paid for a particular
element of damage in the first action. Id.
Later in Cauthorn v. British Leyland, U.K., Ltd., 233
Va. 202, 355 S.E.2d 306 (1987), we explained our decision
in Katzenberger:
[o]ur decision . . . did not rest solely on the
distinction between the theories of recovery; it was
also based on the difference between the relief sought
in the two actions. In either proceeding, the
purchasers could have recovered the value of the
11
portion of the property not conveyed and the
diminution in the value of the residue caused by the
loss of ingress and egress over the portion not
conveyed. But a third element of damages was not
common to both causes of action. The loss of the use
of certain improvements to the property made by the
purchasers was an item of consequential damages not
available in the contract action against the sellers
but recoverable in the tort action as proximately
resulting from the negligence of the lawyer. Thus,
the purchasers’ damages were not identical in the two
actions and did not arise from a single indivisible
injury; therefore, their release of the sellers was
not an accord and satisfaction of their claim against
the lawyer.
Id. at 206, 355 S.E.2d at 308.
The difference in the relief sought was likewise a
factor in our decision in Hiss v. Friedberg, 201 Va. 572,
112 S.E.2d 871 (1960), another case involving litigation
arising out of the purchase of real estate. There, the
purchasers filed a suit against the sellers for breaches of
warranty and covenants of title and joined in as defendants
their attorneys, claiming damages for the attorneys’ breach
of the employment contract and violation of an escrow
agreement. Id. at 573, 112 S.E.2d at 873. The purchasers
settled their claims against the sellers, but the suit
continued against the attorneys. Id. The purchasers
sought to recover their expenses, including counsel fees
that they had incurred in the litigation against the
sellers. Id.
12
On appeal, the attorneys argued that the release of
the sellers and dismissal of the suit against them barred
any recovery by the purchasers from the attorneys. Id. at
576, 112 S.E.2d at 874. We disagreed with the attorneys
and affirmed the trial court’s award of damages to the
purchasers. Id. at 579, 112 S.E.2d at 877. In doing so,
we stated that the sellers were “liable for damages flowing
from their failure to deliver possession of the property as
agreed.” Id. at 576, 112 S.E.2d at 875. In the suit
against the sellers, the purchasers could not recover as
damages the amount of counsel fees incurred in that
litigation. Id. at 576–77, 112 S.E.2d at 875. In
contrast, the attorneys breached their contractual
obligation to insure that the purchasers obtained immediate
possession of the property, and as a result of that breach,
the purchasers had to resort to litigation against the
sellers. Id. at 577, 112 S.E.2d at 875.
In the present legal malpractice action, Cox, unlike
the purchasers in Katzenberger and Hiss, does not seek to
recover from the Attorneys an element of damage different
from the damages provided by the Act, such as his
litigation expenses incurred in obtaining habeas corpus
relief. In the Act, the General Assembly stated that it
was compensating Cox for the “physical, emotional and
13
psychological” damages arising out of his “wrongful
incarceration.” That injury, and those damages, are the
same as Cox now alleges were caused by the Attorneys’ legal
malpractice. As stated earlier, Cox has not made any
differentiation between the damages under the Act and the
damages under his legal malpractice claim.
We now turn to the release executed by Cox upon
receiving compensation pursuant to the Act and its effect,
if any, on this legal malpractice action in light of our
conclusion that Cox suffered a single, indivisible injury.
Cox argues that the provisions of Code § 8.01-35.1 are
applicable and therefore the release of the Commonwealth
did not discharge the Attorneys from their liability. In
relevant part, Code § 8.01-35.1(A)(1) states that “[w]hen a
release or covenant not to sue is given in good faith to
one of two or more persons liable in tort for the same
injury, [i]t shall not discharge any of the other tort-
feasors from liability for the injury.” The premise of
Cox’s argument is that a legal malpractice action is based
in tort, and the Attorneys and the Commonwealth are joint
tortfeasors. Again, we do not agree.
“A cause of action for legal malpractice requires the
existence of an attorney-client relationship which [gives]
rise to a duty, breach of that duty by the defendant
14
attorney, and that the damages claimed by the plaintiff
client must have been proximately caused by the defendant
attorney’s breach.” Rutter v. Jones, Blechman, Woltz &
Kelly, P.C., 264 Va. 310, 313, 568 S.E.2d 693, 695 (2002).
Thus, “an action for the negligence of an attorney in the
performance of professional services, while sounding in
tort, is an action for breach of contract . . . .” Oleyar
v. Kerr, 217 Va. 88, 90, 225 S.E.2d 398, 400 (1976); accord
Shipman v. Kruck, 267 Va. 495, 501, 593 S.E.2d 319, 322
(2004). It is the contract formed between an attorney and
a client that gives rise to the attorney-client
relationship; but for the contract, the attorney owes no
duty to the client. O’Connell v. Bean, 263 Va. 176, 180,
556 S.E.2d 741, 743 (2002).
Implicit in this contractual relationship is the duty
to “‘exercise a reasonable degree of care, skill, and
dispatch in carrying out the business for which [the
attorney] is employed.’” Id. at 181, 556 S.E.2d at 743
(quoting Ortiz v. Barrett, 222 Va. 118, 126, 278 S.E.2d
833, 837 (1981)). Although “the contractually implied
duties of due care and fiduciary responsibility employ tort
concepts,” those concepts and other principles relating to
torts are applicable in legal malpractice actions. Id. at
181, 556 S.E.2d at 743; see, e.g., Lyle, Siegel, Croshaw &
15
Beale, P.C. v. Tidewater Capital Corp., 249 Va. 426, 432,
457 S.E.2d 28, 32 (1995) (applying the principle of
contributory negligence). The cause of action,
nevertheless, is one for breach of contract. Oleyar, 217
Va. at 90, 225 S.E.2d at 400.
Cox erroneously relies on our decisions in Shipman and
Lyle for the proposition that a cause of action for legal
malpractice is a tort claim. In both cases, this Court
said that legal malpractice sounds in tort, Shipman, 267
Va. at 501, 593 S.E.2d at 322; Lyle, 249 Va. at 432, 457
S.E.2d at 32, but we also reiterated the attorney-client
contractual relationship. Id. In Shipman, we held, as we
had previously, that “[t]he statute of limitations for
legal malpractice actions is the same as those for breach
of contract because although legal malpractice actions
sound in tort, it is the contract that gives rise to the
duty.” 267 Va. at 501, 593 S.E.2d at 322. Similarly, in
Lyle, where we held that the defense of contributory
negligence is available in legal malpractice actions, 249
Va. at 432, 457 S.E.2d at 32, we explained:
[T]he attorney-client relationship is formed by a
contract. Nonetheless, the duty upon the
attorney to exercise reasonable care, skill, and
diligence on behalf of the client arises out of
the relationship of the parties, irrespective of
a contract, and the attorney’s breach of that
16
duty, i.e., the appropriate standard of care,
constitutes negligence.
Id. We further note that Cox, in his motion for judgment,
employed the tort concept of “applicable standard of care”
but also alleged as to each of the Attorneys a breach of
their respective “contract of representation.”
Since Cox’s action against the Attorneys for their
alleged negligence in the performance of their professional
services is an action for breach of contract, the Attorneys
are not joint tortfeasors with the Commonwealth.
Accordingly, the provisions of Code § 8.01-35.1, which
expressly apply only when “two or more persons [are] liable
in tort for the same injury,” have no bearing on the
question of the effect, if any, of the release executed by
Cox. To answer that question, we therefore turn to the
common law.
In Cauthorn, 233 Va. at 203, 355 S.E.2d at 307, a
minor was injured in an automobile collision. After
settling with the insurance companies that provided
coverage to the operator and owner of the vehicle in which
the minor was a passenger,5 the minor’s guardian filed an
action against the automobile manufacturer, the wheel
manufacturer, and the dealer who sold the automobile,
5
A circuit court approved the settlement.
17
alleging negligence and breach of warranties of
merchantability and fitness. Id. at 204, 355 S.E.2d at
307. The defendants filed special pleas asserting that the
court-approved settlement and release also released the
defendants of any liability for the minor’s personal
injuries resulting from the automobile accident. Id.
On appeal, we concluded that the minor “sustained
injuries which, although they may have had more than a
single cause, constituted a single, indivisible injury.
[The] settlement with and release of the insurance
companies and their insureds constituted an accord and
satisfaction of [the minor’s] cause of action for her
single indivisible injury.” Id. at 205, 355 S.E.2d at 308.
In reaching this decision, we noted that “[p]rior to the
enactment of Code § 8.01-35.1 in 1979, the rule of law in
Virginia was that a release of one joint tortfeasor
released all joint tortfeasors.” Id. at 204, 355 S.E.2d at
307. That rule, as we recognized, references the parties
as “joint tortfeasors,” but we held that “its application
to a particular case does not depend upon their
relationship as joint tortfeasors.” Id. Thus, even though
the minor had two causes of action, one sounding in tort
and the other in contract, the Court held “that where there
is one indivisible injury, as here, for which settlement
18
has been consummated, unconditional release of one
allegedly liable for the injury bars recovery against
others also allegedly liable, regardless of the theory upon
which liability is predicated.” Id. at 207, 355 S.E.2d at
309 (emphasis added). Applying the principles taught in
Cauthorn, we conclude that Cox, having suffered a single,
indivisible injury for which he received compensation under
the Act, and having unconditionally released certain
tortfeasors allegedly liable for his injury, cannot recover
from the Attorneys for their alleged liability.
III. CONCLUSION
Cox suffered a single, indivisible injury—his wrongful
incarceration.6 Because his legal malpractice cause of
action is one for breach of contract, the Attorneys and the
Commonwealth are not joint tortfeasors, thereby making the
protection afforded by Code § 8.01-35.1 unavailable to Cox.
Consequently, under the common law, his release of the
Commonwealth now bars recovery against others allegedly
liable for his wrongful incarceration, regardless of the
theory upon which such liability may be predicated.
6
In 2004, the General Assembly enacted Code § 8.01-
195.11, which provides for compensation to certain persons
wrongfully incarcerated; the statute is inapplicable to
this action.
19
For these reasons, we will affirm the judgment of the
circuit court.7
Affirmed.
7
In light of our decision, it is not necessary to
address the remaining assignments of error or the
assignments of cross-error. We do, however, conclude that
the circuit court had subject matter jurisdiction.
20