IN THE INTERMEDIATE COURT OF APPEALS OF WEST VIRGINIA
Fall 2023 Term FILED
_____________________
November 13, 2023
No. 22-ICA-168 released at 3:00 p.m.
EDYTHE NASH GAISER, CLERK
_____________________ INTERMEDIATE COURT OF APPEALS
OF WEST VIRGINIA
DONALD C. NICHOLS,
Plaintiff Below, Petitioner
v.
MARONEY WILLIAMS WEAVER & PANCAKE PLLC and
PATRICK K. MARONEY,
Defendants below, Respondents.
___________________________________________________________
Appeal from the Circuit Court of Kanawha County
Honorable Joanna I. Tabit, Judge
Civil Action No. 20-C-518
AFFIRMED
_________________________________________________________
Submitted: October 10, 2023
Filed: November 13, 2023
Matthew B. Hansberry, Esq. Clayton T. Harkins, Esq.
Hansberry & Wagoner, PLLC Kevin A. Nelson, Esq.
Bridgeport, West Virginia Dinsmore & Shohl LLP
Counsel for Petitioner Charleston, West Virginia
Counsel for Respondents
JUDGE SCARR delivered the Opinion of the Court.
SCARR, JUDGE:
This appeal involves a legal malpractice action brought by Donald C. Nichols
against Patrick K. Maroney and Maroney Williams Weaver & Pancake PLLC (collectively,
“the defendants”). The lower court granted summary judgment in favor of the defendants,
finding that Mr. Nichols’ complaint did not adequately plead a claim for breach of contract,
and further that his negligence claim was barred by the statute of limitations. For the
reasons stated below, we affirm the decision of the lower court.
I. FACTUAL AND PROCEDURAL HISTORY
During his 39-year career at FMC, Mr. Nichols was allegedly exposed to
benzene on a number of his job assignments. Thirteen years after he retired, he was
diagnosed with multiple myeloma, a severe and aggressive type of cancer that affects
certain blood cells which make antibodies. 1 In January 2014, Mr. Nichols filed an
application for workers’ compensation benefits related to his cancer. Dr. Justin Cohen, who
signed his workers’ compensation application, indicated that Mr. Nichols’ multiple
myeloma was a “possible” occupational disease. The claim administrator denied his claim
1
“[M]ultiple myeloma is a cancer of the plasma cell, a cell which arises in bone
marrow and is an important part of the immune system as it provides antibodies which help
fight infection and other diseases. If a plasma cell becomes malignant, it is called
a myeloma cell. An individual with myeloma has an abnormal build-up of myeloma cells
in the bone marrow with displacement of normal marrow and which results in tumors that
involve and destroy surrounding bone.” Harris v. CSX Transp., Inc., 232 W. Va. 617, 623,
753 S.E.2d 275, 281 (2013), quoting World City Found, Inc., v. Sachetti, No. 114829/03,
2008 WL 344131, at *4 (N.Y. Sup. Ct. Jan. 28, 2008).
1
because there was no definitive opinion by a medical professional stating that multiple
myeloma had been caused by chemical exposure in the workplace and because the
employer was unaware of any exposure which would have caused Mr. Nichols to develop
this cancer thirteen-and-one-half years after he retired.
On March 28, 2014, Mr. Nichols signed an “Authority to Represent and
Limited Power of Attorney” with the law firm of Maroney Williams Weaver & Pancake
PLLC to represent him regarding his workers’ compensation claim. The firm was not
retained to represent Mr. Nichols regarding any tort claims he might have related to his
multiple myeloma. Instead, he hired another law firm to bring a personal injury action
against FMC and various chemical suppliers. This personal injury lawsuit was filed in
Marshall County, West Virginia sometime during 2015. This other action is only relevant
to our current appeal because certain positions taken in pleadings filed in the Marshall
County lawsuit have been referenced in some of the arguments made by the parties here.
On June 15, 2017, the Workers’ Compensation Office of Judges (“Office of
Judges”) issued a decision affirming the denial of occupational disease benefits by the
claim administrator. In its decision, the Office of Judges noted that the only persuasive
medical evidence in the record came from the defendants’ medical expert, who opined that
benzene exposure did not cause Mr. Nichols’ multiple myeloma, and that the scientific
2
literature did not support even general causation. 2 The Office of Judges also noted that the
application for Occupational Disease benefits was not placed in evidence, but the claim
administrator’s denial of the claim, which was placed in evidence by the defendants, noted
that Dr. Cohen had opined that Mr. Nichols’ multiple myeloma was only a “possible”
occupational disease. Both Mr. Nichols and his attorney, Patrick K. Maroney, were copied
on this opinion, as indicated by the signature page of the decision, see appendix record at
06, and Mr. Nichols has never denied receiving it. The parties agree that no medical expert
testified on behalf of Mr. Nichols when his claim was presented to the Office of Judges.
By letter dated June 27, 2017, the defendants advised Mr. Nichols that:
Per our discussion on June 26, 2017, please be advised we will
not be appealing the June 15, 2017 Order of the Administrative
Law Judge to the Workers’ Compensation Board of Review.
Based upon the evidence in your claim, it does not appear that
the Board of Review will enter a favorable decision for you. It
is our opinion that any further appeal of your claim will be
unsuccessful.
Appendix at 142. The letter went on to explain that Mr. Nichols could file an appeal on his
own or obtain the services of another attorney if he wished to pursue this matter. The letter
2
General causation concerns whether an occupational exposure can cause a
particular disease. For example, whether asbestos can cause lung cancer. Specific causation
concerns whether an occupational exposure caused that disease in a particular person. For
example, whether asbestos exposure caused lung cancer in a plaintiff. Philip Combs &
Andrew Cooke, Modern Products Liability Law in West Virginia, 113 W. Va. L. Rev. 417,
512-13 (Winter 2011); Meade v. Parsley, No. 2:09-cv-00388, 2010 WL 4909435, at *5
(S.D. W. Va. Nov. 24, 2010) (memorandum opinion and order); see generally San
Francisco v. Wendy’s Int’l, Inc., 221 W. Va. 734, 758 n. 12, 656 S.E. 2d 485, 509 n. 12
(2007) (Davis, J., concurring).
3
also advised that any appeal would have to be filed within thirty days of the final order
from the Office of Judges. No appeal was ever filed from the unfavorable ruling by the
Office of Judges.
Mr. Nichols has never denied receiving this letter. In fact, he contends that
the language of this letter constituted fraudulent concealment on the part of his counsel,
thereby tolling his statute of limitations, because it did not indicate that Mr. Nichols might
have a potential malpractice claim against the defendants. Mr. Nichols has not denied that
he met with counsel on the day before this letter was dated, nor has he indicated what might
have been discussed during this meeting if it occurred. The bottom of this letter also
indicated that there was an enclosure, but if so, that enclosure was not included in the record
on appeal.
On June 25, 2020, Mr. Nichols filed a legal malpractice action in the Circuit
Court of Kanawha County against Mr. Maroney and his firm. 3 The complaint contained
two counts, one styled “Breach of Express and/or Implied Contract” and one styled
“Negligence.” The complaint did not refer to any specific language of the retainer
agreement that was allegedly breached by the defendants. According to the complaint, Mr.
Nichols incurred approximately $800,000 of health care expenses that he contends would
have been covered by workers’ compensation had his claim been accepted. He also asserted
3
Mr. Maroney was the lawyer at Maroney Williams Weaver & Pancake PLLC who
was primarily responsible for working on Mr. Nichols’ workers’ compensation claim.
4
that his separate personal injury action against FMC was compromised by the adverse
ruling in the workers’ compensation proceeding. 4
In response to Mr. Nichols’ complaint, the defendants filed an answer which
included a motion to dismiss the negligence claim on the grounds that it was time barred,
having been filed more than two years after the Office of Judges affirmed the denial of Mr.
Nichols’ workers’ compensation claim. The decision by the claim administrator denying
this claim and the letter by counsel dated June 27, 2017, were attached as exhibits to this
pleading. On August 27, 2020, Mr. Nichols filed a response to the motion to dismiss,
arguing, in part, that there were issues of fact inappropriate for decision on a motion to
dismiss, and that additional discovery was required. His response invoked both the
discovery rule and fraudulent concealment and asserted that he was not aware of
defendants’ negligence until January 13, 2020, when FMC asserted a res judicata defense
in the separate personal injury action filed by other counsel in Marshall County. 5
4
In that case, FMC allegedly filed a pleading on January 13, 2020, asserting that
the deliberate intent claim against it was barred by res judicata because of the denial of Mr.
Nichols’ workers’ compensation claim. A copy of this pleading was not included in the
record on appeal.
5
In responding to the partial motion to dismiss and at other times during the
proceedings in the lower court, Mr. Nichols also indicated that there was a genuine issue
of material fact as to whether the doctrine of continuous representation had tolled his statute
of limitations, but that issue has not been raised on appeal.
5
Simultaneously with his complaint, Mr. Nichols served the defendants with
a set of discovery requests which did not did not ask the defendants to identify what efforts,
if any, they made to find a medical expert to testify on behalf of Mr. Nichols. In their
responses to these discovery requests, the defendants identified everyone in the firm,
including both lawyers and support staff, who had worked on Mr. Nichols’ workers’
compensation claim. They also produced the client file, which encompassed 1198 pages,
and included a copy of the retainer agreement. The defendants subsequently supplemented
their responses by producing copies of various insurance policies which might provide
coverage for the claims involved in this litigation. The defendants’ initial responses to
discovery were served on September 11, 2020, and the supplemental response was served
on July 26, 2021. This one set of discovery requests was the only discovery that was
conducted by any of the parties during the roughly two years and three months that this
matter was pending.
On April 20, 2022, the defendants filed a motion for summary judgment
which covered both the breach of contract and negligence claims asserted by Mr. Nichols.
On June 8, 2022, the defendants filed a notice of hearing for August 23, 2022. On June 16,
2022, at the plaintiff’s request, the lower court entered an agreed scheduling order
establishing deadlines for various events, including a March 31, 2023, deadline to complete
discovery. The scheduling order provided for an additional nine-and-a-half months to
complete discovery, despite the fact that defendants’ motion to dismiss and motion for
summary judgment had been set for hearing on August 23, 2022. None of the parties asked
6
the lower court to continue the hearing date for defendants’ motion for summary judgment,
either before or after the entry of the scheduling order.
Pursuant to the agreed scheduling order, the parties exchanged disclosures of
fact witnesses. Defendants’ disclosure of fact witnesses was basically the same as their
prior interrogatory answer concerning who had worked on Mr. Nichols’ workers’
compensation claim, although they did add Dr. Cohen (who had signed the original
workers’ compensation form), employees of the medical providers who treated him in
connection with his cancer, rebuttal witnesses, and any witnesses named by other parties.
Their disclosure also reserved the right to identify additional witnesses because “discovery
is ongoing.”
On August 18, 2022, Mr. Nichols’ counsel filed a Rule 56(f) affidavit
alleging that additional discovery was needed, stating in pertinent part that: “I anticipate
conducting additional discovery in the Civil Action, including depositions and the
disclosure of experts, to be utilized in furtherance of Mr. Nichols’s case.” Counsel also
averred that: “I anticipate that such additional discovery will support Mr. Nichols’s case.”
This affidavit did not discuss why the desired discovery had not been conducted, or how it
might relate to the narrow issue of whether the statute of limitations had expired.
At the summary judgment hearing on August 23, 2022, the court questioned
Mr. Nichols’ counsel about what additional discovery was needed. Counsel indicated that
7
he wanted to identify experts on medical causation and standard of care and said that he
had not done so already because expert disclosures were not yet due under the scheduling
order. Counsel also noted that the case had been filed during the early days of COVID-19,
and that he had not wanted to put a lot of time and effort into the case while a motion to
dismiss the negligence claim was still pending. Additionally, Mr. Nichols’ counsel
speculated that the defendants might make some damaging admissions in deposition. He
admitted that they were unlikely to admit that they had committed malpractice (something
they had steadfastly denied throughout the litigation) but suggested they might say that
something different should have been done.
Substantively, Mr. Nichols’ counsel alleged that his client had not been
aware of any negligence on the part of the defendants until a certain pleading asserting the
defense of res judicata was filed by FMC in his separate personal injury action. Counsel
also argued that the letter written by the defendants constituted fraudulent concealment
sufficient to toll the statute of limitations because it did not indicate the reason why there
was no evidence to establish medical causation in the workers’ compensation proceeding,
i.e., that the defendants had failed to produce any medical evidence of causation or to
challenge the employer’s medical expert. Defendants’ counsel responded that the absence
of any medical testimony to establish that Mr. Nichols’ multiple myeloma was the result
of his benzene exposure was not caused by lack of effort on their part. They alleged that
they had diligently tried to obtain such an expert but had simply been unable to do so.
Indeed, they noted, even Mr. Nichols’ treating physician had been unable to say that Mr.
8
Nichols’ cancer was anything more than “possibly” related to his alleged occupational
exposure.
On September 9, 2022, the lower court entered an order granting the
defendants’ motion to dismiss and motion for summary judgment and dismissing the case
from the docket. Mr. Nichols appeals from this order.
II. STANDARD OF REVIEW
“In reviewing challenges to the findings and conclusions of the circuit court,
we apply a two-prong deferential standard of review. We review the final order and the
ultimate disposition under an abuse of discretion standard, and we review the circuit court's
underlying factual findings under a clearly erroneous standard. Questions of law are subject
to a de novo review.” Syl. Pt. 2, Walker v. W. Va. Ethics Comm’n, 201 W. Va. 108, 492
S.E.2d 167 (1997). Decisions to grant or deny summary judgment are reviewed de novo.
Syl. Pt. 1, Painter v. Peavy, 192 W. Va. 189, 451 S.E.2d 755 (1994). Trial courts have
broad discretion when it comes to deciding whether to allow a party to conduct additional
discovery before granting summary judgment. Powderidge Unit Owners Assn. v. Highland
Properties, Ltd., 196 W. Va. 692, 702, 474 S.E.2d 872, 882 (1996). 6
6
Given that summary judgment was properly granted on the negligence count, we
need not address whether the lower should have granted the motion to dismiss the same
count. Thus, we do not reference the standard of review for granting motions to dismiss.
9
III. DISCUSSION
In Syllabus Point 5 of Dunn v. Rockwell, 225 W. Va. 43, 689 S.E. 2d 255
(2009), the court set forth a five-step analysis for determining whether a cause of action is
time- barred.
First, the court should identify the applicable statute of
limitation for each cause of action. Second, the court (or, if
questions of material fact exist, the jury) should identify when
the requisite elements of the cause of action occurred. Third,
the discovery rule should be applied to determine when the
statute of limitation began to run by determining when the
plaintiff knew, or by the exercise of reasonable diligence
should have known, of the elements of a possible cause of
action, as set forth in Syllabus Point 4 of Gaither v. City Hosp.,
Inc., 199 W.Va. 706, 487 S.E.2d 901 (1997). Fourth, if the
plaintiff is not entitled to the benefit of the discovery rule, then
determine whether the defendant fraudulently concealed facts
that prevented the plaintiff from discovering or pursuing the
cause of action. Whenever a plaintiff is able to show that the
defendant fraudulently concealed facts which prevented the
plaintiff from discovering or pursuing the potential cause of
action, the statute of limitation is tolled. And fifth, the court or
the jury should determine if the statute of limitation period was
arrested by some other tolling doctrine. Only the first step is
purely a question of law; the resolution of steps two through
five will generally involve questions of material fact that will
need to be resolved by the trier of fact.
In the present case, the applicable statute of limitation is two years for Mr.
Nichols’ negligence claim, W. Va. Code § 55-2-12 (1959), and either five years or ten
years for his breach of contract claim, depending on whether it is based on an oral, implied
or written contract. W. Va. § 55-2-6 (1923). The elements for a cause of action occurred
when the Office of Judges affirmed the denial of Mr. Nichols’ workers’ compensation
10
claim on June 15, 2017. 7 We agree with the lower court that Mr. Nichols’ complaint did
not adequately allege a claim for breach of contract, and that his negligence claim was not
saved by either the discovery rule or by any fraudulent concealment on the part of the
defendants. No other tolling doctrine was asserted by Mr. Nichols. Consequently, we
affirm the order of the lower court dismissing this malpractice case.
A. Mr. Nichols’ complaint did not adequately plead a claim for breach of
contract.
Legal malpractice actions may sound in either tort or contract. Syl. Pt. 2,
Smith v. Stacy, 198 W. Va. 498, 482 S.E.2d 115 (1996); Syl. Pt., Harrison v. Casto, 165
W. Va. 787, 271 S.E.2d 774 (1980). Claims for breach of contract have a longer statute of
limitations than tort actions based on negligence—ten-years for written contracts and five-
7
The lower court gave Mr. Nichols the benefit of the doubt when deciding when the
statute of limitations began to run. In footnote one of its order granting defendants’
partial motion to dismiss and motion for summary judgment, it observed that:
Arguably, the statute of limitations on Plaintiff’s claims
against Defendants should have begun to run as of the day of
his receipt of this June 27, 2017, letter [from counsel].
Because, however, his appeal rights expired on July 15, 2017,
and because it is a distinction without a difference as far as the
effect of the statute of limitations on his negligence claim is
concerned (given that his Complaint was filed nearly three (3)
years after the later date), the Court finds that it is appropriate
to consider the date of the appeal time as the date on which
Plaintiff undeniably knew or should have known that he had an
alleged cause of action against defendants.
Because it will not affect our ruling, we do not address whether the statute of limitations
began to run when the appeal time expired rather than when Mr. Nichols knew, or should
have known, of the decision by the Office of Judges.
11
years for oral or implied contracts. W. Va. Code § 55-2-6 (1923). Under either the ten-year
or the five-year statute, Mr. Nichols’ lawsuit would have been timely filed in so far as it
pertained to his claim for breach of contract. Defendants argue that the complaint did not
adequately plead a claim for breach of contract. We agree with defendants.
A plaintiff may assert a claim for legal malpractice based on breach of
contract “[w]here the act complained of in a legal malpractice action is a breach of specific
terms of the contract without reference to the legal duties imposed by law on the
attorney/client relationship….” Syl. Pt. 2 (in part), Hall v. Nichols, 184 W. Va. 466, 400
S.E.2d 901 (1990). “[I]f an attorney fails to perform an act which is covered by the contract
of employment such as when he is employed to initiate suit and does not file suit within
the statutory period, the breach at issue is one grounded in contract. Id. at 469, 400 S.E.2d
at 904. However, “[w]here the essential claim of the action is a breach of duty imposed by
law on the attorney/client relationship and not the contract itself, the action lies in tort.” Id.
at Syl. Pt. 2 (in part). “A complaint that could be construed as being either in tort or on
contract will be presumed to be on contract whenever the action would be barred by the
statute of limitation if construed as being in tort.” Syl. Pt. 4, Smith v. Stacey, 198 W. Va.
498, 482 S.E.2d 115 (1996); accord Syl. Pt., Harrison v. Casto, 165 W. Va. 787, 789, 271
S.E.2d 774, 776 (1980).
Here, the complaint does not allege a breach of any “specific terms of the
contract” between the parties. Instead, it states that the defendants “had a contractual
12
obligation, express or implied, to provide the Plaintiff with competent and effective legal
advice, counsel, and representation in all aspects of the Plaintiff’s workers’ compensation
matter.” See Paragraph 36 of Complaint, Appendix at 006. Failure to provide “competent
and effective legal advice, counsel, and representation,” if it occurred, was a breach of the
legal and professional duties owed by attorneys to their clients, rather than the breach of a
specific duty under an express or implied contract. 8 “Notwithstanding the inclusion of the
term ‘contractual’ in the … complaint, the essence of the appellant[’s] cause of action is
various breaches of duties implied by law and not by contract.” Hall v. Nichols, 184 W.
Va. 466, 469, 400 S.E.2d 901, 904 (1990).
In an effort to bolster his claim for breach of contract, Mr. Nichols asserts
that his retainer agreement, by including a limited power of attorney to endorse checks
issued to Mr. Nichols, incorporated various duties under the West Virginia Uniform Power
of Attorney Act (UPAA), W. Va. Code § 39b-1-101 (2012). Specifically, he argues that
the UPAA imposed duties to “[a]ct with care, competence and diligence ordinarily
exercised by agents in similar circumstances,” W. Va. Code § 39B-1-114(b) (3) (2018); to
“[a]ct in accordance with the principal’s reasonable expectations to the extent actually
known by the agent and, otherwise, in the principal’s best interest,” W. Va. Code § 39B-1-
8
It is also worth noting that the language in the contract count mirrors the language
in the negligence count. Compare Paragraphs 36, 37 and 38 (alleging that the defendants
breached their contractual duties by failing “to provide the plaintiff with competent and
effective legal advice, counsel, and representation”) with Paragraphs 45 and 46 (alleging
that the defendants were negligent because they failed “to provide the Plaintiff with
competent and effective legal advice, counsel, and representation”).
13
114(a)(1) (2018), to “[a]ct in good faith,” W. Va. Code § 39B-1-114 (a) (2) (2018); to “[a]ct
loyally for the principal’s benefit,” W. Va. Code § 39B-1-114 (b) (1) (2018); and to “[a]ct
only within the scope of authority granted in the power of attorney,” W. Va. Code § 39B-
1-114(a) (3) (2018). We are not persuaded by this argument for several reasons.
First, the contract signed by the parties incorporated a “Limited Power of
Attorney” which appointed “Maroney, Williams, Weaver & Pancake, PLLC, of
Charleston, West Virginia, as my true and lawful attorney for me and in my name to
endorse any and all checks I receive from the Claims Administrator, or any other source,
relating to the above- styled claim.” The complaint does not allege any malpractice related
to the cashing of checks by the defendants, which was the extent of the limited power of
attorney granted by the contract. 9 Second, to the extent the UPAA might import duties such
as to act with “care, competence and diligence,” it does not create any duties that would
not otherwise flow from the attorney-client relationship.
9
Mr. Nichols asserts that the retainer agreement was ambiguous concerning the
extent of the defendants’ power of attorney. Whether a contract is ambiguous is a question
of law freely reviewable on appeal. Syl. Pt. 1 (in part), Berkely Cnty. Pub. Ser. Dist. v.
Vitro Corp. of America, 152 W. Va. 252, 162 S.E.2d 189 (1968). In this case, the retainer
agreement was not ambiguous. The reference to a “limited power of attorney” in the style
of the document, coupled with a statement of the purpose of the power of attorney (“to
endorse any and all checks I may receive from the Claims Administrator, or any other
source, related to the above-styled claim.”), clearly defined the extent of the power of
attorney.
14
B. The lower court correctly held that a genuine issue of material fact did not exist
as to whether the negligence claim was time barred.
The statute of limitations for negligence actions is two years from the time
when the cause of action accrued. W. Va. Code § 55-2-12 (1959). In this case, the alleged
malpractice occurred more than two years before the lawsuit was filed. Accordingly, the
defendants argue that Mr. Nichols’ negligence claim was time barred and properly
dismissed by the lower court. Mr. Nichols responds that his claim was not barred by the
statute of limitations because he did not discover the malpractice until January 13, 2020,
when FMC claimed that his deliberate intent claim in a separate personal injury lawsuit
was barred by res judicata because his workers’ compensation claim had been denied. He
also argues that the statute of limitations was tolled by the allegedly fraudulent concealment
of the defendants in their letter of June 27, 2017. We find that the lower court did not err
in rejecting both of Mr. Nichols’ arguments.
Under the discovery rule, “[a] cause of action for legal malpractice accrues
when the malpractice occurs or when the client knows, or by reasonable diligence should
know, of the malpractice.” Syl. Pt. 5, VanSickle v. Kuhout, 215 W. Va. 433, 599 S.E.2d
856 (2004). The statute of limitations begins to run on a negligence claim:
when the plaintiff knows, or by the exercise of reasonable
diligence, should know (1) that the plaintiff has been injured,
(2) the identity of the entity who owed the plaintiff a duty to
act with due care, and who may have engaged in conduct that
breached that duty, and (3) that the conduct of that entity has a
casual relation to the injury.
15
Syl. Pt. 3, Dunn v. Rockwell, 225 W. Va. 43, 689 S.E.2d 255 (2009). Regarding the
requirement to exercise reasonable diligence to investigate potential claims, we note that
“[w]here a plaintiff knows of his injury, and the facts surrounding that injury place him on
notice of the possible breach of a duty of care, that plaintiff has an affirmative duty to
further and fully investigate the facts surrounding that potential breach.” McCoy v. Miller,
213 W. Va. 161, 165, 578 S.E.2d 355, 359 (2003) (per curiam).
In the case at bar, the Office of Judges issued a decision affirming the denial
of Mr. Nichols’ workers’ compensation benefits because no medical evidence had been
presented to establish that Mr. Nichols’ multiple myeloma was caused by his occupational
exposure to benzene. 10 The decision also noted that the workers’ compensation application
where Dr. Cohen indicated that multiple myeloma was a “possible” occupational disease
had not been introduced into evidence and could not be reviewed. The disclosure that
counsel had failed to produce any medical evidence of causation or even to submit the
10
In Paragraph 6 of its decision, the Office of Judges summarized the closing
statement submitted by the employer, saying: "The employer stated that there is no medical
evidence establishing a causal connection between the claimant's development of multiple
myeloma and his occupation. The employer stated that this is a case where lay witness
testimony is not efficient [sic] to establish causation. The employer stated that the
claimant did not introduce an opinion from a physician or any other expert to link
the multiple myeloma to his occupation. The claimant did not introduce a medical
opinion to establish that he even has the condition for which he is seeking
benefits." (Emphasis added). See Appendix at 043.The decision’s list of exhibits
submitted on behalf of Mr. Nichols also reveals that his counsel did not provide an expert
report, any deposition testimony by a medical expert, any medical records, any medical
literature, or a closing statement.
16
workers’ compensation form was sufficient in itself to put Mr. Nichols on notice that he
had a potential claim for legal malpractice against the defendants and to start the clock
running on the statute of limitations.
In its order, the lower court found that: “It is indisputable that plaintiff’s
claim was denied, and he was informed of that fact, by both the [Office of Judges] and his
former counsel.” Order at page 12, Appendix 257. The lower court also found that:
At issue is when Plaintiff either knew or should have known
that he allegedly had a claim against Defendants in this action.
It is the inescapable conclusion that the appropriate date for
that knowledge to have been obtained is June 15, 2017 [date
when the Office of Judges affirmed the denial of claim], at the
latest.
Id. See also order at page 10, Appendix at 255 (“… the [Office of Judges] affirmed the
TPA’s denial of Plaintiff’s claim for occupational disease benefits on June 15, 2017… The
[Office of Judges] decision notified Plaintiff of his right to file an appeal within thirty (30)
days of its receipt.”).
The finding of the lower court that the Office of Judges notified Mr. Nichols
of the affirmance of the claim administrator’s denial of benefits, and his right to appeal,
was not clearly erroneous. The opinion from the Office of Judges indicates that Mr. Nichols
and his counsel were both copied on this opinion, which clearly states that the denial was
affirmed because of the absence of any supporting medical evidence. Moreover, Mr.
Nichols never denied receiving this decision, or receiving it before the statute ran, as one
17
might expect him to do if that were the case. See Powderidge Unit Owners Ass’n v.
Highland Props., Ltd., 196 W. Va. 692, 699, 474 S.E.2d 872, 879 (1996) (“The plaintiff
bore the burden, as the party opposing the [summary judgment] motion, of coming forward
with affirmative evidence proving its allegation that it did not know, or by exercise of
reasonable diligence should have known, the nature of its injury and its sources prior to the
alleged 1990 discovery.”).
In addition to receiving the decision from the Office of Judges, Mr. Nichols
received a letter from counsel stating that his workers’ compensation claim had been
denied, that the defendants would not be filing an appeal, and that if Mr. Nichols wanted
to file an appeal on his own or through counsel, that it would have to be done within thirty
days of the decision. The letter also indicates that the defendants believe that an appeal
would be unlikely to succeed because of the evidence in the case. There is no dispute that
this letter was received by Mr. Nichols. 11
Mr. Nichols argues that he did not discover the negligence of the defendants
until FMC filed a pleading in his separate personal injury action on January 13, 2020,
alleging that the deliberate action claim against it was barred by res judicata because his
11
According to this June 27, 2017, letter, Mr. Nichols met with counsel the day
before. Mr. Nichols has never denied that this meeting took place. Although the record
does not indicate what might have been discussed during this meeting, it would have
provided Mr. Nichols with an opportunity to ask any questions he might have had
concerning the dismissal of his workers’ compensation claim.
18
workers’ compensation claim had been denied. We do not find this argument compelling
for a number of reasons. First, the information contained in the June 15, 2017, decision
from the Office of Judges and the June 27, 2017, letter from counsel was sufficient to put
him on notice of his potential malpractice claim. Second, the January 13, 2020, FMC
pleading referenced by Mr. Nichols was not made part of the record on review. Third, to
the extent that this pleading may have put Mr. Nichols on notice of an additional element
of damages, that would not be relevant as to when his statute of limitations started to run
on any potential legal malpractice claims related to the handling of his workers’
compensation claim. See 51 Am. Jur. 2d Limitation of Actions §131 Westlaw (database
updated October 2023) (“… the full amount of the damage does not have to be apparent at
the time of the first legal injury, and a statute of limitations does not begin to run only from
the time when the full extent of the damages sustained have been ascertained.”) (footnote
omitted); Syl. Pt. 2, Hall’s Park Motel, Inc. v Rover Const., Inc., 194 W. Va. 309, 460
S.E.2d 444 (1995) (when there is some noticeable injury to property, the statute of
limitations begins to run and is not tolled because there may be some latent injury
subsequently arising from the same event); Syl. Pt. 3, Jones v. Trs. of Bethany Coll., 177
W. Va. 168, 351 S.E. 2d 183 (1986) (the statute of limitations begins to run when there is
some noticeable personal injury from a traumatic event and is not tolled because there
might be some latent injury arising from the same event).
Here, the cause of action would have been complete when there was duty,
breach, causation, and damages. Mr. Nichols suffered damages, allegedly to the tune of at
19
least $800,000 when his workers’ compensation claim was denied. The discovery of
additional potential damages related to his separate personal injury action against FMC
would not have extended the statute of limitations when he was already aware of some
damages resulting from the denial of his workers’ compensation claim.
Having addressed Mr. Nichols’ argument based on the discovery rule, we
now consider his claim that the defendants were guilty of fraudulent concealment which
would have tolled his statute of limitations. This argument is grounded on the following
language in defendants’ letter of June 27, 2017: “Based upon the evidence in your claim,
it does not appear that the Board of Review will enter a favorable decision for you. It is our
opinion that any further appeal of your claim will unsuccessful.” Mr. Nichols contends that
this language was misleading because it did not explain that the evidence in the claim was
insufficient because the defendants had not produced any medical evidence to support
causation. According to Mr. Nichols, the defendants fraudulently concealed their potential
malpractice when they failed to expressly acknowledge that it was malpractice not to
submit any medical evidence in support of Mr. Nichols’ workers’ compensation claim.
“Fraudulent concealment involves the concealment of facts by one with
knowledge, or the means of knowledge, and a duty to disclose, coupled with an intention
to mislead or defraud.” Dunn v. Rockwell, 225 W. Va. 43, 52, 689 S.E.2d 255, 264 (2009)
quoting Trafalgar House Const., Inc. v. ZMM, Inc., 211 W. Va. 578, 584, 567 S.E.2d 294,
300 (2002) (per curiam).
20
[I]n some circumstances causal relationships are so well
established that we cannot excuse a plaintiff who pleads
ignorance. In those instances where a cause of action should be
patently obvious …, the plaintiff cannot claim ignorance. The
only way a plaintiff can toll the statute of limitation in such
circumstances is to make “a strong showing ... that some action
by the defendant prevented the plaintiff from knowing of the
wrong at the time of the injury.”
Keesecker v. Bird, 200 W. Va. 667, 684, 490 S.E.2d 754, 771 (1997).
Fraud usually requires an affirmative misrepresentation, but silence may
constitute fraud where a party has a duty to speak. 37 Am. Jur. 2d Fraud and Deceit §197
Westlaw, (database updated October 2023). The rules of professional conduct do impose a
duty on attorneys to keep their clients reasonably informed of important developments in
their cases. See W. Va. Rules of Prof. Conduct 1.4 12 and 1.7. 13 These rules create ethical,
12
Rule 1.4(a) provides in pertinent part: “(a) A lawyer shall: … (3) keep the client
reasonably informed about the status of the matter;… (b) A lawyer shall explain a matter
to the extent reasonably necessary to permit the client to make informed decisions
regarding the representation.” “A client cannot make an informed decision about
representation if that client is unaware that the lawyer may have committed malpractice.”
Opinion 684, New Jersey Advisory Comm. on Prof. Ethics, 151 N.J.L.J.994 (March 9,
1998), http://lawlibrary.rutgers.u./ethics/acpe/684.
13
Rule 1.7 (a) provides in pertinent part: “Except as provided in paragraph (b), a
lawyer shall not represent a client if the representation involves a concurrent conflict of
interest. A concurrent conflict of interest exists if: … (2) there is a significant risk that the
representation … will be materially limited by … a personal interest of the lawyer.”
Subparagraph (b) goes on to say that an attorney may represent a client, notwithstanding a
concurrent conflict of interest if: “the lawyer reasonable believes that the lawyer will be
able to provide competent and diligent representation…and [the] client gives informed
consent, confirmed in writing.” As ABA Comm. on Ethics & Prof. Resp., Formal Op. 481
(2018) warns:
21
rather than legal responsibilities. See W. Va. Rules of Pro. Conduct: Scope [20].14
Nonetheless, they can provide evidence of what the legal standard of care should be. Id.
Under our rules of professional conduct, a lawyer has a duty to inform a client
of a serious error that a disinterested lawyer would conclude was reasonably likely to
prejudice a client’s interests or would reasonably cause a client to consider terminating
representation regardless of prejudice. See generally ABA Comm. on Ethics & Pro. Resp.,
Formal Op. 481 at 1 and 8 (2018) (concluding that Rule 1.4 requires an attorney to inform
a client if the lawyer believes that he has committed a “material error” and that “an error is
An error may be sufficiently serious that it creates a conflict of
interest between the lawyer and the client… Where a lawyer’s
error creates a Rule 1.7 (a) (2) conflict, the client needs to know
this fact to make informed decisions regarding the
representation, including whether to discharge the lawyer or to
consent to the conflict of interest.
In cases where there is a potential malpractice claim, an attorney might have a personal
interest in defending himself against personal liability, in avoiding personal or professional
embarrassment, or in preserving his professional insurance coverage which adversely
affects his ability to effectively represent his client. At the same time, however, a properly
informed client might decide to continue representation, especially where the attorney is
actively involved in trying to correct or mitigate his error. In any case, it is for the client to
decide whether to continue to retain counsel after being informed of the circumstances.
14
“[20] Violation of a Rule should not itself give rise to a cause of action against a
lawyer nor should it create any presumption in such a case that a legal duty has been
breached…. The Rules are designed to provide guidance to lawyers and to provide a
structure for regulating conduct through disciplinary agencies. They are not designed to be
a basis for civil liability. …Nevertheless, since the Rules do establish standards of conduct
by lawyers, a lawyer's violation of a Rule may be evidence of breach of the applicable
standard of conduct.” W. Va. Rules of Pro. Conduct: Scope [20].
22
material if a disinterested lawyer would conclude that it is (a) reasonably likely to harm or
prejudice a client; or (b) of such a nature that it would reasonably cause a client to consider
terminating the representation even in the absence of harm or prejudice.”). As the
Restatement (Third) of the Law Governing Lawyers § 20, cmt. C, Westlaw (Am. L. Inst.
database updated October 2023) states:
If the lawyer’s conduct of the matter gives the client a
substantial malpractice claim against the lawyer, the lawyer
must disclose that to the client. For example, a lawyer who fails
to file a suit for a client within the limitations period must so
inform the client, pointing out the possibility of a malpractice
suit and the resulting conflict of interest that may require the
lawyer to withdraw. 15
In some cases, a failure to inform a client of a serious error might be sufficient
to establish fraud. However, we conclude that the statute of limitations in this case was not
tolled by fraudulent concealment. Even if the letter from counsel did not adequately inform
the plaintiff of the status of his workers’ compensation claim, the Office of Judges decision
was sufficient to put Mr. Nichols on notice of his potential malpractice claim. Although
15
A lawyer should promptly notify a client of a material error. In some cases, it may
be appropriate to attempt to take reasonable measures to correct the error before speaking
with the client. ABA Comm. on Ethics & Prof. Resp., Formal Op. 481 at 5 (2018).
“Whether it is reasonable for the lawyer to attempt to correct the error before informing the
client will depend on the facts and should take into account the time needed to correct the
error and the lawyer’s obligation to keep the client reasonably informed about the status of
the matter.” Id. We also note that an attorney is not required to admit that he has committed
malpractice. It is sufficient to advise the client of the nature of the error or omission, that
it may give rise to a potential claim for malpractice, and that it may be advisable for the
client to consult with disinterested counsel concerning whether a legal malpractice claim
might be viable or should be pursued. Colo. Bar Ass’n Formal Op. 113 (as modified July
18, 2015); Sean T. O’Neill, The ALPS Risk Management Report: If you Make a Mistake,
When and What Should You Tell Your Client?, 2000 Feb. W. Va. Lawyer 24.
23
counsel’s letter arguably was not as informative as it should have been, it did not contradict
the information contained in the Office of Judges’ decision that the defendants had failed
to present any medical evidence to establish the causal link between Mr. Nichols’
occupational exposure to benzene and his development of multiple myeloma. Also, the
defendants in this case have consistently maintained that they were unable to obtain a
medical expert because the science did not support Mr. Nichols’ claim. Mr. Nichols did
not provide any evidence to refute the defendants’ position despite having ample
opportunity to research the issue of medical causation, or to depose the defendants.
C. The lower court did not abuse its discretion in granting summary judgment
without allowing the plaintiff to conduct additional discovery.
Under the rules of civil procedure, a motion for summary judgment may be
filed by the defendant at any time, Rule 56(b), but a court should not grant summary
judgment until the nonmoving party has had an adequate opportunity to conduct discovery
on the issues involved in the motion. Powderidge Unitv Owners Ass’n v. Highland Props.,
Ltd., 196 W. Va. 692, 701, 474 S.E.2d 872, 881 (1996).
Rule 56 requires the nonmoving party to present affidavits or other material
in opposition to summary judgment, but it provides a “procedural ‘escape hatch’” when
additional discovery is required to oppose a motion for summary judgment. Id. at 701, 474
S.E.2d at 881. Rule 56(f) states that:
24
(f) When Affidavits Are Unavailable. Should it appear from
the affidavits of a party opposing the motion that the party
cannot for reasons stated present by affidavit facts essential to
justify the party's opposition, the court may refuse the
application for judgment or may order a continuance to permit
affidavits to be obtained or depositions to be taken or discovery
to be had or may make such other order as is just.
Although a formal Rule 56(f) affidavit is not always required, the party
opposing summary judgment on the grounds that more discovery is required, should, at a
minimum, satisfy four requirements:
[Even an informal motion] should (1) articulate some plausible
basis for the party's belief that specified “discoverable”
material facts likely exist which have not yet become
accessible to the party; (2) demonstrate some realistic prospect
that the material facts can be obtained within a reasonable
additional time period; (3) demonstrate that the material facts
will, if obtained, suffice to engender an issue both genuine and
material; and (4) demonstrate good cause for failure to have
conducted the discovery earlier.
Syl. Pt. 1, Powderidge Unit Owners Ass’n. v. Highland Properties, Ltd., 196 W. Va. 692,
474 S.E.2d 872 (1996); accord Syl. Pt., Elliott v. Schoolcraft, 213 W. Va. 69, 576 S.E.2d
796 (2002) (per curiam).
In the present case, Mr. Nichols’ attorney submitted an affidavit alleging the
need for additional discovery. The relevant portions of this affidavit state in their entirety
that:
3. I anticipate conducting additional discovery in [this] Civil
Action, including depositions and the disclosure of experts, to
be utilized in furtherance of Mr. Nichols’s case.
25
4. I anticipate that such additional discovery will support Mr.
Nichols’s case.
Appendix at 191. This language was woefully inadequate to explain what additional
discovery needed to be done in connection with the statute of limitations issue, and why it
had not been started, let alone completed, in the two years the case was pending prior to
the summary judgment hearing.
At that hearing, Mr. Nichols’ counsel was given an opportunity to more fully
explain what additional discovery he wished to pursue and to state his reasons why the
court should deny or delay a ruling on the summary judgment motion until such additional
discovery had been done, but again his reasons were not compelling. Counsel indicated
that he wanted to disclose “one or more experts.” When pressed, he stated that he wanted
to disclose a medical expert to establish causation and an expert on the standard of care.
Although such experts certainly would be needed to pursue his case on the merits, he did
not indicate why they were needed to defeat summary judgment on the statute of limitations
issue, or assuming that they were relevant to that issue, why he had been unable to obtain
or disclose such experts already. 16 In order to defeat summary judgment, Mr. Nichols
needed to show how the desired discovery related to the statute of limitations issue. See
16
For example, Mr. Nichols’ attorneys should have been able to obtain a medical
expert, if the science supported causation, without any discovery from the defendants. Mr.
Nichols and his counsel were perfectly capable, on their own, of obtaining medical records,
doing research in the medical literature, obtaining work related records that would shed
light on exposure, and contacting potential experts.
26
Smith v. Chestnut Ridge Storage, LLC, No. 14-0136, 2014 WL 6607569, at *6 (W. Va.
Nov. 21, 2014) (memorandum decision) (affirming summary judgment where Rule 56(f)
affidavit did not demonstrate how further discovery could affect relevant issues).
The transcript from the hearing also suggests that counsel may have wanted
to depose Mr. Maroney or other employees of his firm. During a discussion about whether
there had been any fraudulent concealment, counsel stated that:
Your honor, respectfully I think we’re making a number of
assumptions about what they would or would not say in a
deposition. And they may not wholesale admit to, “Yes. We
knew we committed malpractice,” but they may say, “No. This
is something that should have been done differently here.”
This was speculative at best, and the evidence to establish the need for additional discovery
cannot be “conjectural” or “speculative.” Williams v. Precision Coil, Inc., 194 W. Va. 52,
60, 61 n. 14, 459 S.E.2d 329, 337, 339 n. 14 (1995). Moreover, counsel could have taken
the deposition of one or more members of the firm at any time during the two years or so
prior to the hearing. In the discovery responses filed by the defendants at the beginning of
the case, they identified everyone in the firm who had worked on Mr. Nichols’ workers’
compensation claim. We find it significant that Mr. Nichols should have possessed much
of the information he would need to make his discovery rule and fraudulent concealment
arguments without doing any discovery. For example, he would know what he had been
told, or what documents he had been provided with, by the defendants, and if he had not
retained a particular letter or other document, he could request it from the defendants.
27
Indeed, the defendants provided his client file, which included more than a thousand pages
of material, at the beginning of this litigation.
When asked to respond to defendants’ argument that two years was more
than enough time to conduct the necessary discovery, counsel argued that they had been
waiting to see what happened to the motion to dismiss their negligence claim before putting
a lot of time and money into developing the case. This argument is not consistent with Mr.
Nichols’ position that he had a viable claim for breach of contract. Moreover, counsel could
have asked the court to set the motion to dismiss for hearing if the defendants did not do
so, if Mr. Nichols wanted to determine the strength of his negligence claim before fully
committing his resources. Finally, given the damages potentially available in this case, Mr.
Nichols should have been willing to expend some time and effort to develop it. According
to the complaint, he had about $800,000 in medical expenses that should have been covered
by workers’ compensation, plus possibly significant damages that might have been
recovered from FMC and various chemical suppliers in a separate action brought in
Marshall County. Surely, such a sum would justify the time and money required to take a
deposition or two or to file some interrogatories asking what efforts the defendants had
made to retain a medical expert for the workers’ compensation proceeding.
Finally, Mr. Nichols argues that it was inappropriate to grant summary
judgment before the deadline for discovery had expired. We agree that at times it would be
premature to grant summary judgment before the end of the discovery period, but there is
28
no hard and fast rule which prevents a court from granting summary judgment earlier in
the case. See Nieves-Romero v. U.S., 715 F.3d 375, 380 (1st Cir. 2013) (“… the fact that
discovery is still open does not bar a district court from resolving a fully briefed summary
judgment motion.”); Beverly v. Wal-Mart Stores, Inc., 428 Fed. App’x 449, 452 (5th Cir.
2011) (per curiam) (trial court did not abuse its discretion in granting summary judgment
before the discovery deadline where plaintiff failed to explain what testimony employees
would provide if located and deposed); Florida Power & Light Co. v. Allis Chalmers Corp.,
893 F.2d 1313, (11th Cir. 1990) (“The district court is not required to await the completion
of discovery before ruling on a motion for summary judgment. … it would be inappropriate
to limit summary judgment to cases where discovery is complete in light of the valuable
role served by summary judgment and the commitment of discovery issues to ‘the sound
discretion of the trial judge.’”); 49 C.J.S. Judgments §343 Westlaw, (database updated
August 2023) (“The fact that discovery is pending or has not been completed does not bar
summary judgment in all circumstances…”).
Kanawha County Pub. Lib. Bd. v. Bd. of Edu. of Kanawha Cnty., 231 W. Va.
386, 745 S.E.2d 424 (2013) provides a useful discussion of the relationship between
scheduling orders and motions for summary judgment. In that case, the defendant argued
that entry of summary judgment when no scheduling order had been issued setting forth a
timeframe for discovery was erroneous. In making this argument, the defendant relied on
Syllabus Point 2 of Caruso v. Pearce, 223 W. Va. 544, 678 S.E.2d 50 (2009), which stated:
29
Rule 16(b) of the West Virginia Rules of Civil
Procedure [1998] requires active judicial management of a
case, and mandates that a trial court “shall ... enter a scheduling
order” establishing time frames for the joinder of parties, the
amendment of pleadings, the completion of discovery, the
filing of dispositive motions, and generally guiding the parties
toward a prompt, fair and cost-effective resolution of the case.
The court rejected the argument that summary judgment could not be granted before a
discovery deadline was set, declaring:
…that Caruso does not stand for the proposition that entry of
summary judgment is per se erroneous prior to entry of a
Scheduling Order. In fact, we noted, “[a] failure by a judge to
issue a scheduling order as required by Rule 16 generally is not
deemed by appellate courts sufficient grounds, by itself, for
any significant relief.”
Id. at 400, 745 S.E.2d at 438. The court went on to explain:
Moreover, to construe Caruso as affording relief to a party
who, in the face of a summary judgment motion, blatantly
neglects to do any discovery and then relies on the absence of
a scheduling order to survive summary judgment would serve
to wholly invalidate the requirements of Rule
56 and Powderidge regarding a party's obligations when
asserting the need for additional discovery in opposing
summary judgment. Our holding in Caruso that entry of a
Scheduling Order is mandated by the Rules of Civil Procedure
was, as plainly set forth in the opinion, intended
to facilitate the “‘swift, inexpensive and just resolution of
litigation’”; it was not intended to be used as a weapon by
dilatory parties to create a barrier to resolution of cases on their
merits.
30
Id. We note and share that court’s concern about the possibility that parties may use the
absence of a scheduling order (or in this case, the fact that the deadline for discovery had
not yet expired) as a means to avoid summary judgment when they have not been diligent.
Whether to allow additional discovery is a fact specific inquiry, and we
cannot say that the lower court in this case abused its discretion in granting summary
judgment on the narrow but dispositive issue of whether the lawsuit was timely filed. 17 In
addition to the other facts set out in this opinion, we note that Mr. Nichols did not attempt
to obtain any discovery during the roughly four months between the time the motion for
summary judgment was filed and the hearing, 18 and did not attempt to obtain a scheduling
17
We are somewhat troubled by the fact that the lower court granted summary
judgment when there were almost seven months left to complete discovery under an agreed
scheduling order. Nonetheless, given the facts of this case, especially the fact that the
matter had already been pending for more than two years, and the failure of plaintiff’s
counsel to adequately explain why additional discovery was needed to address the limited
issue of whether the statute of limitations had run, we cannot say that the trial judge abused
her discretion in granting summary judgment without allowing additional discovery.
18
See generally Edward Brunet, The Timing of Summary Judgment, 198 F.R.D.
679, 699-700 (2001) stating:
…a substantial period of time may have been available to the
nonmovant between the date of the filing of a motion for
summary judgment and the time that the motion is fully
briefed. Judges often reason that the nonmovant who did not
take advantage of the opportunity to take or complete
discovery during the period between the motion and its hearing
should not be the beneficiary of Rule 56(f) protection. …
Under the interpretation of Rule 56(f) embodied in these
decisions, it is necessary for a nonmovant diligently to seek
discovery in the time period that precedes a motion for
summary judgment.
31
order until the motion for summary judgment had been filed, more than two years after
this action commenced. 19
IV. CONCLUSION
The decision of the lower court granting summary judgment because the
negligence claim was time barred and the breach of contract claim was not adequately
plead is hereby affirmed.
Affirmed.
Id. at 699-700.
19
We also note, however, that it is desirable to enter a scheduling order setting a
deadline for completing discovery early in a case. See Caruso v. Pearce, 223 W. Va. 544,
549, 678 S.E.2d 50, 55 (2009) (noting that trial courts should try to enter a scheduling order
within one or two months after the defendant has filed an answer). We realize that it may
not be possible to do so in every case. We also recognize that parties, as well as courts,
share responsibility for making sure that scheduling orders are entered early in a case.
32