Carachure v. Scott CA4/2 ( 2016 )


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  • Filed 6/10/16 Carachure v. Scott CA4/2
    NOT TO BE PUBLISHED IN OFFICIAL REPORTS
    California Rules of Court, rule 8.1115(a), prohibits courts and parties from citing or relying on opinions not certified for
    publication or ordered published, except as specified by rule 8.1115(b). This opinion has not been certified for publication
    or ordered published for purposes of rule 8.1115.
    IN THE COURT OF APPEAL OF THE STATE OF CALIFORNIA
    FOURTH APPELLATE DISTRICT
    DIVISION TWO
    MARIA CARACHURE,
    Plaintiff and Appellant,                                       E063780
    v.                                                                      (Super.Ct.No. RIC1309555)
    CELIA ACOSTA SCOTT,                                                     OPINION
    Defendant and Respondent.
    APPEAL from the Superior Court of Riverside County. John W. Vineyard, Judge.
    Reversed.
    Avrek Law Firm, Maryam Parman; Bisnar ǀ Chase, Brian D. Chase and H. Gavin
    Long for Plaintiff and Appellant.
    Demler, Armstrong & Rowland, Robert W. Armstrong, David A. Ring; Greines,
    Martin, Stein & Richland, Robert A. Olson and David E. Hackett for Defendant and
    Respondent.
    1
    INTRODUCTION
    Plaintiff and appellant Maria Carachure appeals from a summary judgment in her
    personal injury suit against defendant and respondent Celia Acosta Scott. Carachure
    alleged that Scott struck her with her automobile, causing severe physical injuries,
    including traumatic brain damage, as well as emotional distress. Scott’s answer to the
    operative first amended complaint alleged that the parties entered into an enforceable
    prefiling settlement agreement. She then filed a motion for summary judgment, asserting
    undisputed evidence that the parties entered into an enforceable agreement to settle
    Carachure’s claim for the $15,000 limit under Scott’s automobile insurance policy.1
    Carachure now contends that Scott did not meet her burden to demonstrate (1) that
    Carachure had the capacity to enter into a contract; (2) that she actually consented to the
    settlement agreement; and (3) that the terms of the purported settlement agreement were
    sufficiently clear as to constitute a binding agreement.
    We conclude that there is a triable issue of fact as to whether Carachure actually
    assented to the settlement. Consequently, we will reverse the judgment.
    FACTUAL BACKGROUND
    As alleged in the operative first amended complaint, Carachure was severely
    injured on or about August 21, 2011, when Scott’s car struck her while she was standing
    on the side of a road. Carachure’s injuries included injuries to her “brain, body, nervous
    1  Carachure’s son, grandson and granddaughter are also plaintiffs in the lawsuit,
    alleging that they suffered emotional distress as a result of witnessing the accident. The
    summary judgment motion was brought as to Carachure’s claim only. Accordingly, the
    remaining plaintiffs are not parties to this appeal.
    2
    system, and person.” The other plaintiffs are children, closely related to Carachure, who
    witnessed the accident and suffered severe emotional distress as a result.
    On October 12, 2011, Maryam Parman, an attorney with the Avrek Law Firm,
    wrote to Scott’s insurer, Safeco Insurance (Safeco), to inform Safeco that her firm had
    been retained by Carachure and the other plaintiffs with respect to the accident. On
    October 14, 2011, Parman wrote to Safeco demanding settlement of Carachure’s claim
    for Scott’s policy limit of $15,000 and the joint settlement of the other plaintiffs’ claims
    for the policy limit of $15,000. In that letter, Parman stated that the accident caused
    severe and permanent injuries to Carachure and that she was then hospitalized in the
    neurological unit of San Bernardino Community Hospital. The settlement offer included
    the following conditions: (1) Safeco to furnish a complete copy of the insurance policy
    of the driver and vehicle owner; (2) Safeco to notify the plaintiffs of the policy limits and
    Safeco’s acceptance of the offer prior to a specified date and time; (3) a prompt exchange
    of the settlement draft for the release of all claims; and (4) a declaration signed by
    Safeco’s insured regarding additional insurance coverage and agency.
    Safeco agreed to settle Carachure’s claim for $15,000, but asked for additional
    time to investigate the claims of the other plaintiffs, in that the police report did not list
    them as witnesses to the accident. On October 21, 2011, Safeco’s adjuster emailed the
    law firm’s office manager, confirming a telephone conversation in which, he said, they
    had agreed to settle Carachure’s claim for $15,000. He asked that the law firm provide
    declarations “of no other insurance and not in course of employment agency [sic]” for
    him to have Scott sign. He again asked for 30 days to respond to the demand on behalf of
    3
    the other plaintiffs. On the same date, the office manager responded, “The following is a
    copy of the Policy Declaration for your insured to sign. Also, please forward the
    settlement draft along with the Release of All Claims as soon as possible.”
    Further correspondence concerning various documents to be signed by the parties,
    including a revised release of claims, ensued. On February 23, 2012, the law firm’s
    office manager emailed Safeco, stating that she would have the attorney review the
    revised release that Safeco had provided. On March 29, 2012, Safeco wrote a letter
    confirming that the office manager had told him that the other plaintiffs would not be
    pursuing their claims and asking about the status of the release. After further
    correspondence, the office manager informed Safeco on June 20, 2012, that the client
    “finally agreed to sign the release,” and that they should have it by the following week.
    On July 11, 2012, August 15, 2012, and August 24, 2012, Safeco’s adjuster again
    inquired about the status of the release. He also asked if the law firm had “clarified the
    issue” as to whether the other plaintiffs would be pursuing claims.
    On September 18, 2012, the attorney wrote to Safeco, restating the demand for
    settlement for the total policy limit of $30,000, specifying that $15,000 was to be paid to
    Carachure and $15,000 to the other plaintiffs and specifying other requirements. On
    September 26, 2012, Safeco responded that it had already provided the requested
    documents and asked for Carachure’s release and a Medicare compliance form as a
    prerequisite to issuance of the settlement check for Carachure’s claim. The letter stated
    that it could assess the claim of one of the other plaintiffs upon receipt of medical
    documentation supporting his claim of emotional distress, but that it could not assess the
    4
    claims of the remaining two plaintiffs as there was no evidence that they had witnessed
    the accident.
    On November 5, 2012, the attorney informed Safeco that the demand had expired
    on September 27, 2012, and that Safeco’s failure to comply with the terms of the demand
    was evidence of bad faith insurance practices. On August 15, 2013, the original
    complaint was filed, and on August 23, 2013, the court issued an order appointing a
    guardian ad litem for Carachure. The first amended complaint was filed on June 16,
    2014.
    LEGAL ANALYSIS
    In reviewing a grant of summary judgment, “we independently examine the record
    in order to determine whether triable issues of fact exist to reinstate the action.” (Wiener
    v. Southcoast Childcare Centers, Inc. (2004) 
    32 Cal.4th 1138
    , 1142.) A defendant
    moving for summary judgment has the initial burden to make a prima facie showing—in
    this case, to show the existence of an enforceable settlement agreement. If the defendant
    makes that showing, the burden shifts to the plaintiff to show a triable issue of fact.
    (Ibid.) In performing our review, we view the evidence in the light most favorable to the
    plaintiff as the losing party. We liberally construe the plaintiff’s evidentiary submissions
    and strictly scrutinize the defendant’s own evidence, in order to resolve any evidentiary
    doubts or ambiguities in the plaintiff’s favor. (Ibid.)
    “‘A settlement agreement is a contract, and the legal principles [that] apply to
    contracts generally apply to settlement contracts.’ [Citation.] Its validity is thus ‘judged
    by the same legal principles applicable to contracts generally.’ [Citations.] Defendants
    5
    therefore had the burden of establishing each contractual element—parties who are
    capable of entering into contract, their mutual consent, a lawful object, and sufficient
    cause or consideration [citations]—in support of their motion.” (Stewart v. Preston
    Pipeline Inc. (2005) 
    134 Cal.App.4th 1565
    , 1585-1586.) As noted above, Carachure
    contends on three grounds that Scott failed to meet her burden to demonstrate that the
    parties entered into a binding contract.
    1. Capacity to Contract.
    Carachure argues that in order to prevail on the contention that she and Scott
    entered into a binding settlement agreement, Scott had the burden to prove that Carachure
    had the legal capacity to enter into a contract. She states that before the summary
    judgment motion was filed, Scott “was on notice that Ms. Carachure was suffering from a
    traumatic brain injury and that her action was being prosecuted through a guardian ad
    litem . . . if not before in the presentation of records to Safeco Insurance as a part of the
    negotiations and adjusting the claim. Therefore, Ms. Scott was well aware that she
    needed to address Ms. Carachure’s capacity in trying to establish the creation of an
    enforceable settlement agreement. [¶] [However,] Ms. Scott produced no evidence on
    this issue.” For this reason, she contends that the burden to produce evidence of her lack
    of capacity never shifted to her. We disagree.
    There is a rebuttable presumption, affecting the burden of proof, that a person is
    legally capable of entering into a contract. (Prob. Code, §§ 810, subd. (a), 811, subd. (a);
    Civ. Code, § 1556 [“All persons are capable of contracting, except . . . persons of
    unsound mind . . .”].) Scott contends that she was entitled to the benefit of that
    6
    presumption in her motion for summary judgment and that she was not required to
    proffer any evidence that Carachure was legally capable of entering into a contract in
    order to prevail on the motion. Carachure argues that Scott is not entitled to rely on that
    presumption because she did not allege Carachure’s capacity in her answer to the
    complaint or assert it in her statement of undisputed facts.
    The effect of a presumption affecting the burden of proof is to impose on the
    adverse party the burden of proof as to the nonexistence of the presumed fact. (Evid.
    Code, § 606.) Accordingly, a relevant presumption affecting the burden of proof may
    support a summary judgment if the opposing party fails to produce any evidence to
    controvert the presumption. (Security Pacific National Bank v. Associated Motor Sales
    (1980) 
    106 Cal.App.3d 171
    , 180; see Blackwell v. Vasilas (2016) 
    244 Cal.App.4th 160
    ,
    169-173 [defendant employer failed to refute presumption provided in Lab. Code,
    § 2750.5 that worker performing services for which a license is required pursuant to the
    Contractors’ State License Law is an employee rather than an independent contractor;
    hence, summary judgment motion failed].) Here, Scott was entitled to rely on the
    presumption of capacity and had no burden to make a prima facie showing that Carachure
    had the legal capacity to enter into a contract. On the contrary, the burden was on
    Carachure to provide evidence to refute the presumption.
    Carachure attempted to meet that burden, but failed to do so. The only evidence
    she provided in support of the contention that she lacked the capacity to enter into a
    settlement agreement is the declaration of her attorney, stating that Carachure suffered
    traumatic brain injury in the accident and that her mental capacity was gravely affected
    7
    by that injury. The declaration states that the attorney “believe[s]” that Carachure lacks
    legal capacity, and “that is why this case is being litigated through a guardian ad litem.”
    The trial court sustained Scott’s objection to the declaration as lacking foundation for the
    attorney’s opinion.2
    Carachure argues that Scott did have the burden to provide evidence of
    Carachure’s capacity because Scott was aware that Carachure suffered traumatic brain
    injury in the accident. She cites her attorney’s settlement demand letter to Safeco, dated
    October 14, 2011, and medical records provided to Safeco that showed that Carachure
    suffered traumatic brain injury in the accident. The medical records are not contained in
    the record on appeal, but even if they were, we disagree that this is sufficient either to
    place the burden of proving Carachure’s legal capacity on Scott or to discharge
    Carachure’s burden to refute the presumption of capacity.
    Carachure also assumes that traumatic brain injury necessarily renders a person
    not competent to enter into a contract. This is not the case. A person has the power to
    make a contract unless she is of “unsound mind,” i.e., “entirely without understanding.”
    (Civ. Code, §§ 38, 1557.) A determination that a person is of unsound mind or lacks the
    capacity to contract requires evidence of a deficit in at least one of many enumerated
    functions and evidence of a correlation between the deficit or deficits and the decision or
    2  Carachure does not contend that the trial court erred by sustaining the objection
    to her attorney’s declaration. She does argue that the purpose of the declaration was not
    to prove that she lacked capacity to enter into a contract but rather to show her attorney’s
    state of mind, i.e., to explain why the attorney believed she did not have the authority to
    bind Carachure to the settlement agreement. This is not relevant to her contention that
    Scott failed to meet her burden on the question of Carachure’s capacity.
    8
    act in question. (Prob. Code, § 811, subd. (a).) The mere diagnosis of a mental or
    physical disorder is not sufficient, in and of itself, to support a determination that a
    person is of unsound mind or lacks the capacity to do the act in question. (Prob. Code,
    § 811, subd. (d).) Here, although there is some evidence that Carachure had a diagnosis
    of traumatic brain injury in 2011, the evidence does not show that the injury rendered her
    incapable of contracting. Traumatic brain injury can be mild, moderate or severe, and its
    effects can be transitory or long-lasting. (Centers for Disease Control and Prevention
    Web site at  [as of June
    10, 2016].) Accordingly, the mere fact that Carachure was diagnosed with traumatic
    brain injury does not support the conclusion that her injury was so severe as to render her
    incapacitated for purposes of entering into a contract.
    Carachure also argues that the fact that the trial court appointed a guardian ad
    litem on August 23, 2013, after the complaint was filed, demonstrates her lack of legal
    capacity to enter into a contract. Code of Civil Procedure section 372, subdivision (a)(1),
    provides that a court may appoint a guardian ad litem for a litigant “who lacks legal
    capacity to make decisions.” Accordingly, the trial court’s appointment of a guardian ad
    litem is clearly sufficient to show that as of August 23, 2013, Carachure lacked the
    capacity to “make decisions” in connection with entering into a contract. (Ibid.) It is not,
    however, sufficient to show a triable question of fact as to whether she was competent
    two years earlier, when the original settlement demand was issued. The record on appeal
    does not contain any evidence presented to the court in support of the application for
    appointment of a guardian ad litem, or any other evidence that might demonstrate that
    9
    Carachure was incapacitated two years earlier, when the parties began their settlement
    discussions. In the absence of such evidence, we must assume that it is possible that in
    the two intervening years, her condition deteriorated to the point where she lacked the
    capacity to make decisions or that some other illness or injury caused her to lose the
    capacity to contract.
    2. Scott Failed to Make a Prima Facie Showing That Carachure Personally
    Agreed to a Settlement.
    Next, Carachure contends that Scott failed to make a prima facie showing that she
    actually consented to be bound by the alleged settlement agreement because Scott failed
    to present evidence that Carachure’s attorney was authorized to enter into a settlement on
    her behalf. Here, we agree.
    In her summary judgment motion, Scott relied exclusively on the correspondence
    exchanged between the Avrek Law Firm and Safeco to establish that Carachure entered
    into a binding settlement agreement. Scott asserts that there is a presumption that an
    attorney is authorized to settle on a client’s behalf and that the correspondence is
    sufficient to amount to apparent authority on the part of the attorney to settle the claim on
    Carachure’s behalf. However, in Blanton v. Womancare, Inc. (1985) 
    38 Cal.3d 396
    , 404-
    408 (Blanton), the California Supreme Court made it clear that with respect to actions
    that compromise a client’s substantial rights, including the settlement of a claim, there is
    no such presumption, and that an attorney has no apparent authority to settle a claim
    “merely by virtue of his employment as such.” (Id. at p. 407.) On the contrary, an
    attorney is not authorized, “merely by virtue of his retention in litigation, to ‘impair the
    10
    client’s substantial rights or the cause of action itself.’ [Citation.]” (Id. at p. 404.)
    Rather, “‘[T]he law is well settled that an attorney must be specifically authorized to
    settle and compromise a claim, that merely on the basis of his employment he has no
    implied or ostensible authority to bind his client to a compromise settlement of pending
    litigation. [Citations.]’” (Ibid; accord, Levy v. Superior Court (1995) 
    10 Cal.4th 578
    ,
    583 [settlement is “such a serious step that it requires the client’s knowledge and express
    consent”].) Moreover, “when it comes to such a substantial matter as compromise of an
    action, ‘a person dealing with an attorney, as dealing with any agent, must ascertain
    whether the agent has authority to do the purported act and assumes the risk if in fact the
    agent has no such authority.’ [Citations.]” (Blanton, at p. 406.) Here, there is nothing in
    the correspondence Scott relied upon that emanated from Carachure herself stating that
    the Avrek Law Firm was authorized to act on her behalf. The law firm’s own assertion
    that it was acting with Carachure’s authority to settle the lawsuit is not sufficient to shift
    the burden to Carachure to produce evidence that she did not assent.3
    Nor is the fact that Carachure never disavowed the settlement agreement sufficient
    to shift the burden, as Scott contends. There is no presumption that a person knows that
    an attorney is purporting to act with her consent to settle a claim. In the absence of any
    evidence that Carachure did know about the settlement agreement, the burden cannot
    shift to Carachure to demonstrate that she disavowed it.
    3  Although in Blanton the stipulation for binding arbitration was entered into in
    direct opposition to the client’s wishes, as Scott states (Blanton, supra, 38 Cal.3d at
    p. 405, fn. 8), that fact was in no way essential to the court’s holding.
    11
    We also reject Scott’s contention that Carachure ratified the settlement agreement.
    As a general proposition, the authority of an attorney to bind a client by agreement is
    governed by the principles of agency. (Blanton, supra, 38 Cal.3d at p. 403.) Consistent
    with those principles, “unauthorized acts of an attorney may be binding upon his client
    through ratification [citation].” (Id. at p. 408.) “‘Ratification is the voluntary election by
    a person to adopt in some manner as his own an act which was purportedly done on his
    behalf by another person, the effect of which, as to some or all persons, is to treat the act
    as if originally authorized by him. [Citations.]’” (Estate of Stephens (2002) 
    28 Cal.4th 665
    , 673.) Knowledge of the material facts is an essential requirement of ratification.
    (Rakestraw v. Rodrigues (1972) 
    8 Cal.3d 67
    , 74.) All of the cases cited by Scott
    recognize that a person may be found to have ratified the act of an attorney or other agent
    only if there is evidence that the person actually knew of the act. As we have discussed,
    Scott did not produce any evidence that Carachure knew about the correspondence
    between the law firm and Safeco or about the proposed settlement. In the absence of
    such evidence, she cannot be said to have ratified it.
    We acknowledge Scott’s argument that the evidence supports the inference that
    the law firm was acting with Carachure’s knowledge and consent because it is
    improbable that the Avrek Law Firm is a rogue law firm that operates by hijacking claims
    of individuals who did not retain it. It may be improbable, but it is not impossible. In
    any event, pursuant to Blanton, supra, 
    38 Cal.3d 396
    , we cannot affirm the summary
    judgment in the absence of any evidence whatsoever that Carachure actually knew about
    and personally agreed to enter into a settlement agreement or knowingly ratified it. (Id.
    12
    at pp. 404-408.) Because there remains a triable issue of fact as to her actual consent to
    the settlement agreement, we will reverse the judgment.
    3. Certainty of the Terms of the Purported Settlement.
    Finally, Carachure contends that Scott failed to meet her burden of proof and her
    burden of persuasion on the issue of consent because there was no certainty of terms and
    no evidence of a meeting of the minds necessary to establish the settlement agreement.
    She points out that consent is not mutual “unless the parties all agree upon the same thing
    in the same sense.” (Civ. Code, § 1580.) Because we have determined that Scott failed
    to meet her burden of proving that Carachure consented to any settlement, however, we
    need not address this contention.
    DISPOSITION
    The judgment is reversed, and the cause is remanded for further proceedings.
    Plaintiff Maria Carachure is awarded costs on appeal.
    NOT TO BE PUBLISHED IN OFFICIAL REPORTS
    McKINSTER
    Acting P. J.
    We concur:
    MILLER
    J.
    SLOUGH
    J.
    13
    

Document Info

Docket Number: E063780

Filed Date: 6/10/2016

Precedential Status: Non-Precedential

Modified Date: 4/18/2021