Erica Rae Fox v. Harold V. Hughston III and Sheila Morgan ( 2023 )


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  • Rel: March 10, 2023
    Notice: This opinion is subject to formal revision before publication in the advance sheets of Southern
    Reporter. Readers are requested to notify the Reporter of Decisions, Alabama Appellate Courts,
    300 Dexter Avenue, Montgomery, Alabama 36104-3741 ((334) 229-0650), of any typographical or other
    errors, in order that corrections may be made before the opinion is printed in Southern Reporter.
    SUPREME COURT OF ALABAMA
    OCTOBER TERM, 2022-2023
    _________________________
    SC-2022-0564
    _________________________
    Erica Rae Fox
    v.
    Harold V. Hughston III and Sheila Morgan
    Appeal from Colbert Circuit Court
    (CV-21-900257)
    PER CURIAM.
    In this legal-malpractice action, Erica Rae Fox appeals from a
    summary judgment entered by the Colbert Circuit Court in favor of her
    SC-2022-0564
    former criminal-defense attorneys, Harold V. Hughston III and Sheila
    Morgan ("the defense attorneys"). The trial court determined that the
    applicable statute of limitations barred Fox's action. We affirm.
    Facts and Procedural History
    On August 12, 2016, Ronnie Credille murdered Fox's husband,
    Jason Fox. Credille shot Jason in the head as he entered the doorway of
    the residence that he shared with Fox and their children. Fox and
    Credille were alleged to have been involved in an adulterous relationship.
    A grand jury indicted Fox for capital murder on January 12, 2017. Fox
    was accused of arranging for Credille to murder Jason so that she could
    collect the proceeds from Jason's life-insurance policy. The trial court
    presiding over the criminal action declared Fox indigent and appointed
    the defense attorneys to represent her. On October 26, 2018, at the
    conclusion of a five-day jury trial, the jury convicted Fox of capital
    murder, and, on November 28, 2018, she was sentenced to life
    imprisonment without the possibility of parole.
    The transcript of Fox's trial indicates that, on October 26, 2018,
    after the jury had reached its verdict and the trial court had polled the
    jury members, Morgan provided an oral notice of appeal in open court.
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    Rule 3(a)(2), Ala. R. App. P., however, provides that,
    "[i]n criminal cases, an appeal permitted by law as a matter
    of right to an appellate court shall be taken by filing a written
    notice of appeal with the clerk of the trial court within the
    time allowed by Rule 4, [Ala. R. App. P.,] or by the defendant's
    giving an oral notice of appeal at the time of sentencing, which
    oral notice shall be noted of record …."
    (Emphasis added.) Fox contends that, at the conclusion of the sentencing
    hearing, she made it clear to the defense attorneys that she wanted to
    appeal her conviction and sentence and that they represented to her that
    a notice of appeal had been perfected. Despite that representation, there
    is no oral notice of appeal contained in the transcript of the sentencing
    hearing.
    On December 28, 2018, the defense attorneys filed a motion for a
    new trial on Fox's behalf. That motion was denied by operation of law on
    January 28, 2019. See Rule 24.4, Ala. R. Crim. P.1 Nevertheless, the trial
    court held a hearing on the motion for a new trial on March 7, 2019. At
    1Rule  24.4 provides, in pertinent part: "No motion for new trial …
    shall remain pending in the trial court for more than sixty (60) days after
    pronouncement of sentence …." In this case, the 60th day after
    pronouncement of sentence was January 27, 2019; however, because that
    day was a Sunday, the motion was deemed denied on Monday, January
    28, 2019. See Rule 1.3(a), Ala. R. Crim. P.; Bryant v. State, 
    29 So. 3d 928
    ,
    935 n.4 (Ala. Crim. App. 2009).
    3
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    the conclusion of the hearing, the trial court entered an order purportedly
    denying the motion for a new trial. After January 28, 2019, however, the
    trial court did not have jurisdiction to rule on the motion for a new trial,
    and therefore its order purporting to deny the motion was void. See Edgar
    v. State, 
    646 So. 2d 683
     (Ala. 1994). The transcript of the hearing on the
    motion for a new trial reflects that Morgan again provided an oral notice
    of appeal in open court. Neither oral notice of appeal was effective
    because neither was given at the time of sentencing. See Rule 3(a)(2),
    Ala. R. App. P. See also Ex parte Soule, 
    892 So. 2d 879
    , 880 n.1 (Ala.
    2004) ("An oral notice of appeal is effective only if it is made at the time
    of sentencing.").
    Because the deadline by which Fox was required to file a written
    notice of appeal of her conviction and sentence is calculated from the date
    on which her motion for a new trial was denied by operation of law, her
    written notice of appeal was due to be filed on or before March 11, 2019.
    See Rule 4(b)(1), Ala. R. App. P. The record in Fox's criminal case, which
    Hughston provided as an exhibit to his motion for a summary judgment
    in this case, does not contain a timely written notice of appeal.
    After the trial court heard Fox's motion for a new trial, the defense
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    attorneys filed a motion to withdraw from representing Fox. The trial
    court granted the defense attorneys' motion to withdraw on March 25,
    2019, but it was not until April 1, 2019, that the trial court appointed
    Charlie Bottoms as appellate counsel to represent Fox in her anticipated
    appeal. Bottoms promptly filed a written notice of appeal on Fox's behalf
    on April 2, 2019. The record in Fox's criminal case reflects that this was
    the first written notice of appeal filed therein. On April 11, 2019, the
    Alabama Court of Criminal Appeals entered an order requiring Fox to
    show cause why her appeal should not be dismissed on the ground that
    her notice of appeal was not timely filed. Bottoms filed a response in
    which he contended that Fox's appeal should not be dismissed because,
    he argued, "[Fox] and/or her trial council [sic] gave an oral notice of
    appeal at the sentencing hearing." The Court of Criminal Appeals stayed
    the appeal on June 5, 2019.
    Bottoms then filed a motion to reinstate the appeal or, in the
    alternative, to order a new sentencing hearing for Fox. Bottoms stated:
    "The undersigned attorney has reviewed the transcript of the sentencing
    hearing provided to him and the record does not reflect that [Fox] gave
    an oral notice of appeal at the sentencing hearing." On July 17, 2019, the
    5
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    Court of Criminal Appeals dismissed Fox's appeal as untimely. Fox v.
    State (No. CR-18-0670, July 17, 2019). That court held that Morgan's oral
    notice of appeal after the jury returned its verdict was ineffective and,
    therefore, that Bottoms's written notice of appeal was not timely filed.
    Bottoms filed an application for rehearing; that court overruled the
    application on August 5, 2019. Bottoms then filed a petition for a writ of
    certiorari with this Court. We granted the petition, but on December 20,
    2019, we quashed the writ, Ex parte Fox (No. 1180913, Dec. 20, 2019),
    
    316 So. 3d 232
     (Ala. 2019) (table), and, on the same date, the Court of
    Criminal Appeals certified its judgment of dismissal as final.
    Meanwhile, on August 12, 2019, Fox wrote a letter to Morgan. The
    letter stated, in pertinent part:
    "I do not understand the fact of the notice of appeal at my
    sentencing hearing can't be found and is not documented, and
    apparently we are out of time for my direct appeal. I know you
    do not represent me any more, but you did then. Can you
    please write me back and let me know (explain) what is going
    on."
    Fox submitted an affidavit she executed on February 28, 2022, as
    evidence in the legal-malpractice action ("the 2022 affidavit"). She
    testified as follows in the 2022 affidavit:
    "Around February 1, 2020, I learned that my appeal had
    6
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    been dismissed by the appellate court because the appeal had
    been untimely filed. I was unsure whether Attorneys
    Hughston and Morgan, or Attorney Bottoms, had failed to
    timely file the appeal. Nor did I know I had a potential claim
    against Attorneys Hughston and Morgan for not timely filing
    my appeal. I knew I needed to have an attorney look into the
    matter for me."
    Fox and her parents retained attorney Richard Bite on February
    14, 2020, to pursue postconviction relief on her behalf. She testified in
    the 2022 affidavit that, to her knowledge, Bite never filed the petition
    necessary to commence postconviction proceedings pursuant to Rule 32,
    Ala. R. Crim. P. Fox and her parents have filed a separate complaint
    against Bite alleging legal malpractice, fraud, conversion, and breach of
    contract.
    Fox further testified in the 2022 affidavit that, on or about
    September 22, 2021, she retained attorney Jerry Blevins, her counsel in
    this case, "to look into [her] case and to pursue post-conviction relief." Fox
    then testified that it was not until on or about October 1, 2021, that she
    "learned that [her] appeal [had been] dismissed because the oral notice
    of appeal given by Attorney Morgan [had been] ineffective and learned
    for the first time that [she] had a claim against Attorneys Hughston and
    Morgan regarding the handling of [her] case."
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    On November 5, 2021, Fox sued the defense attorneys under the
    Alabama Legal Services Liability Act ("the ALSLA"), § 6-5-570 et seq.,
    Ala. Code 1975, alleging legal-malpractice claims. Fox alleged that the
    defense attorneys had failed to file a proper and timely notice of appeal
    in Fox's criminal case and that they had misrepresented to her that a
    proper notice of appeal had been given. On November 22, 2021, Fox filed
    a petition pursuant to Rule 32, Ala. R. Crim. P., seeking to pursue an out-
    of-time appeal in her criminal case because, she alleged, the defense
    attorneys had failed to timely perfect her appeal in that case. Fox's
    postconviction case is proceeding separately.
    The defense attorneys filed answers and moved to dismiss the
    complaint in the legal-malpractice action. The defense attorneys each
    filed a motion for a summary judgment, asserting, among other
    arguments, that Fox's claims were barred by the two-year statute of
    limitations set out in § 6-5-574, Ala. Code 1975, which is a part of the
    ALSLA. Fox filed a motion for a partial summary judgment as to liability
    and as to a portion of her alleged damages, as well as a motion to strike
    certain evidence offered in opposition to her summary-judgment motion.
    The trial court set all motions for a hearing. On March 24, 2022, the trial
    8
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    court entered a final judgment granting the defense attorneys' summary-
    judgment motions, denying Fox's summary-judgment motion, and
    denying Fox's motion to strike. Fox appealed.
    Standard of Review
    " ' "This Court's review of a summary judgment is de
    novo. Williams v. State Farm Mut. Auto. Ins. Co., 
    886 So. 2d 72
    , 74 (Ala. 2003). We apply the same standard of review as
    the trial court applied. Specifically, we must determine
    whether the movant has made a prima facie showing that no
    genuine issue of material fact exists and that the movant is
    entitled to a judgment as a matter of law. Rule 56(c), Ala. R.
    Civ. P.; Blue Cross & Blue Shield of Alabama v. Hodurski, 
    899 So. 2d 949
    , 952-53 (Ala. 2004). In making such a
    determination, we must review the evidence in the light most
    favorable to the nonmovant. Wilson v. Brown, 
    496 So. 2d 756
    ,
    758 (Ala. 1986). Once the movant makes a prima facie
    showing that there is no genuine issue of material fact, the
    burden then shifts to the nonmovant to produce 'substantial
    evidence' as to the existence of a genuine issue of material
    fact. Bass v. SouthTrust Bank of Baldwin County, 
    538 So. 2d 794
    , 797-98 (Ala. 1989); Ala. Code 1975, § 12-21-12.
    '[S]ubstantial evidence is evidence of such weight and quality
    that fair-minded persons in the exercise of impartial
    judgment can reasonably infer the existence of the fact sought
    to be proved.' West v. Founders Life Assur. Co. of Fla., 
    547 So. 2d 870
    , 871 (Ala. 1989)." ' "
    Gooden v. City of Talladega, 
    966 So. 2d 232
    , 235 (Ala. 2007) (quoting
    Prince v. Poole, 
    935 So. 2d 431
    , 442 (Ala. 2006), quoting in turn Dow v.
    Alabama Democratic Party, 
    897 So. 2d 1035
    , 1038-39 (Ala. 2004)).
    "Questions of law are reviewed de novo." Pritchett v. ICN Med. All. Inc.,
    9
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    938 So. 2d 933
    , 935 (Ala. 2006).
    Analysis
    The dispositive issue in this case is whether Fox timely commenced
    her legal-malpractice action against the defense attorneys. As noted by
    the parties on appeal, there is a split of authority in our caselaw
    concerning when the statute-of-limitations period for a legal-malpractice
    action will begin to run. On the one hand, our caselaw has applied the
    "damage" approach, under which the limitations period begins to run
    from the date on which the client bringing the legal-malpractice action
    first sustained an injury or damage. On the other hand, our caselaw also
    has applied the "occurrence" approach, under which the limitations
    period begins to run from the date on which the act or omission giving
    rise to the claim occurred and not when the client first suffered damage.
    As demonstrated below, however, we need not elect between these
    approaches in the present case because, given the undisputed facts, the
    limitations period provided in the ALSLA bars Fox's legal-malpractice
    action against the defense attorneys regardless of which approach is
    applied.
    "When a claim accrues, for statute-of-limitations purposes, is a
    10
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    question of law if the facts are undisputed and the evidence warrants but
    one conclusion." Kindred v. Burlington N. R.R., 
    742 So. 2d 155
    , 157 (Ala.
    1999). Fox argues that when the facts are disputed, as she alleges they
    are here, the question of accrual of a cause of action for statute-of-
    limitations purposes is a question of fact that should be decided by a jury,
    citing Jim Walter Homes, Inc. v. Kendrick, 
    810 So. 2d 645
    , 750 (Ala.
    2001). Despite Fox's argument to the contrary, we find the relevant facts
    to be clear and unequivocal; therefore, the dispositive issue here is a
    question of law to be reviewed de novo. See Pritchett, 
    938 So. 2d at 935
    .
    Any action against a licensed attorney that arises in whole or in
    part from his or her provision of legal services is governed by the ALSLA.
    Price v. Ragland, 
    966 So. 2d 246
    , 259 (Ala. 2007). Section 6-5-572(1), Ala.
    Code 1975, which is a part of the ALSLA, provides, in pertinent part:
    "A legal service liability action embraces all claims for injuries
    or damages or wrongful death whether in contract or in tort
    and whether based on an intentional or unintentional act or
    omission. A legal service[ ] liability action embraces any form
    of action in which a litigant may seek legal redress for a wrong
    or injury and every legal theory of recovery, whether common
    law or statutory, available to a litigant in a court in the State
    of Alabama now or in the future."
    With regard to the timing for commencing such an action, § 6-5-574
    provides:
    11
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    "(a) All legal service liability actions against a legal
    service provider must be commenced within two years after
    the act or omission or failure giving rise to the claim, and not
    afterwards; provided, that if the cause of action is not
    discovered and could not reasonably have been discovered
    within such period, then the action may be commenced within
    six months from the date of such discovery or the date of
    discovery of facts which would reasonably lead to such
    discovery, whichever is earlier; provided, further, that in no
    event may the action be commenced more than four years
    after such act or omission or failure; except, that an act or
    omission or failure giving rise to a claim which occurred before
    August 1, 1987, shall not in any event be barred until the
    expiration of one year from such date.
    "(b) Subsection (a) of this section shall be subject to all
    existing provisions of law relating to the computation of
    statutory periods of limitations for the commencement of
    actions, namely, Sections 6-2-1, 6-2-2, 6-2-3, 6-2-5, 6-2-6, 6-2-
    8, 6-2-9, 6-2-10, 6-2-13, 6-2-15, 6-2-16, 6-2-17, 6-2-30, and 6-2-
    39[, Ala. Code 1975]; provided, that notwithstanding any
    provisions of such sections, no action shall be commenced
    more than four years after the act, omission, or failure
    complained of; except, that in the case of a minor under four
    years of age, such minor shall have until his or her eighth
    birthday to commence such action."
    Section 6-5-574(a) requires that an action "must be commenced
    within two years after the act or omission or failure giving rise to the
    claim." Moreover, this section allows for a remedial filing deadline of six
    months from the date when the plaintiff discovers the cause of action or
    the date when the plaintiff discovers facts that would reasonably lead to
    such discovery if the cause of action was not known to the plaintiff during
    12
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    the two-year limitations period ("the savings provision"). Section 6-5-
    574(b) also subjects the two-year limitations period to other statutes
    regarding the computation of statutory limitations periods.
    In Denbo v. DeBray, 
    968 So. 2d 983
     (Ala. 2006), this Court
    discussed the two different approaches used to determine when a cause
    of action in an ALSLA case accrues and the limitations period begins to
    run. In Denbo, the Court recognized the "damage" approach applied in
    Floyd v. Massey & Stotser, P.C., 
    807 So. 2d 508
     (Ala. 2001), relying in
    part on Michael v. Beasley, 
    583 So. 2d 245
     (Ala. 1991), under which the
    limitations period begins to run from the date on which the client
    bringing the legal-malpractice action sustained an injury or damage. The
    Denbo Court also recognized the "occurrence" approach applied in Ex
    parte Panell, 
    756 So. 2d 862
     (Ala. 1999) (plurality opinion), and Ex parte
    Seabol, 
    782 So. 2d 212
     (Ala. 2000), under which the limitations period
    begins to run from the date that the act or omission giving rise to the
    claim occurred and not when the client first suffered damage. Although
    the Denbo Court recognized the split of authority as to when a legal-
    malpractice action accrues, it did not elect to resolve the split. Instead,
    the Court held that under either the damage approach or the occurrence
    13
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    approach, the client's complaint was untimely. 
    968 So. 2d at 988-89
    . The
    Court took the same approach in Coilplus-Alabama, Inc. v. Vann, 
    53 So. 3d 898
    , 905-07 (Ala. 2010).
    In the present case, the defense attorneys argued in the trial court
    that, under both the damage approach and the occurrence approach,
    Fox's claims "accrued at the latest on March 11, 2019, when Fox allegedly
    lost her right to appeal her underlying conviction and sentence based
    upon a written notice of appeal not having been filed." Therefore, they
    argued, Fox had two years from March 11, 2019, in which to commence
    her legal-malpractice action under the ALSLA. The defense attorneys
    also argued that Fox learned that she had cognizable legal-malpractice
    claims against the defense attorneys no later than August 12, 2019, the
    date on which Fox wrote to Morgan inquiring about issues with her
    appeal. Therefore, they argued, under the savings provision, Fox had six
    months from August 12, 2019, in which to commence her legal-
    malpractice action. Because Fox did not commence her legal-malpractice
    action until November 5, 2021, the defense attorneys argued, Fox's
    claims were time-barred.
    Fox asserts, however, that the defense attorneys failed to recognize
    14
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    the distinction between the damage approach and the occurrence
    approach. Under the occurrence approach, she says, the act of
    malpractice occurred on March 11, 2019, the deadline for filing a written
    notice of appeal in her criminal case. Fox concedes that, absent the
    savings provision, her claims would be time-barred under the occurrence
    approach. Fox insists instead that it is the damage approach that applies
    to her case and that the legal damage resulting from the defense
    attorneys' failure to file a proper notice of appeal occurred on December
    20, 2019, when this Court quashed its previously issued writ of certiorari
    in her criminal case and the Court of Criminal Appeals certified its
    judgment of dismissal as final. After that, Fox says, she then had two
    years in which to commence her legal-malpractice action.
    In support of her argument, Fox relies on Brewer v. Davis, 
    593 So. 2d 67
     (Ala. 1991). In Brewer, the plaintiffs commenced a legal-
    malpractice action that arose out of legal services provided in a will-
    contest proceeding. The plaintiffs' attorney filed a petition to remove the
    estate from the probate court to the circuit court and then amended the
    removal petition to assert grounds to contest the will. The case proceeded
    to a trial in which the jury returned a verdict against the proponent of
    15
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    the will, i.e., the executrix of the decedent's estate, and the circuit court
    entered a judgment for the plaintiffs. The executrix of the will appealed,
    and this Court reversed the circuit court's judgment, holding that the
    amended removal petition was not a proper complaint asserting a will-
    contest claim and, therefore, that the circuit court had not obtained
    jurisdiction over the will contest. See Bullen v. Brown, 
    535 So. 2d 76
     (Ala.
    1988).
    The plaintiffs then filed an ALSLA action in which they alleged that
    their attorneys had committed legal malpractice in the will-contest
    proceeding. The trial court entered a summary judgment holding that the
    plaintiffs' action was untimely. This Court reversed that judgment and
    held:
    "In Michael v. Beasley, 
    583 So. 2d 245
     (Ala. 1991), this
    Court held that the time limits set out in the Legal Services
    Liability Act, Ala. Code 1975, § 6-5-570 et seq., are to be
    measured from the date of the accrual of the cause of action,
    not from the date of the occurrence of the act or omission, and
    that a cause of action accrues when some injury occurs giving
    rise to a cause of action. In that case, we concluded that the
    Michaels sustained a legal injury sufficient for them to
    maintain an action at the time a jury verdict was returned
    against them and that their cause of action accrued at that
    time, not when this Court affirmed the trial court's judgment.
    "In the present case, we find that the plaintiffs
    sustained a legal injury sufficient for them to maintain an
    16
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    action against the [attorneys] when this Court overruled the
    application for rehearing in Bullen v. Brown, [
    535 So. 2d 76
    (Ala. 1988)]. In this case, unlike Michael v. Beasley, 
    supra,
    the jury returned a verdict in favor of the plaintiffs and the
    plaintiffs sustained no loss or injury until this Court reversed
    the trial court's judgment and overruled the [rehearing]
    application [in Bullen]."
    Brewer, 
    593 So. 2d at 68-69
    .
    Fox contends that the defense attorneys were under the mistaken
    impression that the oral notice of appeal Morgan provided after the jury
    returned its verdict was sufficient to perfect Fox's appeal and that
    Bottoms arguably thought the same because, she says, he sought review
    of that issue in the certiorari petition challenging the judgment
    dismissing Fox's appeal to the Court of Criminal Appeals. Fox argues
    that the issue was not resolved until December 20, 2019, when this Court
    entered an order quashing the writ of certiorari and the Court of Criminal
    Appeals certified its judgment dismissing her appeal of her conviction
    and sentence as final.
    The defense attorneys recognize in this appeal this Court's split of
    authority regarding when the limitations period for a legal-malpractice
    action begins to run. They argue, however, that it is unnecessary for this
    Court to resolve the split at this time because, they say, given the
    17
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    undisputed facts of this case, the statute of limitations in § 6-5-574 bars
    Fox's claims under either approach. The defense attorneys maintain that
    Fox's November 5, 2021, complaint was filed far outside the applicable
    two-year limitations period.
    Fox concedes on appeal that, absent the savings provision, her
    legal-malpractice action is barred under the occurrence approach.
    Therefore, we must examine whether her action is timely under the
    damage approach or the savings provision. The defense attorneys
    maintain that the limitations period began to run under the damage
    approach on March 11, 2019, when Fox lost her right to appeal and first
    suffered legal damage, not on December 20, 2019, when this Court
    quashed the writ of certiorari and the Court of Criminal Appeals certified
    its judgment of dismissal as final. The defense attorneys rely on Sirote &
    Permutt, P.C. v. Bennett, 
    776 So. 2d 40
    , 45 (Ala. 2000) (quoting Michael,
    
    583 So. 2d at 251
    ) ("[E]ven though the plaintiffs' losses 'may have been
    compounded subsequently by virtue of the effect' of the judgment …, the
    plaintiffs' causes of action accrued when each plaintiff first sustained
    appreciable legal damage."). Fox insists that before December 20, 2019,
    she had no reason to believe that the courts would not allow her appeal
    18
    SC-2022-0564
    to proceed; therefore, she argues, she did not sustain legal damage until
    then and her legal-malpractice action, commenced on November 5, 2021,
    within two years of December 20, 2019, was timely.
    As was the case in Denbo and in Coilplus, there is no need in the
    present case for this Court to elect between the occurrence approach and
    the damage approach because Fox's claims are untimely under either
    approach. Fox's claims clearly are barred under the occurrence approach.
    The act or omission giving rise to Fox's claims was the defense attorneys'
    failure to file a proper notice of appeal in her criminal case. That act or
    omission occurred no later than March 11, 2019, the date on which a
    written notice of appeal would have been due. Fox filed her complaint on
    November 5, 2021, after the two-year limitations period had run.
    Fox's action is also time-barred under the damage approach. Fox
    first suffered legal damage on March 11, 2019, when the defense
    attorneys did not observe the deadline for filing her appeal in the
    criminal case and she lost her right to appeal. 2 Although we need not
    2Fox  argues that this analysis conflates the damage approach and
    the occurrence approach. In other words, she argues that these
    approaches must yield different dates/results. She is mistaken. It is
    possible (but not necessary) that the act of legal malpractice can occur on
    19
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    consider it, legal damage also occurred on July 17, 2019, when the Court
    of Criminal Appeals dismissed her appeal. "A cause of action accrues as
    soon as the claimant is entitled to maintain an action, regardless of
    whether the full amount of the damage is apparent at the time of the first
    legal injury." Chandiwala v. Pate Constr. Co., 
    889 So. 2d 540
    , 543 (Ala.
    2004); Kelly v. Shropshire, 
    199 Ala. 602
    , 605, 
    75 So. 291
    , 292 (1917)
    (holding that the limitations period "begins to run from the time the act
    is committed, be the actual damage (then apparent) however slight, and
    the statute will operate to bar a recovery not only for the present damages
    but for damages developing subsequently ….") (emphasis added)). Thus,
    we do not find persuasive Fox's argument that she did not sustain legal
    damage until this Court entered its judgment on December 20, 2019.
    Fox next argues that, even if her claims are time-barred under both
    the occurrence approach and the damage approach, the savings provision
    extended the limitations period. Fox contends that she did not learn that
    she had cognizable legal-malpractice claims against the defense
    attorneys until October 1, 2021; therefore, she argues, under the savings
    one date and the result (i.e., the damage or injury) can occur on a different
    date.
    20
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    provision, she had six months from that date in which to commence her
    legal-malpractice action. The defense attorneys contend that it is clear
    from Fox's letter to Morgan that she knew by August 12, 2019, at the
    latest, that the defense attorneys had not filed a written notice of appeal
    in her criminal case. By that time, the defense attorneys argue, Fox had
    actual knowledge of facts that reasonably would have led to the discovery
    of her legal-malpractice claims. Moreover, the defense attorneys say, Fox
    has not offered any evidence to support even an inference that her claims
    "could not reasonably have been discovered within [the two-year
    limitations] period." § 6-5-574(a). They conclude that Fox cannot invoke
    the savings provision because it applies only if the cause of action was
    not discovered and could not reasonably have been discovered within the
    two-year limitations period.
    Fox points out the portion of her August 12, 2019, letter in which
    she wrote that she did not understand why a notice of appeal was not
    documented in the transcript of her sentencing hearing. She argues that,
    contrary to the defense attorneys' argument, the letter proves that she
    did not then know that she had cognizable legal-malpractice claims
    because, she says, she thought that Morgan had given a proper notice of
    21
    SC-2022-0564
    appeal at the transcript of the sentencing hearing. We disagree.
    Fox's August 12, 2019, letter shows that Fox was aware by that date
    that the transcript of the sentencing hearing in her criminal case did not
    contain a notice of appeal and that the time in which she could appeal
    her criminal case as a matter of right had expired. Accordingly, Fox had
    knowledge of facts that reasonably should have led her to discover that
    she had legal- malpractice claims against the defense attorneys.
    Therefore, the savings provision provided her six months from that date
    -- or until February 12, 2020 -- to commence her legal-malpractice action.
    Because Fox did not commence her action until November 5, 2021,
    however, the savings provision does not provide relief.
    Finally, in the alternative, Fox argues that the defense attorneys'
    misrepresentation to her that they had given a proper notice of appeal
    after the jury had returned its verdict tolled the two-year limitations
    period under § 6-5-574(a). As stated previously in this opinion, § 6-5-
    574(b) makes the provisions of subsection (a) "subject to all existing
    provisions of law relating to the computation of statutory periods of
    limitations for the commencement of actions," including § 6-2-3, Ala.
    Code 1975. Section 6-2-3 is applicable to fraud claims and provides:
    22
    SC-2022-0564
    "In actions seeking relief on the ground of fraud where
    the statute has created a bar, the claim must not be
    considered as having accrued until the discovery by the
    aggrieved party of the fact constituting the fraud, after which
    he must have two years within which to prosecute his action."
    This Court has previously held that the tolling provision of § 6-2-3 applies
    in ALSLA actions. See Leighton Ave. Off. Plaza, Ltd. v. Campbell, 
    584 So. 2d 1340
    , 1344 (Ala. 1991).
    Fox had the burden of proving that her fraud claim comes within
    the tolling provision of § 6-2-3. Seabol, 
    782 So. 2d at 215
    . Fox contends
    that she did not learn that she had cognizable legal-malpractice and
    fraud claims against the defense attorneys until on or about October 1,
    2021. In support of her contention, Fox points to the 2022 affidavit in
    which she stated that on or about February 1, 2020, she learned that her
    appeal in the criminal case had been dismissed because a notice of appeal
    had not been timely filed, that she was not sure which attorney was at
    fault, that she did not know at that time that she had a potential claim
    against the defense attorneys for mishandling her case, and that she did
    not learn that she had cognizable legal-malpractice claims against the
    defense attorneys until on or about October 1, 2021. She maintains that,
    based on this alleged October 1, 2021, discovery date, her legal-
    23
    SC-2022-0564
    malpractice action was commenced well within the two-year period set
    out in § 6-2-3 and within the four-year bar applicable to all claims
    brought under the ALSLA. At the very least, Fox argues, when she
    learned about her potential causes of action is a disputed issue of fact
    that made the entry of a summary judgment improper.
    The limitations period applicable to fraud claims under § 6-2-3
    begins to run when a party actually discovers the fraud or when he or she
    learns of facts that would have caused a reasonable person to inquire
    further. Dickinson v. Land Devs. Constr. Co., 
    882 So. 2d 291
    , 298 (Ala.
    2003). Fox's August 12, 2019, letter provides evidence in her own words
    that she had actual knowledge as of that date that the defense attorneys'
    representation that they had filed a notice of appeal on her behalf was
    false. Moreover, ordinary diligence would have required inquiry on Fox's
    part about the facts underlying the defense attorneys' alleged
    representations to her that her appeal had been properly perfected.
    "A cause of action for fraud accrues, and 'the limitations
    period begins to run[,] when the plaintiff was privy to facts
    which would " 'provoke inquiry in the mind of a [person] of
    reasonable prudence, and which, if followed up, would have
    led to the discovery of the fraud.' " ' Auto-Owners Ins. Co. v.
    Abston, 
    822 So. 2d 1187
    , 1195 (Ala. 2001) (quoting Willcutt v.
    Union Oil Co., 
    432 So. 2d 1217
    , 1219 (Ala. 1983), quoting in
    turn Johnson v. Shenandoah Life Ins. Co., 
    291 Ala. 389
    , 397,
    24
    SC-2022-0564
    
    281 So. 2d 636
    , 643 (1973))."
    Ex parte Dow AgroSciences LLC, 
    299 So. 3d 952
    , 959 (Ala. 2020). Under
    these circumstances, tolling under § 6-2-3 would have ended no later than
    August 12, 2019, and, thus, Fox's action is untimely.
    Conclusion
    Because Fox's legal-malpractice action was untimely under the
    ALSLA and because she failed to demonstrate that the tolling provision
    in § 6-2-3 applies in her case, we affirm the trial court's summary
    judgment in favor of the defense attorneys. Given our resolution of this
    issue, we need not address the other arguments made by the parties.
    AFFIRMED.
    Shaw, Wise, Bryan, Stewart, and Cook, JJ., concur.
    Mitchell, J., concurs specially, with opinion.
    Parker, C.J., concurs in part and concurs in the result, with opinion.
    Mendheim, J., concurs in the result.
    Sellers, J., dissents.
    25
    SC-2022-0564
    MITCHELL, Justice (concurring specially).
    I concur in the main opinion because it reaches the correct result
    and faithfully applies our precedents. That said, I agree with Chief
    Justice Parker that the damage approach to interpreting § 6-5-574, Ala.
    Code 1975, is plainly incorrect. In an appropriate future case, when
    asked to do so by the parties, the Court should clarify this area of the law
    and definitively hold that the occurrence approach, not the damage
    approach, is required by the statute's text.
    26
    SC-2022-0564
    PARKER, Chief Justice (concurring in part and concurring in the result).
    I agree that Erica Rae Fox's legal-malpractice claims are barred by
    the time-bar statute in the Alabama Legal Services Liability Act
    ("ALSLA"), § 6-5-570 et seq., Ala. Code 1975. In my view, however, this
    Court should establish, without further delay, that the occurrence rule is
    the only correct interpretation of the two-year provision in § 6-5-574(a).
    The occurrence rule is required by the language of the provision, whereas
    the accrual rule (sometimes called the "damage rule") directly contradicts
    that language. This Court's original adoption of the accrual rule was built
    on a flawed foundation. And our continued attempts to apply both rules
    simultaneously depart from our institutional role of clarifying the law
    and impose unnecessary burdens on the resources of litigants and courts.
    I also write to point out the need for this Court to develop a coherent
    theory of accrual of a legal-malpractice cause of action. Accrual will be
    relevant to the statutory analysis even after (as I hope) the accrual rule
    is abandoned. And the results of cases often hinge on the date of accrual.
    But our prior cases have been very inconsistent in pinpointing when a
    cause of action accrues, so working out a coherent theory will be
    necessary to ensure predictability and adherence to the rule of law.
    27
    SC-2022-0564
    I. Occurrence rule versus accrual rule
    The two-year provision of ALSLA's time-bar statute provides: "All
    legal service liability actions against a legal service provider must be
    commenced within two years after the act or omission or failure giving
    rise to the claim, and not afterwards ...." § 6-5-574(a), Ala. Code 1975
    (emphasis added). This Court should establish the occurrence rule and
    abandon the accrual rule because the text of the statute requires the
    occurrence rule.
    A. The text requires the occurrence rule
    The two-year provision creates a bright line for when its time-bar
    period commences: the occurrence of the lawyer's "act or omission or
    failure." § 6-5-574(a), Ala. Code 1975. The provision does not reference
    accrual of a cause of action, incurring legal injury, or experiencing
    damage. "[T]he Alabama Legislature, by adopting the 'act or omission or
    failure' language ..., rejected the damage rule .... This Court is bound by
    the unambiguous language of § 6-5-574(a) and must give effect to that
    language ...." Ex parte Panell, 
    756 So. 2d 862
    , 867 (Ala. 1999) (plurality
    opinion); see also Ex parte Seabol, 
    782 So. 2d 212
    , 214 (Ala. 2000)
    (quoting with approval Panell plurality's articulation of the occurrence
    28
    SC-2022-0564
    rule); Dennis v. Northcutt, 
    887 So. 2d 219
    , 221 (Ala. 2004) (plurality
    opinion) (same); Roberts v. Lanier, 
    72 So. 3d 1174
    , 1184-85 (Ala. 2011)
    (applying occurrence rule to two-year provision). The language of the two-
    year provision unambiguously requires us to apply the occurrence rule.
    In some cases, the occurrence rule that is required by the plain
    meaning of the two-year provision may have seemingly harsh or unfair
    results. But it is not this Court's role to "displace the legislature by
    amending statutes to make them express what we think the legislature
    should have done. Nor is it this Court's role to assume the legislative
    prerogative to correct defective legislation ...." Siegelman v. Chase
    Manhattan Bank (USA), Nat'l Ass'n, 
    575 So. 2d 1041
    , 1051 (Ala. 1991).
    "Fidelity to … separation-of-powers … requires us to
    determine and adhere to the meaning of the statute's text,
    even if doing so leads to an inefficient or undesirable
    result. [DeKalb Cnty. LP Gas Co. v. Suburban Gas, Inc., 
    729 So. 2d 270
    , 276 (Ala. 1998)]; Ex parte T.B., 
    698 So. 2d 127
    ,
    129-30 (Ala. 1997). Therefore, 'our inquiry begins with the
    language of the statute, and if the meaning of the statutory
    language is plain, our analysis ends there.' Ex parte
    McCormick, 
    932 So. 2d 124
    , 132 (Ala. 2005). We must
    'interpret that language to mean exactly what it says.' IMED
    Corp. v. Systems Eng'g Assocs. Corp., 
    602 So. 2d 344
    , 346 (Ala.
    1992)."
    Lang v. Cabela's Wholesale, LLC, [Ms. 1200851, June 24, 2022] ___ So.
    3d ___, ___ (Ala. 2022). Our role is to apply a statute as it is written and
    29
    SC-2022-0564
    leave for the Legislature to decide whether and how it will be rewritten.
    B. Clarifying the nature of the two-year provision
    I suspect that much of this Court's difficulty interpreting the two-
    year provision has resulted from its heterogenous design. Although we
    have often referred to it as a statute of limitations, it is actually a hybrid
    between a statute of limitations and a statute of repose.
    A statute of limitations imposes a time-bar period that runs from
    accrual of the cause of action. See Garrett v. Raytheon Co., 
    368 So. 2d 516
    , 518-19 (Ala. 1979), overruled on other grounds, Griffin v. Unocal
    Corp., 
    990 So. 2d 291
     (Ala. 2008); Payne v. Alabama Cemetery Ass'n, 
    413 So. 2d 1067
    , 1072 (Ala. 1982); Black's Law Dictionary 1707 (11th ed.
    2019). And a statute of limitations may be subject to exceptions. See
    Pinigis v. Regions Bank, 
    977 So. 2d 446
    , 449 (Ala. 2007). In contrast, a
    statute of repose imposes a time-bar period that runs from a specific
    event such as the defendant's act or omission, regardless of when the
    cause of action accrues. See Black's Law Dictionary 1707 (11th ed. 2019);
    54 C.J.S. Limitations of Actions § 28 (2020); 3 Ronald E. Mallen, Legal
    Malpractice § 23:1 (2023 ed.). And a statute of repose is ordinarily not
    subject to exceptions. See Pinigis, 
    977 So. 2d at 449-50
    ; Mallen, supra.
    30
    SC-2022-0564
    The two-year provision resembles a statute of limitations because it is
    subject to the exception contained in the discovery (or "savings")
    provision that follows it in § 6-5-574(a). The two-year provision may also
    be subject to the general statute-of-limitations exceptions incorporated
    into § 6-5-574(b). More importantly for present purposes, however, the
    two-year provision's time-bar period functions as a statute of repose
    because it expressly runs from a specific event: the lawyer's "act or
    omission or failure." This clarification is important because many prior
    criticisms of the occurrence-rule interpretation of the two-year provision
    have been rooted in a misunderstanding of its nature and function.
    C. This Court's original adoption of the accrual rule
    was fundamentally flawed
    This Court first applied the accrual rule to ALSLA in Michael v.
    Beasley, 
    583 So. 2d 245
     (Ala. 1991). In Michael, we never discussed the
    language of the two-year provision. Instead, we were interpreting a
    different provision that specified the date that ALSLA would be in force,
    § 6-5-581, Ala. Code 1975. The following was the totality of our analysis
    supporting adoption of the accrual rule:
    "[ALSLA] ... applies only to actions against legal service
    providers based on 'acts or omissions accruing [occurring?]
    after April 12, 1988.' § 6-5-581. It is unclear whether the
    31
    SC-2022-0564
    legislature intended [ALSLA] to apply to acts or omissions
    occurring after April 12, 1988, or causes of actions [sic]
    accruing after that date. However, in reading § 6-5-574(a) and
    § 6-5-581 together, in considering the legislative intent
    expressed in § 6-5-570, and in comparing [ALSLA] to the
    Alabama Medical Liability Act, § 6-5-480 et seq. (hereinafter
    'the AMLA['])[,] and the Alabama Medical Liability Act of
    1987,[] § 6-5-540 et seq. (hereinafter 'the 1987 Act'), we
    determine that the legislature intended [ALSLA] to apply to
    causes of actions [sic] 'accruing' after April 12, 1988, and not
    to acts or omissions 'occurring' after that date.2
    "____________________
    "2In enacting the 1987 Act, Act No. 87-189, Ala. Acts
    1987, codified at Ala. Code 1975, § 6-5-540 et seq., the
    legislature included § 13 (codified at § 6-5-552), a provision
    similar to § 6-5-581: 'This article applies to all actions against
    health care providers based on acts or omissions accruing
    [occurring?] after June 11, 1987.' This Court had previously
    interpreted the statute of limitations in medical malpractice
    actions as being based on accrual and not occurrence.
    "In Street v. City of Anniston, 
    381 So. 2d 26
    , 31 (Ala.
    1980), the Court stated that 'the Medical Liability Act
    contains a traditional statute of limitations, one which
    commences the running of the statute from the accrual of the
    cause of action, and is not subject to constitutional infirmity
    under [Article IV,] § 45[, Ala. Const. 1901 (requiring that a
    legislative bill's subject be clearly expressed in its title)].'
    (Emphasis added.) See Bowlin Horn v. Citizens Hosp., 
    425 So. 2d 1065
     (Ala. 1982); Thomas v. Niemann, 
    397 So. 2d 90
     (Ala.
    1981) (Jones, J., concurring); Ramey v. Guyton, 
    394 So. 2d 2
    (Ala. 1980). This same rationale applies to [ALSLA]."
    Id. at 246-47 (bracketed words followed by question marks in original).
    At the end of the opinion, without having engaged in any further analysis
    32
    SC-2022-0564
    on this point or having discussed the language of any ALSLA provision
    other than § 6-5-581 as to this point, we then stated a broad holding about
    all of ALSLA's time limits: "[T]he time limits in [ALSLA] are to be
    measured from the date of the accrual of a cause of action and not from
    the date of the occurrence of the act or omission." Id. at 252.
    In hindsight, it is hard to imagine an interpretation more
    diametrically opposed to the relevant statutory language. The two-year
    provision's language is "within two years after the act or omission or
    failure giving rise to the claim." § 6-5-574(a). Michael interpreted that
    language as "not from the date of the occurrence of the act or omission."
    
    583 So. 2d at 252
    . Moreover, whatever ambiguity may have existed in the
    provision that Michael did examine -- § 6-5-581, which contained the odd
    phrase "acts or omissions accruing" -- that ambiguity was completely
    absent from the two-year provision of § 6-5-574(a).
    Further, Michael's reliance on Street v. City of Anniston, 
    381 So. 2d 26
     (Ala. 1980), was misplaced because Michael disconnected the concepts
    of act/omission and accrual, whereas Street had expressly connected
    them. In Street, a patient sued a doctor, alleging medical malpractice.
    
    381 So. 2d at 27-28
    . The doctor raised the time-bar statute in the
    33
    SC-2022-0564
    Alabama Medical Liability Act. 
    Id. at 28
    . The statute provided that
    medical-malpractice actions "must be commenced within two years next
    after the act, or omission, or failure giving rise to the claim," § 6-5-482(a),
    using the same language as was later used in ALSLA's two-year
    provision. The patient argued that the statute violated Article IV, § 45,
    of the Alabama Constitution of 1901, which required that the subject of
    each law " 'be clearly expressed in its title.' " Id. at 30. This Court noted
    that the statute was titled as " 'a statute of limitations.' " Id. at 31.
    However, if the statute's time-bar period was commenced by the act or
    omission, rather than the patient's legal injury, the time-bar period could
    theoretically expire before the patient received legal injury. In such a
    case, the patient's claim would be barred before the cause of action
    accrued. See id. at 30. That possibility would cause the statute to be a
    statute of repose (which Street described as a "grant of immunity") rather
    than a statute of limitations. And that would mean that the statute had
    been misdescribed as a "statute of limitations" in its title and thus
    violated § 45. See id. at 30-31.
    How did this Court avoid that conundrum in Street? We
    circumvented the constitutional issue by holding that, in medical-
    34
    SC-2022-0564
    malpractice    cases,   act/omission    and     injury/accrual   are   always
    simultaneous events. Id. at 31. Specifically:
    "[O]ur case law has established that, in [medical-] malpractice
    actions, legal injury occurs at the time of the negligent act or
    omission, whether or not the injury is or could be discovered
    within the statutory period. Thus, the [Alabama] Medical
    Liability Act contains a traditional statute of limitations, one
    which commences the running of the statute from the accrual
    of the cause of action, and is not subject to constitutional
    infirmity under § 45."
    Id. (citations omitted). In other words, because act/omission was
    necessarily simultaneous with accrual, the statute's "act, or omission, or
    failure" language was synonymous with accrual.
    When we later interpreted ALSLA's two-year provision in Michael,
    however, we relied on Street to support exactly the opposite proposition.
    In Michael, we held that ALSLA's two-year period ran "from the date of
    the accrual of a cause of action and not from the date of the occurrence of
    the act or omission." 
    583 So. 2d at 252
     (emphasis added). In that way,
    Michael founded its conclusion on a case that was premised on the
    opposite of that conclusion. 3
    3Notably, Street's premise of simultaneous act/omission and accrual
    did not age well. Within a year, we were already backing away from it
    and separating the time of accrual from the time of the medically
    35
    SC-2022-0564
    Therefore, Michael's adoption of the accrual rule was not only
    contrary to the language of the statute but also founded on precedent that
    did not support it.
    D. The problem of coexisting divergent rules
    Since a plurality of this Court attempted to return to the statutory
    language in Ex parte Panell, 
    756 So. 2d 862
     (Ala. 1999), this Court has
    spent two decades trying to simultaneously follow the (incompatible)
    negligent act or omission. See Ramey v. Guyton, 
    394 So. 2d 2
     (Ala. 1980)
    (plurality opinion); 
    id. at 6
     (Shores, J., concurring specially); Thomas v.
    Niemann, 
    397 So. 2d 90
    , 94 (Ala. 1981) (Jones, J., concurring specially).
    Initially, some Justices tried to adhere to Street and bridge the gap
    between act/omission and accrual by employing such creative yet dubious
    concepts as a doctor's "impliedly continuing act," a doctor's omission by
    "failure to discontinue" a medication prescription, and an extension of a
    doctor's act by the patient's later acting on the doctor's advice. See
    Ramey, 
    394 So. 2d at 6
     (Shores, J., concurring specially); Thomas, 
    397 So. 2d at 94
     (Jones, J., concurring specially). Since then, our distance
    from Street's simultaneousness premise has increased with time. We
    have made increasingly clear that act/omission and accrual are neither
    synonymous nor necessarily simultaneous. See Guthrie v. Bio-Med.
    Lab'ys, Inc., 
    442 So. 2d 92
    , 95 (Ala. 1982); Colburn v. Wilson, 
    570 So. 2d 652
    , 654 (Ala. 1990); Mobile Infirmary v. Delchamps, 
    642 So. 2d 954
    , 958
    (Ala. 1994); Crosslin v. Health Care Auth. of Huntsville, 
    5 So. 3d 1193
    ,
    1197-99 & n.2 (Ala. 2008) (plurality opinion); 
    id. at 1199
     (Lyons, J.,
    concurring in part and concurring in result); Cutler v. University of
    Alabama Health Servs. Found., 
    215 So. 3d 1065
    , 1068-73 (Ala. 2016)
    (plurality opinion); id. at 1073-74 (Murdock, J., concurring specially).
    Thus, the foundation of Street's interpretation of the time-bar statute in
    the Alabama Medical Liability Act has been substantially undermined.
    36
    SC-2022-0564
    occurrence and accrual rules for applying ALSLA's two-year provision.
    We have justified that ambivalence by the fact that both rules have, at
    least in those cases, led to the same result. See Floyd v. Massey & Stotser,
    P.C., 
    807 So. 2d 508
    , 511-12 (Ala. 2001); Taylor v. Stevenson, 
    820 So. 2d 810
    , 813 (Ala. 2001) (self-acknowledged dicta); Denbo v. DeBray, 
    968 So. 2d 983
    , 988-90 (Ala. 2006); Coilplus-Alabama, Inc. v. Vann, 
    53 So. 3d 898
    ,
    906-07 (Ala. 2010); cf. Ex parte Edwards, 
    299 So. 3d 238
    , 243 & n.4 (Ala.
    2020). But that course of action is inconsistent with this Court's
    institutional role. This Court exists not merely to decide the results of
    individual cases, but -- more importantly -- to clarify the law "for the
    benefit of lower courts, attorneys, and the public. This duty derives from
    our constitutional role, as 'the highest court of the state,' of exercising
    'general supervision and control of courts of inferior jurisdiction,' Art. VI,
    § 140(a) and (b), Ala. Const. 1901 (Off. Recomp.)." Ex parte Self, [Ms.
    1200431, Sept. 10, 2021] ___ So. 3d ___, ___ (Ala. 2021) (Parker, C.J.,
    concurring specially). We cannot fulfill this duty by continuing to
    perpetuate two contradictory rules for applying the same statute.
    Further, there are real-world consequences to this Court's
    continued halting between two opinions. In every ALSLA case in which
    37
    SC-2022-0564
    the two-year provision is raised, the parties' counsel and potentially the
    trial and appellate courts must analyze the facts under both the
    occurrence rule and the accrual rule. That dual analysis may include the
    whole waterfall of each rule's potential effects on the application of the
    several other provisions of the ALSLA time-bar statute. This exercise
    imposes real costs on clients and judicial resources. And those costs
    cannot continue to be justified when it has become clear that one rule is
    right and the other is wrong.
    Accordingly, this Court should cease trying to simultaneously ride
    the tracks of two divergent rules (and forcing litigants and lower courts
    to do so), leave behind the mistaken accrual rule, and follow the language
    of the statute.
    II. Accrual of a legal-malpractice cause of action
    If, as I hope, this Court in a future case establishes the occurrence
    rule and abandons the accrual rule under the two-year provision of § 6-
    5-574(a), Ala. Code 1975, the concept of accrual will still be relevant
    under the statute's discovery provision. The discovery provision
    indirectly links the commencement of its six-month period to accrual:
    "[I]f the cause of action is not discovered and could not
    reasonably have been discovered within [the initial two-year]
    38
    SC-2022-0564
    period, then the action may be commenced within six months
    from the date of such discovery or the date of discovery of facts
    which would reasonably lead to such discovery, whichever is
    earlier ...."
    § 6-5-574(a) (emphasis added). In light of accrual's continuing relevance,
    its proper application is worth examining.
    In this case, under our precedent, Fox's causes of action based on
    the defense attorneys' failure to timely appeal accrued when the Court of
    Criminal Appeals dismissed the appeal on that basis. In general, when a
    lawyer's mistake occurs mid-litigation and is a type of mistake that could
    result in a final adjudication adverse to the client, we have held that the
    malpractice cause of action accrues when a court first enters such an
    adverse adjudication. See Brewer v. Davis, 
    593 So. 2d 67
     (Ala. 1992);
    Welborn v. Shipman, 
    608 So. 2d 334
     (Ala. 1992); Cantrell v. Stewart, 
    628 So. 2d 543
     (Ala. 1993); Turner v. Barnes, 
    687 So. 2d 197
    , 198-99 (Ala.
    1997). This rule is consistent with reasoned scholarly commentary. See
    Tyler T. Ochoa & Andrew J. Wistrich, Limitation of Legal Malpractice
    Actions: Defining Actual Injury and the Problem of Simultaneous
    Litigation, 24 Sw. U.L. Rev. 1, 2-3, 14-25, 27-32, 65-67 (1994); 3 Ronald
    E. Mallen, Legal Malpractice § 23:39 (2023 ed.). But see Mallen, supra,
    §§ 23:38, 23:40 (taking positions different from that rule).
    39
    SC-2022-0564
    Nevertheless, it is worth noting that there is tension and
    inconsistency among this Court's opinions regarding when a legal-
    malpractice cause of action accrues. We have variously held that it
    accrues when:
    • the lawyer's act or omission occurs. See Mardis v. Shackleford, 
    4 Ala. 493
    , 504, 506-08 (1842); Lomax v. Gibson, 
    584 So. 2d 445
    (Ala. 1991); Leighton Ave. Off. Plaza, Ltd. v. Campbell, 
    584 So. 2d 1340
    , 1342-43 (Ala. 1991); Mississippi Valley Title Ins. Co. v.
    Hooper, 
    707 So. 2d 209
    , 211-13 (Ala. 1997); Wesson v. McCleave,
    Roberts, Shields & Green, P.C., 
    810 So. 2d 852
     (Ala. 2001); Price
    v. Ragland, 
    966 So. 2d 246
    , 247-61 (Ala. 2007); Ex parte
    Edwards, 
    299 So. 3d 238
    , 240, 243 & n.4 (Ala. 2020).
    • the client learns of the act or omission. See Floyd v. Massey &
    Stotser, P.C., 
    807 So. 2d 508
     (Ala. 2001).
    • the client acts in reliance on the act or omission. See McConico
    v. Romeo, 
    561 So. 2d 523
    , 524-25 (Ala. 1990); Ladner v. Inge, 
    603 So. 2d 1012
     (Ala. 1992); Denbo v. DeBray, 
    968 So. 2d 983
    , 984-
    90 (Ala. 2006); Coilplus-Alabama, Inc. v. Vann, 
    53 So. 3d 898
    ,
    40
    SC-2022-0564
    899-908 (Ala. 2010); cf. Sirote & Permutt, P.C. v. Bennett, 
    776 So. 2d 40
     (Ala. 2000) (third party).
    • an opposing party files suit against the client based on the act or
    omission. See Leighton, 584 So. 2d at 1342-43.
    • the client incurs legal fees or other expenses, or experiences
    emotional harm, as a result of the act or omission. See Ex parte
    Burnham, Klinefelter, Halsey, Jones & Cater, P.C., 
    674 So. 2d 1287
     (Ala. 1995); Denbo, 
    968 So. 2d at 984-90
    .
    • a court enters a judgment against the client as a result of the act
    or omission. See Cofield v. Smith, 
    495 So. 2d 61
     (Ala. 1986);
    Brewer, 
    593 So. 2d 67
    ; Welborn, 
    608 So. 2d 334
    ; Cantrell, 
    628 So. 2d 543
    ; Burnham, 674 So. 2d at 1289; Turner, 
    687 So. 2d at
    198-
    99; cf. Michael v. Beasley, 
    583 So. 2d 245
    , 245-46, 251-52 (Ala.
    1991); Ex parte Panell, 
    756 So. 2d 862
    , 869 (Ala. 1999) (plurality
    opinion).
    One cause of this tension among our opinions may be a fundamental
    doctrinal distinction that deeply affects the meaning of accrual but that
    our opinions have not clearly recognized. This distinction is the difference
    41
    SC-2022-0564
    between contract and tort causes of action. A breach-of-contract cause of
    action has often been framed as having four elements: a valid contract,
    the plaintiff's performance, the defendant's nonperformance, and
    resulting damages. E.g., Childs v. Pommer, 
    348 So. 3d 379
    , 387 (Ala.
    2021); Barrett v. Radjabi-Mougadam, 
    39 So. 3d 95
    , 98 (Ala. 2009). But
    that is not quite accurate. On a breach-of-contract claim, a plaintiff may
    recover nominal damages; concrete injury is not required. See Knox
    Kershaw, Inc. v. Kershaw, 
    552 So. 2d 126
    , 128 (Ala. 1989); Avis Rent A
    Car Sys., Inc. v. Heilman, 
    876 So. 2d 1111
    , 1120 (Ala. 2003). Thus, proof
    of damages or concrete injury is not actually required for a breach-of-
    contract cause of action and thus cannot be an element. (Of course, if the
    plaintiff wants to recover more than nominal damages, he must prove
    them. But that is different from saying that damages are an element, an
    essential component, of the cause of action.) Thus, in reality, there are
    only three elements of a breach-of-contract cause of action, ending with
    the defendant's nonperformance. Once the plaintiff performs and the
    defendant does not, even if the plaintiff has not received any concrete or
    perceptible injury, all elements are present and the cause of action
    accrues. See Stephens v. Creel, 
    429 So. 2d 278
    , 280-83 (Ala. 1983).
    42
    SC-2022-0564
    In contrast, on tort claims, nominal damages are generally not
    available. See Ex parte Stonebrook Dev., L.L.C., 
    854 So. 2d 584
    , 589 (Ala.
    2003) (quoting Matthews Bros. Constr. Co. v. Stonebrook Dev., L.L.C.,
    
    854 So. 2d 573
    , 578 (Ala. Civ. App. 2001)) (" 'Nominal damages, to
    vindicate a technical right, cannot be recovered in a negligence action,
    where no actual loss has occurred.' "). Thus, damages is a required
    element. Stephens, 
    429 So. 2d at 280
    . And that means that a tort cause
    of action generally accrues only when the plaintiff receives concrete,
    perceptible harm. See 
    id. at 281
    .
    Here is the rub: Legal malpractice can be conceptualized as either
    a contract cause of action or a tort cause of action. See George L. Blum,
    Annotation, When Statute of Limitations Begins to Run on Action
    Against Attorney for Malpractice Based upon Negligence -- View that
    Statute Begins to Run from Time of Occurrence of Negligent Act or
    Omission, 
    11 A.L.R. 6th 1
    , at § 2 (2006) ("[I]n the view of some courts, an
    action to recover for an attorney's malpractice may sound either in
    contract, on the theory that the defendant breached the obligations of his
    or her employment, or in tort, on the theory that the defendant was
    negligent."); id. at § 3 ("Typically, an action for legal malpractice may be
    43
    SC-2022-0564
    brought on contract or tort grounds."); Blanche M. Manning, Legal
    Malpractice: Is It Tort or Contract?, 
    21 Loy. U. Chi. L.J. 741
     (1990); Ex
    parte Watters, 
    212 So. 3d 174
    , 182 (Ala. 2016) ("[T]he issue whether the
    [present legal-malpractice] claim sounds in tort, in contract, or in both
    for that matter, is sharply disputed by the parties."). As a contract cause
    of action, it accrues at the time of breach -- the lawyer's act or omission.
    See Wilcox v. Executors of Plummer, 
    29 U.S. (4 Pet.) 172
    , 182 (1830). As
    a tort cause of action, it accrues at the time of damages -- the client's
    reception of concrete, perceptible harm. Cf. Mylar v. Wilkinson, 
    435 So. 2d 1237
    , 1239 (Ala. 1983); Hall v. Thomas, 
    456 So. 2d 67
     (Ala. 1984).
    Now, if the solution were simply to inspect the complaint to see
    which way the client pleaded the claim, in contract or in tort, there would
    be little cause for consternation. But that easy solution does not exist, at
    least not anymore, because ALSLA says that its newly created omnibus
    cause of action subsumes all previous legal-malpractice causes of action
    in both contract and tort, see §§ 6-5-572(1), 6-5-580. And ALSLA does not
    clearly indicate whether its new omnibus cause of action requires
    damages. Compare § 6-5-572(1) (defining "[l]egal service liability action"
    as "[a]ny action against a legal service provider in which it is alleged that
    44
    SC-2022-0564
    some injury or damage was caused in whole or in part by the legal service
    provider's violation of the standard of care ...." and providing that [a] legal
    service liability action embraces all claims for injuries or damages or
    wrongful death ...." (emphasis added)) and -572(4) (defining "[b]reach of
    the standard of care" as "[t]he failure by a legal service provider to comply
    with the applicable standard of care the breach of which proximately
    causes the injury or damages or wrongful death" (emphasis added)), with
    § 6-5-572(1) (providing that "[a] legal service liability action embraces all
    claims for injuries or damages or wrongful death whether in contract or
    in tort ...." and that "[a] legal services liability action embraces any form
    of action in which a litigant may seek legal redress for a wrong or an
    injury and every legal theory of recovery ...." (emphasis added)). So
    ALSLA does not make clear when its cause of action accrues.
    Faced with this conundrum, I believe that the best solution is to
    look to pre-ALSLA common law's articulation of the elements of a legal-
    malpractice cause of action. Before ALSLA, our most recent cases treated
    legal malpractice as a tort cause of action requiring proof of damages. See
    Tyree v. Hendrix, 
    480 So. 2d 1176
    , 1177 (Ala. 1985); Johnson v. Horne,
    
    500 So. 2d 1024
    , 1026 (Ala. 1986). But see Mardis v. Shackleford, 
    4 Ala. 45
    SC-2022-0564
    493, 506-08 (1842) (older case treating legal-malpractice claim as a
    breach-of-contract cause of action for which proof of damages was not
    required). Moreover, there is much common sense in that damages
    requirement. Without concrete, perceptible harm, the vast majority of
    clients will have no reason to sue their lawyers. Nor, in most
    circumstances, is it clear why courts should be open to adjudicating
    technical breaches of attorney-client contracts that resulted in no harm.
    And given these realities, it makes little sense to require a client to sue
    for a harmless breach within a certain time or forfeit his claim. Instead,
    when it comes to legal malpractice, the modern maxim is apropos: No
    harm, no foul.
    A second cause may lie behind the inconsistency among our legal-
    malpractice accrual cases. It seems that we have not clearly and
    consistently articulated a general theory for when accrual occurs.
    Instead, in each case, we have mainly tracked the arguments of the
    parties regarding when accrual occurred. The problem is that the parties
    have not been motivated by a search for a consistent theory. Rather, they
    have been motivated by one simple fact, determined by basic math: the
    date exactly two years before the action was commenced. Defendants
    46
    SC-2022-0564
    must find a plausible date of accrual before that date. Plaintiffs must find
    a plausible date of accrual after that date. To both sides, it matters little
    which precise event triggered accrual, as long as it is on the right side of
    that date. So if we want a consistent theory for accrual, we cannot depend
    on the parties to work it out for us. Instead, we might find benefit in the
    work of legal scholars who have attempted to frame a coherent theory of
    accrual. See, e.g., Mallen, supra, § 23:25 ("For evaluating [accrual of]
    legal malpractice claims, a ... useful definition of injury is the loss or
    impairment of a right, remedy or interest, or the imposition of a liability.
    These are the spectrum of injuries sustained by clients." (footnote
    omitted)); Ochoa & Wistrich, supra.
    Because the relevance of accrual will survive even if (as I hope) the
    accrual rule of Michael does not, and because the date of accrual will
    often be dispositive under the discovery provision, it is worth this Court's
    effort to work out a coherent theory of accrual of a cause of action for legal
    malpractice. As a starting point, I propose adhering to a tort-based
    requirement of damages and factoring in the impact of subsequent court
    rulings on mid-litigation malpractice.
    III. Conclusion
    47
    SC-2022-0564
    As always, courts' interpretation of a statute must be bound to the
    text. When the meaning is plain, we must not ignore, evade, distort,
    improvise on, modify, or otherwise depart from that meaning. This Court
    has spent a decade departing from the plain meaning of the two-year
    provision of ALSLA's time-bar statute and another two decades
    straddling the divide between that plain meaning and that departing
    interpretation. It is time, in my view, that we rectify those errors and re-
    anchor our jurisprudence to the text.
    48