Fourtounis v. Verginis

[Cite as Fourtounis v. Verginis, 2017-Ohio-8577.]


                 Court of Appeals of Ohio
                                   EIGHTH APPELLATE DISTRICT
                                      COUNTY OF CUYAHOGA



                                  JOURNAL ENTRY AND OPINION
                                          No. 105349




                                  MARK N. FOURTOUNIS, ET AL.

                                                          PLAINTIFFS-APPELLANTS

                                                    vs.

                                 THEOLOGOS VERGINIS, ET AL.

                                                          DEFENDANTS-APPELLEES




                                              JUDGMENT:
                                               AFFIRMED



                                        Civil Appeal from the
                               Cuyahoga County Court of Common Pleas
                                      Case No. CV-14-829086

        BEFORE: S. Gallagher, J., Boyle, P.J., and Jones, J.

        RELEASED AND JOURNALIZED: November 16, 2017
ATTORNEY FOR APPELLANTS

Matthew B. Ameer
Law Offices of Matthew Ameer L.L.C.
326 North Court Street
Medina, Ohio 44256


ATTORNEYS FOR APPELLEES

David Ross
Holly M. Wilson
Reminger Co., L.P.A.
101 West Prospect Avenue, Suite 1400
Cleveland, Ohio 44115
SEAN C. GALLAGHER, J.:

        {¶1}    Plaintiffs-appellants Mark N. Fourtounis (“Fourtounis”), Nikolas and Marika

Fourtounis, Nikolas and Marika Fourtounis Living Trust, and Global Outdoor Solutions appeal

(1) the trial court’s denial of their motion for default judgment, and (2) the trial court’s grant of

summary judgment in favor of defendants-appellees Theologos Verginis and Benesch,

Friedlander, Coplan, and Aronoff, L.L.P. (“the law firm”). Upon review, we affirm the rulings

of the trial court.

                                           Background

        {¶2} Fourtounis and Evangelos Stamatopoulos were business partners from 2010 until

2012.    In the process of unwinding their business relationship, a dispute arose concerning

various pieces of business equipment. Fourtounis believed that a settlement agreement signed

by Stamatopoulos addressed the disposition of the assets, and Stamatopoulos argued that he was

forced to sign the agreement under duress. After being denied access to the business equipment

by Fourtounis, Stamatopoulos retained the legal services of attorney Verginis.

        {¶3} In June 2012, Verginis filed a verified complaint for replevin along with an

emergency motion for possession of property to protect his client’s interest in the business

equipment. Attached to the motion was an affidavit executed by Stamatopoulos in which he

stated his belief that appellants were holding his equipment for ransom, that they were using the

equipment for their own personal gain, and that there was reason to believe they would remove

the equipment from the jurisdiction of the court. The motion did not mention the settlement

agreement.
       {¶4} After prejudgment possession of the property had been obtained, attorney Verginis

withdrew from the representation of Stamatopoulos in March 2013, and the litigation continued

with other counsel. The underlying litigation was ultimately concluded in favor of Fourtounis.

       {¶5} On June 27, 2014, appellants filed a complaint against attorney Verginis and his law

firm. The complaint raised six causes of action against appellants that arose from actions that

Verginis took while representing Stamatopoulos and Lighting Capital Holdings, L.L.C., in the

underlying suit that was filed against Fourtounis.

       {¶6} Appellees filed a motion to dismiss that was granted by the trial court. On appeal,

the dismissal was affirmed as to two causes of action, including a 42 U.S.C. 1983 action and a

claim for intentional infliction of emotional distress, and was reversed and remanded on the

remaining claims of civil conspiracy, malicious prosecution in a civil proceeding, third-party

legal malpractice, and vicarious liability.    Fourtounis v. Verginis, 8th Dist. Cuyahoga No.

102025, 2015-Ohio-2518 (Fourtounis I).

       {¶7} The case was remanded to the trial court, and a case management conference was

held on September 3, 2015, with all parties present. On September 8, 2015, new counsel for

Verginis entered a notice of appearance. On October 22, 2015, appellants filed a motion for

default judgment. The next day, appellees filed an answer and a brief in opposition to the

motion for default judgment. On October 28, 2015, the trial court denied the motion for default

judgment and deemed the answer timely filed.

       {¶8} Following the completion of discovery, appellees filed a motion for summary

judgment that was opposed by appellants. The trial court granted summary judgment. The trial

court recognized that Verginis testified during his deposition that he was unaware of the

existence of the settlement agreement at the time he filed the replevin action. The trial court
proceeded to determine that (1) the third-party malpractice claim failed because there is “no

evidence Verginis acted with malicious intent while advocating for his clients in the Underlying

Case,” (2) the malicious prosecution claim failed because there was no evidence to establish

Verginis possessed an actual intent to harm appellants during the underlying case and cannot

satisfy the malice requirement, (3) appellants conceded their civil conspiracy claim failed as a

matter of law, and (4) summary judgment was warranted on the vicarious liability claim.

Appellants timely filed this appeal.

                                        Default Judgment

       {¶9} Under their first assignment of error, appellants challenge the trial court’s denial of

their motion for default judgment. In this matter, appellants appealed the trial court’s ruling on

the motion to dismiss. Upon remand, appellants moved for default judgment because an answer

had not been timely filed in accordance with Civ.R. 12(A). Appellees responded by filing an

answer and a brief in opposition to the motion for default judgment.

       {¶10} In their brief in opposition, appellees argued that they had diligently defended the

lawsuit and that an extension of time was warranted under Civ.R. 6(B) because of excusable

neglect. They asserted the answer was delayed due to oversight, noting the lengthy appeal from

the ruling on the motion to dismiss, the subsequent remand, and the retention of new counsel.

They further advocated for resolving the matter on the merits.

       {¶11} Civ.R. 55(A) allows for a default judgment when a defendant fails “to plead or

otherwise defend” an action in compliance with the Ohio Rules of Civil Procedure. Civ.R.

6(B)(2) allows for a court, in its discretion, to permit a late pleading “upon motion made after the

expiration of the specified period * * * where the failure to act was the result of excusable

neglect.” The discretion granted under Civ.R. 6(B)(2) is not unlimited, and there must be a
showing of excusable neglect. Davis v. Immediate Med. Servs., 80 Ohio St.3d 10, 14-15,

1997-Ohio-363, 684 N.E.2d 292. “A trial court’s decision to either grant a default judgment in

favor of the moving party, or allow the defending party to file a late answer pursuant to Civ.R.

6(B)(2) upon a finding of excusable neglect, will not be reversed absent an abuse of discretion.”

Huffer v. Cicero, 107 Ohio App.3d 65, 74, 667 N.E.2d 1031 (4th Dist.1995), citing Miller v.

Lint, 62 Ohio St.2d 209, 404 N.E.2d 752 (1980), and McDonald v. Berry, 84 Ohio App.3d 6, 616

N.E.2d 248 (8th Dist.1992).

       {¶12} “[T]he test for excusable neglect under Civ.R. 6(B)(2) is less stringent than that

applied under Civ.R. 60(B).” State ex rel. Lindenschmidt v. Bd. of Commrs. of Butler Cty., 72

Ohio St.3d 464, 466, 1995-Ohio-49, 650 N.E.2d 1343.          The determination must take into

consideration all the surrounding facts and circumstances, with the admonition that cases should

be decided on their merits, where possible. Id.

       {¶13} Considering all the surrounding facts and circumstances herein, we find that

excusable neglect was demonstrated and that the trial court did not abuse its discretion by

deeming the answer timely and denying the motion for default judgment. As discussed above,

appellees had vigorously defended the action by filing a motion to dismiss and litigating the

appeal. Appellees continued to actively defend and participate in the action upon remand, and

retained new counsel, who immediately filed an answer upon the filing of the motion for default

judgment.    The opposing party was not prejudiced by the delay in pleading, and the

circumstances herein reflect an oversight and the absence of willfulness or bad faith.

Appellants’ first assignment of error is overruled.

                                       Summary Judgment
       {¶14} Under their second assignment of error, appellants challenge the trial court’s

decision to grant appellees’ motion for summary judgment. Appellate review of summary

judgment is de novo, governed by the standard set forth in Civ.R. 56. Argabrite v. Neer, 149

Ohio St.3d 349, 2016-Ohio-8374, 75 N.E.3d 161, ¶ 14.       Summary judgment is appropriate only

when “[1] no genuine issue of material fact remains to be litigated, [2] the moving party is

entitled to judgment as a matter of law, and, [3] viewing the evidence most strongly in favor of

the nonmoving party, reasonable minds can reach a conclusion only in favor of the moving

party.” Id., citing M.H. v. Cuyahoga Falls, 134 Ohio St.3d 65, 2012-Ohio-5336, 979 N.E.2d

1261, ¶ 12.

       {¶15} Following the Fourtounis I appeal, the case proceeded on the claims of civil

conspiracy, malicious prosecution in a civil proceeding, third-party legal malpractice, and

vicarious liability.   Appellees did not oppose summary judgment on the claim for civil

conspiracy and have not challenged that claim herein. They have challenged the trial court’s

decision to grant summary judgment on the remaining claims.

       1. Malicious Civil Prosecution and Third-Party Legal Malpractice

       {¶16} Initially, we address the contention that the third-party malpractice claim is

time-barred. The statute of limitations for a legal malpractice claim is one year after the cause of

action accrued. R.C. 2305.11(A). The cause of action accrues when there is a cognizable event

by which the plaintiff discovers or should have discovered the injury giving rise to a claim and is

put on notice of a need to pursue his possible remedies against the attorney, or when the

attorney-client relationship for that particular transaction terminates, whichever occurs later.

Zimmie v. Calfee, Halter & Griswold, 43 Ohio St.3d 54, 538 N.E.2d 398 (1989), syllabus.
       {¶17} Fourtounis argues that the cognizable event occurred at the latest in July 2012

when Verginis brought the settlement agreement to the trial court’s attention and argued it was

invalid. The record reflects that at a July 6, 2012 emergency hearing, appellants through their

former counsel claimed the disputed equipment was subject to a “valid cognovit note * * * as

well as a valid settlement agreement” that had been executed by Stamatopoulos and members of

the Fourtounis family. In response, Verginis argued at the hearing that the settlement agreement

was not valid, stating “the settlement agreement they are relying upon was never signed by

Lightning Contracting or Lightning Capital, only Mr. Stamatopoulos.” Fourtounis maintains

this would have been sufficient to alert a reasonable person that an improper act may have been

committed and that further investigation is needed.

       {¶18} Appellants argue that it was during depositions that were taken in December 2013

and January 2014 in the underlying litigation that they discovered Verginis’s purported

involvement with and advance knowledge of the settlement agreement before he filed the

replevin action and the supporting documents.          Therefore, appellants maintain that the

complaint, which was filed on June 27, 2014, was filed within the one-year statute of limitations.



       {¶19} Our review reflects that arguably appellants were not alerted to Verginis’s alleged

involvement with and prior knowledge of the settlement agreement until the depositions were

taken. The statements made at the July 2012 hearing were not suggestive of an improper act by

Verginis or a need to investigate a potential third-party legal malpractice claim. Therefore, we

are unable to conclude that summary judgment was warranted on the basis of the statute of
limitations.1 Accordingly, we shall review the trial court’s determination on the merits of the

claim.

         {¶20} In order to establish a claim of malicious civil prosecution, a plaintiff must

establish prior proceedings were initiated or continued with malice and without probable cause,

the prior proceedings ended in the injured party’s favor, and a seizure of the injured party or his

property during the prior proceedings has occurred. Foley v. Univ. of Dayton, 150 Ohio St.3d

252, 2016-Ohio-7591, 81 N.E.3d 398, ¶ 14, citing Trussell v. Gen. Motors Corp., 53 Ohio St.3d

142, 144, 559 N.E.2d 732 (1990); Robb v. Chagrin Lagoons Yacht Club, 75 Ohio St.3d 264,

1996-Ohio-189, 662 N.E.2d 9, syllabus.

         {¶21} With regard to a third-party legal malpractice claim, under Ohio law, “an attorney

may not be held liable by third parties as a result of having performed services on behalf of a

client, in good faith, unless the third party is in privity with the client for whom the legal services

were performed, or unless the attorney acts with malice.” Simon v. Zipperstein, 32 Ohio St.3d

74, 76, 512 N.E.2d 636 (1987), citing Scholler v. Scholler, 10 Ohio St.3d 98, 462 N.E.2d 158

(1984), paragraph one of the syllabus.         The third-party legal malpractice claim herein is

premised upon the attorney allegedly acting with malice.

         {¶22} “Malice” is indicative of “the state of mind under which a person intentionally does

a wrongful act without a reasonable lawful excuse and with the intent to inflict injury under

circumstances that the law will imply an evil intent.” Criss v. Springfield Twp., 56 Ohio St.3d

82, 85, 564 N.E.2d 440 (1990), citing Black’s Law Dictionary 956 (6th Ed.1990). “Malice”

means “an improper purpose, or any purpose other than the legitimate interest of bringing an


       We note that the trial court did not address the statute of limitations
         1

argument and decided the merits of the claim.
offender to justice.” Criss at 85, citing Black’s, and Keeton, Dobbs, Keeton & Owen, Prosser

and Keeton on the Law of Torts, Section 119, 883 (5th Ed.1984).

       {¶23} Appellants argue that there is a genuine issue of material fact as to whether

Verginis acted with malice.       It is their position that Verginis knew about the settlement

agreement prior to the ex parte filings in the replevin action. During his deposition, Verginis

testified unequivocally that he did not know that the settlement agreement existed at the time he

filed the ex parte pleadings in the replevin action. He stated that he did not become aware of the

settlement agreement until sometime after the replevin action was filed and that he then brought

it to the court’s attention. Further, the replevin action was supported by Stamatopoulos’s sworn

affidavit, and Verginis indicated he believed his client was telling the truth.

       {¶24} Appellants rely upon deposition and trial testimony from the underlying litigation

to suggest an inference of knowledge can be established. However, their asserted inference is

based on no more than vague testimony and speculation.

       {¶25} During his deposition in the underlying litigation, Blaise Brucardo, the comptroller

for Global Outdoor Solutions, testified that he did not know who was representing

Stamatopoulos in March 2012. Although he recalled meeting with Verginis while the settlement

agreement was being negotiated and discussing the settlement agreement with Verginis, he

testified that he “honestly can’t say” who was representing Stamatopoulos in mid-March 2012.

Further, although Brucardo indicated he “would think” Verginis was representing

Stamatopoulos, he testified he “honestly could not say” when Verginis became involved.

Likewise, Stamatopoulos never testified that Verginis represented him in negotiating the

settlement. He testified that he did not recall who assisted him in negotiating the settlement.

The remainder of the testimony and evidence relied upon by appellants similarly fails to support
any reasonable inference of malice. Although appellants claim inferences can be drawn, their

argument is purely speculative.

        {¶26} Construing the evidence most strongly in favor of the nonmoving party, appellants

have failed to create a genuine issue of material fact as to whether Verginis knew of the

settlement agreement when the replevin action was filed.            Ultimately, after reviewing the

testimony and exhibits in the record, we agree with the trial court that there is no evidence that

Verginis acted with malice.       Accordingly, summary judgment was properly granted on the

claims of malicious civil prosecution and third-party legal malpractice.2

        2. Vicarious Liability

        {¶27} Under Ohio law, “a law firm may be vicariously liable for legal malpractice only

when one or more of its principals or associates are liable for legal malpractice.” Natl. Union

Fire Ins. Co. v. Wuerth, 122 Ohio St.3d 594, 2009-Ohio-3601, 913 N.E.2d 939, ¶ 26. “The

vicarious liability of a law firm and its principals * * * presupposes that a firm principal or

employee is liable on one or more claims * * * and considers when the firm itself and each of its

principals share in that liability.” (Emphasis sic.) Id. at ¶ 25, quoting Restatement of the Law

3d, The Law Governing Lawyers, Section 58, Comment a (2000).                  Because the vicarious

liability claim is derivative of the malicious prosecution and third-party legal malpractice claims

against Verginis, appellees are also entitled to summary judgment on the claim for vicarious

liability.

        {¶28} Appellants’ second assignment of error is overruled.


        2
           We decline to address appellees’ arguments regarding collateral estoppel and expert
testimony, which were not addressed by the trial court and are not necessary to the disposition of this
appeal.
       {¶29} Judgment affirmed.

       It is ordered that appellees recover from appellants costs herein taxed.

       The court finds there were reasonable grounds for this appeal.

       It is ordered that a special mandate issue out of this court directing the common pleas

court to carry this judgment into execution.

       A certified copy of this entry shall constitute the mandate pursuant to Rule 27 of the

Rules of Appellate Procedure.



SEAN C. GALLAGHER, JUDGE

MARY J. BOYLE, P.J., and
LARRY A. JONES, SR., J., CONCUR