IN THE UNITED STATES COURT OF APPEALS
FOR THE FIFTH CIRCUIT United States Court of Appeals
Fifth Circuit
FILED
July 18, 2008
No. 07-30201 Charles R. Fulbruge III
Clerk
LISA MARIE GINTER, on behalf of her minor child, Rachel Elizabeth
Ballard; PAUL EDWARD GINTER
Plaintiffs - Appellees
v.
BELCHER, PRENDERGAST & LAPORTE; FRED H BELCHER, JR
Defendants - Appellants
Appeal from the United States District Court
for the Middle District of Louisiana
Before REAVLEY, SMITH, and DENNIS, Circuit Judges.
REAVLEY, Circuit Judge:
Paul and Lisa Ginter, husband and wife, hired Fred Belcher (an attorney)
to help guide them through Louisiana’s complicated process for adopting a child.
The attorney-client agreement memorializing Belcher’s representation contained
a forum-selection clause requiring that any suit related to the contract be filed
in Louisiana state court. After a dispute arose between the parties, however, the
Ginters filed suit in federal court. Belcher moved to have the case dismissed,
citing the forum-selection clause. The district court held that the clause was
unenforceable and certified the decision for interlocutory appeal under 28 U.S.C.
§ 1292(b). We accepted the appeal and now enforce the forum-selection clause.
No. 07-30201
I. Background
The Ginters, residents of South Carolina, hired Belcher—a family law
attorney at Belcher, Prendergast & Laporte in Louisiana—to assist them in the
adoption of a child. Later, the Ginters adopted a second child and Belcher again
represented them. With respect to the second adoption, the agreement between
the Ginters and Belcher contained a choice-of-law provision (Louisiana law
would govern) and a choice-of-forum provision (“Any action at law, suit in equity,
or other judicial proceeding for the enforcement and/or breach of this contract,
or any provision thereof, shall be instituted only in the 19th Judicial District
Court of the State of Louisiana.”). Belcher did not suggest to the Ginters that
they seek independent counsel to review the fee agreement. The Ginters,
however, did have the opportunity to ask questions.
The Ginters filed this suit against Belcher and his law firm in federal
district court in Louisiana after it was determined the second child suffered from
fetal alcohol syndrome because of the birth mother’s use of illegal drugs and
alcohol. The Ginters alleged that Belcher had made misrepresentations (both
negligent and intentional) about the health of the birth mother and that he had
breached his fiduciary duty to them by failing to thoroughly investigate the
mother’s health.
Belcher responded by filing a motion to dismiss. He argued, among other
things, that the choice-of-forum clause in the attorney-client agreement required
the Ginters to file suit in the “19th Judicial District Court of the State of
Louisiana,” not federal court, as the Ginters had done. The district court denied
the motion.
II. Discussion
Our only issue is whether the forum-selection clause in the attorney-client
agreement between the Ginters and Belcher is enforceable and requires this suit
to be dismissed. We review the district court’s decision to enforce the forum-
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No. 07-30201
selection clause de novo. Haynsworth v. The Corp.1 We hold that the forum-
selection clause is enforceable and that the motion to dismiss should have been
granted.
We begin with federal law, not state law, to determine the enforceability
of a forum-selection clause.2 Under federal law, forum-selection clauses are
presumed enforceable, and the party resisting enforcement bears a “‘heavy
burden of proof.’”3 In cases such as this one, where a litigant in federal court
attempts to have a case dismissed based on a contractual provision requiring
suit to be filed in state court, the forum-selection clause should be upheld unless
the party opposing its enforcement can show that the clause is unreasonable.4
The clause might be unreasonable when, among other things, its inclusion is the
product of “overreaching” or when its enforcement would “contravene a strong
public policy of the forum state.”5 If the contractual forum-selection clause is not
unreasonable, we must determine whether it covers the tort claims at issue in
this case. Marinechance Shipping LTD. v. Sebastian.6
A. Is the forum-selection clause enforceable?
Two different reasons have been offered to rebut the presumption that the
forum-selection clause here is enforceable—that it was the result of overreaching
and that it is against Louisiana public policy. We address each in turn.
The district court invalidated the forum-selection clause because it
1
121 F.3d 956, 961 (5th Cir. 1997).
2
Id. at 962.
3
Id. at 963 (quoting M/S Bremen v. Zapata Off-Shore Co., 407 U.S. 1, 17, 92 S. Ct.
1907, 1917 (1972)).
4
Id. at 962–63 (citing Int’l Software Sys. v. Amplicon, Inc., 77 F.3d 112, 114–15 (5th
Cir. 1996)).
5
Id. at 963.
6
143 F.3d 216, 222–23 (5th Cir. 1998).
3
No. 07-30201
determined that it was the result of overreaching. The court reasoned that the
agreement at issue consummated a “business transaction” between the parties
and therefore, Belcher—as an attorney—had a professional obligation to advise
the Ginters that they should seek independent counsel. Because Belcher did not
do that, the district court held that the forum-selection clause was the result of
overreaching. To support its conclusion, the district court relied on Louisiana
State Bar Association v. Bosworth, where the Louisiana Supreme Court upheld
the suspension of an attorney who had entered into a loan agreement with a
current client without advising the client to seek independent counsel.7
According to the court, “[w]hen a lawyer enters into a business transaction with
his client where they have differing interests and when the client expects the
lawyer to exercise his professional judgment in that transaction for the
protection of the client, the lawyer should at least advise the client to seek
outside counsel.”8
But the agreement at issue in this case is not a separate “business
transaction” between an attorney and client requiring application of the
business-transaction rules; instead, all parties agree that it is merely an
agreement consummating the attorney-client relationship.9 The Ginters had no
reason to believe that Belcher was using his professional judgment to zealously
protect their interests in the very agreement that memorialized their
relationship. They might as well ague that Belcher had to look after their
7
481 So. 2d 567, 571–72 (La. 1986).
8
Id. at 572.
9
In dissent, Judge Dennis contends that the contract could be viewed as a hybrid
between an attorney-client agreement and a business transaction. But the Ginters have
consistently characterized this agreement as nothing more than an attorney-client agreement;
indeed, at oral argument, the Ginters’ attorney expressly rejected the idea that this agreement
consummated anything more than an attorney-client relationship. We will not construe the
facts in such a way as to contradict the Ginters view of the facts.
4
No. 07-30201
interests in determining how much he should be paid. Belcher did not overreach
by failing to advise the Ginters that they should seek independent legal counsel
before signing the attorney-client agreement.
The Ginters argue that even if the forum-selection clause was not the
result of overreaching, it is unenforceable because it violates Louisiana public
policy. The Ginters contend that the clause is a limitation on Belcher’s
malpractice liability, and Louisiana forbids its lawyers from entering into such
agreements “unless the client is independently represented in making the
agreement.”10 Here, the Ginters were not separately represented, so if a forum-
selection clause is a limitation on malpractice liability, it would be unenforceable
as a violation of Louisiana public policy. We do not see this forum-selection
clause as a limitation on malpractice liability.
The thrust of the Ginters’ argument is that a forum-selection clause limits
Belcher’s liability because it forces the Ginters to litigate in a forum favorable
to Belcher. The clause, if enforced, would require the Ginters—out-of-state
plaintiffs—to file suit in Louisiana state court against a Louisiana attorney. The
Ginters contend that as out-of-state plaintiffs they would be at a disadvantage
to Belcher in Louisiana state court. Indeed, the need for diversity jurisdiction
rests, in part, on the recognition that a “state tribunal might not be impartial
between [its] own citizens” and citizens of another state.11 The potential
advantage to Belcher is underscored by the fact that he is a local attorney. Thus,
the Ginters argue, they are less likely to recover in state court, and Belcher’s
attempt to have this case litigated in state court is therefore a limitation on his
malpractice liability.
10
LA RULES OF PROF’L CONDUCT 1.8(h)(1) (stating that a lawyer shall not “make an
agreement prospectively limiting the lawyer’s liability to a client for malpractice unless the
client is independently represented in making the agreement”).
11
Pease v. Peck, 59 U.S. 595, 599 (1855).
5
No. 07-30201
Louisiana law is silent on the contours of what constitutes limiting
malpractice liability. Nevertheless, we have some conceptual difficulty in
stretching the concept of limiting liability to cover situations where an attorney
selects a forum where he or she might have some conceivable advantage. Our
skepticism is supported by examining how other jurisdictions have handled a
related issue: whether including mandatory-arbitration provisions (a type of
forum-selection clause) in an attorney-client agreement is a form of limiting
malpractice liability. While no Louisiana authority has addressed this issue, we
find Maine’s treatment instructive. Maine’s Professional Ethics Commission, in
opining that attorneys may include arbitration provisions in their fee contracts
without running afoul of their obligation not to include limitations on their
malpractice liability, stated the following:
An agreement to limit liability is, in substance, an agreement that
says that even though the lawyer errs in fulfilling certain duties to
the client, the lawyer will not be liable to the extent that common
and statutory law would otherwise make the lawyer liable. Perhaps
if a particular forum had rules that themselves limited liability,
then selection of such a forum could fairly be said to limit liability
indirectly. Or if the arbitration agreement were a sham, such as an
agreement to arbitrate before the lawyer’s partner, then one could
argue that its practical effect was to limit liability.12
Three members of the Commission dissented, arguing that arbitration
provided subtle advantages to an attorney, “which potentially limit the
attorney’s liability for malpractice . . . .”13
We find the majority’s reasoning persuasive and believe Louisiana courts
would as well. A mandatory-arbitration clause (or any forum-selection clause)
might in a particular case give the lawyer an advantage over the client. But a
clause that has only the possibility of reducing by some small percent the
12
MAINE PROF’L ETHICS COMM’N, Op. 170 (1999).
13
Id.
6
No. 07-30201
chances of an attorney’s being found liable is categorically different from a clause
that truly limits liability—for example, a clause that either directly limits
liability (e.g., a hold-harmless clause) or a clause that so handicaps a client in a
malpractice suit as to be a practical limitation on liability (e.g., a clause
requiring suit to be filed within days of the malpractice’s occurring). Other
jurisdictions have recognized that requiring a client to arbitrate is not per se a
limitation on liability because requiring arbitration does nothing more than set
the litigation arena. Connecticut, for example, has stated that an “arbitration
clause addresses only the forum for adjudication of a malpractice claim[] and has
no limiting effect on the lawyer’s liability to the client.”14 Ohio has noted that
an arbitration provision does not limit malpractice liability because it “shifts
resolution of the legal malpractice dispute from a court of law to a different
forum.”15 The New York and Oklahoma ethics commissions have come to similar
conclusions, although they also sensibly require the attorney to explain to the
client the numerous distinctions between arbitration and court proceedings.16
The Ginters attempt to distinguish this authority by pointing out that
arbitration is generally seen as beneficial to both sides because of its streamlined
procedures. But the very fact that arbitration has such different procedures
makes including an arbitration provision into an attorney-client agreement
more, not less, objectionable. By agreeing to arbitration, clients are unlikely to
14
CONN. BAR ASS’N, Ethics Op. 99-20, 1999 WL 958027, at *1 n.2.
15
OH. BD. OF COMM’RS ON GRIEVANCES AND DISCIPLINE, Op. 96-9, 1996 WL 734408, at
*4 (concluding that, while arbitration provision are not a limitation on malpractice liability,
they should not be included in engagement letters because their inclusion violates an
attorney’s general duties to protect his or her “clients from agreements that do not serve the
client’s best interest”).
16
See OK. BAR ASS’N LEGAL ETHICS COMM., 2000 WL 33389634, at *2–*5, Op. No. 312
(determining that an arbitration clause is not a limitation on liability because it merely
determines the forum in which a case will be litigated, but concluding that an attorney should
advise the client about the differences between litigating in a court and arbitration); NY
COUNTY LAWYERS’ ASSOC. COMM. ON PROF’L ETHICS, Op. 723, 1997 WL 419331, at *2 (same).
7
No. 07-30201
be aware of the fact that they are waiving important rights, like the right to
appeal and the right to a jury trial. Indeed, as noted above, the New York and
Oklahoma ethics commissions have relied on this concern to conclude that their
attorneys, before an including an arbitration clause in their fee agreements,
must explain to their clients the substantial differences between arbitration and
normal litigation. The differences between state and federal court, however, are
not nearly as substantial. Thus, there is a much stronger case for upholding a
forum-selection clause like the one at issue in this case than an arbitration
clause, where the risk of an attorney’s taking advantage of a client is greater.
From all of this we can distill a general rule that including a forum-
selection clause into an attorney-client agreement is usually not a limitation on
malpractice liability. Instead, it is only a limitation when the selected forum has
rules expressly limiting liability or if litigating in that forum would be so unfair
as to be a practical limitation on liability.
Here, there is no suggestion that litigating in Louisiana state court would
result in an express limitation on liability—Louisiana substantive law will
govern this dispute whether it is in federal or state court. The suggestion here
is simply that Belcher would gain a subtle strategic advantage by being able to
defend himself in state court. But the connection between that advantage and
limiting liability is too remote to be considered a practical limitation on Belcher’s
liability. Perhaps if Belcher had selected a far-flung forum to discourage
litigation, including the clause could be viewed as a limitation on liability.
Belcher, however, has selected an entirely reasonable forum in light of the fact
that the fee agreement at issue governed an adoption that would involve events
that would take place mostly in Louisiana and would be governed by Louisiana
law. The Ginters have not met their heavy burden to establish that the forum-
selection clause here should be held unenforceable.
8
No. 07-30201
B. Does the forum-selection clause govern the Ginters’ tort
causes of action?
The Ginters also argue that even if the forum selection clause is
enforceable, it should not apply here because they have not sued for breach of
contract—they have sued only under various tort theories. In Marinechance
Shipping LTD. v. Sebastian, we faced a similar situation, where a litigant
attempted to sidestep the reach of a contractual forum-selection clause by suing
under causes of action sounding in tort.17 In holding that the forum-selection
clause covered the tort causes of action, we foreswore any slavish adherence to
a contract/tort distinction; to hold to the contrary would allow a litigant to avoid
a forum-selection clause with “artful pleading.”18 Instead, we examined the
language of the forum-selection clause with a common-sense view of the causes
of actions to determine whether the clause was broad enough to cover the torts.19
Here, the forum-selection clause at issue provides the following: “Any
action at law, suit in equity, or other judicial proceeding for the enforcement
and/or breach of this contract, or any provision thereof, shall be instituted only
in the 19th Judicial District Court of the State of Louisiana.” While the clause
speaks of covering suits dealing with the enforcement or breach of the contract,
the causes of action here all arise out of Belcher’s contractual relationship with
Ginters. Though their causes of action sound in tort, the Ginters are
complaining about the failure of Belcher to fulfill his contractual obligations. We
conclude that the suit is covered by the forum-selection clause.
In sum, we hold that the forum-selection clause in the attorney-client
agreement between the Ginters and Belcher is enforceable and governs the tort
17
143 F.3d 216, 220–21 (5th Cir. 1998).
18
Id. at 222 n.27.
19
Id. at 222.
9
No. 07-30201
claims at issue in this case. Accordingly, we REMAND the case to the district
court with instructions that it be dismissed.
REVERSED. Cause REMANDED.
10
No. 07-30201
DENNIS, Circuit Judge, dissenting:
I respectfully dissent. I would affirm the judgment of the district court in
denying the defendant attorney’s motion to dismiss because, under the facts
viewed in the light most favorable to the non-moving parties, the forum-selection
clause was a product of overreaching by the defendant attorney in that it and
other provisions of the adoption and attorney-client contract were designed to
favor the attorney’s interests in pursuing his adoption agency business to the
disadvantage of the interests of his clients, the plaintiffs.
I.
Lisa Marie and Paul Ginter (“the Ginters”), plaintiffs-appellees in this
case, are residents of South Carolina. They are unable to biologically conceive
and have children. As a result, the Ginters sought to adopt a newborn child. In
March 2003, the Ginters learned that Belcher, a Baton Rouge, Louisiana
attorney, could assist them in adopting an infant girl who had been rejected by
another couple because the child was born with a bilateral cleft palate/lip. The
Ginters proceeded to enter into a contract with Belcher for the placement and
adoption of the infant girl with full knowledge of the birth defect. More than a
year later, in August 2004, a representative of Belcher’s law firm contacted the
Ginters to inform them that the birth mother of the child that they adopted in
2003 was again pregnant and wanted to place her unborn child for adoption.
Belcher had his assistant contact the Ginters for the adoption because the
unborn child would be a half-sibling of their adopted child. According to the
Ginters’ complaint, “after much deliberation,” they agreed to adopt the unborn
child. However, because of the “financial and emotional toll” that the Ginters
had incurred from the previous adoption due to that child’s bilateral cleft
palate/lip,1 they agreed to adopt the unborn half-sibling only on the condition
1
According to the Ginters’ complaint, the older half-sibling “has special needs and has
undergone several corrective surgeries with many more surgeries projected. The baby also
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No. 07-30201
that the child was healthy at birth. The Ginters were concerned about their
ability to adequately care for the second child if that child were also to be born
with a disorder or defect.
On August 17, 2004, the Ginters entered into a contract with Belcher for
the procurement and delivery for adoption of a “healthy Caucasian child” in
Louisiana. Belcher prepared the adoption agreement which the Ginters signed.
The agreement contained the following provisions:
PAUL EDWARD GINTER and LISA MARIE GINTER agree
to pay Fred H. Belcher, Jr. the sum of Twenty-Eight Thousand
Seven Hundred Fifty and No/100 ($28,750.00) as payment for
medical bills, hospital bills, living expenses of the biological
mother during pregnancy and for a reasonable time afterwards,
and attorney fees. This contract does not cover court costs for the
adoption.
PAUL EDWARD GINTER and LISA MARIE GINTER further
agree they will pay $10,000.00 upon execution of this agreement,
$10,000 forty-five (45) [days] prior to the anticipated due date and
$8,750.00 upon receipt of the child.
Should the child be born premature or for medical reasons, be
required to stay in the hospital more than two days, the parents
and/or their hospitalization insurance policy shall be responsible
for the expenses incurred by the child for any stay in excess of two
days.
Fred H. Belcher, Jr. hereby guarantees he will procure and
deliver to PAUL EDWARD GINTER and LISA MARIE
GINTER a healthy Caucasian child from a biological mother.
Should the adoptive parents withdraw from this
agreement, they forfeit all monies deposited with Fred H.
Belcher, Jr. This agreement cannot be assigned by either
party.
receives therapy 3 times per week and will continue to do so for speech.”
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No. 07-30201
Fred H. Belcher, Jr. further guarantees the final adoption shall
be legal.
Fred H. Belcher, Jr. further agrees that should the biological
mother refuse to sign the consent papers for the adoption, or the
adoption fails for any reason, he guarantees that PAUL
EDWARD GINTER and LISA MARIE GINTER shall be
placed with another pregnant biological mother, either through
his or their joint efforts, within twelve (12) months of the date of
refusal or a refund of one-third (1/3) all monies deposited with
him. Should the adoptive parents, PAUL EDWARD GINTER
and LISA MARIE GINTER be placed with a second biological
mother and the biological mother refuses to sign the consent
papers for the adoption or the adoption fails for any reason, the
adoptive parents, PAUL EDWARD GINTER and LISA
MARIE GINTER shall not receive a refund of any monies
deposited with Fred H. Belcher, Jr.
Fred H. Belcher, Jr. further guarantees that PAUL EDWARD
GINTER and LISA MARIE GINTER shall receive a healthy
Caucasian child. He only guarantees the mental and physical
health of the child for a period of thirty (30) days from date
adoptive parents receive the child. He is not responsible for any
of the child’s medical bills from the time the child is removed from
the hospital.
We, PAUL EDWARD GINTER and LISA MARIE GINTER,
acknowledge that we have been advised by Fred H. Belcher, Jr.
that the field of adoptions is a specialized and difficult area of
practice due to the numerous laws in place to protect the rights
of the biological parents including, but not limited to, specific
waiting periods during which the final surrender cannot be
executed. We understand that the surrender of the child cannot
be finalized until the expiration of those waiting periods and that
Fred H. Belcher, Jr. does not guarantee a successful result. We
have further been advised that failed adoptions are a regular
occurrence in this field and that there is a real risk that the
adoption will not be finalized.
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No. 07-30201
It is mutually understood and agreed that this contract shall be
governed by the laws of the State of Louisiana, and specifically by
the Louisiana Children’s Code both as to interpretation and
performance. Any action at law, suit in equity, or other judicial
proceeding for the enforcement and/or breach of this contract, or
any provision thereof, shall be instituted only in the 19th Judicial
District Court of the State of Louisiana.
We, PAUL EDWARD GINTER and LISA MARIE GINTER,
acknowledge that we have read this contract in its entirety and
that we have been given the opportunity to ask questions. After
having done so, we hereby acknowledge that we understand the
terms, conditions and risks involved in entering into this contract
and that we hereby accept all of the terms, conditions and risks
outlined in this agreement.
(emphasis in original).
On December 5, 2004, Rachel Elizabeth Ballard was born at Women’s
Hospital in Baton Rouge, Louisiana. Through the actions of Belcher, she was
then transferred to the care and custody of the Ginters on December 9. Four
days later, Belcher advised the Ginters that they could leave Louisiana and
return home to South Carolina with Rachel. Around this time, the Ginters
learned for the first time that Rachel was not a “healthy Caucasian child,” as
provided for by the adoption agreement.
The Ginters allege that, on December 15, 2004, Belcher, pursuant to the
Interstate Compact on the Placement of Children, submitted a required
information packet, which included medical records of both Rachel and her
biological mother regarding the treatment/services rendered at Women’s
Hospital from December 5 through December 8, to the Louisiana Department of
Social Services. That packet was then forwarded to the South Carolina
Department of Social Services on December 27, 2004. At the same time,
however, the Ginters contend that, despite several requests, both at the time of
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No. 07-30201
placement and thereafter, for Rachel’s medical records, Belcher repeatedly
advised the Ginters that he had not been provided Rachel’s medical records.
Additionally, the Ginters assert that, as a result of the medical issues associated
with the adoption of their first child, they “repeatedly inquired as to the health
of the birth mother” both before and after the birth and placement of Rachel. In
response, they allege that they received “numerous representations” from
Belcher and representatives of his firm that the birth mother had not consumed
any drugs or alcohol during her pregnancy.
In March 2005, the South Carolina Department of Social Services
informed the Ginters that it would not approve their adoption of Rachel because
the Interstate Compact on the Placement of Children information packet did not
contain a drug disclosure affidavit. Sometime thereafter, the Ginters learned
that Rachel and her biological mother had both tested positive for illegal drugs
at the time of Rachel’s birth. More specifically, the mother tested positive for
cocaine on December 5, 2004, the date of Rachel’s birth, and Rachel tested
positive for cocaine in her meconium (which is evidence of significant exposure)
on December 6, 2004. As a result of the mother’s drug and alcohol use during
pregnancy, the Ginters state that Rachel suffers from fetal alcohol syndrome as
well as other medical difficulties, including significant social, adaptive, motor
skills, and communication impairments. Rachel now undergoes extensive
therapy sessions because of the mother’s use of drugs and alcohol during her
pregnancy.
The Ginters brought this suit against Belcher alleging that he knew or
should have known that Rachel’s mother consumed drugs and alcohol during the
pregnancy. They assert that Belcher owed them a duty to diligently represent
them; to investigate the health of the mother during the pregnancy; to investigate
the health/drug test results of the mother during the pregnancy and at the time
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No. 07-30201
of Rachel’s birth; to investigate the health/drug test results of Rachel at the time
of her birth; and to disclose the health/drug test results of the mother and Rachel
to the Ginters prior to placement of the infant with them. They further allege that
Belcher failed in all of these respects, despite his having knowledge of and/or
possession of the health/drug test results for the mother and Rachel, in an effort
to mislead the Ginters so that they would accept placement of Rachel, who was
neither Caucasian nor healthy.
Belcher then filed this motion to dismiss on the grounds that the amount-in-
controversy requirement of $75,000 was not met and that the forum-selection
clause in their adoption agreement precluded the Ginters from filing their suit
anywhere but in the 19th Judicial District Court of the State of Louisiana.
Belcher attached only a copy of the written agreement between the two parties in
support of his motion. In opposition to Belcher’s motion, the Ginters submitted,
in addition to a copy of the written agreement, an e-mail from a representative of
Belcher’s law firm, a print-out of the December 6, 2004 drug test results for
Rachel, an affidavit from the Ginters, and an excerpt of deposition testimony given
by Belcher. Those documents constitute the entirety of the evidentiary record
presently before us on appeal.
II.
While the majority opinion correctly states that we review a district court’s
decision to enforce a forum-selection clause de novo, see Haynsworth v. The Corp.,
121 F.3d 956, 961 (5th Cir. 1997), it ignores the broader posture of this case. We
are here on a motion to dismiss, one which Belcher brought at the very outset of
this litigation pursuant to both Rule 12(b)(1) (lack of subject matter jurisdiction)
and Rule 12(b)(3) (improper venue) of the Federal Rules of Civil Procedure. The
district court, in denying Belcher’s motion, did not distinguish between the two
bases for Belcher’s motion. The majority, in reversing the district court, also fails
16
No. 07-30201
to address this issue, perhaps mindful that this court on at least two previous
occasions has declined to address the “enigmatic question of whether motions to
dismiss on the basis of forum selection clauses are properly brought as motions
under FED. R. CIV. P. 12(b)(1) [or] 12(b)(3) . . . .” Lim v. Offshore Specialty
Fabricators, Inc., 404 F.3d 898, 902 (5th Cir. 2005) (quoting Haynsworth, 121 F.3d
at 961). Whatever the answer to that question, we need not resolve it in the
context of this matter because I believe the conclusion remains the same
regardless of whether the motion to dismiss is properly considered as a Rule
12(b)(1) or Rule 12(b)(3) motion. Our de novo review under either Rule 12(b)(1)
or Rule 12(b)(3) requires us to view all the facts in a light most favorable to the
plaintiff. See, e.g., Lane ex rel. Lane v. Halliburton, --- F.3d ---, 2008 WL 2191200,
at *4 (5th Cir. May 28, 2008) (“In reviewing the dismissal order [under Rule
12(b)(1)], we take the well-pled factual allegations of the complaint as true and
view them in the light most favorable to the plaintiff.”); Braspetro Oil Servs. Co.
v. Modec (USA), Inc., 240 F. App’x 612, 615 (5th Cir. May 11, 2007) (unpublished)
(“On a Rule 12(b)(3) motion to dismiss for improper venue, the court must accept
as true all allegations in the complaint and resolve all conflicts in favor of the
plaintiff.”) (citing Murphy v. Schneider Nat’l, Inc., 362 F.3d 1133, 1138 (9th Cir.
2004)). Moreover, under both Rule 12(b)(1) and Rule 12(b)(3), the court is
permitted to look at evidence in the record beyond simply those facts alleged in
the complaint and its proper attachments. See Lane, 2008 WL 2191200, at *4
(“[U]nder Rule 12(b)(1), the court may find a plausible set of facts by considering
any of the following: (1) the complaint alone; (2) the complaint supplemented by
the undisputed facts evidenced in the record; or (3) the complaint supplemented
by undisputed facts plus the court’s resolution of disputed facts.”) (internal
quotation omitted); Murphy, 362 F.3d at 1138-40 (holding that, in the absence of
17
No. 07-30201
factual findings made by the district court based upon an evidentiary hearing,
affidavits and other evidence submitted by the non-moving party in the content
of a Rule 12(b)(3) challenge are to be viewed in the light most favorable to that
party).
Accordingly, as I explain in full below, viewing the limited evidentiary
record in the light most favorable to the Ginters, as we must do at this stage in the
proceedings, it is erroneous to conclude on this record, as the majority does, that
federal court is an improper venue for the Ginters’ suit against Belcher and hence
that their suit must be dismissed.
III.
Forum-selection clauses are presumed enforceable in both diversity and
federal question cases. See Haynsworth, 121 F.3d at 962. However, the
presumption of enforceability may be overcome by a showing that the clause is
“unreasonable under the circumstances.” M/S Bremen v. Zapata Off-Shore Co.,
407 U.S. 1, 10 (1972) (internal quotation omitted). Among the reasons a forum-
selection clause may be considered unreasonable is when its incorporation into the
agreement was the product of overreaching. See Haynsworth, 121 F.3d at 963.
“Although there is some ambiguity as to the precise boundaries of what
constitutes ‘overreaching,’” we have previously defined “overreaching” as “that
which results from an inequality of bargaining power or other circumstances in
which there is an absence of meaningful choice on the part of one of the parties.”
Id. at 965 & n.17 (quoting BLACK’S LAW DICTIONARY 1104 (6th ed. 1990)).2 On the
2
A more recent version of BLACK’S LAW DICTIONARY defines “overreaching” as either
“[t]he act or an instance of taking unfair commercial advantage of another, esp. by fraudulent
means.” BLACK’S LAW DICTIONARY 1136 (8th ed. 2004)). The difference between the 2004
definition and the 1990 definition, whatever it may be, is immaterial here for, as I discuss
infra, sufficient evidence has been presented to suggest that Belcher’s conduct potentially
constituted “overreaching” under either definition set forth in BLACK’S.
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No. 07-30201
record currently before us, we are presented with a set of facts, which viewed in
the light most favorable to the plaintiffs, shows that Belcher’s conduct created a
conflict of interest between him and his clients regarding his placement of a
newborn child with them for adoption purposes, resulting in an inequality of
bargaining power to the disadvantage of the Ginters during the formation of the
adoption agreement.
The written contract and the evidence presented by the parties indicates
that Belcher acted as both an adoption broker (or agency) and an attorney in his
dealings with the Ginters. Belcher even admits as much. Most particularly, the
transcript of Belcher’s deposition testimony provides the following insight into
Belcher’s view of his relationship with the Ginters:
Q. Let’s talk about a couple of other issues here. The contract
that you drew up, you admit that you drew up this contract, that it wasn’t
a give-and-take between you and the Ginters; am I correct?
A. That’s correct. This was the second time they had been
through me. They had already seen this contract. This was their second
baby.
Q. And you acknowledge that you placed in here a provision . .
. “It is mutually understood and agreed that this contract shall be
governed by the laws of the State of Louisiana, and specifically by the
Louisiana Children’s Code, both as to interpretation and performance.
Any action at law, suit in equity, or other judicial proceedings for the
enforcement and/or breach of this contract, or any provision thereof, shall
be instituted only in the 19th Judicial District Court of the State of
Louisiana.” You placed that provision in the contract, did you not?
A. Yes, because, you see, all of the adoption proceedings go
through the juvenile court, the Parish of East Baton Rouge, the State of
Louisiana, and is governed by the code, the Children’s Code of the State
of Louisiana. Since they are out of state, you know, if something
happens, I don’t want to be going to South Carolina or Maryland or New
Jersey, wherever it might be, so I said, Look – and I require them to
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No. 07-30201
actually go through for the adoption, because I guarantee it is going to be
legal that I do it. In fact, in this particular case, Ms. Ginter called to see
if we would let her do the adoption through South Carolina right after it
happened because she could do it in 90 days, and I said “No, Wendy, we
need to do it because I want to be sure the adoption is done legally,”
because I guarantee the legality of it. So I put that in there because it’s
governed by the Children’s Code, and the adoption goes through East
Baton Rouge Parish, whether it’s out-of-state or in-state. Like I said, 85
percent of my cases, or 80 to 85, are residents of the State of Louisiana.
We don’t cater to out-of-state people. Her best friend lived in Prairieville
and that’s how we met Lisa Ginter.
Q. Did you suggest to the Ginters before they signed this that
they ought to consult their own legal counsel before they signed that
agreement?
A. I assumed that when we did the first agreement that they
were going to consult, because we e-mailed it and also mailed it, that they
were going to consult their attorney to see did they want to sign it or they
didn’t want to sign it. He’s a businessman and Mrs. Ginter was a
businesswoman, so I assumed that when they signed their first one, that
they consulted their lawyer.
Q. Okay, I’m asking you, did you specifically – do you specifically
remember having a conversation with them –
A. No, I didn’t talk to them about it.
Q. You didn’t talk to them about that provision?
A. No.
Q. Okay. There is another provision in here, it says, “Fred H.
Belcher further guarantees that Paul Edward Ginter and Lisa Marie
Ginter shall receive a healthy Caucasian child. He only guarantees the
mental and physical health of the child for a period of 30 days from date
adoptive parents receive the child. He is not responsible for any of the
child’s medical bills from the time the child is removed from the hospital.”
Did I read that correctly?
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No. 07-30201
A. That’s correct.
Q. Okay. Did you suggest to the Ginters that they should refer
to other representation to determine whether that limitation of liability
was an appropriate thing for them to sign off on?
A. I just assumed that since they were business people, they
were going to have – before they signed the first one, not this one – that
they were going to have their attorney look it over and ask any questions.
Q. Do you remember having a conversation with them about
that limitation provision?
A. I remember having a conversation about the whole contract
with Lisa Ginter on the first one. Now, I didn’t talk to her about the
second one, because I just told Wendy to call her and see if she wanted –
we have a standard rule that if a biological mother comes back the second
time, that we give the first parent, the first adoptive parents, no matter
how many people we have waiting, the chance to adopt a half-sibling or
a full sibling; and which Karen came back, and I asked Wendy, I said,
‘Why don’t you call Lisa and see if she wants this child? If she doesn’t, we
will place it with somebody else.’ And she did. So I had no contact with
Lisa Ginter or her husband at all on the second adoption.
Q. Okay. Do you specifically remember having any conversation
with them, either the first time or the second – well, not the second time
– the first time about the fact that they ought to seek independent legal
representation before they signed that contract?
A. I’m sure –
Q. I’m not asking you what you assumed. I’m asking you, do you
remember having that specific conversation?
A. I can’t recall, but I assume I told them to check with their
attorney.
From this testimony, it seems clear that, from the outset of his relationship
with the Ginters, Belcher sought to wear two different hats – one as their adoption
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No. 07-30201
broker, another as their attorney – throughout its duration. For example, Belcher
testified that he placed the forum-selection clause into the adoption agreement
before he began acting as the Ginters’ attorney to ensure that the Louisiana
Children’s Code would govern his actions in contracting to procure and deliver the
Ginters a newborn child for adoption. But at the same time, the adoption
agreement covered his attorney’s fees and included a provision guaranteeing that
“the final adoption shall be legal.”3 Moreover, even if we were to accept that
Belcher acted as an adoption broker before he became the Ginters’ attorney,
Belcher still knew all along that, as part of the adoption agreement, he would
provide legal services to the Ginters after he had negotiated and transacted his
business as an adoption broker with them. In other words, his interest as a
person in the adoption business was ongoing throughout the time he undertook
to represent the Ginters as their attorney.
Belcher essentially concedes this point in his deposition. Had he viewed his
relationship with the Ginters as exclusively an attorney-client relationship, there
would have been no reason for Belcher to advise the Ginters to seek outside
counsel, or at the very least, for Belcher to believe that the Ginters should or
would obtain outside counsel prior to the execution of the agreement. Yet, in his
deposition, Belcher stated that “I assume I told [the Ginters] to check with their
attorney” before they signed the contract for their first adoption, and in at least
two other answers, he explained that he assumed that they would consult with
“their attorney.” In addition, Belcher’s description of how and why his firm
handled the placement of the second child with the Ginters, i.e., that he personally
3
There is no evidence that the $28,750, which was the total amount due to Belcher
under the terms of the contract, did not also include compensation for the placement of a
healthy baby with the Ginters and others services as an adoption facilitator (i.e., Belcher did
not require a separate contract or fee for his adoption brokerage services).
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No. 07-30201
did not contact the Ginters directly, that his firm had a policy regarding siblings
and half-siblings of prior adoptees, that his firm had a “waiting” list, and that his
firm would “place” the child with someone else if the Ginters did not want it, is
further evidence that, at the very least, he viewed his relationship with the
Ginters as some type of hybrid between that of a pure attorney-client relationship
and that of an independent adoption agency transaction. Moreover, in his brief,
Belcher frequently refers to the agreement as an “adoption agreement,” not as an
attorney-client agreement, and in fact states that “the bulk of the adoption
agreement is no different then (sic) an agreement which might be signed with any
adoption agency or charity.” Again, this indicates (based on Belcher’s own
statements) that at various points during the Ginter-Belcher relationship
Belcher’s role was more like that of an independent adoption broker, even as he
also purported, based on the terms of the agreement, to serve as the Ginters’
counsel during the adoption proceedings.
The fact that Belcher appears to have worn two hats during the course of
his relationship with the Ginters – that of their attorney and that of an
independent adoption facilitator – is especially troublesome given that the record
evidence, particularly the affidavit executed by the Ginters, suggests that they
believed that they had consulted with Belcher solely for the purpose of retaining
him as their counsel during the adoption proceedings. See Affidavit at ¶ A (“When
they entered into discussions with Fred Belcher about the terms of his legal
representation for the adoption of Rachel . . . .”). Certainly, the language in the
agreement could be read to convey Belcher’s intent to represent the Ginters as
their counsel throughout the adoption process. For example, the agreement
identifies Belcher as “attorney-at-law”; it states that the lump fee payable by the
Ginters to Belcher includes “attorney fees”; it guarantees that “the final adoption
shall be legal”; and it was signed by Belcher as a member of his law firm, Belcher
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No. 07-30201
& Prendergast. If in fact the Ginters had a subjective belief that Belcher was to
serve as their counsel, while at the same time Belcher believed that he was to
serve at least in part as an independent facilitator of the adoption, then I do not
understand how we can summarily conclude that Belcher did not overreach here,
particularly in light of the fact that he included several provisions in the
agreement that unquestionably favored him to some extent as an adoption agent
vis à vis the Ginters on matters in which their interests were adverse. The forum-
selection clause is but one example. The agreement also included provisions
guaranteeing the mental and physical health of the child only for a period of 30
days from the date the adoptive parents received the child, eliminating Belcher’s
responsibility for any of the child’s medical bills after the time the child is
removed from the hospital, and stipulating that should the adoption fail for any
reason, the Ginters would receive only 1/3 of their money back or credit for a
second adoption try, the failure of which would result in the Ginters receiving no
money back. Those provisions almost certainly were not intended for the Ginters’
benefit, and appear to have no connection to the parties’ purported attorney-client
relationship. Rather, they seem designed to protect Belcher as an adoption broker
in case something went wrong with the baby, not the legal aspects of the adoption.
To that end, the Louisiana Supreme Court has recognized that “there can
be a potential for confusion when an attorney wears a multitude of hats.” In re
Austin, 943 So. 2d 341, 348 (La. 2006). Moreover, it has, as the majority points
out, explained that
[w]hen a lawyer enters into a business transaction with his client
where they have differing interests and when the client expects the
lawyer to exercise his professional judgment in that transaction for
the protection of the client, the lawyer should at least advise the
client to seek outside counsel. If the advice to seek outside counsel
has not been given, or though given, has not been taken, then full
disclosure would require the type of advice which a prudent lawyer
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No. 07-30201
would be expected to give the client if the client consulted the
lawyer regarding such a transaction to a third person.
La. State Bar Ass’n v. Bosworth, 481 So. 2d 567, 572 (La. 1986). These principles
derive from two sources: Louisiana Rule of Professional Conduct 1.8(a)4 and
Disciplinary Rule 5-104(A) of the Canons of Professional Responsibility for the
Louisiana State Bar Association.5 Both the professional conduct rule and the
disciplinary rule plainly contemplate a certain level of disclosure to the client
about the attorney’s possible dual role in the transaction that, at least from the
record presently before us, does not appear to have been present in this case.
Moreover, the professional conduct rule requires the attorney to advise his client
to seek the advice of independent legal counsel on the transaction prior to entering
into the transaction, which again did not happen here. Significantly, these
4
Rule 1.8(a) states:
A lawyer shall not enter into a business transaction with a client or
knowingly acquire an ownership, possessory, security or other pecuniary
interest adverse to a client unless:
(1) the transaction and terms on which the lawyer acquires the interest are
fair and reasonable to the client and are fully disclosed and transmitted in
writing to the client in a manner which can be reasonably understood by the
client;
(2) the client is advised in writing of the desirability of seeking and is given
a reasonable opportunity to seek the advice of independent legal counsel on
the transaction; and
(3) the client gives informed consent, in a writing signed by the client, to the
essential terms of the transaction and the lawyer’s role in the transaction,
including whether the lawyer is representing the client in the transaction.
5
Disciplinary Rule 5-104(A) provides:
A lawyer shall not enter into a business transaction with a client if they have
differing interests therein and if the client expects the lawyer to exercise his
professional judgment therein for the protection of the client, unless the client
has consented after full disclosure.
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No. 07-30201
Louisiana principles closely track accepted national standards on potential
conflicts of interests between an attorney and a client. For example, the
Restatement of the Law Governing Lawyers provides:
A lawyer may not participate in a business or financial transaction
with a client, except a standard commercial transaction in which
the lawyer does not render legal services, unless:
(1) the client has adequate information about the terms of the
transaction and the risks presented by the lawyer’s involvement in
it;
(2) the terms and circumstances of the transaction are fair and
reasonable to the client; and
(3) the client consents to the lawyer’s role in the transaction under
the limitations and conditions provided in § 122 after being
encouraged, and given a reasonable opportunity, to seek
independent legal advice concerning the transaction.
RESTATEMENT (THIRD) OF THE LAW GOVERNING LAWYERS § 126 (2008).
Against the clear weight of the mostly uncontroverted evidence presented
thus far in this case, as well as the persuasive authority of both Louisiana and
national principles governing attorney conduct in similar situations, the majority
can only offer the summary conclusion that the forum-selection clause was not a
product of overreaching. That conclusion appears to be predicated on the
erroneous view that “all parties agree” that the agreement between the Ginters
and Belcher was “merely an agreement consummating the attorney-client
relationship.” While that may have been the Ginters’ understanding of the nature
of their relationship with Belcher, as I have discussed, the written contract, the
evidentiary record (limited as it may be at this stage) and Belcher’s appellate brief
suggest that Belcher did not possess such a narrow view of his relationship with
the Ginters. Rather, taking Belcher at his own word, he seemed to view his role
with respect to the Ginters as a hybrid of attorney to clients and broker to
adoptive parents. Thus, I do not believe, on this factual record at least, that it is
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No. 07-30201
accurate (or sufficient) to say “all parties agree that it is merely an agreement
consummating the attorney-client relationship.”
Furthermore, while recognizing the principles discussed in Bosworth and
set forth in the Louisiana attorney conduct and disciplinary rules, the majority
attempts to distinguish this case from Bosworth on the basis that the business
transaction in Bosworth occurred after the formation of the attorney-client
relationship, whereas the agreement at issue in this case was not a “separate
business transaction,” but instead purportedly consummated the attorney-client
relationship. I find this distinction legally meaningless here because, as I have
discussed, I do not believe that, at least from Belcher’s standpoint, this was purely
an attorney-client relationship. Rather, the principles set forth in Bosworth, as
well as in the professional conduct rules, are fully applicable, in my view, to those
situations in which an attorney enters into an agreement that, at the same time,
is opaquely both the consummation of an attorney-client relationship and an
independent business transaction. The “client” in this situations is just as
vulnerable to an unfair transaction based on a mistaken belief that the attorney
is acting solely to protect his interests as a client in a pre-existing attorney-client
relationship who is involved in a subsequent business transaction. Accordingly,
I see no reason why the application of either Bosworth or the professional conduct
rules should be circumscribed based on a temporal distinction, and I do not find
any authority explicitly compelling such a result.
IV.
Ultimately, we are here on a motion to dismiss, one which Belcher brought
at the very outset of this litigation and, consequently, one in which we must view
the facts in the light most favorable to the Ginters. Quite simply, the Ginters
have presented sufficient, uncontroverted evidence that, when viewed in that
light, fully supports the district court’s determination that the forum-selection
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No. 07-30201
clause is invalid as a product of overreaching by the attorney. Against state and
national rules governing attorney conduct, Belcher failed to advise the Ginters
that they should seek independent legal counsel before signing an adoption
agreement that included clauses which protected Belcher as an adoption agent to
the disadvantage of his clients, including the forum-selection clause, the
limitations on Belcher’s warranty as to the condition of the baby, and the
restrictions on the amount of money the Ginters would receive in return if the
adoption failed for any reason. I would therefore affirm the district court’s denial
of the motion to dismiss on this record.6
6
Our finding that the forum-selection clause was a product of overreaching is sufficient
ground to find it invalid as grounds for dismissal. Therefore, we need not reach the question
of whether the enforcement of the clause here would violate Louisiana public policy on
limitation of legal malpractice liability. Moreover, to the extent Belcher challenges our subject
matter jurisdiction over this case, I have no difficulty concluding that the $75,000 amount-in-
controversy requirement under 28 U.S.C. § 1332 has been met in this case. It is axiomatic that
“unless the law gives a different rule, the sum claimed by the plaintiff controls if the claim is
apparently made in good faith.” St. Paul Mercury Indem. Co. v. Red Cab Co., 303 U.S. 283,
288 (1938); St. Paul Reinsurance Co., Ltd. v. Greenberg, 134 F.3d 1250, 1253 (5th Cir. 1998).
“To justify dismissal, ‘it must appear to a legal certainty that the claim is really for less than
the jurisdictional amount.’” Id. (quoting St. Paul Mercury, 134 F.3d at 289). Here, the
plaintiffs allege $800,000 in damages in their complaint. Given the allegations of breach of
contract and tortious conduct on the part of Belcher, resulting in the Ginters’ acceptance of a
newborn child with significant health difficulties, it can hardly be said that the Ginters’
claimed sum has not been made in good faith. Accordingly, Belcher’s argument concerning
federal court subject matter jurisdiction is without merit.
28