Gallegos v. LeHouillier
Gallegos v. LeHouillier
Opinion
COLORADO COURT OF APPEALS
2017COA35Court of Appeals No. 15CA0724 El Paso County District Court No. 13CV32156 Honorable Robin L. Chittum, Judge
Della Gallegos,
Plaintiff-Appellee and Cross-Appellant,
v.
Patric J. LeHouillier and LeHouillier & Associates, P.C.,
Defendants-Appellants and Cross-Appellees.
JUDGMENT REVERSED AND CASE REMANDED WITH DIRECTIONS
Division III Opinion by JUDGE BERNARD Dunn, J., concurs Webb, J., concurs in part and dissents in part
Announced March 23, 2017
Anderson Hemmat McQuinn, LLC, Julie E. Anderson, Chad P. Hemmat, Ethan A. McQuinn, Jason G. Alleman, Greenwood Village, Colorado, for Plaintiff- Appellee
Hall & Evans, L.L.C., Malcom S. Mead, John E. Bolmer II, Andrew P. Reitman, Denver, Colorado, for Defendants-Appellants ¶1 A legal malpractice case is based on a claim that an attorney
breached his or her professional duty of care in a way that
proximately injured a client. See Hopp & Flesch, LLC v. Backstreet,
123 P.3d 1176, 1183(Colo. 2005). Sometimes, such as in this
case, the client claims that the attorney’s breach of duty denied the
client success in a lawsuit against the defendant. (For the purposes
of clarity, we will call such a lawsuit the “underlying case.”) To
prevail in this type of malpractice case, the client must prove that
the attorney would have been successful in the underlying case by,
for example, winning a favorable judgment against a defendant.
Bebo Constr. Co. v. Mattox & O’Brien, P.C.,
990 P.2d 78, 83(Colo.
1999). Lawyers call this requirement proving the “case within a
case.”
Id.(citation omitted).
¶2 It is clear to us that part of the case within a case may include
resolving the question of whether any judgment that the attorney
might have won in the underlying case would have been
“collectible.” Colorado law provides that, if the defendant in the
underlying case was insolvent and the client would not have been
able to collect on the judgment, then the client cannot prevail in the
malpractice case against the attorney.
1 ¶3 This appeal raises the issue of who bears the burden of
proving that the judgment would have been collectible. Must the
client prove that the judgment was collectible as part of establishing
a prima facie case? Or must the attorney, as an affirmative
defense, prove that the judgment was not collectible? See Welsch v.
Smith,
113 P.3d 1284, 1289(Colo. App. 2005)(In a civil case, “[o]nce
a prima facie case is established, the opposing party . . . carries the
burden of establishing any affirmative defenses.”). We conclude
that the attorney must raise the issue of collectibility as an
affirmative defense, which means that he or she also bears the
burden of proving that the judgment was not collectible.
¶4 In this case, the plaintiff, Della Gallegos, sued defendants
Patric J. LeHouillier, an attorney, and his law firm, LeHouillier &
Associates, P.C., for legal malpractice. (We shall refer to the
attorney and the law firm together as “Mr. LeHouillier” because
their interests are congruent in this appeal.) The jury found that
Mr. LeHouillier had negligently breached his duty of professional
care when handling an underlying case for Ms. Gallegos.
¶5 As part of the case within a case, the trial court decided that
Ms. Gallegos bore the burden of proving that any judgment in the
2 underlying case — a medical malpractice case against a radiologist
named Dr. Steven Hughes — was collectible. But our review of the
record convinces us that there is no evidence to show that the
judgment was collectible. So we must reverse the judgment.
¶6 But that does not mean that we must enter judgment in favor
of Mr. LeHouillier. We also conclude that the trial court erred when
it placed the burden of collectibility on Ms. Gallegos because it
should have placed the burden on Mr. LeHouillier to prove that a
judgment against Dr. Hughes was not collectible. So we remand
this case for a new trial. We additionally instruct the trial court
that, at any new trial, Mr. LeHouillier must (1) raise the issue of
collectibility as an affirmative defense; and (2) bear the burden of
proving that any judgment against Dr. Hughes would not have been
collectible.
I. Background
¶7 Ms. Gallegos’s malpractice case against Dr. Hughes stems
from a 2006 MRI that he performed on Ms. Gallegos’s brain. Ms.
Gallegos claimed that Dr. Hughes overlooked a clearly visible
meningioma. (A meningioma is a tumor that forms on the
membranes that cover the brain or on the spinal cord inside the
3 skull. Although meningiomas are frequently benign, meaning that
they are not cancerous, they can nonetheless cause serious
problems, or even death, as they grow.)
¶8 Three years later, a different doctor spotted the meningioma
during another MRI. By this time, it had grown three times larger
than it had been in 2006.
¶9 Ms. Gallegos could have undergone noninvasive radiosurgery
to treat the meningioma if Dr. Hughes had diagnosed it in 2006.
But, by 2009, this treatment was no longer a viable option. So
surgeons performed three craniotomies, or surgical openings, of Ms.
Gallegos’s skull to remove as much of the tumor as possible.
¶ 10 Ms. Gallegos retained Mr. LeHouillier to sue Dr. Hughes. Mr.
LeHouillier investigated the case, but he decided in 2010 that he
would not proceed with the case because it did not make “dollars
and cents sense.”
¶ 11 Mr. LeHouillier claimed that he had informed Ms. Gallegos of
his decision in a meeting, adding that he would no longer represent
her. But he did not keep any written records to memorialize what
had been discussed at the meeting, and he did not send Ms.
Gallegos a letter to inform her that he was no longer her attorney.
4 ¶ 12 The statute of limitations ran on any medical malpractice case
that Ms. Gallegos might have brought against Dr. Hughes.
¶ 13 Ms. Gallegos then filed this legal malpractice lawsuit against
Mr. LeHouillier. Among other things, the jury found that Dr.
Hughes had been negligent, that Mr. LeHouillier had been
negligent, that Ms. Gallegos had been partly negligent, but less
negligent than either Dr. Hughes or Mr. LeHouillier, and that Ms.
Gallegos was entitled to an award of damages from Mr. LeHouillier.
¶ 14 Turning to the issue of collectibility, during the trial and after
Ms. Gallegos had rested her case-in-chief, Mr. LeHouillier moved for
a directed verdict. He asserted that Ms. Gallegos bore the burden of
proving that any judgment against Dr. Hughes would have been
collectible, and that she had not carried her burden. The trial court
agreed that Ms. Gallegos bore the burden of proving that the
judgment would have been collectible, but it ruled that Ms. Gallegos
had provided sufficient evidence to prove that point.
¶ 15 After the trial, Mr. LeHouillier raised the same point in a
motion for judgment notwithstanding the verdict (JNOV). The court
made the same ruling.
5 II. There Was No Evidence That the Judgment Was Collectible
¶ 16 Mr. LeHouillier contends that we must reverse the judgment
because collectibility is an element that a plaintiff must prove in a
legal malpractice case, and Ms. Gallegos did not prove that any
judgment that she would have received in the underlying case
against Dr. Hughes would have been collectible.
¶ 17 Ms. Gallegos counters that the question of collectibility is an
affirmative defense, and that the court should have required Mr.
LeHouillier to prove that the judgment was not collectible. Ms.
Gallegos does not dispute that, if a 1927 Colorado Supreme Court
case is read as she suggests, a new trial would be appropriate.
Even though the trial court wrongly assigned the burden to her, she
continues, she shouldered the burden by providing sufficient proof
that the judgment was collectible.
¶ 18 As we have indicated above, we agree with Mr. LeHouillier that
the record does not contain sufficient evidence that the judgment
was collectible. But we agree with Ms. Gallegos that (1) the trial
court erroneously placed the burden on her to prove that fact; and
(2) the court should have required Mr. LeHouillier to (a) raise the
question of collectibility as an affirmative defense; and (b) prove that
6 any judgment that Ms. Gallegos would have received would not
have been collectible.
A. Standard of Review
¶ 19 We review de novo the grant or denial of a motion for directed
verdict or JNOV. See Vaccaro v. Am. Family Ins. Grp.,
2012 COA 9M, ¶ 40. We view the evidence “in the light most favorable to the
party against whom the motion [was] directed,” id. at ¶ 45, and
“indulge every reasonable inference that can be drawn from the
evidence in that party’s favor,” Hall v. Frankel,
190 P.3d 852, 862(Colo. App. 2008).
B. Evidence of Collectibility
¶ 20 Ms. Gallegos contends that she provided sufficient evidence to
support an “inference” that Dr. Hughes carried professional liability
insurance, which would mean that the judgment would have been
collectible. She points to the following facts in the trial record that
establish this inference:
Mr. LeHouillier wrote Dr. Hughes a letter in which he
explained that he was representing Ms. Gallegos in a
potential medical malpractice case against the doctor. The
letter encouraged Dr. Hughes to “contact [his] professional
7 liability insurer.” According to Ms. Gallegos, after Mr.
LeHouillier sent this letter, “neither Dr. Hughes nor any
other person ever informed [Mr.] LeHouillier that Dr.
Hughes lacked insurance . . . .”
When Dr. Hughes did not diagnose Ms. Gallegos’s
meningioma in 2006, he was a licensed doctor who was
practicing medicine at a hospital. Section
13-64-301(1)(a.5)(I), C.R.S. 2016, required all practicing
doctors to maintain professional liability insurance covering
each incident up to one million dollars.
¶ 21 We conclude, for the following reasons, that this evidence did
not create the inference that Ms. Gallegos suggests. Turning first to
the letter, although Dr. Hughes may not have informed Mr.
LeHouillier that he did not have liability coverage, he did not inform
Mr. LeHouillier that he possessed liability coverage, either. Indeed,
Dr. Hughes said nothing at all. He did not respond to the letter in
any way; he did not provide any other information to Mr. LeHouillier
or to Ms. Gallegos; and Ms. Gallegos did not offer any proof that Dr.
Hughes had even received the letter. Like Godot, Dr. Hughes’s
8 appearance in the case may have been much anticipated, but it
never came to pass.
¶ 22 Ms. Gallegos’s reliance on section 13-64-301(1)(a.5)(I) fares no
better. True enough, the record supports the conclusion that Dr.
Hughes was a doctor who was practicing medicine when he
performed the MRI on Ms. Gallegos, so the statute may well have
applied to him. But we cannot find anywhere in the record — and
Ms. Gallegos does not provide us with any direction to a specific
place — where the jury learned about section 13-64-301(1)(a.5)(I).
And we do not know whether Dr. Hughes had complied with the
statute by maintaining liability insurance. We cannot infer that the
jury reached its verdict based on the requirements of a statute that
it never heard anything about.
¶ 23 We recognize that we must view the evidence in the light most
favorable to Ms. Gallegos and draw every reasonable inference in
her favor. See Hall,
190 P.3d at 862. But the record contains no
evidence on collectibility at all. So we conclude that the “record is
devoid of any proof” that any judgment against Dr. Hughes in the
underlying case would have been collectible. Green v. Castle
Concrete Co.,
181 Colo. 309, 314,
509 P.2d 588, 591(1973).
9 ¶ 24 But our job is not yet over. In other situations, we would
simply enter judgment in Mr. LeHouillier’s favor because Ms.
Gallegos did not satisfy her burden of proof. But, in this case, we
must next decide whether the trial court erred when it allocated
that burden of proof by requiring Ms. Gallegos to prove that any
judgment against Dr. Hughes in the underlying case would have
been collectible.
III. The Attorney Bears the Burden of Proving That a Judgment Would Not Be Collectible as an Affirmative Defense in a Legal Malpractice Case
A. The Strange Case of Lawson v. Sigfrid
¶ 25 We encountered a mystery on the road to answering the
central question in this case. The mystery concerns a ninety-year-
old, one-and-one-quarter-page Colorado Supreme Court case,
Lawson v. Sigfrid,
83 Colo. 116,
262 P. 1018(1927).
¶ 26 Courts from other jurisdictions and some commentators have
cited Lawson for the proposition that a plaintiff in a legal
malpractice case bears the burden of proving that any judgment in
the underlying case would have been collectible. See Beeck v.
Aquaslide ‘N’ Dive Corp.,
350 N.W.2d 149, 160(Iowa 1984); Paterek
v. Petersen & Ibold,
890 N.E.2d 316, 321 (Ohio 2008); Kituskie v.
10 Corbman,
714 A.2d 1027, 1031 n.6 (Pa. 1998); Taylor Oil Co. v.
Weisensee,
334 N.W.2d 27, 29 n.2 (S.D. 1983); see also, e.g., 4
Ronald E. Mallen, Legal Malpractice § 33:32, at 747 n.5 (2017 ed.);
7 John W. Grund, J. Kent Miller & David S. Werber, Colorado
Personal Injury Practice — Torts and Insurance § 22:22, at 540 n.7
(3d ed. 2012); Elisa Recht Marlin, Recent Decision, Kituskie v.
Corbman,
714 A.2d 1027(Pa. 1998),
37 Duq. L. Rev. 521, 530, 530
n.77 (1999).
¶ 27 But, after studying Lawson carefully, we conclude that it does
not stand for the entire proposition for which it has been cited.
Although we agree that Lawson held that the collectibility of a
judgment in the underlying case is pertinent to a legal malpractice
case, we respectfully disagree with those who think that Lawson
allocated the burden of proving collectibility to the plaintiff.
¶ 28 We begin our analysis by summarizing Lawson’s facts. The
plaintiff hired a lawyer in 1919 to sue Bessie Kennedy for an unpaid
debt. Lawson,
83 Colo. at 116-17,
262 P. at 1018. The case
lingered until 1923, when the plaintiff and the lawyer discovered
that the trial court had dismissed the case for failure to prosecute
it.
Id. at 117,
262 P. at 1018.
11 ¶ 29 The plaintiff then sued the lawyer for “neglect of professional
duty.”
Id.The trial court granted the lawyer’s motion for a directed
verdict.
Id.In doing so, it decided that the plaintiff had to prove
three things:
the lawyer had been negligent;
the plaintiff had “a good cause of action” against Ms.
Kennedy; and
if the plaintiff had obtained a judgment against Ms.
Kennedy, the judgment “could have been executed.”
Id.The trial court then found that the plaintiff’s proof that the
judgment could have been executed “had failed.”
Id.¶ 30 So, at this point in Lawson, we have learned that the trial court
had required the plaintiff to prove that the debt was collectible. See
id.But what did the supreme court do?
¶ 31 The court analyzed the record. As is pertinent to our analysis,
it stated that it was “clear” that (1) the lawyer “was not negligent”;
and, (2) shortly before the plaintiff had hired the lawyer, Ms.
Kennedy had been “insolvent.”
Id.¶ 32 The court described the plaintiff’s contentions. The plaintiff
raised three contentions, but only two of them are relevant to our
12 discussion. The plaintiff asserted that (1) the burden was on the
defendant lawyer to prove that Ms. Kennedy had been insolvent;
and (2) the plaintiff was entitled to recover his costs and expenses
from the lawyer.
Id. at 118,
262 P. at 1018.
¶ 33 The court only used two citations to legal authority in the
opinion, and only one of them was even casually relevant to the issue
of collectibility. The relevant citation is to a legal treatise, 2 Charles
Frederick Chamberlayne, Treatise on the Modern Law of Evidence
§ 1047, at 1244 (1911). But this section of the treatise only stated
that, once a person was proved to be insolvent, there was an
inference that such insolvency would continue for a reasonable
time, subject to contrary proof. (The second, irrelevant, citation is
to a section of the legal encyclopedia Ruling Case Law, 8 R.C.L. 426,
discussing when nominal damages were available.)
¶ 34 The court then resolved the two contentions. The court first
held that the plaintiff’s evidence had shown that Ms. Kennedy had
been insolvent and that her insolvent status was “presumed to have
continued until the contrary appear[ed].” Lawson,
83 Colo. at 118,
262 P. at 1018. The court then concluded that the plaintiff could
not have “lost” any of his costs or expenses as a result of the
13 lawyer’s negligence because Ms. Kennedy was insolvent.
Id. at 118,
262 P.3d at 1019.
¶ 35 Based on this analysis, we derive two observations about what
Lawson means.
1. We know what the supreme court did. The court’s
resolution of the plaintiff’s second contention established
that the question of collectibility matters in a legal
malpractice case: Because Ms. Kennedy was insolvent, the
lawyer’s negligence did not cause the plaintiff to lose his
costs and expenses.
2. We also know what the supreme court did not do. The
court did not hold that a plaintiff in a legal malpractice
suit bears the burden of proving that any judgment that
he or she could have obtained in the underlying case
would have been collectible. To be more accurate, it did
not allocate the burden of proving collectibility at all.
¶ 36 Fleshing out our second observation, it is true that (1) the
supreme court recognized that the trial court had reached the
conclusion that the plaintiff bore such a burden; (2) the evidence
had proved that Ms. Kennedy had been insolvent shortly before the
14 plaintiff had hired the defendant lawyer; and (3) the plaintiff had
contended on appeal that the burden was on the defendant lawyer
to show that Ms. Kennedy had been insolvent. Id. at 117-18,
262 P. at 1018-19. But the court did not then hold that the trial court had
properly allocated the burden of proving Ms. Kennedy’s insolvency
to the plaintiff.
¶ 37 The court instead concluded that the plaintiff had proved that
Ms. Kennedy had been insolvent.
Id. at 118,
262 P. at 1018. In
other words, the supreme court did not have to reach the issue
whether the trial court had properly allocated the burden of proof.
It merely recognized that, after the trial court had allocated the
burden of proving Ms. Kennedy’s solvency on the plaintiff, the
plaintiff had proved the opposite. See
id.So, once the plaintiff’s
proof had shown that the debt was not collectible, the supreme
court did not need to decide anything else. Lawson did nothing
more than hold that the trial court’s conclusions about the evidence
were supported by the record. See
id.¶ 38 A pair of commentators agrees with our analysis of Lawson.
See Michael P. Cross & Nicole M. Quintana, Your Place or Mine?:
The Burden of Proving Collectibility of an Underlying Judgment in a
15 Legal Malpractice Action, 91 Denv. U. L. Rev. Online 53, 54
(2014)(explaining that Lawson “established the relevancy of the
question of whether an underlying judgment is collectible in a legal
malpractice action,” but that it did not allocate the burden of proof
on this point).
B. Colorado Cases After Lawson
¶ 39 Mr. LeHouillier does not cite, and we have not found, any
Colorado Supreme Court case that has held that the plaintiff bears
the burden of proving collectibility as part of the prima facie case in
a legal malpractice claim.
¶ 40 In the ninety years since the supreme court decided Lawson,
the supreme court has never cited it. But the court has decided
several legal malpractice cases in that time that have discussed the
“case within a case” component of proximate cause. The most that
any of them says is that a plaintiff “must demonstrate that the
claim underlying the malpractice action should have been
successful if the attorney had acted in accordance with his or her
duties.” Bebo,
990 P.2d at 83; accord Gibbons v. Ludlow,
2013 CO 49, ¶ 16(transactional broker case applying test from Bebo); Rantz
v. Kaufman,
109 P.3d 132, 136(Colo. 2005)(explaining that the
16 client must show the underlying case would have been successful
but for counsel’s malpractice).
¶ 41 The court of appeals has only cited Lawson once in a
published case. In Morris v. Geer,
720 P.2d 994, 996(Colo. App.
1986), a legal malpractice case arising out of a divorce, a wife
alleged that her divorce attorney had been negligent when he
negotiated a property settlement and when he investigated the
husband’s fraud in hiding marital assets from the wife. The
division cited Lawson as support for the proposition that the wife,
when suing the attorney, was required to prove that “because of
husband’s fraud her motion to reopen the dissolution decree could
have been successfully prosecuted, and that she would have
received a higher property distribution as a result.”
Id. at 998.
¶ 42 We do not think that the division cited Lawson for the
proposition that the wife had to prove that she would have been
able to collect the increased property distribution. Rather, in the
context of the case, we think that the division held that the wife
would have to prove the court would have awarded her more assets
in the property distribution. Indeed, the division did not use the
term “collectibility” in the opinion at all.
17 ¶ 43 Our conclusion is reinforced by the Morris division’s citation of
two other cases immediately after it cited Lawson: Coon v. Ginsberg,
32 Colo. App. 206,
509 P.2d 1293(1973), and Rosebud Mining &
Milling Co. v. Hughes,
21 Colo. App. 247,
121 P. 674(1912). Both of
those cases merely observed that, to prove a legal malpractice
claim, the plaintiff would have to show that he or she would have
been successful in the underlying case. Coon held that the plaintiff
had to prove that “the amount of that judgment would have been
more favorable to [her] than the settlement arranged by [her
attorney].”
32 Colo. App. at 210, 509 P.2d at 1295. Rosebud
Mining & Milling Co. stated that the defendant claimed that the
plaintiff had to show that “the judgment, on a retrial, would have
been favorable to plaintiff,” that the plaintiff had not “taken issue
with defendant on this point,” and that three out-of-state cases
“tend[ed] to sustain [the defendant’s] contention.”
21 Colo. App. at 250, 121 P. at 675.
¶ 44 Neither case discussed collectibility.
¶ 45 (We note that Miller v. Byrne,
916 P.2d 566, 579(Colo. App.
1995), contained similar language to what we highlighted in Morris.
But the division did not cite any authority, let alone Lawson, to
18 support this language. It held instead that the jury should have
been instructed that the plaintiffs “were required to prove . . . the
amount that [they] should have recovered” in the underlying case.
Id.The context of this statement convinces us that the use of the
word “recovered” did not mean that plaintiffs had to prove what
they would have “received.” Rather, they had to prove, as part of
showing that they had suffered damages, the approximate amount
of any judgment that they would have been awarded if they had
been successful in the underlying case.)
¶ 46 So why have other jurisdictions and commentators cited
Lawson for a conclusion that we think it did not reach? Although
we cannot be sure, we have a hypothesis.
C. How Lawson Has Been Cited in Other States
¶ 47 We have found at least two pre-Lawson cases where courts in
other states have held that the burden to prove collectibility rests
on the plaintiff. Jones v. Wright,
91 S.E. 265, 266(Ga. Ct. App.
1917)(“In an action against an attorney to recover the amount of a
claim, . . . it is necessary that the petition against him show that
the lost claim was a valid one under the law, and that the debtor
was solvent.”); Piper v. Green,
216 Ill. App. 590, 593, 595
19 (1920)(same). But no court cited Lawson for this proposition for
forty-nine years.
¶ 48 Then, in 1976, the Georgia Court of Appeals included Lawson
as part of a string citation supporting the proposition that “[t]he
requirement that solvency be shown is both longstanding and
widespread.” McDow v. Dixon,
226 S.E.2d 145, 147(Ga. Ct. App.
1976). (In this context, solvency “is not intended to imply a
bankruptcy-type standard, but rather is intended to illustrate the
original defendant’s ability to pay a judgment, had one been
rendered against him.” Id.) So far, so good, because, as we
recognized above, our supreme court reached this holding in
Lawson.
¶ 49 But the preceding sentence in McDow, at the end of the
previous paragraph, explained: “A client suing his attorney for
malpractice not only must prove that his claim was valid and would
have resulted in a judgment in his favor, but also that said
judgment would have been collectible in some amount . . . .”
Id.¶ 50 We think that the mischief lies in these two consecutive
sentences. Courts and commentators who would later read those
20 two sentences might well have thought that Lawson had held that
the client bears the burden of proving collectibility.
¶ 51 And so Lawson acquired the reputation of standing for a
proposition that it did not decide. In one case, it was included in a
footnote after the South Dakota Supreme Court quoted McDow.
See Taylor Oil Co.,
334 N.W.2d at 29n.2. It was marshaled, along
with McDow, in the ranks of a string citation that the Iowa Supreme
Court offered as support for the proposition that assigning to the
plaintiff the burden of proving collectibility is “the rule which is
applied generally.” Beeck,
350 N.W.2d at 160. Citing Lawson and
McDow, a superior court in Pennsylvania included Colorado and
Georgia in a list of thirteen states that “place[d] the burden upon
the plaintiff (in a malpractice action against an attorney) to prove
collectibility of the underlying judgment.” Kituskie v. Corbman,
682 A.2d 378, 381(Pa. Super. Ct. 1996), aff’d and remanded,
714 A.2d 1027. The Pennsylvania Supreme Court cited Lawson and McDow
for the same proposition in a footnote when addressing an appeal
from the superior court’s decision. Kituskie,
714 A.2d at 1031n.6.
And, although Paterek, 890 N.E.2d at 321, did not cite McDow, it
cited Taylor Oil Co.
21 ¶ 52 Once this ball got rolling, commentators included Lawson
among those cases placing the burden of proving collectibility on
the plaintiff without any analysis of the case beyond a simple
citation. See, e.g., Mallen, § 33:32 at 747 n.5; Grund, Miller &
Werber, § 22:22 at 540 n.7; Marlin, 37 Duq. L. Rev. at 530, 530
n.77.
¶ 53 Now that we see that we are writing on a blank slate as far as
allocating the burden to prove collectibility is concerned, we turn to
deciding whether that burden should be placed on the plaintiff in a
legal malpractice case. We review this issue de novo because it is a
question of law. See Allen v. Steele,
252 P.3d 476, 481(Colo. 2011).
D. Allocating the Burden to Prove Collectibility
¶ 54 It should be apparent from the discussion up to this point that
many states place the burden of proving collectibility on the
plaintiff. In fact, it is the majority rule. In addition to the cases
that we have discussed above, one could look to other decisions,
such as Wise v. DLA Piper LLP (US),
164 Cal. Rptr. 3d 54, 61(Cal.
Ct. App. 2013), and Viola v. O’Dell,
950 A.2d 539, 542(Conn. App.
Ct. 2008), as examples of the majority. The Ohio Supreme Court
best summed up the reasoning for the majority rule in Paterek, 890
22 N.E.2d at 321: “[C]ollectibility is logically and inextricably linked to
the legal-malpractice plaintiff’s damages, for which the plaintiff
bears the burden of proof.” For the plaintiff to show “what was lost,
the plaintiff must show what would have been gained.” Id.
¶ 55 But there is a strong and growing minority of states that
allocate the burden differently, making the issue of collectibility an
affirmative defense that an attorney must raise and prove. (The
majority does not include many more states than the minority. One
commentator referred to the minority as “significant.” Mallen,
§ 33:32, at 752, 752 n.18. A pair of others called the number of
jurisdictions in the minority only “slightly less[]” than the number of
those in the majority. Cross & Quintana, 91 Denv. U. L. Rev.
Online at 58.) Some of the cases in the minority are of very recent
vintage. See, e.g., Smith v. McLaughlin,
769 S.E.2d 7, 18 (Va. 2015);
Schmidt v. Coogan,
335 P.3d 424, 428-30(Wash. 2014). Others
were bottled some years ago. See, e.g., Smith v. Haden,
868 F. Supp. 1, 2-3(D.D.C. 1994); Power Constructors, Inc. v. Taylor &
Hintze,
960 P.2d 20, 31-32(Alaska 1998); Teodorescu v. Bushnell,
Gage, Reizen & Byington,
506 N.W.2d 275, 278-79(Mich. Ct. App.
23 1993); Carbone v. Tierney,
864 A.2d 308, 319(N.H. 2004); Kituskie,
714 A.2d at 1032.
¶ 56 The minority rule relies on at least seven compelling
rationales.
¶ 57 First, by the time the issue of collectibility arises in a legal
malpractice trial, the need to prove it “is the result of an attorney’s
established malpractice . . . . It is a burden created by the negligent
attorney.” Schmidt,
335 P.3d at 428. To require clients to prove
collectibility therefore allocates the burden of proof unfairly, even
when the parties do not dispute that the defendant in the
underlying case was solvent. Id.; see also Carbone,
864 A.2d at 318. And a plaintiff in a legal malpractice case already has the
burden of proving negligence twice. (For example, in this case, Ms.
Gallegos must show that Mr. LeHouillier was negligent when he did
not file the medical malpractice claim against Dr. Hughes within the
statute of limitations. She must then establish, as part of proving
the case within a case, that Dr. Hughes was negligent when he did
not diagnose her meningioma.) See Kituskie,
682 A.2d at 382(The
client “should not have the added burden of proving collectibility
24 since he or she has already been allegedly wronged by two
parties.”).
¶ 58 Second, an attorney is “in as good a position” to “prove
uncollectibility.” Schmidt,
335 P.3d at 428; see also McLaughlin,
769 S.E.2d at 18. This is because the attorney should have
investigated the solvency of the defendant in the underlying case at
the beginning of the client’s case. See Schmidt,
335 P.3d at 428.
And, even if the attorney did not do so, he is as capable as the
client to discover whether a judgment in the underlying case would
be collectible. See
id.¶ 59 Third, to require the client to introduce evidence of
collectibility would often be at odds with evidence rules and case
law generally excluding evidence of insurance coverage. See
id. at 428-29; see also CRE 411 (“Evidence that a person was or was not
insured against liability is not admissible upon the issue whether
he acted negligently or otherwise wrongfully.”); Lombard v. Colo.
Outdoor Educ. Ctr., Inc.,
266 P.3d 412, 421(Colo. App. 2011)(“An
attorney’s attempt to refer to insurance coverage or a lack thereof at
trial is improper.”).
25 ¶ 60 Fourth, a delay between the original injury and a legal
malpractice claim is common, which could hurt the client’s
opportunity to gather evidence about collectibility. See Schmidt,
335 P.3d at 429. And “[i]t is unfair to place this burden on [the
client] when the attorney’s negligence created the delay in the first
place.”
Id.(citing Kituskie,
714 A.2d at 1027).
¶ 61 Fifth, the insolvency of the defendant in the underlying case
permits the attorney to mitigate or to avoid the “consequences of
one’s negligent act.” Jourdain v. Dineen,
527 A.2d 1304, 1306(Me.
1987). Because the attorney will benefit from that insolvency, he or
she should bear the “inherent risks and uncertainties of proving it.”
Lindenman v. Kreitzer,
775 N.Y.S.2d 4, 8(N.Y. App. Div. 2004).
¶ 62 Sixth, placing the burden on the attorney does not eliminate
the effect of insolvency; if the attorney proves that a judgment is not
collectible, damages could be mitigated or eliminated. Schmidt,
335 P.3d at 429. We therefore disagree with those cases that hold that
placing the burden on an attorney results in a “windfall” for the
client. Cf. Fernandez v. Barrs,
641 So. 2d 1371, 1376(Fla. Dist. Ct.
App. 1994)(noting that the majority rule “prevents a windfall to the
client by preventing him from recovering more from the attorney
26 than he could have actually obtained from the tortfeasor in the
underlying action”), disapproved of on other grounds by Chandris,
S.A. v. Yanakakis,
668 So. 2d 180, 185(Fla. 1995).
¶ 63 Finally, plaintiffs in the vast majority of negligence cases do
not have to prove that any judgment that they might win will be
collectible. Collectibility is simply not a value that most negligence
cases enter into the calculus of causation. See Haden,
868 F. Supp. at 2(“In a normal civil lawsuit . . . a plaintiff must prove each
required element to make out a case against the defendant in order
to obtain a judgment. It is not necessary to demonstrate that [the]
plaintiff will successfully be able to execute on the judgment or that
the judgment is collectible. Normally, enforcement of the judgment
remains for another day.”).
¶ 64 Some analysts and commentators have supported all or part of
the “growing trend,” McLaughlin, 769 S.E.2d at 18 (citation
omitted), of the minority rule.
The minority rule has momentum. In 1999, at least
seventeen states followed the majority rule, while only four
states followed the minority rule. Marlin, 37 Duq. L. Rev. at
534. In 2014, seventeen states followed the majority rule,
27 and eleven states followed the minority rule. Cross &
Quintana, 91 Denv. U. L. Rev. Online at 57 n.27. And the
number of jurisdictions in the minority grew by at least two
cases after the Cross & Quintana article was published.
See McLaughlin, 769 S.E.2d at 18; Schmidt,
335 P.3d at 428-30.
Even some of the commentators who listed Lawson as
placing the burden of proving collectibility on the client
noted that such an allocation of the burden of proof was a
bad idea. Grund, Miller & Werber, § 22:22, at 540 (The
concept of placing the burden of proof on a client “is
suspect, especially when the defendant attorney is charged
with negligence in his handling of a claim against an
insolvent party. This defense is an admission that the
underlying case should never have been brought by the
defendant lawyer.”).
One commentator contended that it was “unjustifiable” to
place the burden of proving collectibility on the client,
adding that the attorney “should bear the burden of
persuading the jury that any judgment would have been
28 uncollectible, or at a minimum should bear the burden of
coming forward with evidence demonstrating that
uncollectibility was a real possibility.” John Leubsdorf,
Legal Malpractice and Professional Responsibility,
48 Rutgers L. Rev. 101, 150-51 (1995)(footnote omitted).
Another commentator made a similar point, asserting that
attorneys should bear the burden of proving that a
judgment was uncollectible because “[c]ollectibility thus
becomes a means of reducing the damages that might
otherwise be owed, taking its place with such doctrines as
the avoidable consequences rule.” John H. Bauman,
Damages for Legal Malpractice: An Appraisal of the
Crumbling Dike and the Threatening Flood,
61 Temp. L. Rev. 1127, 1137 (1988).
A pair of commentators observed that the “minority of
jurisdictions focus more on ideas of fairness” than the
majority of jurisdictions do. Cross & Quintana, 91 Denv. U.
L. Rev. Online at 58.
Although the Restatement (Third) of the Law Governing
Lawyers § 53 cmt. b (Am. Law Inst. 2000), states that the
29 client ultimately bears the burdens of proving collectibility,
it places the burden on the defendant lawyer of “coming
forward with evidence” to “show that the judgment or
settlement would have been uncollectible.”
¶ 65 We are persuaded by the various rationales behind the
minority rule, and so we will apply it in this case.
¶ 66 We conclude that the trial court erred when it placed the
burden on Ms. Gallegos to prove that any judgment in the
underlying case against Dr. Hughes would have been collectible. In
any trial on remand, Mr. LeHouillier must raise the issue of whether
the judgment would have been collectible as an affirmative defense,
and he shall bear the burden of proving that the debt was not
collectible.
¶ 67 We decline to address Mr. LeHouillier’s additional contentions
and any of Ms. Gallegos’s contentions on cross-appeal. We cannot
predict with any certainty whether any of these contentions is likely
to arise on retrial. See, e.g., People v. Reynolds,
159 P.3d 684, 690(Colo. App. 2006)(addressing only those issues that are “likely to
recur”). For example, the contentions concerning damages will only
30 arise if Ms. Gallegos and Mr. LeHouillier decide to retry this case
and Ms. Gallegos is again successful.
¶ 68 The judgment is reversed. The case is remanded for a new
trial. The trial court shall, at any new trial, require Mr. LeHouillier
(1) to raise the issue of collectibility as an affirmative defense; and
(2) bear the burden of proving that any judgment against Dr.
Hughes would not have been collectible.
JUDGE DUNN concurs.
JUDGE WEBB concurs in part and dissents in part.
31 JUDGE WEBB, concurring in part and dissenting in part.
¶ 69 While “the collectibility of a judgment is not an issue in other
types of cases . . . a legal malpractice action is distinctly different
from an ordinary lawsuit.” Kituskie v. Corbman,
682 A.2d 378, 381(Pa. Super. Ct. 1996), aff’d and remanded,
714 A.2d 1027(Pa.
1998). Recognizing this difference, everyone before us agrees that
collectibility of the hypothetical judgment in the underlying case is
important. But just how important is it?
¶ 70 For me, proof of collectibility is so important that it must be an
element of a legal malpractice plaintiff’s case. And so I respectfully
dissent from the majority’s holding that relegates collectibility to a
mere affirmative defense, to be pleaded and proven by the
defendant attorney.
¶ 71 Both commentators and courts disagree over which side bears
the burden of proof on collectibility. But to begin, I agree with the
majority that
in Lawson, our supreme court did not allocate this burden
of proof;
32 among cases in other jurisdictions, more courts require that
a legal malpractice plaintiff prove collectibility than require
that the defendant attorney prove insolvency;
Ms. Gallegos did not present any evidence of collectibility;
and
Mr. LeHouillier did not present any evidence of Dr. Hughes’s
insolvency.
¶ 72 But at this point, I part ways with my colleagues and join the
lion’s share of cases. In my view, the jury was properly instructed
that Ms. Gallegos bore the burden of proving collectibility. And
because she did not present any such evidence, Mr. LeHouillier’s
motion for a directed verdict should have been granted.
¶ 73 With great perseverance, the majority seeks to work around
the cases recognizing collectibility as an element of every legal
malpractice plaintiff’s burden concerning the so-called case within a
case. Instead of pursuing that quest into the far-off land of policy, I
would allocate the burden of proving collectibility to the legal
malpractice plaintiff based on three principles much closer to home.
Those principles are the basic negligence paradigm, the affirmative
33 defenses listed in C.R.C.P. 8(c), and the law’s strong preference for
avoiding windfalls.
¶ 74 First, legal malpractice can be pleaded as breach of contract or
professional negligence. Baker v. Wood, Ris & Hames, Prof’l Corp.,
2016 CO 5, ¶ 46. Ms. Gallegos chose negligence. As a result of her
choice, like in every negligence case, she had to prove duty, breach,
causation, and damages. See, e.g., Lombard v. Colo. Outdoor Educ.
Ctr., Inc.,
266 P.3d 412, 416(Colo. App. 2011).
¶ 75 Of course, the majority cannot reject this basic four-factor
paradigm. Yet, in my view, because collectibility affects not one but
two of those factors — obviously damages but also causation — the
majority gives it insufficient weight.
¶ 76 To be sure, even where a wrong has been shown, an action
fails without proof of causation and damages. See Gibbons v.
Ludlow,
2013 CO 49, ¶ 12(“To recover on a claim of professional
negligence, the plaintiff must prove that the professional[’s] . . .
breach proximately caused an injury to the plaintiff, and that
damages resulted.”). In a legal malpractice claim alleging that a
lawyer mishandled an underlying case, the plaintiff’s damages are
not the amount of the hypothetical judgment, but the extent to
34 which that judgment could have been collected. As the court
explained in Paterek v. Petersen & Ibold,
890 N.E.2d 316, 321-22
(Ohio 2008):
In proving what was lost, the plaintiff must show what would have been gained. . . . The malpractice plaintiff need not prove the collectibility of the attorney she is suing, but she must prove that the attorney she is suing has indeed injured her through neglecting to properly handle a lawsuit that would have generated recompense. And her injury is measured by what she actually would have collected.
¶ 77 But the import of collectibility goes beyond just the measure of
damages. “If the underlying judgment was uncollectible, for
example, due to insufficient assets or bankruptcy, the lost value of
the judgment is not the proximate result of an attorney’s
negligence.” Schmidt v. Coogan,
335 P.3d 424, 428(Wash. 2014);
see also Joseph H. Koffler, Legal Malpractice Damages in a Trial
Within a Trial — A Critical Analysis of Unique Concepts: Areas of
Unconscionability,
73 Marq. L. Rev. 40, 52 (1989) (“To predicate an
award of damages upon both the requirement that a judgment
would have been recovered and that it would have been collectible
. . . requires a showing of causation . . . that is conceptually no
35 different from that required in negligence cases generally.”), quoted
with approval in Klump v. Duffus,
71 F.3d 1368, 1374(7th Cir.
1995) (applying Illinois law).
¶ 78 “The traditional approach rests primarily on the theory that it
is consistent with tort law: plaintiffs may recover only the amount
that will make them whole (and not a windfall), and the plaintiff
must prove both proximate cause and injury.” Schmidt,
335 P.3d at 428(emphasis added). Yet, treating collectibility as an affirmative
defense dilutes this “traditional approach” by half — the majority
erases both damages and causation from the plaintiff’s side of the
ledger and then writes them on the defendant’s side.
¶ 79 Second, the sole affirmative defense involving damages is
“[a]ny mitigating circumstances to reduce the amount of
damage[s].” C.R.C.P. 8(c). By its very wording, this defense
assumes that the plaintiff has already proven at least some
damages. If not, the defendant would be entitled to a directed
verdict. See City of Westminster v. Centric-Jones Constructors,
100 P.3d 472, 477(Colo. App. 2003). Thus, morphing collectibility into
an affirmative defense distorts C.R.C.P. 8(c).
36 ¶ 80 Third, the law disfavors windfalls. Dick v. Indus. Comm’n,
197 Colo. 71, 75,
589 P.2d 950, 952(1979) (“The law should not allow
an employer or his insurer to reap a windfall . . . .”), overruled on
other grounds by Estate of Huey v. J.C. Trucking, Inc.,
837 P.2d 1218, 1220(Colo. 1992). But as cases on both sides of the
allocation question recognize, allowing a legal malpractice plaintiff
to rest without presenting any evidence of collectibility risks that
the plaintiff will recover more from the defendant lawyer than the
plaintiff could ever have recovered from the hypothetical defendant
in the underlying case. See, e.g., Klump,
71 F.3d at 1374(“Hypothetical damages above the amount that Klump could
genuinely have collected from Eaves are not a legitimate portion of
her ‘actual injury;’ awarding her those damages would result in a
windfall.”); Fernandez v. Barrs,
641 So. 2d 1371, 1376(Fla. Dist.
Ct. App. 1994)(noting that the majority rule “prevents a windfall to
the client by preventing him from recovering more from the attorney
than he could have actually obtained from the tortfeasor in the
underlying action”), disapproved of on other grounds by Chandris,
S.A. v. Yanakakis,
668 So. 2d 180, 185(Fla. 1995).
37 ¶ 81 Despite all of this — or perhaps because of it — the majority
advances seven policy considerations supported, in varying degrees,
by cases adopting the minority view. But relying on policy “is to
lean upon a slender reed.” Missouri v. Holland,
252 U.S. 416, 434,
(1920). And in states with intermediate appellate courts, deciding a
case based on policy “is more properly the province” of the state’s
supreme court. Rosenbloom v. Bauchat,
654 So. 2d 873, 876(La.
Ct. App. 1995)
¶ 82 Be that as it may, I quote the majority’s articulation of these
policy considerations and respond to the cited authorities as
follows.
¶ 83 First, “to require clients to prove collectibility therefore
allocates the burden of proof unfairly.” But one might wonder
exactly what is “unfair” about applying basic principles of causation
and damages to legal malpractice. The authorities cited include
Carbone v. Tierney,
864 A.2d 308(N.H. 2004), Kituskie, and
Schmidt. But a closer look shows that these cases do not carry the
weight that the majority places on them.
¶ 84 Carbone does not offer an independent analysis of fairness,
instead quoting the more recent Kituskie case for the proposition
38 that requiring the plaintiff to prove collectibility would be “an unfair
burden.”
864 A.2d at 318. And Kituskie advances this conclusion
on the basis that “the plaintiff’s legal malpractice action is often
brought years after the initial accident causing his injuries solely
because the defendant/lawyer failed to act in a timely and
competent manner.”
714 A.2d at 1031. I dispose of the delay
concern below.
¶ 85 Schmidt says that “the traditional approach unfairly presumes
that an underlying judgment is uncollectible.”
335 P.3d at 428.
But no Colorado case has presumed that a judgment is collectible.
And presuming collectibility would be difficult to reconcile with the
increasingly common practice of seeking bankruptcy protection.
See Wellness Int’l Network, Ltd. v. Sharif,
575 U.S. __, __ n.2,
135 S. Ct. 1932, 1939 n.2 (2015) (from October 2013 through
September 2014, the number of bankruptcy cases filed more than
doubled the number of civil and criminal cases).
¶ 86 Schmidt also says that the need to address collectibility “is a
burden created by the negligent attorney.”
335 P.3d at 428. To this
observation, the majority adds: “And a plaintiff in legal malpractice
already has the burden of proving negligence twice.” While both
39 observations are accurate, they fall short of establishing unfairness
in two ways.
¶ 87 One, whatever a plaintiff must prove to prevail in a negligence
case is always necessitated by the defendant’s alleged negligence.
In a legal malpractice case, exactly the same could be said of the
plaintiff’s burden to prove the case within a case; yet that burden is
universally accepted across all jurisdictions. Various iterations of
proximate cause and foreseeability — sometimes labyrinths
resulting from a defendant’s negligence — have been attacked, to no
avail. See Sego v. Mains,
41 Colo. App. 1, 4,
578 P.2d 1069, 1072(1978) (“The plaintiff lastly asserts that the jury instruction which
dealt with proximate cause and foreseeability imposed too onerous
a burden of proof upon her.”).
¶ 88 Two, merely because a burden is difficult does not make it
unfair, at least where, as discussed below, the plaintiff can meet it.
Compare DeCola v. Bochatey,
161 Colo. 95, 100,
420 P.2d 395, 397(1966) (“[I]n our view the trial court committed no error when it
held, in effect, that the defendants had failed to sustain the rather
onerous burden of proof which devolves upon one who seeks
through adverse possession to divest the record owner of his lawful
40 title to real property.”), with Prutch v. Ford Motor Co.,
618 P.2d 657, 660(Colo. 1980) (“To impose an impossible or unreasonably
onerous burden of proof is to deny many consumers a meaningful
remedy.”). After all, in Colorado, statutory unconstitutionality must
be proven beyond a reasonable doubt, the heaviest burden of all.
See TABOR Found. v. Reg’l Transp. Dist.,
2016 COA 102, ¶ 16(cert.
granted Jan. 23, 2017).
¶ 89 The second policy rationale the majority puts forth, quoting
Schmidt,
335 P.3d at 428, is that the defendant attorney is better
positioned to prove uncollectibility because “the attorney should
have investigated the solvency of the defendant in the underlying
case at the beginning of the client’s case.” But I have been unable
to find a case holding that a lawyer malpracticed by failing to
investigate collectibility of a potential judgment debtor before filing
suit. And even if such a case could be imagined — perhaps a
collision with a vehicle driven by a thief seeking to escape the police
— as relevant here, the majority fails to explain why a lawyer could
not assume collectibility because a Colorado physician would
maintain the statutorily required insurance coverage. In contrast,
the underlying claim in Schmidt was a slip and fall in a grocery
41 store. And in any event, if the lawyer had undertaken some inquiry
into collectibility, that information would be in the lawyer’s files,
subject to the plaintiff’s discovery.
¶ 90 The majority also cites Smith v. McLaughlin,
769 S.E.2d 7, 18
(Va. 2015). But McLaughlin did not address the comparative
burdens on the plaintiff and the defendant lawyer of proving
collectibility. Instead, the McLaughlin court observed that “[i]t is
unfair to presume that a silent record means that a judgment is
uncollectible.”
Id.Yet, the court also recognized that, “successfully
prosecuting a claim to judgment is only half of the marathon that is
redressing an injury in our judicial system. Once armed with a
judgment, a plaintiff then has 20 years to collect that award . . .,
which can be frustrated by a number of factors.”
Id.As indicated
above, the most obvious such factor would be bankruptcy.
¶ 91 But more importantly, the record here is not silent. Instead, it
shows that despite Mr. LeHouillier’s having notified Dr. Hughes of
the potential claim and urging the doctor to contact his professional
liability insurance carrier, no response from either the doctor or his
insurer was received. If the doctor carried such insurance, his
failure to notify the carrier, and the carrier’s failure to contact Mr.
42 LeHouillier for information on which to adjust the claim, would be
inexplicable.
¶ 92 “Third, to require the client to introduce evidence of
collectibility would often be at odds with evidence rules and case
law generally excluding evidence of insurance coverage.” But
evidence concerning a defendant’s insurance or lack thereof is
usually precluded because such evidence might improperly
influence the jury’s determination of liability. See CRE 411
(“Evidence that a person was or was not insured against liability is
not admissible upon the issue whether he acted negligently or
otherwise wrongfully. This rule does not require the exclusion of
evidence of insurance against liability when offered for another
purpose, such as proof of agency, ownership, or control, or bias or
prejudice of a witness.”); Johns v. Shinall,
103 Colo. 381, 387-90,
86 P.2d 605, 608(1939).
¶ 93 In the legal malpractice setting, the coverage question pertains
not to the defendant lawyer but to the hypothetical defendant in the
underlying action. So, the risk that a jury would conflate coverage
and liability is low. And in any event, to avoid jury confusion, trial
43 of the collectibility issue could be bifurcated. See Hoppe v. Ranzini,
385 A.2d 913, 919(N.J. Super. Ct. App. Div. 1978).
¶ 94 “Fourth, a delay between the original injury and a legal
malpractice claim is common, which could hurt the client’s
opportunity to gather evidence about collectibility.” True enough,
any delay after the defendant lawyer was retained and had
conducted a reasonable investigation as required by C.R.C.P. 11
would be attributable to the lawyer. But neither Schmidt nor
Kituskie, both again cited by the majority, explains why delay would
be particularly detrimental to a plaintiff’s proving collectibility.
¶ 95 With most hypothetical defendants, and especially a
professional — as here — the best evidence of collectibility would be
insurance coverage. Consider that showing such coverage would
require just two easy and inexpensive steps: a short deposition of
the hypothetical defendant to identify the insurer and service of a
subpoena duces tecum on that insurer to obtain a copy of the
policy.
¶ 96 Yes, the process would be more complex if the hypothetical
defendant never obtained coverage or if a claims-made policy had
lapsed. Still, the hypothetical defendant could be deposed to
44 explore his or her net worth, as can be done post-judgment under
C.R.C.P. 69(i). Titled assets, primarily real estate, could be proven
through public records. And an asset search firm could be
employed to provide expert testimony tying this information
together. Hardly a Herculean task.
¶ 97 “Fifth, the insolvency of the defendant in the underlying case
permits the attorney to mitigate or to avoid the ‘consequences of
one’s negligent act,’” and as a consequence, the benefitted attorney
should bear the “risks and uncertainties of proving it.” (Citation
omitted.) But again, this formulation — especially the reference to
“mitigate” — only begs the question of whether collectibility should
be an essential component of proving causation and damages.
Recall that under C.R.C.P. 8(c), insolvency is mitigation evidence
only because the plaintiff has already proven causation and
damages.
¶ 98 Here, the majority cites Lindenman v. Kreitzer,
775 N.Y.S.2d 4, 8(N.Y. App. Div. 2004), and Jourdain v. Dineen,
527 A.2d 1304, 1306(Me. 1987). But Lindenman is just another delay analysis,
“since the legal malpractice action is likely to have been brought
years after the underlying events.”
775 N.Y.S.2d at 9. And
45 Jourdain relied on Me. R. Civ. P. 8(c), which is very similar to
C.R.C.P. 8(c).
¶ 99 “Sixth, placing the burden on the attorney does not eliminate
the effect of insolvency; if the attorney proves that a judgment is not
collectible, damages could be mitigated or eliminated.” On this
basis, the majority “disagree[s] with those cases that hold that
placing the burden on an attorney results in a ‘windfall’ for the
client.”
¶ 100 But this statement fails to answer the question of who should
bear the burden for two reasons. First, it evokes mitigation.
Second, it does not explain how the possibility of the defendant
lawyer presenting evidence that would persuade the trier of fact to
reduce the damages below the amount of the hypothetical judgment
avoids the risk that in the absence of such evidence, the plaintiff
would enjoy a windfall.
¶ 101 More importantly, this formulation conflates two principles:
collectibility and insolvency. Collectibility means “the degree to
which a judgment can be satisfied through collection efforts against
the defendant.” Black’s Law Dictionary 280 (8th ed. 1999). In
contrast, “[a] debtor is insolvent if the sum of the debtor’s debts is
46 greater than all of the debtor’s assets at a fair valuation.”
§ 38-8-103(1), C.R.S. 2016. And therein lies the fundamental
problem with the majority’s approach — insolvency is more than
the reciprocal of collectibility.
¶ 102 The burden on a plaintiff of proving collectibility would be
satisfied by showing insurance coverage or sufficient
unencumbered assets from which part of the judgment could
probably have been collected, as discussed above. But if the
burden is proving insolvency, the defendant lawyer would have to
first negate insurance coverage — admittedly no more difficult than
proving it. But then the lawyer would have to reconstruct the
hypothetical defendant’s entire financial position, accounting for all
of his or her assets and liabilities, to show insolvency. In other
words, proving uncollectibility implicates, as numerous courts have
recognized in many different contexts, “the difficulty of proving a
negative.” See, e.g., Rooks v. Robb,
871 N.W.2d 468, 471(N.D.
2015).
¶ 103 Seventh, “plaintiffs in the vast majority of negligence cases do
not have to prove that any judgment that they might win would be
collectible. Collectibility is simply not a value that most negligence
47 cases enter into the calculus of causation.” True enough. But
whether the plaintiff may recover any of his potential judgment
matters not to whether the defendant tortfeasor has actually
harmed him. And as we all agree, legal malpractice cases are
distinct from most negligence cases — the borders of the case
within a case construct extend beyond entry of judgment in the
underlying case and include whether any judgment would have
been collectible.
¶ 104 Along with these seven policy considerations, the majority
relies on the Restatement (Third) of the Law Governing Lawyers. It
has frequently been cited in Colorado. See, e.g., Mercantile
Adjustment Bureau, L.L.C. v. Flood,
2012 CO 38, ¶ 20; Hannon Law
Firm, LLC v. Melat, Pressman & Higbie, LLP,
293 P.3d 55, 61(Colo.
App. 2011). For this reason, I address it, but do not do so with the
other secondary sources in the majority opinion that lack a citation
history in Colorado.
¶ 105 The particular wording on which the majority relies is cryptic:
Thus, the lawyer’s misconduct will not be the legal cause of loss to the extent that the defendant lawyer can show that the judgment or settlement would have been uncollectible, for example because the previous defendant
48 was insolvent and uninsured. The defendant lawyer bears the burden of coming forward with evidence that this was so. Placement of this burden on the defending lawyer is appropriate because most civil judgments are collectible and because the defendant lawyer was the one who undertook to seek the judgment that the lawyer now calls worthless. The burden of persuading the jury as to collectibility remains upon the plaintiff.
Restatement (Third) of the Law Governing Lawyers § 53 cmt. b
(2000) (emphasis added).
¶ 106 In any event, as discussed above, the lack of a response to Mr.
LeHouillier’s demand letter constitutes some evidence of
uncollectibility. Thus, even under the Restatement view, “[t]he
burden of persuading the jury as to collectibility remains upon the
plaintiff.” Id.
¶ 107 In the end, I would follow the weight of case authority and
conclude that the jury was properly instructed. Ms. Gallegos failed
to present any evidence of collectibility. For these two reasons, I
would reverse the judgment against Mr. LeHouillier and dismiss the
case.
49
Reference
- Cited By
- 1 case
- Status
- Published
- Syllabus
- Legal Malpractice—Burden of Proof—Collectability—Affirmative Defense. Plaintiff Gallegos sued defendants LeHouillier, an attorney, and his law firm, LeHouillier & Associates, P.C. (collectively, LeHouillier), for legal malpractice. The jury found that LeHouillier had negligently breached his duty of professional care when handling an underlying medical malpractice case for Gallegos. The trial court placed the burden on Gallegos to prove that any judgment in the underlying case was collectable, and it ruled that Gallegos had provided sufficient evidence to prove that point, entering judgment in her favor. On appeal, LeHouillier contended that the judgment must be reversed because collectibility is an element that a plaintiff must prove in a legal malpractice case, and Gallegos did not prove that any judgment that she would have received in the underlying malpractice case would have been collectible. Gallegos countered that the issue of collectibility is an affirmative defense and the court should have required LeHouillier to prove that the judgment was not collectible. The Court of Appeals determined that the record did not contain sufficient evidence that the judgment was collectible. In addition, the trial court erred when it placed the burden on Gallegos to prove that any judgment in the underlying medical malpractice case would have been collectible it should have required LeHouillier (1) to raise the question of collectibility as an affirmative defense and (2) to prove that any judgment Gallegos would have received would not have been collectible. The judgment was reversed and the case was remanded for a new trial.