IN THE SUPREME COURT OF MISSISSIPPI
NO. 2014-CA-01488-SCT
BOBBY LEON GIBSON
v.
WILLIAMS, WILLIAMS & MONTGOMERY, P.A.
AND JOSEPH H. MONTGOMERY
DATE OF JUDGMENT: 09/11/2014
TRIAL JUDGE: HON. HOLLIS McGEHEE
TRIAL COURT ATTORNEYS: CHUCK McRAE
SETH C. LITTLE
JAMES G. WYLY, III
COURT FROM WHICH APPEALED: FORREST COUNTY CHANCERY COURT
ATTORNEYS FOR APPELLANT: SETH C. LITTLE
CHUCK McRAE
CHRISTOPHER A. BAMBACH
ATTORNEYS FOR APPELLEES: JAMES G. WYLY, III
CHRISTINE MALISHKA BOCEK
NATURE OF THE CASE: CIVIL - WILLS, TRUSTS, AND ESTATES
DISPOSITION: REVERSED AND REMANDED - 03/10/2016
MOTION FOR REHEARING FILED:
MANDATE ISSUED:
BEFORE DICKINSON, P.J., LAMAR AND COLEMAN, JJ.
DICKINSON, PRESIDING JUSTICE, FOR THE COURT:
¶1. Bobby Leon Gibson (“Bobby”) filed a legal-malpractice action against Joe
Montgomery and his law firm, Williams, Williams and Montgomery, P.A. (“WWM”),
alleging wrongful conduct in connection with the administration of his late wife’s estate.
The trial judge granted summary judgment to Montgomery and WWM. We reverse and
remand.
FACTS AND PROCEDURAL HISTORY
¶2. Our standard of review for an appeal of a summary judgment is de novo, and we
review the facts in the record in the light most favorable to the nonmoving party,1 who in this
case is Bobby. Accordingly, we set forth the following factual background in the light most
favorable to Bobby, giving him the benefit of all inferences favorable to him.
¶3. On March 29, 2009, a conservatorship was created for Bobby’s wife, Deborah Miles
Gibson (“Debbie”). The court appointed Debbie’s brother, Michael Miles (“Michael”), as
conservator. In connection with the petition to appoint conservator, Bobby signed a
document entitled “Waiver of Process and Joinder” in which Bobby agreed “that this action
may be heard and disposed of without further notice to [me].”
¶4. During the eighteen months that followed, Michael expended $238,371.41 of
Debbie’s funds, leaving a balance of just $4, 036.40 in the conservatorship account. And in
violation of a requirement contained in the Letters of Conservatorship, Michael failed to
deliver an inventory of Debbie’s estate within three months.2
¶5. Debbie passed away on September 8, 2010. Her Last Will and Testament named the
following beneficiaries: her husband Bobby, her son Miles Smith, Beth Ann McClendon,
Elizabeth Minter, Bobby Leon Gibson III, and Michael Tidwell. Under the terms of the will,
Bobby was to receive three real estate properties, the remaining balance of two bank
1
See Burleson v. Lathem, 968 So. 2d 930, 932 (Miss. 2007); Daniels v. GNB, Inc.,
629 So. 2d 595, 599 (Miss. 1993).
2
Michael actually never delivered an inventory of Debbie’s estate during his time as
conservator for Debbie. He eventually did petition the court to approve a final accounting
of the conservatorship on February 22, 2011.
2
accounts, and the life-insurance proceeds of a $400,000 policy.3 Debbie also bequeathed
certain personal property pursuant to a handwritten list which was to be incorporated into the
will.4
¶6. Following Debbie’s passing, Montgomery summoned Bobby and others to a meeting
at the offices of WWM to discuss Debbie’s estate. At the meeting, Montgomery informed
Bobby that he was the only “interested party” who had not signed the combined probate
proceeding petition” and that, if he signed the combined petition, he would receive “big
money,” but if he did not sign, the estate would sell certain guns which had sentimental value
to Bobby. Montgomery also informed Bobby that Debbie’s estate lacked sufficient assets
to fund a $50,000 legacy to Bobby’s grandson, and that Bobby should contribute $50,000 of
the proceeds he received as beneficiary of Debbie’s $400,000 life-insurance policy. The
unpaid bequest to Bobby’s grandson was the only one that had not already been satisfied.5
Further, Montgomery promised Bobby that, in exchange for contributing the $50,000 from
3
The realty failed to pass under the will either because Bobby and Debbie owned the
property as joint tenants, Bobby owned the land separately prior to their marriage, or it had
been disposed of prior to Debbie’s death. Bobby received nothing from the bank accounts
because those accounts had been drained and closed prior to Debbie’s death. And the life-
insurance proceeds did not pass under the will because life-insurance proceeds go to the
beneficiary named in the policy and are wholly independent from the estate.
4
The handwritten list was not attached to any of the pleadings from the probate
proceedings, and its contents are unknown to this Court.
5
Debbie bequeathed $50,000 each to Beth Ann McClendon and Elizabeth Minter.
Debbie also bequeathed $50,000 to Michael Tidwell. Miles agreed to pay and settle the
bequests to McClendon and Minter. A separate life-insurance policy funded the $50,000
bequest to Tidwell and in fact resulted in Tidwell receiving $100,000 (because the policy
amount was $100,000).
3
his life insurance proceeds, he would give Bobby the guns, which were valued at only
$14,468.48, but had high sentimental value to Bobby.
¶7. As a result of Montgomery’s representations, Bobby signed the combined petition,
which designated him as a “Petitioner.” Montgomery signed the petition as an “Attorney[]
for Petitioners.” At the time he signed the petition, Bobby was not told that Debbie’s estate
had been significantly depleted by Michael’s expenditures as conservator, and Montgomery
did not inform him that, by signing the petition, he would be waiving his rights to contest and
to renounce Debbie’s will and receive a child’s share of the estate.6
¶8. Throughout the estate proceedings, Bobby did not challenge any distributions made
pursuant to the will, the status of Debbie’s estate, or the actions of the conservator, executor,
or Montgomery. In fact, he joined and signed the “Inventory, First and Final Account by
David Earl Miles, Petition to Pay Attorney’s Fees and Costs, and Petition for Distribution,
to Close Estate and Vest Title.”
¶9. On May 16, 2011, the chancellor entered an order approving, ratifying, and
confirming this petition, specifically noting that it had been joined by Bobby. Then, almost
a year later—on May 10, 2012—Bobby retained separate counsel and filed a “Petition to Re-
Open Estate of Deborah Miles Gibson and Request for Other Relief.” In this petition,
Bobby made allegations of impropriety by Michael as conservator of Debbie’s estate,
wrongful conduct by David Miles as Executor of Debbie’s estate, and fraudulent conduct by
6
See Miss. Code Ann. § 91-5-25 (Rev. 2013).
4
Montgomery acting as Bobby’s attorney. Service of process was not effected and no hearing
was ever held to rule on the petition.7
¶10. On May 14, 2012, the chancellor entered a judgment finally closing Debbie’s estate,
but no language in the judgment mentioned or considered the merits of Bobby’s petition to
re-open. The next day, uninformed of this order, Bobby filed a complaint in the Circuit
Court of Forrest County, asserting claims of legal malpractice against Christopher
Howdeshell, attorney for the conservatorship; Pittman, Howdeshell, Hinton, and Hightower,
PLLC; Joseph Montgomery; and WWM. Bobby also asserted claims for breach of fiduciary
duty against these same defendants and additionally against Michael for his actions as
conservator of Debbie’s estate. After the case was transferred to the Chancery Court of
Forrest County, Bobby voluntarily dismissed his claims against Michael, Howdeshell, and
the Howdeshell firm, leaving only the legal-malpractice and fiduciary-duty claims against
Montgomery and WWM.
¶11. Soon after dismissal of the other defendants, Montgomery and WWM filed a “Motion
to Dismiss, or, alternatively, Motion for Summary Judgment,” arguing 1) that Bobby’s failure
to comply with the thirty-day requirement in Section 11-1-39 required dismissal, 2) that the
doctrines of res judicata and collateral estoppel barred Bobby’s claims, 3) that judicial
estoppel precluded Bobby’s claims, and 4) that Bobby had failed to demonstrate that an
attorney-client relationship existed between himself and Montgomery.
7
Though a certificate of service was attached to the petition, the parties agree that no
one was ever actually served the petition, and the record is in accordance with this belief.
5
¶12. Following a hearing, Special Judge Hollis McGehee informed the parties by e-mail
that he intended to grant summary judgment and dismiss Bobby’s claims, and he ordered
Montgomery to submit a proposed order. Special Judge McGehee then issued an order that
included the following language:
The Court . . . finds that neither party, and particularly Plaintiff Bobby
Leon Gibson . . . , has been able to produce any argument or authority which
would overcome what the Court finds to be a “glaring error” in Plaintiff’s
claim: the Plaintiff himself, with present counsel, intentionally elected to
abandon the remedy that would have provided him with a review of the very
issue about which he now seeks to complain. . . .The very issue Plaintiff
complains about is one to which he agreed before the Chancery Court of
For[r]est County. How, in a court of equity, can a competent person who has
appeared (whether in person or by his/her pleading – a sworn representation
to the Court) and consented to a particular relief and ruling later be heard to
complain about his own agreement?
Notwithstanding Mr. Gibson’s agreement to the relief about which he
now complains, the Court affirmatively finds yet another undisputed fact that
is outcome determinative: Mr. Gibson had pleadings pending before the
Chancery Court of For[r]est County, Honorable Judge Gambrell, addressing
the very issues about which he now complains and seeks recovery. But Mr.
Gibson, through counsel, made the intentional decision to not pursue a claim
that he not only could make but had made before this very Court. Counsel
acknowledged in the hearing on May 22 that the Plaintiff made a conscious
decision not to pursue his own claimed rights to pursue the remedy to which
he was entitled to pursue. Plaintiff made a conscious decision, with the benefit
of counsel who was clearly representing him, to abandon his rights in
Chancery Court. Mr. Gibson, with advice of counsel, elected to forego his
rights in Chancery Court to pursue a negligence claim in Circuit Court. He
now, upon the transfer of the Circuit Court matter back to Chancery Court,
seeks to complain that he did not get the relief to which he felt he was entitled.
Yet, in this very proceeding, Mr. Gibson intentionally elected not to pursue his
own allegations of a right to relief. Therefore, under all principles of equity
and at law, Mr. Gibson’s claim cannot withstand the test for summary
judgment.
Further, even setting all that aside, there is an additional reason the
Plaintiff’s claim cannot survive WWM’s Motion for Summary Judgment.
Plaintiff has failed to make a showing sufficient to establish the existence of
one (here more than one) of the three elements of malpractice – (1) an
6
attorney-client relationship – plaintiff fails here; (2) the attorney’s negligence
in handling the client’s affairs – Plaintiff fails at this point because he failed
at the first element; and (3) proximate cause of injury – here the Plaintiff fails
again, completely. How can Plaintiff be allowed to come into this Court of
equity complaining about his outcome in the estate matter when he first
consented to the relief he obtained and second, when he had a perfect remedy
or route to have his claim or concern addressed but he intentionally and
pointedly abandoned that right and opportunity to pursue a negligence claim
in Circuit Court? Respectfully, this is astounding to the Court. It is
tantamount to and has the practical effect of abandoning his proper remedy in
Chancery Court to address his complaint in order to shore up his negligence
claim in Circuit Court. Such cannot be.
¶13. Bobby timely filed his Notice of Appeal and raises four issues: 1) whether the
doctrines of res judicata or collateral estoppel bar Bobby’s claims, 2) whether judicial
estoppel precludes his malpractice action, 3) whether the thirty-day period provided in
Section 11-1-39 requires dismissal, and 4) whether there remains a genuine issue of material
fact as to the elements of his legal-malpractice and fiduciary-duty claims.
STANDARD OF REVIEW
¶14. “When reviewing a trial court’s grant or denial of a motion to dismiss or a motion for
summary judgment, this Court applies a de novo standard of review,”8 and summary
judgment should be granted only when no genuine issue of material fact exists and the
moving party is entitled to judgment as a matter of law.9 Further, this Court views the
evidence in the light most favorable to the nonmoving party,10 and “[t]he moving party has
the burden of demonstrating that [no] genuine issue of material fact[s] exists, and the non-
8
Burleson v. Lathem, 968 So. 2d 930, 932 (Miss. 2007).
9
Miss. R. Civ. P. 56 (c).
10
Duckworth v. Warren, 10 So. 3d 433, 436 (Miss. 2009).
7
moving party must be given the benefit of the doubt concerning the existence of a material
fact.”11 Even where the facts are undisputed, “[s]ummary judgment is inappropriate where
there are undisputed facts which are susceptible to more than one interpretation.”12
ANALYSIS
I. Whether—because the chancellor entered a judgment closing
Debbie’s estate after Bobby’s Petition to Re-Open was filed—the
doctrines of res judicata or collateral estoppel preclude Bobby’s
claims.
¶15. Montgomery and WWM assert that Bobby’s claims are precluded by the doctrines of
both res judicata and collateral estoppel, but we disagree.
Res Judicata
¶16. The doctrine of res judicata is “fundamental to the equitable and efficient operation
of the judiciary and ‘reflects the refusal of the law to tolerate a multiplicity of litigation.’”13
“The courts cannot revisit adjudicated claims and ‘all grounds for, or defenses to recovery
that were available to the parties in the first action, regardless of whether they were asserted
or determined in the prior proceeding, are barred from re-litigation in a subsequent suit under
the doctrine of res judicata.’”14
¶17. Four identities must be present for res judicata to apply: (a) identity of the subject
matter of the action; (2) identity of the cause of action; (3) identity of the parties to the cause
11
One South, Inc. v. Hollowell, 963 So. 2d 1156, 1160 (Miss. 2007).
12
Johnson v. City of Cleveland, 846 So. 2d 1031, 1036 (Miss. 2003).
13
Carmichael, 17 So. 3d 1087, 1090.
14
Harrison v. Chandler-Sampson Ins., Inc., 891 So. 2d 224, 232 (Miss. 2005).
8
of action; and (4) identity of the quality or character of a person against whom the claim is
made.15 This Court also has held that there is to be a fifth requirement—that the prior
judgment must be a final judgment on the merits.16 The absence of any of these requirements
“is fatal to the defense of res judicata.”17
¶18. Montgomery and WWM argue that, because Bobby asserted a similar factual account
in his Petition to Re-open Debbie’s estate, res judicata precludes him from litigating his
legal-malpractice action which is predicated on the same facts. Bobby indeed alleges almost
identical facts in both his Petition to Re-open and his Complaint, and this Court reasonably
could conclude that the two actions contain the same “identity of the subject matter of the
action.”
¶19. The “identity of the cause of action,” however, is absent. In his Petition to Re-open,
Bobby merely asked that the estate proceedings be reopened to further investigate alleged
wrongful conduct and specifically requested relief through the creation of a constructive
trust, injunctive relief, and an accounting of the conservatorship and estate. Importantly,
within the petition to reopen, Bobby did not assert any legal-malpractice or fiduciary-duty
claims. In other words, Bobby sought relief solely within the context of the estate.
Conversely, in his legal-malpractice complaint, Bobby specifically alleged claims (including
fiduciary-duty claims)—arguing duty, breach, and causation—against Montgomery and
15
EMC Mortg. Corp. v Carmichael, 17 So. 3d 1087, 1090 (Miss. 2009).
16
Estate of White v. White, 152 So. 3d 314, 317 (Miss. 2014).
17
Strait v. McPhail, 145 So. 3d 696, 704 (Miss. Ct. App. 2013) (quoting Channel
v. Loyacono, 954 So. 2d 415, 424 (Miss. 2007)).
9
WWM, and he requested relief in the form of damages—both actual and punitive. So, based
on this, the “identity of the cause of action” is not present and, consequently, res judicata
does not apply.
¶20. And even if this identity were present, res judicata cannot apply because the fifth
identity—that the prior judgment must be a final judgment on the merits—is not present. The
chancellor never adjudicated Bobby’s Petition to Re-open the estate, nor did she mention it
within her judgment or order closing Debbie’s estate. No hearing on Bobby’s petition was
ever held, and the chancellor entered her order three days after Bobby filed his petition. Not
only does the record lack any evidence that the chancellor actually considered and
determined the merits of the petition, it contains no evidence demonstrating that the
chancellor was even aware that the petition had been filed before entering her order. For
these reasons, the chancellor’s order closing the estate was not a “final judgment on the
merits” of Bobby’s malpractice claims.
Collateral Estoppel
¶21. The doctrine of collateral estoppel—often considered a cousin of res judicata—serves
a “dual purpose” and “protects litigants from the burden of re-litigating an identical issue
with the same party or his privy” and “promotes judicial economy by preventing needless
litigation.”18 “Collateral estoppel is ‘an unusual exception to the general rule that all fact
questions should be litigated fully in each case.’”19 Collateral estoppel precludes relitigating
18
Mayor and Bd. of Alderman, City of Ocean Springs, Miss. v. Homebuilders Ass’n
of Miss., Inc., 932 So. 2d 44, 59 (Miss. 2006).
19
Marcum v. Miss. Valley Gas Co., 672 So. 2d 730, 733 (Miss. 1996).
10
a specific issue, which was: (1) actually litigated in the former action; (2) determined by the
former action; and (3) essential to the judgment in the former action.20
¶22. Unlike res judicata, collateral estoppel applies only to those issues actually litigated
and not to those issues which merely could have been litigated in the prior suit.21 Further,
“where there is room for suspicion regarding the reliability of those first fact-findings,
collateral estoppel should never be applied.”22 And this Court has held that both
doctrines—res judicata and collateral estoppel—even if found to be permissible, “are not
inflexible commands which must be brutally enforced in all cases”23
¶23. Montgomery and WWM argue that collateral estoppel applies for the same reasons
they argue that res judicata applies—the similar factual recitations contained in Bobby’s
petition and his complaint. But, for similar reasons to those discussed concerning res
judicata, we hold that collateral estoppel cannot apply. Quite simply, all elements for
collateral estoppel are absent. The chancellor’s order fails to mention Bobby’s petition at all.
The chancellor held no hearing on the petition. Indeed, she entered her order closing the
estate only three days after Bobby filed his petition—which further indicates that she did not
consider or determine the merits of the petition. The petition, therefore, was not actually
litigated in the former action, was not determined by the former action, and consequently
20
In re Estate of Stutts v. Stutts, 529 So. 2d 177, 179 (Miss. 1988).
21
Channel v. Loyacono, 954 So. 2d 415, 424 (Miss. 2007).
22
Miss. Emp’t Sec. Comm’n v. Philadelphia Mun. Separate Sch. Dist. of Neshoba
Cty., 437 So. 2d 388, 396 (Miss. 1983).
23
State ex rel. Moore v. Molpus, 578 So. 2d 624, 642 (Miss. 1991).
11
could not have been essential to the judgment. For these reasons, neither res judicata nor
collateral estoppel precludes Bobby’s claims.
II. Whether—because Bobby joined and signed a majority of the
petitions during the estate proceeding—the doctrine of judicial
estoppel precludes Bobby’s claims.
¶24. Montgomery and WWM next argue that judicial estoppel bars Bobby’s claims.
“Judicial estoppel is designed to protect the judicial system and applies where ‘intentional
self-contradiction is being used as a means of obtaining unfair advantage in a forum provided
for suitors seeking justice.’”24 The doctrine arises “when one party asserts a position contrary
to one taken in a prior litigation,”25 and “precludes a party from asserting a position,
benefitting from that position, and then, when it becomes more convenient or profitable,
retreating from that position later in the litigation.”26
¶25. This Court demands that three elements be met for judicial estoppel to apply: (1) the
position must be clearly inconsistent with one taken during previous litigation; (2) the court
must have accepted and relied on the previous position; and (3) the party must not have
inadvertently taken the inconsistent position.27 When the party asserting the prior
inconsistent position has not benefitted by the assertion, the doctrine should not be applied.28
24
Kirk v. Pope, 973 So. 2d 981, 991 (Miss. 2007).
25
Clark v. Neese, 131 So. 3d 556, 560 (Miss. 2013).
26
In re Estate of Richardson, 903 So. 2d 51, 56 (quoting Dockins v. Allred, 849 So.
2d 151, 155 (Miss. 2003)).
27
Kirk, 973 So. 2d at 991 (Miss. 2007).
28
Mauck v. Columbus Hotel Co., 741 So. 2d 259, 265 (Miss. 1999).
12
¶26. Montgomery and WWM essentially argue that—because Bobby signed and joined the
various petitions filed throughout the estate proceedings—he cannot now take a contrary
position by alleging malpractice on the part of the attorneys in handling the estate. We agree
with Montgomery and WWM that the first two elements of judicial estoppel are met. No one
disputes that Bobby indeed signed and joined in most of the petitions filed concerning the
conservatorship and estate proceedings. Further, the chancellor clearly accepted and relied
on these positions, as evidenced by her orders stating “with joinder and approval of Bobby
Leon Gibson.”
¶27. But judicial estoppel applies only when the inconsistent position was not taken
inadvertently. If Bobby’s assertions prove to be true, and his claims later prove to be
meritorious, then he signed the petitions either because he had received bad advice from his
attorney, or because his attorney had breached a fiduciary duty to him by failing to fully
inform him of the implications of signing the petitions.
¶28. For instance, Bobby alleges Montgomery should have informed him that he had a
right to renounce the will and that, had he done so, Bobby would have received a larger share
of the estate. Also, prior to signing, Montgomery failed to notify Bobby that Debbie’s
conservatorship account had been depleted by more than a quarter of a million dollars, to a
mere $4,000. Bobby also alleges he agreed to contribute a portion of his life-insurance
proceeds to the estate only because Montgomery persuaded him to do so by representing to
him that failure to give up the proceeds would result in Bobby’s loss of certain property that
had sentimental value. Based on Bobby’s allegations—which we must accept as true for
13
purposes of summary judgment—we hold that, at the very least, Bobby inadvertently took
these inconsistent positions, thus precluding judicial estoppel.
¶29. Additionally, judicial estoppel cannot apply because it cannot be said that Bobby
benefitted by taking these prior positions—in fact, quite the contrary. Bobby lost $50,000
in life-insurance proceeds due to Montgomery’s representations and threat that the
guns—which were worth far less than $50,000, and which had sentimental value to
Bobby—would be sold. What is more, Bobby actually received nothing under the will.
Debbie devised certain real property to Bobby but these failed to pass under the will.29 And
although Debbie purported to bequeath to Bobby funds in two bank accounts, those funds
did not pass because those two accounts had been drained and closed prior to her death.
¶30. In fact, the only real “benefit” obtained by Bobby in signing these petitions was the
acquisition of three guns, valued at only a little more than $14,000, for which he paid
$50,000 in insurance proceeds. If the factfinder determines that an attorney-client
relationship existed between Montgomery and Bobby, then Montgomery had a duty to advise
Bobby of what was in his best interest, including the fact that he simply could have
purchased the guns for $14,000 rather than giving up $50,000 in life-insurance proceeds that
belonged only to him, separate and apart from the estate. Further, as discussed below, Bobby
gave up his right to receive half of a substantial amount of property that passed under
29
The realty failed to pass under the will because one of three things: 1) Bobby and
Debbie owned the property as joint tenants with the rights of survivorship, 2) Bobby owned
the land separately prior to their marriage, or 3) the property had been disposed of prior to
Debbie’s death.
14
Debbie’s will to her son Miles Smith. For these reasons, judicial estoppel does not preclude
Bobby’s legal-malpractice action.
III. Whether—because Bobby failed to refile his complaint with the
Chancery Court of Forrest County after the case was transferred
from the Circuit Court of Forrest County—Section 11-1-39
requires dismissal of Bobby’s complaint.
¶31. Montgomery and WWM additionally contend that Section 11-1-39 mandates dismissal
of Bobby’s complaint, but their reliance on this statute is misplaced. Mississippi Code
Section 11-1-39 provides that, after a case is transferred from one court to another, “the
complainant or plaintiff shall file his declaration or bill in the court to which the cause was
transferred within thirty days, unless the court, judge, or chancellor shall restrict the time or
grant further time.”30
¶32. Requirements for amending or refiling complaints are procedural matters that are
governed by the Mississippi Rules of Civil Procedure,31 which do not require a plaintiff to
refile a complaint within thirty days after a case is transferred from circuit court to chancery
court. Accordingly, this argument is without merit.
IV. Whether Bobby has demonstrated the presence of a genuine issue
of material fact regarding his legal-malpractice and fiduciary-duty
claims.
¶33. Montgomery and WWM argue that Bobby failed to make out a prima facie legal-
malpractice claim because he can demonstrate neither the existence of an attorney-client
30
Miss. Code Ann. § 11-1-39 (Rev. 2014).
31
See Wimley v. Reid, 991 So. 2d 135, 138 (Miss. 2008).
15
relationship nor causation. Montgomery and WWM further assert that Bobby has “failed to
establish the existence of a fiduciary duty.” We disagree with both assertions.
A. Legal-Malpractice Claim
¶34. For legal-malpractice claims predicated on negligence, the plaintiff “must prove by
a preponderance of the evidence: (a) the existence of an attorney-client relationship; (2)
negligence on the part of the lawyer in handling the affairs of the client which have been
entrusted to the lawyer; and (3) proximate cause of the injury.”32 But, importantly, for this
type of claim, “an attorney-client relationship is an essential element,” and the absence of
such a relationship is fatal.33
1. Attorney-Client Relationship
¶35. According to this Court, a relationship between a lawyer and client arises when:
(1) a person manifests to a lawyer the person’s intent that the lawyer
provide legal services for the person; and either:
(a) the lawyer manifests to the person the consent to do so; or
(b) the lawyer fails to manifest lack of consent to do so, and the
lawyer reasonably knows or should know that the person
reasonably relies on the lawyer to prove services . . . .34
32
Pierce v. Cook, 992 So. 2d 612, 617 (Miss. 2008).
33
Great American E & S Ins. Co. v. Quintairos, Prieto, Wood & Boyer, P.A., 100
So. 3d 420, 425 (Miss. 2012).
34
Singleton v. Stegall, 580 So. 2d 1242, 1244 n.2 (Miss. 1991) (citing American Law
Institute, Restatement of the Law: The Law Governing Lawyers § 26 (Prelim. Draft No. 6,
July 25, 1990)) (emphasis added).
16
¶36. Bobby argues—and we agree—that a genuine issue of material fact remains as to the
existence of an attorney-client relationship between himself and Montgomery. Bobby points
to the combined petition entitled “Notification of Death of Deborah Miles Gibson; Petition
for Probate of Last Will and Testament of Deborah Miles Gibson; and Petition to Convert
Conservatorship into Estate Proceeding, to Appoint David Earl Miles as Executor, and to
Allow Reasonable Time for the Filing of Final Accounting by Michael L. Miles, Conservator
herein,” in which Bobby signed as a “Petitioner” and Montgomery signed as an “Attorney
for Petitioner[s].” At oral argument, counsel for Montgomery argued that this designation
was a scrivener’s error. Perhaps it was, but that is a decision to be made by the factfinder.
¶37. Bobby also argues that the meeting held at the office of WWM further evidences an
attorney-client relationship because, at this meeting, Montgomery advised him—as an
attorney—to sign the petition and to deduct $50,000 from his life-insurance proceeds to
satisfy a bequest in Debbie’s will.
¶38. In Edmonds v. Williamson, the plaintiff pursued claims for legal malpractice and
breach of fiduciary duty against defendants.35 In reviewing the trial court’s decision that the
plaintiff could not establish a legal-malpractice claim against the defendants, this Court
considered whether the plaintiff had demonstrated the existence of an attorney-client
relationship and held that an attorney-client relationship did exist between the parties because
35
Edmonds v. Williamson, 13 So. 3d 1283, 1289 (Miss. 2009).
17
the defendant—in his response to the plaintiff’s complaint—admitted to the existence of an
attorney-client relationship.36
¶39. The facts presented here—in the context of summary judgment, which requires us to
view the facts in the light most favorable to the nonmoving party—can be compared to those
presented in Edmonds, in which the defendant admitted to an attorney-client relationship
with the plaintiff. Here, by signing the petition as an “attorney for the petitioner” in a
pleading to the court that listed Bobby as a “petitioner,” Montgomery not only represented
to Bobby that he was his attorney, but he made that same representation to the court. For
purposes of summary judgment, this certainly should rise to the level of an admission.
¶40. Rule 11 of the Mississippi Rules of Civil Procedure also supports Bobby’s argument.
Rule 11 states “the signature of an attorney constitutes a certificate that the attorney has read
the pleading or motion; that to the best of the attorney’s knowledge, information, and belief
there is good ground to support it . . . .”37 So, in accordance with this rule, when
Montgomery signed the petition as “attorney for petitioner,” he certified to the court that this
representation was true and accurate.
¶41. We note that the following concerns expressed by the Special Judge during the
hearing on WWM’s and Montgomery’s motion to dismiss and/or summary judgment shed
further light on this issue:
I mean, I don’t know, I mean, here’s my concern about your Motion as the
posture that the case is in this morning, is that it appears that at a point in time
36
Id.
37
Miss. R. Civ. P. 11(a).
18
when your clients, as well as the Howdeshell group, filed that Petition, that this
gentleman [Bobby] had no other – well, I don’t know if he had any other
counsel or not. But they represented themselves as being his counsel and he
signed off on that. And there wasn’t a hearing. And it appears that he waived
his right of renunciation and other, maybe other significant rights, without
having appeared before the Chancellor, at least as I understand it. And that’s
my concern in an nutshell in terms of the crux of your [M]otion this morning.
¶42. So, because this Court reviews a motion for summary judgment de novo, and because
this Court must view the evidence in the light most favorable to the nonmoving party, we
must hold that there remains a genuine issue of material fact concerning the existence of an
attorney-client relationship.
2. Negligence
¶43. Because we hold that a genuine issue of fact remains as to the existence of an
attorney-client relationship, we now address the remaining elements for a legal-malpractice
claim, the second of which is that the plaintiff must prove by a preponderance of the evidence
“negligence on the part of the lawyer in handling the affairs entrusted to him.”38 Lawyers
owe their clients the duties of loyalty and care.39
¶44. Montgomery allegedly advised Bobby to sign a petition which effectively waived
important rights—including the rights to renounce and contest Debbie’s will—without first
informing him of the consequences of such actions. Further, Montgomery allegedly
instructed Bobby that if he signed the combined petition, he would receive “big money,” but
that if he did not sign, the estate would sell certain guns which had sentimental value to
38
Century 21 Deep South Props., Ltd. v. Corson, 612 So. 2d 359, 372 (Miss. 1992).
39
Pierce v. Cook, 992 So. 2d 612, 617 (Miss. 2008).
19
Bobby. And Montgomery allegedly encouraged Bobby to deduct $50,000 from life-
insurance proceeds to fund a bequest to his grandson when every other bequest in the will
was funded and settled by Miles Smith—Debbie’s son. Based on these allegations, a genuine
issue of material fact exists as to whether Montgomery breached the duties of loyalty and
care owed by him to Bobby.
3. Proximate Cause and Injury
¶45. Finally, we address the third and fourth elements of a legal-malpractice
claim—proximate cause and injury.40 In a negligence-based malpractice action, the plaintiff
“must establish proximate cause by the so-called ‘trial-within-a-trial’ test,” and “‘must show
that, but for [his] attorney’s negligence, he would have been successful in the prosecution or
defense of the underlying action.’”41
¶46. Montgomery and WWM argue that Bobby cannot show causation “because [he] solely
caused his own alleged damages,” but we disagree. Due to Montgomery’s alleged wrongful
actions, Bobby suffered a fairly substantial injury.
¶47. First, had Montgomery not induced Bobby to sign the petition in which Bobby
unknowingly waived his rights to renounce and contest Debbie’s will, Bobby could have
renounced Debbie’s will, resulting in a substantially larger inheritance from his late wife’s
estate. In particular, had he renounced Debbie’s will, Bobby would have received “such part
of [Debbie’s] estate, real and personal, as [he] would have been entitled to if [Debbie] had
40
Edmonds, 13 So. 3d at 1290.
41
Crist v. Loyacono, 65 So. 3d 837, 842 (Miss. 2011).
20
died intestate, except that, even if [Debbie] left no children or descendant of such, [Bobby],
upon renouncing, shall be entitled to [] one-half (½) of the real and personal estate of
[Debbie].”42 Pursuant to Debbie’s will, Miles Smith inherited:
All of [her] stock in Joe N. Miles & Sons, Inc.; the County Line Grocery with
all inventory and contents, as well as the approximately five (5) acres of real
estate in Forrest County, Mississippi, upon which it is situated; all of [her] real
property owned in Forrest County, Mississippi; all of [her] interest in the
Lodge Mahal in Pearl River County, Mississippi; all of [her] real property
owned in Forrest County and Lawrence County, Mississippi; any and all other
real estate owned by me in the State of Mississippi not hereinabove devised to
someone else, as well as my trust fund at BancorpSouth, Hattiesburg,
Mississippi, and any all personal property owned by me at the time of my death
not listed in the handwritten list of personal property referred to in Paragraph
X below.
¶48. Pursuant to Section 91-5-25, had Bobby chosen to renounce Debbie’s will, he would
have received a portion of the above-mentioned property. So, but for Montgomery’s alleged
wrongful conduct—by advising Bobby to sign the combined petition renouncing important
rights without first explaining the consequences of such an action—Bobby could have, and
likely would have, chosen to renounce Debbie’s will and consequently would have received
a much larger inheritance.
¶49. Further, but for Montgomery’s actions—according to Bobby’s allegations—of
encouraging, or coercing, Bobby to deduct $50,000 from the life-insurance proceeds to fund
a bequest in Debbie’s will—Bobby would have received $50,000 more than he did. For
these reasons, Bobby has established—at the very least—a genuine issue of material fact as
to the elements of “causation” and “injury.”
42
Miss. Code Ann. § 91-5-25 (Rev. 2013).
21
B. Fiduciary-Duty Claim
¶50. It is axiomatic that “a fiduciary duty must exist before a breach of the duty can
occur.”43 Attorney-client relationships give rise to fiduciary duties as evidenced by this
Court’s recognition of legal-malpractice claims based on fiduciary obligations.44 And as
discussed earlier, we hold that a genuine issue of material fact remains on the issue of
whether such a relationship existed between Montgomery and Bobby.
¶51. But the absence of an attorney-client relationship does not foreclose the possibility of
the existence of a fiduciary relationship. In Mississippi, “[a] fiduciary relationship may arise
in a legal, moral, domestic, or personal context, where there appears ‘on the one side an
overmastering influence or, on the other, weakness, dependence, or trust, justifiably
reposed.’”45 So fiduciaries’ duties may arise as a matter of law from certain specified
relationships such as attorney and client; or they may be created by the facts and
circumstances of a particular relationship, taking into account the above factors.
¶52. In Baker Donelson, we recognized that, for decades, this Court has held that
fiduciary relationships can arise in a variety of contexts, and that relationships between
attorneys and third parties can give rise to a fiduciary relationship—and the requisite
43
Baker Donelson Bearman Caldwell & Berkowitz, P.C. v. Seay, 42 So. 3d 474, 485
(Miss. 2010) (citing Black’s Law Dictionary 564 (5th ed. 1979)).
44
See Crist v. Loyacono, 65 So. 3d 837, 842 (Miss. 2011).
45
Id. (citing Milner v. Bertasi, 530 So. 2d 168, 170 (Miss. 1988); Matter of Estate
of Haney, 516 So. 2d 1359 (Miss. 1987)) (emphasis added).
22
fiduciary duties—despite the absence of an actual “attorney-client” relationship.46
Accordingly, the general rule in Mississippi is that, under certain facts and circumstances,
attorneys can acquire fiduciary obligations to third parties who are not their clients where no
attorney-client relationship is present.47 Fiduciary relationships often turn on questions of fact
related to exertion of influence, whether a party trusted and relied on another party, and
whether the reliance was justified.
¶53. In other words, while it is true that we have never held—and we do not hold
today—that attorneys for estates always owe fiduciary duties to every estate beneficiary, we
see no reason to carve out a rule of special protection for estate attorneys, exempting them
from any beneficiary claim of a fiduciary relationship. An attorney for the estate may, under
certain circumstances, owe fiduciary duties to a beneficiary of the estate based on the same
considerations relevant to determine fiduciary duties to all third parties. The existence of
these fiduciary relationships are questions to be determined in the trial court, and here, we
believe sufficient evidence exists in the record for a factfinder to conclude that Montgomery
owed Bobby fiduciary duties, even without a finding of an attorney-client relationship.
¶54. And, should the trial court find that Montgomery assumed fiduciary duties to Bobby,
we also find that—viewing the facts and allegations in the light most favorable to
Bobby—Montgomery allegedly induced Bobby into signing a petition without first informing
him of the consequences. This, in effect, caused Bobby to waive his statutory rights to
46
Baker Donelson, 42 So. 3d 474, 485 (Miss. 2010).
47
Id.
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contest and renounce Debbie’s will. Montgomery approached Bobby under circumstances
which, if not enough to create an attorney-client relationship, could support an inference of
dependence and trust, as Montgomery purported to have Bobby’s interests in mind and to
exercise control over Debbie’s estate. There is evidence in the record to support Bobby’s
claim that Montgomery coerced or compelled him to deduct $50,000 of life-insurance
proceeds to fund a bequest in Debbie’s will. These acts, if true—and assuming a fiduciary
relationship is found to have existed—would constitute a breach of that fiduciary duty. So
genuine issues of material fact remain regarding Bobby’s fiduciary-duty claims.
¶55. To be clear, we do not address today the duties of attorneys who represent executors
and administrators of estates. Montgomery claims he was the attorney for the estate and not
for the executor of the estate. In thirty filings with the trial court, Montgomery was either
listed as or signed as the “attorney for the Estate.” Indeed, we are unable to locate a single
filing in which Montgomery identifies himself as, or claims to be, an attorney for the
executor. Additionally, Montgomery is identified as attorney for the estate within the trial
transcript and the appellee’s brief. And finally we note that, within the first five minutes at
oral argument, Montgomery’s own counsel unequivocally stated that nothing in the record
indicates anything other than that Montgomery and his law firm acted as attorneys for the
Estate.
CONCLUSION
¶56. In sum, Bobby’s legal-malpractice action is not precluded by the doctrines of res
judicata, collateral estoppel, or judicial estoppel. Furthermore, Section 11-1-39 does not
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apply to require dismissal of Bobby’s claims. And finally, we hold that Bobby has
demonstrated that genuine issues of material fact exist regarding the elements of his legal-
malpractice and fiduciary-duty claims.
¶57. We make no determination as to the underlying merits of Bobby’s claims, as the only
issue before this Court is whether Bobby has demonstrated the existence of genuine issues
of material fact, so that the trial court’s grant of summary judgment was improper. We hold
that he has. Accordingly, we reverse the trial court’s grant of summary judgment and remand
this case to the Chancery Court of Forrest County for further proceedings consistent with this
opinion.
¶58. REVERSED AND REMANDED.
WALLER, C.J., LAMAR, KITCHENS, KING, COLEMAN AND MAXWELL,
JJ., CONCUR. RANDOLPH, P.J., AND BEAM, J., NOT PARTICIPATING.
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