IN THE SUPREME COURT OF TEXAS
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NO. 18-0386
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GUY JAMES GRAY, PETITIONER,
v.
PATRICIA SKELTON, RESPONDENT
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ON PETITION FOR REVIEW FROM THE
COURT OF APPEALS FOR THE FOURTH DISTRICT OF TEXAS
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Argued September 26, 2019
JUSTICE DEVINE delivered the opinion of the Court, in which CHIEF JUSTICE HECHT, JUSTICE
GUZMAN, JUSTICE LEHRMANN, JUSTICE BOYD, and JUSTICE BUSBY joined.
JUSTICE BLACKLOCK filed a dissenting opinion, in which JUSTICE GREEN and JUSTICE BLAND
joined.
In Peeler v. Hughes & Luce, a plurality of this Court concluded that a client could not sue
her criminal-defense attorney for malpractice so long as she stood convicted of the underlying crime.
909 S.W.2d 494, 497–98 (Tex. 1995). The plurality reasoned that, until the conviction is
overturned, “it is the illegal conduct [of the convict,] rather than the negligence of a convict’s
counsel[,] that is the cause in fact of any injuries flowing from the conviction.” Id. at 498.
Accordingly, “plaintiffs who have been convicted of a criminal offense may negate the sole
proximate cause bar to their claim for legal malpractice in connection with that conviction only if
they have been exonerated on direct appeal, through post-conviction relief, or otherwise.” Id. at
497–98 (emphasis added). The primary dispute in this case is over Peeler’s exoneration
requirement.
The client here sued her criminal-defense attorney for malpractice after having her
conviction vacated on the basis of ineffective assistance of counsel. The trial court dismissed the
client’s legal-malpractice claim as baseless under Peeler. But the court of appeals reversed and
remanded, concluding that Peeler did not bar the client’s claim. 547 S.W.3d 272 (Tex. App.—San
Antonio 2018). We agree that Peeler does not bar the client’s malpractice claim and accordingly
affirm the court of appeals’ judgment.
I
Attorney Patricia Skelton was charged with forging a deceased client’s will. See TEX. PEN.
CODE § 32.21(b). The charges related to a will Skelton drafted for Ysidro Canales, who died about
a year after the will’s execution. Although Canales retained the signed original, his family could
not find his will after his death. Skelton, however, had a copy in her files. Unfortunately, her copy
of Canales’s will was water-damaged from a rainstorm that partially flooded her law office.
Skelton still had an electronic copy of Canales’s will on her computer’s hard drive, however,
from which she printed a clean copy. The print out, of course, did not contain the signatures of
Canales or his witnesses. Believing that she could not probate the will without the signatures,
Skelton cut the signatures off the water-damaged copy of the will and pasted them onto the new print
out. Skelton then filed this cut-and-paste version of Canales’s will with the probate court, not
disclosing to the court what she had done. Soon thereafter, Skelton’s administrative assistant
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informed law enforcement that she suspected Skelton of creating a false will, and after further
investigation, Skelton was indicted for forging Canales’s will.
Skelton pleaded not guilty to the charge and hired Guy Gray, a criminal-defense attorney.
After she was convicted of forgery in December 2007, Skelton replaced Gray with new counsel for
the appeal. The new attorneys argued, among other things, that Gray rendered ineffective assistance
of counsel. The court of appeals affirmed her conviction, finding the record insufficient to hold
Gray’s counsel ineffective under the Sixth Amendment. Skelton v. State, No. 04-08-00720-CR,
2010 WL 2298859 (Tex. App.—San Antonio June 9, 2010, pet. ref’d) (mem. op.). The Court of
Criminal Appeals subsequently refused Skelton’s petition for review.
Meanwhile, some of Canales’s relatives filed a will contest in the probate court. There, the
jury found that (1) Canales executed a valid will; (2) Skelton did not act with the intent to defraud
or harm another when she physically altered the will; and (3) the will submitted to probate was an
accurate copy of Canales’s will. After these findings in the will contest, Skelton filed an application
for a writ of habeas corpus in the district court. In her habeas application, Skelton renewed her
ineffective-assistance argument and also claimed she was actually innocent based on the jury
findings in the will contest. The district court denied the writ. The court of appeals, however,
reversed the district court’s denial and granted Skelton habeas relief. Although the court of appeals
did not consider whether Skelton was actually innocent of forgery, it agreed with Skelton that, under
the Sixth Amendment’s standard for deficient legal representation set forth in Strickland v.
Washington, 466 U.S. 668 (1984), Gray’s counsel constituted ineffective assistance. Ex parte
Skelton, 434 S.W.3d 709, 730–33 (Tex. App.—San Antonio 2014, pet. ref’d). On this ground, the
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court of appeals vacated Skelton’s conviction. Id. at 734. The State subsequently elected to dismiss
Skelton’s criminal charges.
About a year later, Skelton sued Gray for malpractice. Gray moved to dismiss her claim
under Texas Rule of Civil Procedure 91a, arguing that Skelton was not “exonerated” under the
Peeler doctrine and further that the two-year statute of limitations barred her claim. The trial court
granted Gray’s motion, concluding that the Peeler doctrine barred Skelton’s malpractice claim
because she had failed to prove her exoneration. The court of appeals reversed, holding that because
Skelton’s conviction had been vacated, the Peeler doctrine did not apply. 547 S.W.3d at 277. The
appellate court also considered a statute-of-limitations issue the trial court did not reach because of
its application of Peeler. As to that issue, the court of appeals concluded that Skelton’s malpractice
suit was timely filed because the limitations period was tolled until Skelton obtained habeas relief.
Id. at 278–79.
We granted Gray’s petition for review to consider the meaning of “exonerated” under Peeler
and Peeler’s interaction with equitable-tolling principles under Hughes v. Mahaney & Higgins, 821
S.W.2d 154 (Tex. 1991).
II
Gray argues that Peeler bars a convicted criminal defendant from bringing a legal-
malpractice claim against her former defense counsel unless and until she is exonerated. He submits
further that “exoneration” under Peeler requires not only the vacatur of the underlying criminal
conviction but also a determination of the formerly convicted person’s actual innocence. Gray then
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concludes that because the habeas proceeding here did not also determine Skelton’s innocence,
Skelton cannot sue him for his alleged malpractice.
Skelton responds that Peeler does not bar her malpractice claim because she is no longer a
convicted criminal. Alternatively, if Peeler does apply, Skelton maintains that she has nevertheless
been exonerated by the appellate court’s decision to vacate her conviction, the State’s decision to
dismiss all charges, and the jury’s determination in the will contest case that she did not commit
fraud. In fact, Skelton submits she must be presumed innocent now that an appellate court has
vacated her previous conviction.
In Peeler, Carol Peeler was indicted by a federal grand jury on twenty-one counts after being
suspected of engineering illegal tax write-offs. 909 S.W.2d at 495–96. Peeler hired Darrell Jordan,
a partner with Hughes & Luce, LLP, to represent her. Id. at 496. While under Jordan’s advisement,
Peeler signed a plea agreement admitting guilt to one count of aiding and assisting the filing of a
false and fraudulent tax return. Id. In exchange, the government dropped the balance of the charges
against her, recommending a relatively short prison sentence. Id. Peeler was eventually ordered to
serve five years of probation, with a fine of $100,000 and $150,000 in restitution. Id.
Peeler later sued Jordan, alleging that before she pleaded guilty, Jordan knew but failed to
tell her that the government had offered her absolute transactional immunity if she testified against
her colleagues. Id. Peeler thus sued Jordan for legal malpractice. In the trial court, Jordan and his
firm, Hughes & Luce, moved for summary judgment, arguing that Peeler’s own conduct proximately
caused her damages. Id. On this ground, the trial court granted summary judgment, and the court
of appeals affirmed. Id. Thus, in Peeler, the question before this Court was whether a convicted
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criminal could sue her criminal-defense attorney for malpractice. A plurality held that, with one
important qualification, a convict could not.
Under the now so-called Peeler doctrine, convicts may not sue their criminal-defense
attorneys for malpractice unless “they have been exonerated on direct appeal, through post-
conviction relief, or otherwise.” Id. at 498. This is so, the Peeler plurality explained, because
“allowing civil recovery for convicts impermissibly shifts responsibility for the crime away from
the convict.” Id. Without this rule, malpractice claims brought by convicted criminals would
“drastically diminish[] the consequences of the convicts’ criminal conduct and seriously undermine[]
our system of criminal justice.” Id. And as the plurality also noted, permitting a convicted criminal
to recover damages through a legal-malpractice claim would allow that criminal “to profit by his
own fraud, or to take advantage of his own wrong, or to found a claim upon his iniquity, or to
acquire property by his own crime.” Id. at 497 (quoting State ex rel. O’Blennis v. Adolf, 691 S.W.2d
498, 504 (Mo. Ct. App. 1985)).
While the Peeler plurality predicated its holding on public-policy considerations, policy was
not the only driving force behind its reasoning. At its core, the Peeler doctrine rests on the notion
of proximate cause. It is the convicted criminal’s illegal conduct, not the attorney’s negligence, that
proximately causes the conviction. See id. at 497–98. That is, even if the defense attorney had not
been negligent, the conviction would still follow based on the evidence of the underlying crime. So
if convicted criminals want to sue their defense attorneys, they must first remove the proximate-
cause bar. They can do so, the plurality said, by being “exonerated.” Id. at 498.
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Yet the Peeler plurality did not precisely define the term “exonerated” because the
disposition of that case did not so require. In this case, however, we must. The question here is
whether Skelton has been “exonerated” by having her conviction set aside for ineffective assistance
of counsel.
Skelton equates “exoneration” with the act of vacating a conviction, particularly when those
grounds do not relate to innocence, such as ineffective assistance of counsel. But such equation is
inconsistent with both the plurality’s and dissent’s repeated use of the word “innocence” in Peeler
itself. Id. at 497 (using and quoting the word “innocence” at least four times); see also id. at 501
(Phillips, C.J., dissenting) (using the word “innocence” to describe the plurality’s holding at least
three times). Indeed, the plurality explicated the underlying policy justifications with “proof of
innocence” and an “innocence requirement” in mind. Id. at 497. Having counsel that falls below
minimum Sixth Amendment standards, as Skelton did here, suggests nothing about the criminal
defendant’s innocence of the underlying crime. It merely says that a conviction cannot stand in the
face of a constitutionally deficient trial. See Kimmelman v. Morrison, 477 U.S. 365, 379–80 (1986)
(noting that, although criminal-procedure rights in the Constitution “promote the ultimate objective
that the guilty be convicted and the innocent go free,” they are “granted to the innocent and the
guilty alike”) (quoting Evitts v. Lucey, 469 U.S. 387, 394 (1985)).
Skelton’s view also does not comport with the definition of exoneration: “The clearing of
someone’s name after that person has been accused of blameworthy conduct or wrongdoing.”
Exoneration, BLACK’S LAW DICTIONARY 721 (11th ed. 2019). Exoneration’s definition
contemplates an affirmative act—that is, “the clearing of.” Skelton therefore does not stand
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“exonerated” by the mere fact that the State has decided to not bring criminal charges against her
a second time. Inaction is not affirmative.
Nor do we find persuasive Skelton’s related argument—that she is exonerated because now,
without a conviction, she is presumed innocent until proven guilty. The presumption of innocence
is a fundamental principle in our criminal-justice system. But the presumption of innocence at trial
that the State must overcome is just that: a presumption at trial that the State must overcome. It
relates to burdens of proof, not affirmative acts of exoneration. That the State failed to prove a
defendant committed a criminal act beyond a reasonable doubt does not mean the defendant did not
in fact commit the crime. It merely means the State failed to meet its evidentiary burden. See Ex
parte Elizondo, 947 S.W.2d 202, 207 (Tex. Crim. App. 1996) (“The actual-innocence inquiry is
therefore distinguishable from review for sufficiency of the evidence, where the question is not
whether the defendant is innocent but whether the government has met its constitutional burden of
proving the defendant’s guilt beyond a reasonable doubt.”) (quoting Herrera v. Collins, 506 U.S.
390, 443 (1993) (Blackmun, J., dissenting)).
All this is not to say that having a conviction vacated is unnecessary to remove the
proximate-cause bar. Quite the opposite. The Peeler plurality declared that, as a convicted
criminal, Peeler could not maintain a malpractice suit against her defense attorney “unless the
conviction has been overturned.” Id. at 498. And shortly preceding that statement, the plurality
suggested that a convicted criminal’s “direct appeal” or “post-conviction relief” would be requisite
components of the exoneration process. See id. So while having a conviction vacated is not alone
sufficient to remove the proximate-cause bar, it is the necessary predicate for a malpractice suit.
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Gray, in contrast, argues we should look no further than the basis of Skelton’s post-
conviction relief—that is, ineffective assistance of counsel. Because Skelton was not found actually
innocent of criminal forgery in her habeas proceeding, Gray contends, Peeler precludes Skelton
from pursuing her malpractice claim. Gray would thus expand Peeler’s reach exponentially, having
it categorically bar all claims made by formerly convicted individuals, excepting only those who
have been declared “actually innocent” in their habeas proceeding. While we agree with Gray
insofar as he argues that Skelton’s conviction must be vacated, we disagree that Skelton must also
be declared actually innocent before she may initiate her claim. To be sure, having a conviction
vacated on an actual-innocence finding will remove Peeler’s proximate-cause bar. But an actual-
innocence finding in a habeas proceeding is not the only means by which an individual can meet
Peeler’s exoneration requirement.
Which brings us to the next question: What else must an individual, whose conviction has
been vacated, affirmatively show to remove Peeler’s proximate-cause bar? For a traditional legal-
malpractice claim, a client must establish that the lawyer owed the client a duty of care, the lawyer
breached that duty, and the lawyer’s breach proximately caused the client’s damages. Rogers v.
Zanetti, 518 S.W.3d 394, 400 (Tex. 2017). But for those whose conviction has been vacated on
grounds other than actual innocence, we add one more requirement: They must obtain a finding of
their innocence as a predicate to the submission of their legal-malpractice claim. Submission of the
traditional elements of legal malpractice to the factfinder should thus be conditioned on an
affirmative finding that the malpractice plaintiffs are innocent of the crime of which they were
formerly convicted. The burden of proof for this predicate finding is the same as in any civil
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malpractice case: preponderance of the evidence. By requiring this proof, we do not deviate from
Peeler’s proximate-cause rationale because a negative answer to the threshold question negates
causation.
In sum, exoneration under Peeler requires not only that the underlying criminal conviction
be vacated but also proof of innocence. Innocence, however, can be established in more than one
way. It can be established in the underlying criminal proceeding when the conviction is vacated on
an actual-innocence finding. See In re Allen, 366 S.W.3d 696, 700 (Tex. 2012). Or, if the
conviction is vacated on other grounds, formerly convicted individuals may prove their innocence
in their malpractice suit against their criminal-defense attorneys.
III
The court of appeals also determined that Skelton’s malpractice claim was not barred by the
two-year statute of limitations. In doing so, it tolled the limitations period not only during Skelton’s
direct appeal but also until the time her conviction was vacated in her habeas proceeding. 547
S.W.3d 272, 278 (Tex. App.—San Antonio 2018). The court of appeals reasoned that, because
Skelton could not have brought her claim for legal malpractice until she obtained post-conviction
relief, the limitations period must begin running “from the event that ‘exonerates’ the former
criminal defense client or otherwise vacates that client’s conviction.” Id. at 279. In so holding, the
court of appeals essentially extended our decision in Hughes v. Mahaney & Higgins, which held that
the limitations period for legal-malpractice claims would be tolled until “all appeals on the
underlying claim are exhausted.” 821 S.W.2d 154, 157 (Tex. 1991).
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Gray takes issue with this extension of Hughes’s tolling principles. He complains that the
extension here is unworkable because applications for post-conviction relief are not subject to
specific deadlines and thus may be used to toll limitations indefinitely. Gray submits that Hughes
tolling should not be extended beyond the direct appeals in the underlying criminal case.
While we share Gray’s concern, we do not agree with his remedy. As this case demonstrates,
a criminal conviction may be overturned in post-conviction proceedings collateral to the convicted
individual’s direct appeal. So for purposes of the Peeler doctrine, the limitations period should be
tolled during both direct appeals and post-conviction proceedings; conversely, limitations should
run during periods when neither a direct appeal nor a post-conviction proceeding is pending. While
novel, this extension of tolling principles satisfies our preference for bright lines in the statute-of-
limitations context, see Apex Towing Co. v. Tolin, 41 S.W.3d 118, 122 (Tex. 2001), and cures the
potential problem of malpractice claims being tolled until some indeterminate time in the future
when the convicted criminal seeks post-conviction relief.
One reason for Hughes tolling, as we explained in Apex Towing, was that sometimes the
viability of the malpractice action “depends on the outcome of the underlying litigation.” Id. at 121.
This viability rationale is apt here. For Skelton to bring her malpractice claim against Gray, she
must have her conviction vacated. Skelton’s malpractice claim thus depended on the outcome of
her habeas litigation. Cf. Hughes, 821 S.W.2d at 157 (“Limitations are tolled for the second cause
of action because the viability of the second cause of action depends on the outcome of the first.”).
Because in many instances certain classes of claims may not arise until after the direct-appeal
process (e.g., ineffective assistance of counsel, Brady violations, use of junk science), tolling during
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post-convictions proceedings ensures the preservation of meritorious claims. While Skelton asserted
an ineffective-assistance claim on direct appeal, claims on which post-conviction relief are
predicated often emerge only after the appeals process solidifies the conviction.
To clarify, we consider the tolling period to include not only the habeas application process
but also the period during which Skelton’s case was pending for a new trial, awaiting the State’s
prosecution. We hold this view for two reasons. First, the habeas relief did not end the criminal
case against Skelton. It merely vacated the original conviction. Charges still loomed, and Skelton’s
malpractice claim remained captive to the possibility of a second prosecution and conviction that
might likewise bar her malpractice claim. See Apex Towing Co., 41 S.W.3d at 119 (“[T]he statute
of limitations on a malpractice claim against that attorney is tolled until . . . the litigation is
otherwise finally concluded.”). And second, the State controlled when and whether to dismiss the
charges set out in the indictment, effectively putting Skelton’s limitations period at the State’s
mercy. Because the viability of Skelton’s malpractice claim was dependent on the dismissal of these
charges or a subsequent acquittal, it would be unfair to run out limitations during any delay or
indecision about further prosecution.
Under Hughes tolling, the limitations period on Skelton’s malpractice claim was tolled up
to March 25, 2011, the date the Court of Criminals Appeals issued its mandate denying Skelton’s
petition for discretionary review. Under our decision today, the limitations period on Skelton’s
claim was again tolled on September 26, 2011, when she filed her application for writ of habeas
corpus. This second tolling period then ended on February 6, 2015, when the State dismissed
Skelton’s charges. Skelton subsequently filed her malpractice suit against Gray on May 27,
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2016—collectively, less than the two-year statute-of-limitations period applicable to legal-
malpractice suits. TEX. CIV. PRAC. & REM. CODE § 16.003(a). Skelton’s suit, based on our tolling
of the limitations period, was thus timely.
*****
We therefore conclude that the statute of limitations does not bar Skelton’s malpractice claim
against Gray. We conclude further that the Peeler doctrine does not bar Skelton’s malpractice claim,
and she must now obtain a finding of her innocence in the malpractice action to maintain that claim.
We thus agree with the court of appeals’ decision to remand this case for trial, and its judgment is
accordingly affirmed.
________________________________________
John P. Devine
Justice
OPINION DELIVERED: February 21, 2020
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