S & H Development LLC v. Parker

This decision was not selected for publication in the New Mexico Appellate Reports. Please see Rule 12-405 NMRA for restrictions on the citation of non-precedential dispositions. Please also note that this electronic decision may contain computer-generated errors or other deviations from the official paper version filed by the Supreme Court. 1 IN THE COURT OF APPEALS OF THE STATE OF NEW MEXICO 2 S&H DEVELOPMENT, LLC, 3 a New Mexico limited liability 4 company, 5 Plaintiff-Appellant, 6 v. NO. 34,647 7 CAIROL PARKER, individually and 8 d/b/a CAIROL CONSTRUCTION, 9 Defendant-Appellee, 10 and 11 JOHN M. ORTEGA, individually and 12 d/b/a SOUTHWEST HOME AND 13 COMMERCIAL REPAIRS, 14 Defendant. 15 APPEAL FROM THE DISTRICT COURT OF SANTA FE COUNTY 16 Francis J. Mathew, District Judge 17 The Frith Firm 18 Gilbert Houston Frith 19 Trace L. Rabern 20 Santa Fe, NM 21 for Appellant 22 Sommer, Karnes & Associates, LLP 1 Karl H. Sommer 2 Santa Fe, NM 3 for Appellee 4 MEMORANDUM OPINION 5 SUTIN, Judge. 6 {1} Plaintiff S&H Development, LLC contracted with Defendant John Ortega for 7 construction services. Ortega unlawfully used Defendant Cairol Parker’s general 8 contractor’s GB-98 license for the construction work. Ortega’s work proved 9 unsatisfactory to Plaintiff, and Plaintiff sought damages against both Ortega and 10 Parker, an individual doing business as “Cairol Construction.” The district court 11 entered judgment on the pleadings against Ortega. Ortega did not appeal. The case 12 against Parker was tried on Plaintiff’s claims of negligence, negligence per se, and 13 violation of the Unfair Practices Act (UPA), NMSA 1978, §§ 57-12-1 to -26 (1967, 14 as amended through 2009), together with a private right of action under the 15 Construction Industries Licensing Act (the Act), NMSA 1978, §§ 60-13-1 to -59 16 (1967, as amended through 2013), based on aiding and abetting, conspiracy theories, 17 and a prima facie tort claim. The district court held in favor of Parker on Plaintiff’s 18 liability claims. We hold that the district court did not err in that regard. The court also 19 awarded Parker attorney fees after determining that Plaintiff’s UPA claim was 20 groundless and frivolous. We hold that the district court erred in that regard. 2 1 BACKGROUND 2 {2} Parker permitted Ortega, an unlicensed contractor, to use Parker’s GB-98 3 general building contractor’s license to pull a commercial remodel permit for 4 construction work for Plaintiff. “License No. 09129” was shown on an unrelated bid 5 previously submitted by Ortega under the business name “Southwest Home and 6 Commercial Improvements.” Parker knew that his license was being used by Ortega 7 for the construction project. 8 {3} Plaintiff sued Ortega and Parker alleging various tort, contract, and statutory 9 claims. Ortega did not defend, and the district court entered judgment against Ortega 10 on the pleadings. Plaintiff’s claims against Parker were tried, and Plaintiff tendered 11 ninety-six requested findings of fact and sixty-five conclusions of law. Among the 12 requested conclusions of law as to Parker’s liability were the following: 13 97. Mr. Ortega and Mr. Parker were intending to evade the provisions 14 of the . . . Act to allow Mr. Ortega to appear and act as the licensed 15 general contractor when he was not. 16 .... 17 110. Mr. Parker knew Mr. Ortega lacked the type of contractors’ 18 license required for this job, knew Mr. Ortega could not get the job and 19 permit without it, and knowing these things loaned his license “to help” 20 Mr. Ortega get the job and permit. This is aiding and abetting contracting 21 without a license. 22 111. Mr. Parker and Mr. Ortega combined to agree that Mr. Ortega 23 could use Mr. Parker’s license to get a job and permit that they knew Mr. 3 1 Ortega could not get without it. This is civil conspiracy to commit 2 contracting without a license. 3 112. Mr. Parker necessarily knew a permit bearing his name as general 4 contractor was false, yet he agreed to lend his license to Mr. Ortega 5 knowing and intending that Mr. Ortega would use it to get a permit that 6 was false. 7 113. Mr. Parker could reasonably foresee his license would be used to 8 obtain a job and permit falsely stating he was the general contractor, 9 because that is what he intended to happen to “help out” Mr. Ortega. 10 114. Licensed contractors directly owe a duty to exercise reasonable 11 care to avoid aiding contracting without a license. 12 .... 13 123. There is no principled reason why the scope of a licensed 14 contractor’s duties to third parties should differ from that when hiring an 15 unlicensed contractor when a licensed contractor agrees to allow the 16 unlicensed contractor to stand in the shoes of the general contractor. 17 124. Mr. Parker breached his duty of care to consumers of construction 18 services. 19 125. Mr. Parker owed Plaintiff a direct duty of care, a statutory duty of 20 care, including licensure, and due care when he used and permitted his 21 licensure to be misuse[d], and violated both the terms and the strong 22 policy . . . of the statutory scheme, and never attempted to fix what went 23 wrong. 24 126. Mr. Parker is liable based on his undisputed aiding and abetting 25 of Mr. Ortega in violating that part of the . . . Act that makes it a crime 26 to act as a contractor without a license. . . . 27 127. The elements of aiding and abetting are established by [Mr.] 28 Parker’s undisputed testimony in trial. He knew that Mr. Ortega did not 29 have the appropriate license for a commercial job, knew the license 4 1 would be used to pull a permit that falsely listed Mr. Parker as the 2 general contractor, and gave him use of his license, specifically for the 3 purposes of helping Mr. Ortega get the job, and get the permit. 4 128. Mr. Parker intentionally and knowingly loaned [Mr.] Ortega his 5 license to use fraudulently on a commercial building permit. 6 129. Mr. Parker aided and abetted tortious conduct for knowingly 7 helping Mr. Ortega to violate the following provisions [of Section 60-13- 8 23 of the Act]: 9 B. knowingly contracting or performing a service 10 beyond the scope of the license; 11 ... 12 H. willful or fraudulent commission of any act by the 13 licensee as a contractor in consequence of which another is 14 substantially injured, as determined by a court of competent 15 jurisdiction; 16 ... 17 K. acting in the capacity of a licensee under any other 18 name than is set forth upon the license. 19 .... 20 131. Plaintiffs have shown the four elements of negligence per se are 21 more likely than not. 22 132. There is a statute which exactly proscribes Mr. Parker’s admitted 23 unlawful actions. Section 60-13-23(J) . . . . Mr. Parker has admitted that 24 he violated this statute. Plaintiff is the owner of the [p]roperty that he had 25 contracted for extensive [i]mprovements, and clearly is in the class of 26 persons the statute was intended to protect. The purpose of the . . . Act 27 is primarily to protect consumers of construction services from 28 unlicensed and unsatisfactory work. NMSA 1978, § 60-13-1.1. Another 5 1 purpose of the . . . Act is to make it possible for consumers to tell 2 responsible, able, licensed contractors from unlicensed contractors[.] 3 Mascarenas v. Jaramillo, [1991-NMSC-014, ¶¶ 13-14, 111 N.M. 410, 4 806 P.2d 59]. 5 133. The injury to Plaintiff is exactly of the type the [L]egislature 6 sought to prevent. 7 134. Mr. Parker combined to or aided and abetted a fraudulent 8 misrepresentation and a fraudulent scheme for Mr. Ortega to get the job 9 with Plaintiff under a falsehood. 10 {4} Following the trial of Plaintiff’s claims against Parker, the district court entered 11 eighty-one findings of fact. Among the district court’s findings are the following: 12 75. [Plaintiff] offered no evidence establishing that anything that 13 Parker did or failed to do was the proximate cause of the claimed 14 damages. 15 76. [Plaintiff] offered no evidence establishing the amount of money 16 [Plaintiff] paid to correct or redo any of the work undertaken by Ortega. 17 77. [Plaintiff] offered no evidence establishing the amount of money 18 [Plaintiff] paid a third party for work that was not completed by Ortega. 19 78. There is no evidence in the record for the [c]ourt to be able to 20 distinguish between amounts paid to correct Ortega’s work and amounts 21 paid to complete the work Ortega contracted to complete. 22 79. [Plaintiff] offered no evidence establishing that Parker had any 23 intent to injure [Plaintiff]. 24 And the court entered conclusions of law reciting: 25 C. [Plaintiff’s] claims [of negligence and negligence per se] against 26 Parker should be dismissed as [Plaintiff] failed to establish that 6 1 any act or omission by Parker was the proximate cause of the 2 alleged harm suffered by [Plaintiff]. 3 D. [Plaintiff’s] claims [of negligence and negligence per se] against 4 Parker should be dismissed as Plaintiff failed to establish the costs 5 and damages resulting from work that was incorrectly performed 6 by Ortega. 7 E. There is no private right of action under the . . . Act . . . and 8 [Plaintiff’s] claim [of violation of the Act] should be dismissed. 9 F. [Plaintiff] failed to meet its burden to establish the elements of a 10 [p]rima [facie] [t]ort for [c]onspiracy and [c]ollusion to [d]efraud 11 [Plaintiff] and [v]iolate the [UPA], and [those claims] should be 12 dismissed[.] 13 .... 14 J. [Plaintiff] failed to establish it is entitled to damages under the 15 provisions of the [UPA.]1 16 Based on its findings of fact and conclusions of law, the district court entered 17 judgment dismissing Plaintiff’s claims against Parker with prejudice. 18 {5} On appeal, Plaintiff does not specifically attack as unsupported by evidence any 19 of the district court’s findings of fact in regard to proximate cause, money and 20 amounts paid, intent to injure, and damages, and does not set out in what manner those 21 findings were not supported by substantial evidence. Those findings of fact are 22 therefore deemed to be conclusive. See Rule 12-318(A)(4) NMRA (requiring an 1 23 Section 57-12-10(B) of the UPA creates a private right to recover actual 24 damages. 7 1 appellant to “set forth a specific attack on any finding, or the finding shall be 2 conclusive” and that “[a] contention that a . . . judgment, or finding of fact is not 3 supported by substantial evidence shall be deemed waived unless the argument 4 identifies with particularity the fact or facts that are not supported by substantial 5 evidence”). “Unless clearly erroneous or deficient, findings of the trial court will be 6 construed so as to uphold a judgment rather than to reverse it.” Herrera v. Roman 7 Catholic Church, 1991-NMCA-089, ¶ 14, 112 N.M. 717, 819 P.2d 264. “[A]n 8 appellant is bound by the findings of fact made below unless the appellant properly 9 attacks the findings, and . . . the appellant remains bound if he or she fails to properly 10 set forth all the evidence bearing upon the findings.” Martinez v. Sw. Landfills, Inc., 11 1993-NMCA-020, ¶ 18, 115 N.M. 181, 848 P.2d 1108. An unchallenged finding of 12 fact is binding on appeal. See Stueber v. Pickard, 1991-NMSC-082, ¶ 9, 112 N.M. 13 489, 816 P.2d 1111. 14 {6} Nor does Plaintiff show how the findings do not support the court’s conclusions 15 of law relating to negligence and negligence per se and prima facie tort. Those 16 conclusions of law stand in support of the court’s judgment. In reviewing conclusions 17 of law, we ascertain “whether the law correctly was applied to the facts, viewing them 18 in a manner most favorable to the prevailing party, indulging all reasonable inferences 19 in support of the court’s decision, and disregarding all inferences or evidence to the 8 1 contrary.” Golden Cone Concepts, Inc. v. Villa Linda Mall, Ltd., 1991-NMSC-097, 2 ¶ 8, 113 N.M. 9, 820 P.2d 1323. 3 {7} Plaintiff’s issues on appeal are more limited than those asserted in its complaint 4 and requested findings and conclusions. Plaintiff’s points broadly combine to assert 5 that it had a right to sue Parker because Parker helped Ortega violate the Act’s 6 licensure rules, its negligence per se claim against Parker was a viable claim given 7 Parker’s breach of a clear duty under the Act, and Parker’s knowing participation in 8 the wrongful conduct subjected Parker to joint and several liability under theories of 9 aiding and abetting, as well as conspiracy. Plaintiff also asserts that the district court 10 erred in awarding Parker attorney fees. We first address the tort liability issues, 11 followed by the attorney fee issues. 12 DISCUSSION 13 I. The Tort Liability Issues 14 {8} We see a need at the outset to clarify Plaintiff’s unclear arguments on appeal 15 about its assertions of joint and several liability based on independent torts of aiding 16 and abetting, collusion, and perhaps conspiracy. These theories of tort liability were 17 not pleaded in Plaintiff’s complaint as independent tort claims, nor were they 18 expressed as independent tort claims in Plaintiff’s requested findings of fact and 19 conclusions of law. Plaintiff has not shown that it preserved tort theories of recovery 9 1 separate from Plaintiff’s claim of violation of the Act. Such tortious conduct is 2 mentioned in Section 60-13-23(J) of the Act, which prohibits a licensee from “aiding, 3 abetting, combining or conspiring with a person to evade or violate” the Act, and is 4 alleged as constituting actions contributing to a violation of the Act. However, 5 Plaintiff offers no persuasive argument or authority supporting contentions of a 6 private right of action under the Act based on theories of conspiracy, collusion, aiding 7 and abetting, misrepresentation, or fraud. 8 {9} No New Mexico case supports such a right here. The test for establishing an 9 implied private right of action based on wording in a statute and legislative intent was 10 not satisfied under the circumstances. See Yedidag v. Roswell Clinic Corp., 2015- 11 NMSC-012, ¶ 31, 346 P.3d 1136 (stating the test to determine whether to imply a 12 private cause of action). The Yedidag test, taken from Cort v. Ash, 422 U.S. 66, 78 13 (1975) (known as the Cort factors), are: 14 (1) Was the statute enacted for the special benefit of a class of which the 15 plaintiff is a member? (2) Is there any indication of legislative intent, 16 explicit or implicit, to create or deny a private remedy? and (3) Would 17 a private remedy either frustrate or assist the underlying purpose of the 18 legislative scheme? 19 Yedidag, 2015-NMSC-012, ¶ 31 (alteration, internal quotation marks, and citation 20 omitted). There exists no explicit or implicit legislative intent to create a private 21 remedy under the circumstances here. Nor would providing a private remedy to 10 1 Plaintiff under the circumstances assist the underlying purpose of or public policy 2 underlying the Act. Plaintiff attempts to persuade us otherwise, relying on the results 3 in Yedidag and in National Trust for Historic Preservation v. City of Albuquerque, 4 1994-NMCA-057, 117 N.M. 590, 874 P.2d 798, in which private rights of action were 5 implied. Yedidag, 2015-NMSC-012, ¶¶ 42-43; Nat’l Trust, 1994-NMCA-057, ¶¶ 14- 6 15. These cases involve peculiar circumstances considerably different from the 7 circumstances here. See Yedidag, 2015-NMSC-012, ¶ 43 (allowing a private action 8 for breach of confidentiality provisions in the New Mexico Review Organization 9 Immunity Act causing the plaintiff’s damages); Nat’l Trust, 1994-NMCA-057, ¶ 12 10 (allowing a private right of action by displacing the Cort factors, looking beyond 11 legislative intent, and addressing a public agency’s failure to comply with state law). 12 {10} We do not conclude that Yedidag or National Trust are analogous, and we are 13 not persuaded that the circumstances in the present case are fit for establishing in 14 Plaintiff a private right of action against Parker under the Act. While an ultimate 15 purpose of the Act is to protect the public from unqualified contractors, see § 60-13- 16 1.1, the Act appropriately and adequately provides measures that civilly and 17 criminally punish violators. See §§ 60-13-23, -30, -52. We see no legislative intent to 18 afford relief beyond those measures under the circumstances in this case. We hold that 19 there exists no basis on which to imply a private right of action under the Act here. In 11 1 sum, on the liability issues, we hold that the district court did not err in dismissing 2 Plaintiff’s claims against Parker with prejudice. 3 II. The Attorney Fee Issues 4 {11} Parker moved for attorney fees under Section 57-12-10(C) of the UPA which, 5 in pertinent part, states that “[t]he court shall award attorney fees and costs to the party 6 charged with an unfair or deceptive trade practice or an unconscionable trade practice 7 if it finds that the party complaining of such trade practice brought an action that was 8 groundless.” After considering the issue, the court sent a letter to the parties setting 9 out Plaintiff’s proposed conclusions of law that pertained to the UPA. The proposed 10 conclusions of law stated that Ortega and Parker violated the UPA-imposed duty to 11 disclose material facts necessary to prevent any statements from being misleading, that 12 Ortega and Parker acted in violation of the Act through their material 13 misrepresentations, and that Ortega and Parker were liable for treble and additional 14 damages as well as attorney fees under the UPA. The court stated that Plaintiff’s 15 attempted defense against Parker’s claim for attorney fees, namely, that it had 16 abandoned its UPA claim prior to trial, was disingenuous, given that Plaintiff claimed 17 a UPA violation and damages in its requested findings of fact and conclusions of law. 18 {12} The district court quoted parts of Chavarria v. Fleetwood Retail Corp. of New 19 Mexico, 2005-NMCA-082, ¶ 43, 137 N.M. 783, 115 P.3d 799, aff’d in part, rev’d in 12 1 part on other grounds, 2006-NMSC-046, 140 N.M. 478, 143 P.3d 717, in relation to 2 the requirement that a determination must be made about the amount of time spent on 3 each separate claim in determining fees under the UPA. The court’s letter went on to 4 state: 5 All claims against . . . Parker arose out of the same operative facts. . . . 6 Parker’s defense against any one of the claims against him necessarily 7 was applicable and necessary to the defense of all other claims. It is 8 impossible to therefore separate the proof required to defend against any 9 one claim. In addition, . . . Plaintiff’s counsel brought a claim against . . . 10 Parker which they had successfully defended against the case of 11 Kreischer v. Armijo, 1994-NMCA-118, 118 N.M. 671, 884 P.2d 827, 12 wherein the Court of Appeals was clear that such claim did not exist in 13 New Mexico. Further, in the prosecution of . . . Plaintiff’s claim they 14 never acknowledged this case, but argued the same public policy 15 argument that the Court of Appeals had specifically rejected in the case. 16 The bringing of this claim and the failure to acknowledge that the claim 17 was contrary to existing law was bad faith. Such actions cannot be 18 encouraged or rewarded. 19 The court closed its letter determining the fees requested by Parker to be reasonable 20 and that Parker should be awarded $22,214.13 “in the circumstances of this case.” 21 {13} Shortly afterward, the district court entered an order granting Parker’s motion 22 for attorney fees and costs and amending the court’s earlier final judgment to include 23 this award of fees and costs. The court found that “[t]he UPA claim was groundless 24 as that term is [used] in Section 57-12-10(C) of the Act.” And the court made the 25 following further findings: 13 1 4. Plaintiff and his counsel knew before filing the instant 2 lawsuit that there was no factual basis to support the UPA claim, and 3 with this knowledge filed the claim anyway. 4 5. Plaintiff’s counsel, The Frith Firm, brought a claim against 5 . . . Parker, namely [an u]nlicensed [c]ontractor [c]laim, which The Frith 6 Firm had successfully defended against in the case of Kreischer . . . , 7 wherein the Court of Appeals was clear that such claim did not exist in 8 New Mexico. 9 6. Further, in the prosecution of the [u]nlicensed [c]ontractor 10 [c]laim[,] The Frith Firm never acknowledged the Kreischer case, but 11 argued the same public policy argument that the Court of Appeals had 12 specifically rejected in the case. The bringing of this claim and the 13 failure to acknowledge that the claim was contrary to existing law was 14 bad faith. 15 7. Such actions cannot be encouraged or rewarded. 16 8. . . . Parker has demonstrated that it is difficult or impossible 17 to segregate the legal work in defending the UPA claim from Plaintiff’s 18 other claims. 19 9. The hourly rates and amounts charged by . . . Parker’s 20 counsel were reasonable and that . . . Parker should be awarded the sum 21 of [$22,214.13]. 22 {14} Plaintiff complains on appeal that the “court erred in its fee-shifting ruling” 23 because “Kreischer does not hold that this UPA claim against the licensed contractor 24 is groundless[,]” and “[t]o the contrary, it held that the UPA claim against the licensed 25 contractor should not have been dismissed.” The parties argue about Kreischer’s 26 application because, in determining that the UPA claim against Parker was groundless, 14 1 the district court relied on Kreischer and the Frith Firm’s representation of the 2 defendant in Kreischer in determining that the claim against Parker was groundless. 3 {15} In Kreischer, an unlicensed corporation contracted with the plaintiff for 4 construction work. 1994-NMCA-118, ¶ 2. When the corporation failed to complete 5 the construction, the plaintiff sued the individual (the defendant) with whom the 6 plaintiff dealt with in the contracting process. Id. ¶ 3. The defendant was the sole 7 owner of the unlicensed corporation, was its president, and was acting as agent for the 8 corporation. Id. ¶ 2. As stated in Kreischer, the “[d]efendant possessed a contractor’s 9 license in his own name only; the [c]orporation itself did not possess such a license.” 10 Id. The district court granted the defendant’s motion for summary judgment. Id. ¶ 3. 11 The plaintiff appealed. Id. ¶¶ 1, 3. 12 {16} The Court in Kreischer first detoured to an issue of whether the plaintiff’s 13 claims of gross negligence and negligence per se sounded in contract rather than tort, 14 making any duty owed to the plaintiff to be one imposed by the contract and not by 15 law. Id. ¶¶ 6-7. After characterizing these claims as sounding in contract and not tort, 16 id. ¶¶ 3, 6-7, the district court characterized a remaining claim as one that could be 17 “viewed in a slightly different light[,]” that is, a claim that “came very close to 18 alleging a valid non-contractual cause of action against [the d]efendant, as an agent 19 of the [c]orporation, based on the [UPA],” and that “[t]he language [in this claim] 15 1 alleged certain facts that, if proven, could support a cause of action for unfair and 2 deceptive trade practice against [the d]efendant, not the [c]orporation.” Id. ¶ 8. And 3 the Court “recognize[d] that these allegations might support a claim that is separately 4 actionable against [the d]efendant.” Id. ¶ 9. 5 {17} That said, however, the Court in Kreischer determined that it would only 6 address the plaintiff’s contract claim, reasoning that the plaintiff had failed to address 7 the unfair practices issue in his brief in chief and that “with proper allegations and the 8 necessary argument made first to the trial court and then to [the Court of Appeals], 9 [the p]laintiff could have brought a separate cause of action under the UPA against 10 [the d]efendant individually,” but the plaintiff failed to bring that separate cause of 11 action. Id. ¶ 10. 12 {18} The Court in Kreischer then characterized “the issue as argued by the parties” 13 to be “more precisely stated” and rephrased as follows: “whether the . . . Act . . . 14 allows a cause of action based on breach of contract against the individual owner of 15 the construction license who was not a party to the contract but was acting as the agent 16 of a corporation that was a party to the contract but did not possess a license.” Id. ¶ 12. 17 Under the contract issue, the Court then addressed whether “the public policy of 18 requiring contractors to possess a valid license mandates imposition of liability on the 19 party who possesses the license.” Id. ¶ 13. The Court decided that, in spite of the 16 1 “strong public policy of requiring contractors to possess a license,” id., “nothing in the 2 Act imposes civil liability” on an agent “who enters into a contract on behalf of a 3 disclosed principal that is unlicensed[,]” even though the agent “is subject to criminal 4 liability[.]” Id. ¶ 15. 5 {19} In arguing that its claim against Parker relating to the UPA was not groundless, 6 Plaintiff asserts that the claim was based on Parker’s own conduct that was actionable 7 under the UPA and that “the language of the UPA encompasses ‘a broad array of 8 commercial relationships’ and does not require a direct transaction between a plaintiff 9 and a defendant.” See Maese v. Garrett, 2014-NMCA-072, ¶ 19, 329 P.3d 713 (stating 10 that the UPA applied even though the defendants were not specifically compensated 11 in connection with a claimed misrepresentation made by the defendants, where the 12 defendants’ claimed misrepresentation “occurred in connection with the [broader] 13 commercial relationship for which [the d]efendants were compensated”); Lohman v. 14 Daimler-Chrysler Corp., 2007-NMCA-100, ¶ 21, 142 N.M. 437, 166 P.3d 1091 15 (stating that “[t]he conjunctive phrase [in the UPA] ‘in connection with’ seems 16 designed to encompass a broad array of commercial relationships” and that “[o]n its 17 face, this language does not suggest that a direct representation, by the defendant to 18 the plaintiff, is a prerequisite” to stating a UPA claim). Further, Plaintiff states that 19 “[t]he UPA itself provides a private cause of action for violation of any of a myriad 17 1 of state regulations of practices in the trades (. . . and there is no law suggesting it does 2 not apply to [the Act] regulation violations).” See Parker v. E.I. DuPont de Nemours 3 & Co., 1995-NMCA-086, ¶ 47, 121 N.M. 120, 909 P.2d 1 (stating that “[g]enerally, 4 the [UPA] is intended to provide a private remedy for individuals who suffer 5 pecuniary harm for conduct involving either misleading identification of a business 6 or goods, or false or deceptive advertising”). Further, Plaintiff argues, 7 [It] can appreciate that the district court did not find in [its] favor on the 8 aid-and-abet an[d] UPA claim[s] as to Parker, that is not the same as 9 saying that the claim itself was groundless. Clearly, unlicensed 10 contractors getting work by pretending they have “permission” to use 11 another’s license is a classic unfair practice. 12 See Romero v. Parker, 2009-NMCA-047, ¶ 27, 146 N.M. 116, 207 P.3d 350 13 (concluding that “the [Act] bars both an unlicensed subcontractor from recovering 14 compensation from a general contractor and a general contractor who did not act 15 responsibly in hiring an unlicensed subcontractor from recovering compensation 16 already paid to the unlicensed subcontractor”). 17 {20} According to Parker, Plaintiff “misses the point with respect to the [d]istrict 18 [c]ourt’s citation to Kreischer[.]” In Parker’s view, Plaintiff “was attempting to 19 impose liability as a matter of public policy under [the Act] on a licensed contractor 20 for work done by an unlicensed contractor[,]” and in Kreischer, the Frith Firm, which 21 represented the defendant in Kreischer and Plaintiff in the present case, “successfully 18 1 defended a licensed contractor against the same public policy claim under [the Act].” 2 Parker points also to the statement in Kreischer, 1994-NMCA-118, ¶ 13, that 3 “[a]lthough we agree that New Mexico has a strong public policy of requiring 4 contractors to possess a license, the cases on which [the p]laintiff relies do not indicate 5 that the appropriate remedy is to place liability on an individual or entity who was not 6 a party to the contract.” (Citations omitted.) Thus, Parker contends, “[t]he Frith Firm 7 was well aware that its suit attempting to impose liability under [the Act] against 8 Parker on public policy grounds had been rejected by the Court of Appeals[,]” and 9 “the [d]istrict [c]ourt’s citation to Kreischer merely highlighted that it was frivolous 10 and groundless to attempt to impose liability on Parker under [the Act], and that the 11 Frith [Firm] was aware of that fact.” 12 {21} Kreischer held that: 13 [T]he Act does not alter the general rule that an agent is not liable on a 14 contract the agent enters into on behalf of a disclosed principal, even 15 where the principal does not possess a contractor’s license and the agent 16 does. Therefore, under the facts of this case, where the complaint 17 essentially alleged breach of the construction contract, we conclude that 18 the trial court did not err in dismissing the complaint. 19 Id. ¶ 16. The decisive issue in Kreischer was not whether a plaintiff could successfully 20 pursue a UPA claim directly against a licensed individual who acted as an agent of an 21 unlicensed corporation. Instead, the decisive issue in Kreischer was whether the public 22 policy behind the Act created a basis for contract liability under a breach of contract 19 1 claim when the licensed individual owner of the unlicensed contracting company 2 violated the Act. See id. ¶ 12 (stating the issue before the Court). 3 {22} We hold that the district court erred in its determination that Plaintiff’s claim 4 was groundless, allowing an award of attorney fees. Plaintiff here did not attempt, as 5 the plaintiff did in Kreischer, to establish a breach of contract claim based on Parker’s 6 violation of the Act and the public policy underlying the Act. Plaintiff attempted to 7 establish a claim under the UPA based on Parker’s conduct in violation of the Act and 8 the public policy underlying the Act. Because the actual issue and holding in 9 Kreischer was based on a breach of contract claim and not on a UPA-based claim, the 10 UPA-based claim here is not inconsistent with counsel’s client’s positions in 11 Kreischer. The district court in the present case therefore erred in its determination 12 that counsel’s conduct in asserting a UPA-based claim was inappropriate. 13 CONCLUSION 14 {23} We affirm the district court’s dismissal of Plaintiff’s liability claims. As to the 15 attorney fee issue, we hold that Parker misconstrues and the district court 16 misconstrued Kreischer and Plaintiff’s arguments. Further, we hold that Plaintiff’s 17 UPA claim was not groundless under Section 57-12-10(C). The district court therefore 18 erred in awarding attorney fees. We reverse the district court’s award of attorney fees. 19 {24} IT IS SO ORDERED. 20 1 __________________________________ 2 JONATHAN B. SUTIN, Judge 3 WE CONCUR: 4 _______________________________ 5 LINDA M. VANZI, Chief Judge 6 _______________________________ 7 MICHAEL E. VIGIL, Judge 21