Freeman Ex Rel. Estate of Vann v. Clarke County , 620 F. App'x 223 ( 2015 )


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  •      Case: 14-60567      Document: 00513105668         Page: 1    Date Filed: 07/07/2015
    IN THE UNITED STATES COURT OF APPEALS
    FOR THE FIFTH CIRCUIT     United States Court of Appeals
    Fifth Circuit
    FILED
    July 7, 2015
    No. 14-60567
    Lyle W. Cayce
    Clerk
    STEVE FREEMAN, as administrator of the estate of Doris Vann, deceased;
    DEBORAH THORNTON, on behalf of the surviving minor children of Doris
    Vann; ATTORNEY JAMES VICTOR DOYLE, JR.,
    Plaintiffs - Appellants
    v.
    CLARKE COUNTY, ET AL
    Defendants
    WIGGINS, CHILDS, QUINN & PANTAZIS, L.L.C.,
    Claimant - Appellee
    Appeal from the United States District Court
    for the Southern District of Mississippi
    USDC No. 4:08-CV-139
    Before DAVIS, JONES, and CLEMENT, Circuit Judges.
    PER CURIAM:*
    In this dispute over the distribution of a contingency fee, James V. Doyle
    Jr., counsel for plaintiffs-appellants, challenges the district court’s allocation
    * Pursuant to 5TH CIR. R. 47.5, the court has determined that this opinion should not
    be published and is not precedent except under the limited circumstances set forth in 5TH
    CIR. R. 47.5.4.
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    of the fee. For the reasons that follow, we hold that the district court did not
    abuse its discretion in awarding seventy-one percent of the fee to the
    substituted law firm and twenty-nine percent to Doyle.
    FACTS AND PROCEEDINGS
    A. Factual and Procedural Background
    The case underlying this appeal involved the death of inmate Doris Vann
    while she was in custody at the Clarke County Jail in Quitman, Mississippi.
    Vann’s estate and minor children hired the law firm of Thompson, Thompson
    & Winters to represent them in their Section 1983 claim against Clark County
    and Mary McClendon (the administrator of the Clark County Jail).            The
    plaintiffs agreed that their attorneys would receive fifty percent of the “gross
    recovery obtained” as well as expenses. The case was transferred to the law
    firm of Wiggins, Childs, Quinn & Pantazis, LLC (“WCQP”) under the same
    contingency agreement.
    Doyle was employed by WCQP as a salaried associate beginning on April
    9, 2007.   The Vann case was assigned to him despite having little or no
    experience with prison death litigation. Samuel Fisher, a partner at WCQP,
    also worked on the case. Fisher was litigating a prison death case when Vann’s
    case was referred to WCQP and thus had some level of expertise in the area.
    WCQP filed a complaint in the United States District Court for the
    Southern District of Mississippi on November 26, 2008. McLendon filed a
    motion to stay pending discovery related to her qualified immunity defense.
    The parties engaged in discovery related to qualified immunity. McLendon
    filed a motion for summary judgment on February 19, 2010. WCQP responded
    on March 19, 2010.
    2
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    Doyle left WCQP on April 23, 2010, to start his own firm and took the
    Vann case with him. On June 11, 2010, Fisher filed a motion to withdraw from
    the case and, the same day, Fisher and WCQP filed a “Notice of Attorney’s
    Charging Lien” asserting a “claim to proceeds for services, costs and monies
    rendered.”
    On October 4, 2010, Doyle participated in mediation that resulted in a
    settlement between the parties. The parties settled for $700,000. After the
    settlement an estate was opened for the decedent in Choctaw County,
    Alabama, Probate Court. The Probate Court approved the settlement as well
    as the contingency fee, granting $350,000 to plaintiffs’ counsel.
    WCQP filed a motion to enforce the attorney’s lien on January 18, 2011
    in the District Court for the Southern District of Mississippi. The same day,
    Doyle filed a response and a cross-motion to enforce the settlement agreement.
    Doyle filed a motion to dismiss WCQP’s motion to enforce the attorney’s lien
    on February 2, 2011.
    B. District Court Opinion
    The district court ruled that 
    42 U.S.C. § 1988
     controls the award of fees
    in Section 1983 cases such as this one.        It affirmed the Probate Court’s
    determination that the fifty percent contingency fee was reasonable. The
    district court then considered how to apportion the contingency fee between
    WCQP and Doyle, stating that Section 1988 does not directly deal with the
    apportionment of contingency fees and, therefore, “this court reasons that in
    its search for judicial harmony and fairness here, this court is not chained to
    the § 1988 structure of fee determination, but may freely adopt it or reject its
    approach in favor of some other appropriate formula.”
    3
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    WCQP originally alleged that it was owed $140,700, as calculated by the
    lodestar method. 1 WCQP subsequently argued that the lodestar method is
    problematic here because Doyle failed to keep track of the time he spent
    working on the case while at WCQP and, thus, any lodestar calculation using
    WCQP’s hours would necessarily underpay the firm. WCQP now argues that
    the distribution should be in proportion to the time and services provided. It
    calculates that it is entitled to seventy-three percent of the attorney’s fees
    under this measure, a total of $255,500. Doyle argues that the lodestar method
    should be used and calculates WCQP’s fees at $52,334.50 and costs at
    $5,910.15, with the remainder of the $350,000 awarded to him. 2
    The district court first applied Mississippi choice of law rules to
    determine which state’s substantive law to apply—given its holding that
    Section 1988 does not apply to apportioning fees. Mississippi employs a seven
    factor “center of gravity” test for choice of law determinations. See Boardman
    v. United Servs. Automobile Ass’n., 
    470 So. 2d 1024
    , 1031, 1033 (Miss. 1985).
    After reviewing these factors, the district court held that Alabama law applied.
    The court decided that under Alabama law a lawyer cannot recover on a
    contingency contract if the legal service is not performed to fruition, but may
    recover under quantum meruit for services rendered. See Gamble v. Corley,
    Moncus & Ward, P.C., 
    723 So. 2d 627
     (Ala. 1998)).
    1  The lodestar method requires determining the “reasonable number of hours
    expended on the litigation and the reasonable hourly rates for the participating lawyers” and
    then multiplying the two. La. Power & Light Co. v. Kellstrom, 
    50 F.3d 319
    , 324 (5th Cir.
    1995).
    2 As explained below, Doyle’s position is not actually consistent with a lodestar
    calculation.
    4
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    To determine the proper quantum meruit fee, the district court applied
    Alabama’s non-exhaustive eleven factor test for determining reasonable
    attorney’s fees. See Peebles v. Miley, 
    439 So. 2d 137
     (Ala. 1983). Based on a
    careful consideration of these factors, the court divided the fee in proportion to
    the number of hours WCQP and Doyle worked on the case before settlement.
    The court concluded that WCQP worked seventy-one percent of the hours and
    Doyle worked twenty-nine percent of the hours.             The court awarded
    $241,728.79 in fees and $6,913.91 in costs to WCQP and $98,734.30 in fees and
    $2,623.00 in costs to Doyle. Doyle timely appealed this determination.
    STANDARD OF REVIEW
    Questions of jurisdiction are reviewed de novo.            In re Chinese
    Manufactured Drywall Products Liab. Litig., 
    742 F.3d 576
    , 584 (5th Cir. 2014).
    The district court’s choice of law determination is reviewed de novo. Nat’l
    Union Fire Ins. Co. of Pittsburgh, Pa. v. Am. Eurocopter Corp., 
    692 F.3d 405
    ,
    408 (5th Cir. 2012). “We review a district court’s award of attorney’s fees for
    an abuse of discretion . . . and we accept the factual findings upon which the
    district court bases its award . . . unless they are clearly erroneous.” Brady v.
    Fort Bend Cnty., 
    145 F.3d 691
    , 716 (5th Cir. 1998) (internal citations omitted).
    This applies equally when attorney’s fees are paid out of a contingency fee. See
    Cappel v. Adams, 
    434 F.2d 1278
    , 1279–80 (5th Cir. 1970).
    DISCUSSION
    A. Jurisdiction
    Doyle argues, unpersuasively, that the district court lacked jurisdiction
    because “[WCQP] was not a party to the underlying lawsuit” and it withdrew
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    from representing the plaintiffs. Doyle’s argument does not cite the relevant
    statute, 
    28 U.S.C. § 1367
    , which provides:
    in any civil action of which the district courts have original
    jurisdiction, the district courts shall have supplemental
    jurisdiction over all other claims that are so related to claims in
    the action within such original jurisdiction that they form part of
    the same case or controversy under Article III of the United States
    Constitution.
    
    28 U.S.C. § 1367
    (a).
    This supplemental jurisdiction has a long history in this circuit. In 1945
    we held that, if an attorney does not receive fair compensation following
    substitution, then “the court may preserve any liens the law may give the
    attorney on papers in his hands and the proceeds of the suit.” Doggett v.
    Deauville Corp., 
    148 F.2d 881
    , 883 (5th Cir. 1945); see also Broughten v. Voss,
    
    634 F.2d 880
    , 883 (5th Cir. 1981) (stating “[i]f, upon withdrawal, counsel is
    unable to secure payment for his services, the court may assume jurisdiction
    over a claim based on a charging lien over the proceeds of the lawsuit.”).
    Moreover, Doyle’s argument that the district court lacked jurisdiction over this
    dispute because fee disputes are the exclusive purview of a jury is waived as a
    result of not being raised below. 3 The district court had jurisdiction over
    WCQP’s motion.
    B. The Choice of Alabama Law
    3 We have carefully reviewed the record and found no instance of Doyle requesting a
    jury trial, except as to the underlying prison death case. Doyle appears to have first
    mentioned a jury trial following the district court’s division of the fee in two parentheticals
    to case citations in his Rule 60(b) motion. Further, despite WCQP’s argument in its response
    brief that the issue was not raised, Doyle offers no record citations, in either of his briefs,
    showing that he ever requested a jury trial.
    6
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    We agree with the district court’s choice of law determination. Doyle
    argues that because the Section 1983 claim occurred in Mississippi, any issue
    concerning attorney’s fees under Section 1988 is governed by Mississippi law.
    This ignores the district court’s well-reasoned conclusion that Section 1988 did
    not apply once the Probate Court determined that the “part of the settlement
    which addresses attorneys’ fees” was reasonable. 
    42 U.S.C. § 1988
    (b) states
    that “the court, in its discretion, may allow the prevailing party, other than the
    United States, a reasonable attorney’s fee.” The Supreme Court has held that:
    § 1988 controls what the losing defendant must pay, not what the
    prevailing plaintiff must pay his lawyer. What a plaintiff may be
    bound to pay and what an attorney is free to collect under a fee
    agreement are not necessarily measured by the “reasonable
    attorney’s fee” that a defendant must pay pursuant to a court
    order. Section 1988 itself does not interfere with the enforceability
    of a contingent-fee contract.
    Venegas v. Mitchell, 
    495 U.S. 82
    , 90 (1990) (emphasis added).
    The plaintiffs paid fifty percent of their $700,000 award as attorney’s
    fees pursuant to the original contingency agreement. This generous payment,
    like the payment in Venegas, was based upon an agreement between plaintiffs
    and their attorneys, not a determination by the court about what defendants
    must pay plaintiffs’ counsel. Section 1988 does not control. See 
    id.
    Thus, we must perform a choice of law analysis, the first step of which is
    to determine whether the law at issue is procedural or substantive.           See
    Nationwide Mut. Ins. Co. v. Tillman, 
    161 So. 2d 604
    , 613 (Miss. 1964) (holding
    that Mississippi will apply the substantive law of the state where the cause of
    action arose but its own rules of procedure). Mississippi considers the award
    of attorney’s fees procedural and contract questions substantive. Sentinel
    Indus. Contracting Corp. v. Kimmins Indus. Serv. Corp., 
    743 So. 2d 954
    , 959–
    7
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    60 (Miss. 1999). We agree with the district court that this is a contract dispute
    between the parties. Attorney’s fees are awarded when “a statute or other
    authority so provides.” 
    Id. at 971
    . This is not a case about whether attorney’s
    fees should be awarded. It is a contractual dispute between two attorneys over
    how to divide a contingency fee, and no longer involves the interests of the
    client or the defendants.          Thus, the issue is substantive and we turn to
    Mississippi’s choice of law rules regarding substantive questions.
    Mississippi applies the “center of gravity” test when determining which
    state’s law to apply to a substantive question. Sheppard Pratt Physicians, P.A.
    v. Sakwa, 
    725 So. 2d 755
    , 757 (Miss. 1998) (quoting Restatement (Second) of
    Conflict of Laws § 188 (1971)). The center of gravity test has seven factors. 4
    Boardman, 470 So. 2nd at 1033. In contract disputes, Section 188 of the
    Restatement contains five additional factors. 5 Id. at 1032. Here, we hold that
    the Section 188 factors necessitate the application of Alabama law.
    Many factors support this decision. The contingency agreement was
    negotiated and signed in Alabama. WCQP is based in Alabama. Doyle is
    located in Alabama. The bulk of the legal work performed by WCQP and Doyle
    occurred in Alabama. The estate was probated in Choctaw County, Alabama.
    The attorneys initially argued in their filings that Alabama law applied and
    4  These factors are: (1) the needs of the interstate and international systems; (2) the
    relevant policies of the forum; (3) the relevant policies of other interested states and the
    relative interests of those states in the determination of a particular issue; (4) the protection
    of justified expectations; (5) the basic policies underlying the particular field of law; (6) the
    certainty, predictability and uniformity of result; and (7) the ease of determination in
    application of the law to be applied.
    5 These factors are: (1) the place of contracting; (2) the place of negotiating the
    contract; (3) the place of performance; (4) the location of the subject matter of the contract;
    and (5) the domicile, residence, nationality, place of incorporation and place of business of
    the parties.
    8
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    thus expected that the court would employ Alabama law. Alabama has an
    interest in the outcome of a case involving its attorneys.                   Countervailing
    factors—the attorney’s subsequent discussion of Mississippi law and the fact
    that the defendants’ malfeasance occurred in Mississippi—do not shift the
    balance in favor of applying Mississippi law. On the whole, applying the
    various Restatement factors and weighing them appropriately according to the
    facts, Alabama law applies.
    C. Division of the Contingency Fee
    The remainder of Doyle’s claims challenge the district court’s
    apportionment of the contingency fee between the parties under Alabama law.
    Specifically, Doyle contends that the district court erred in “altering the
    contractual terms of plaintiffs’ written employment agreement,” not using the
    lodestar methodology to calculate WCQP’s fees, misapplying Alabama’s
    quantum meruit law, and not paying WCQP from gross settlement proceeds.
    We consider these arguments unpersuasive and hold that the district court’s
    division of the contingency fee was not an abuse of discretion.
    Alabama allows a discharged attorney to recover reasonable
    compensation for work performed before discharge, including in cases with
    contingency fees. Owens v. Bolt, 
    2118 So. 590
    , 594 (Ala. 1928). Alabama
    employs a flexible multi-factor test when determining attorney’s fees under a
    quantum meruit recovery theory. Triplett v. Elliott, 
    590 So. 2d 908
    , 910 (Ala.
    1991) (citing the multi-factor test in Peebles, 
    439 So. 2d 137
    ). 6 The district
    6 The twelve factors are: “(1) the nature and value of the subject matter of the
    employment; (2) the learning, skill, and labor requisite to its proper discharge; (3) the time
    consumed; (4) the professional experience and reputation of the attorney; (5) the weight of
    his responsibilities; (6) the measure of success achieved; (7) the reasonable expenses incurred;
    (8) whether a fee is fixed or contingent; (9) the nature and length of a professional
    9
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    court started its analysis of the Peebles factors by examining the time
    consumed by each party. Peebles, 
    439 So. 2d at 141
     (stating that “the first
    yardstick . . . is the time consumed.”).
    WCQP submitted hours for four attorneys, including one partner, Fisher
    (billed at $550/hour), two associates, including Doyle (billed at $300/hour and
    $275/hour), and one paralegal (billed at $125/hour). Doyle and Fisher worked
    139.96 and 117.75 hours, respectively, and the firm worked a total of 384.58
    hours. The bill for these hours was $140,700. However, WCQP argues that
    the 331.88 hours it worked on the case prior to settlement represent seventy-
    three percent of the work performed on the case before settlement and thus
    should result in payment of seventy-three percent of the contingency,
    $255,500, less expenses.
    Doyle argues that WCQP actually performed 239.36 hours of
    attributable work. He further argues that the billing rates are excessive and
    that the court should apply the rates of $250/hour for partners, $200/hour for
    associates, $100/hour for paralegal work, and $50/hour for investigative work,
    based on the district court’s recent use of those rates in Alexander v. City of
    Jackson, Miss., 
    2011 WL 1059293
    , at *14 (S.D. Miss. Mar. 21, 2011) aff’d, 456
    F. App’x 397 (5th Cir. 2011). He also argues that the paralegal work should be
    classified as investigative. Using those rates and multiplying them by the
    lower total number of hours worked, Doyle concludes that WCQP should
    relationship; (10) the fee customarily charged in the locality for similar legal services; (11)
    the likelihood that a particular employment may preclude other employment; and (12) the
    time limitations imposed by the client or by the circumstances. Of course, not all of the
    criteria will be applicable.” Van Schaack v. AmSouth Bank, N.A., 
    530 So. 2d 740
    , 749 (Ala.
    1988)
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    receive $52,334.50, 7 and that the remainder of the contingency fee should be
    paid to him. 8
    The district court determined the distribution of the contingency fee not
    by applying a pure lodestar analysis, but by considering each party’s “relative
    contribution to the outcome” of the underlying suit and the Peebles factors. The
    district court considered that Fisher and WCQP had more experience than
    Doyle in litigating Section 1983 prison death cases and that their work was “of
    greater value to bringing this suit to resolution.” Following from this, the
    district court also found that Doyle’s work after leaving WCQP primarily
    involved speaking to “opposing attorneys, the mediator, and his clients” and
    that this work did not “appreciably alter[ ] the posture and strength of his
    client’s case after the discharge of WCQP.”
    The court also noted that the use of the lodestar method is problematic
    when dividing a contingency fee among counsel (as opposed to determining the
    total amount of fees owed). The issue is that were the court to use a lodestar
    calculation for one party, the other party would receive the remainder of the
    contingency: remuneration far in excess of their lodestar calculation. For
    example, if the court accepted Doyle’s original calculations, WCQP would
    receive $52,334.50 and then Doyle would receive the remaining $297,665.50
    (minus expenses) for performing, at most, 259.25 hours of work after he left
    WCQP, an hourly rate of over $1,100, even though Doyle himself objects to
    7  Doyle filed notice of supplemental authority and adjusted this number downward to
    $46,344.50. He then filed a response to WCQP’s motion to supplement and adjusted the
    lodestar payment due to WCQP to $32,954.50.
    8 Doyle does not reconcile the fact that applying the same calculation he applied to
    WCQP to his work—259.25 hours x $250/hour (the partner billing rate)—would result in a
    lodestar amount of $64,813, approximately one-fourth the amount he requests on appeal.
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    Fisher’s $550 hourly rate as excessive. Basically, the lodestar method cannot
    be applied to the division of a contingency fee because the amount to be
    distributed is fixed.
    Based on this analysis the court calculated the division of the
    contingency as follows. It paid Doyle and WCQP their claimed expenses,
    $2,623.00 and $6,913.91, respectively. This left $340,463.09. The court then
    calculated the total hours worked on the case by everyone from inception to
    settlement. It found that WCQP worked 306.88 hours on the case while Doyle
    worked 123 hours on the case after leaving WCQP. 9                      Represented as a
    percentage, WCQP worked seventy-one percent of the hours and Doyle worked
    twenty-nine percent of them. Thus the court apportioned the contingency in
    proportion to the hours worked, which resulted in WCQP receiving
    $241,728.79 and Doyle receiving $98,734.30. Due to rounding, WCQP was paid
    $787.70 an hour and Doyle was paid $802.72 an hour.                          This division,
    determined by applying the relevant factors under Alabama Law, was not an
    abuse of discretion.
    The other issues Doyle raises on appeal do not render this division of the
    contingency fee an abuse of discretion.             The court also notes that Doyle’s
    suggestion that attorney’s fees should be paid to WCQP from the gross
    9 The district court’s 123 hour determination appears generous. Doyle engaged the
    non-standard practice of billing his time in quarter-hour increments. Many of his quarter-
    hour time entries were for sending e-mails and making phone calls. His hours could have
    been reduced for this reason. See Welch v. Metro. Life Ins. Co., 
    480 F.3d 942
    , 948–49 (9th
    Cir. 2007) (reducing attorney’s alleged hours by twenty percent when the records were
    “replete with quarter-hour or half-hour charges for the drafting of letters, telephone calls,
    and intra-office conferences” that “likely took a fraction of the time”); Ingalls Shipbuilding,
    Inc. v. Dir., 
    46 F.3d 66
     (5th Cir. 1995) (table opinion) (text available 
    1995 WL 29263
    , at *4)
    (remanding for a recalculation of the fees without quarter-hour minimum billing).
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    settlement proceeds, rather than the contingency fee, thus reducing the
    amount his clients receive, is inconsistent with the spirit of the attorney-client
    relationship and not supported by authority.
    CONCLUSION
    We hold that the district court had jurisdiction over this case and did not
    err in applying Alabama law. We also hold that the district court carefully
    explained why it distributed seventy-one percent of the contingency fee to
    WCQP and twenty-nine percent to Doyle, and that this division was not an
    abuse of discretion. The district court judgment is AFFIRMED.
    13