Shane Beal and The Bar Plan Mutual Insurance Company v. Edwin Blinn, Jr. ( 2014 )


Menu:
  • FOR PUBLICATION
    May 07 2014, 9:28 am
    ATTORNEYS FOR APPELLANT:                       ATTORNEYS FOR APPELLEE:
    PHILIP E. KALAMAROS                            SCOTT A. WEATHERS
    Hunt Suedhoff Kalamaros, LLP                   Carmel, Indiana
    St. Joseph, Michigan
    IN THE
    COURT OF APPEALS OF INDIANA
    SHANE BEAL and THE BAR PLAN MUTUAL             )
    INSURANCE COMPANY,                             )
    )
    Appellants-Defendants,                   )
    )
    vs.                               )     No. 27A03-1306-PL-235
    )
    EDWIN BLINN, JR.,                              )
    )
    Appellee-Plaintiff.                      )
    APPEAL FROM THE GRANT SUPERIOR COURT
    The Honorable Thomas Newman, Jr., Special Judge
    Cause No. 27D03-0705-PL-197
    May 7, 2014
    OPINION - FOR PUBLICATION
    RILEY, Judge
    STATEMENT OF THE CASE
    Appellant-Defendant, Shane Beal (Beal),1 appeals the trial court’s denial of his
    motion for summary judgment, concluding that a genuine issue of material fact exist as to
    whether Beal’s representation of Appellee-Plaintiff, Edwin Blinn, Jr. (Blinn), in a federal
    criminal case constituted legal malpractice.
    We affirm.
    ISSUES
    Beal raises three issues on appeal, which we consolidate and restate as the
    following two issues:
    (1) Whether the trial court abused its discretion when it denied Beal’s motion to strike
    Blinn’s expert evidence; and
    (2) Whether the trial court erred in determining that a genuine issue of material fact exists
    in a legal malpractice case where the conduct of an attorney resulted in the indictment of
    his client and subsequent voluntary guilty plea.
    FACTS AND PROCEDURAL HISTORY
    The facts of the instant case have been analyzed in several opinions issued by this
    court and our federal counterpart. See U.S. v. Blinn, 
    490 F.3d 586
    , 588 (7th Cir. 2007);
    Beal v. Blinn, No. 27A05-0802-CV-78 (Ind. Ct. App. Oct. 23, 2008); Blinn v. Law Firm
    of Johnson, Beaman, Bratch, Beal and White, LLP, 
    948 N.E.2d 814
    (Ind. Ct. App. 2011);
    1
    Although the Bar Plan Mutual Insurance Co. (Bar Plan) was a defendant before the trial court, they did
    not appeal the trial court’s ruling. Pursuant to Indiana Appellate Rule 17, a party of record in the trial
    court shall be a party on appeal; therefore, the Bar Plan will appear in the caption of this case.
    2
    Blinn v. Kammen, No. 27A04-1008-PL-532 (Ind. Ct. App. June 30, 2011). This most
    recent installment in a never-ending legal malpractice saga focuses squarely on the issue
    at the heart of the dispute: Beal’s actions and conduct during his representation of Blinn
    in a federal drug and money laundering investigation.
    In early 2003, Beal represented Blinn in a criminal matter which was being
    investigated by the Federal Bureau of Investigation (FBI). During the investigation, Beal
    allowed Blinn to enter into a proffer agreement with the United States Government,
    which, by its express terms, anticipates and requires multiple interviews and debriefings.
    In exchange for Blinn’s truthful cooperation, the Government would allow Blinn to plead
    guilty to a misdemeanor and agreed not to use Blinn’s statements against him if the
    Government later decided to file more serious charges.       On April 22, 2003, at the
    conclusion of the first proffer session, Beal advised that Blinn had more information and
    the proffer session would reconvene on a different day.
    Between April 22, 2003 and June 2003, federal agents attempted to contact Beal
    on different occasions to schedule a follow-up proffer session with Blinn. On or about
    September 9, 2003, federal agents contacted Beal’s office again.        After getting no
    response to their phone calls, the Agents travelled to Marion, Indiana where they
    cornered Beal at the court house. When confronted by the federal agents, Beal declared
    that “Blinn was no longer interested in cooperating with the [G]overnment.”
    (Appellant’s App. p. 62). The Government indicted Blinn on a federal felony money
    laundering charge.
    3
    From April 22, 2003 to September 2003, Beal did not inform Blinn of the FBI’s
    requests for an additional interview, nor did Beal inquire after Blinn’s willingness to
    continue to cooperate with the FBI. Instead, Beal only informed Blinn of the FBI’s
    requests after the agents’ visit on September 9, 2003.
    After the indictment, Blinn hired attorney Rick Kammen (Kammen) to serve as his
    lead counsel. Because the proffer agreement had collapsed and the immunity attached to
    the agreement had dissolved, the Government sought to introduce Blinn’s statements
    against him. Kammen objected, but for unspecified strategic reasons, Kammen declined
    to call Beal as a witness at an initial hearing on the admissibility of Blinn’s proffer
    statements.    The federal district court ruled Blinn’s statements admissible.     At a
    subsequent hearing, Kammen requested the court to revisit the proffer and he called Beal
    as a witness. Despite Beal testifying at length about his representation of Blinn and the
    proffer agreement, the court declined to change its ruling.     Ultimately, Blinn, now
    represented by attorney Robert W. Hammerle (Hammerle), negotiated a plea agreement
    with the Government, pleading guilty to a felony of conspiring to launder monetary
    proceeds in exchange for a sentence of twelve to twenty months’ imprisonment. The
    district court accepted the plea agreement and sentenced Blinn to sixteen months’
    imprisonment with three years of supervised release, including twelve months of home
    confinement.
    On April 26, 2007, Blinn filed a pro se complaint against Beal and the law firm of
    Johnson, Beaman, Bratch, Beal & White, LLP (Law Firm) for legal malpractice.
    Because Blinn omitted to sign the complaint, the Law Firm filed a motion to dismiss. On
    4
    November 1, 2007, Blinn, represented by an attorney, filed an amended complaint.
    Thereafter, Beal moved to dismiss the complaint because service of process had not been
    perfected. The trial court denied the motions. On interlocutory appeal, we affirmed the
    trial court. See Beal v. Blinn, 27A05-0802-CV-78 (Ind. Ct. App. Oct. 23, 2008).
    On November 6, 2009, in an effort to settle the suit, Blinn dismissed, without
    prejudice, the Law Firm from his suit and continued his action against Beal. However,
    settlement negotiations with Beal proved unsuccessful and Blinn moved to reinstate the
    Law Firm, to which the Law Firm objected. On February 24, 2010, the trial court denied
    Blinn’s motion for reinstatement; we affirmed the trial court’s decision on April 29,
    2011. See Blinn v. Law Firm of Johnson, Beaman, Bratch, Beal and White, LLP, 
    948 N.E.2d 814
    , 816 (Ind. Ct. App. 2011).
    Meanwhile, Blinn also pursued his legal malpractice claim against Kammen and
    Kammen’s law firm, asserting professional negligence arising out of Kammen’s
    representation in Blinn’s federal criminal prosecution. See Blinn v. Kammen, 27A04-
    1008-PL-532 (Ind. Ct. App. June 30, 2011). Kammen moved for summary judgment,
    which was granted by the trial court. We affirmed on appeal, concluding:
    It appears Blinn’s only specific allegation of malpractice is that Kammen
    did not call Beal to testify at the initial hearing regarding whether the
    government could introduce Blinn’s proffer statements.
    ...
    But Kammen eventually did put Beal on the stand, and the information
    Blinn now asserts was concealed from the criminal court by Kammen’s
    ineffective assistance, was in fact not concealed but placed before the court.
    ...
    5
    As Blinn did not provide any evidence Kammen’s alleged malpractice was
    the proximate cause of the injury Blinn asserts, Kammen was entitled to
    summary judgment[.]
    
    Id., slip op.
    p. 3 (internal citations omitted).
    On September 30, 2011, Defendant, Bar Plan Mutual Insurance Co. (Bar Plan),
    moved for summary judgment, maintaining that the Law Firm’s insurance policy does
    not provide coverage to Beal for the claims asserted by Blinn. On May 4, 2012, Blinn
    filed a response, together with a cross-motion on estoppel. On May 18, 2012 and June
    11, 2012 respectively, Blinn filed a motion for partial summary judgment and a request
    for summary adjudication on estoppel.              On July 19, 2012, Beal filed a motion for
    summary judgment and motion to strike the testimony of Blinn’s expert witness.
    Thereafter, the Bar Plan filed another motion for summary judgment “on the issues of
    public policy and [Blinn’s] affirmative defenses.” (Appellant’s App. p. 429). On August
    14, 2012, Blinn filed a motion to strike the Bar Plan’s motion and, three days later, also
    responded to Beal’s motion to strike.
    On March 12, 2013, the trial court conducted a hearing on all pending motions.
    On April 12, 2013, the trial court issued its Order on Multiple Matters Heard on March
    12, 2013, summarily denying all parties’ respective motions. With regard to Beal’s
    motion for summary judgment against Blinn, the trial court noted as follows:
    Despite all the facts that that [c]ourt assumes (without deciding) to be
    undisputed, the pleadings and Beal’s own memorandum on summary
    judgment show the core factual issue that precludes summary judgment for
    Beal. As Beal notes, Blinn alleges that Beal failed to advise him “of a
    request by federal agents to interview Blinn following his initial proffer
    meeting in April 2003 . . . [and] Beal denied the allegations.” That fact had
    6
    little to do with the underlying criminal proceedings; it has everything to do
    with Blinn’s claim for relief in this case. Indiana’s policy of preventing
    criminal defendants from benefiting from their criminal conduct does not
    affect that fact-issue because the criminal conviction resulting from Blinn’s
    guilty plea is irrelevant. Instead, what matters is Beal’s conduct because
    “the injury in such a situation ‘is not a bungled opportunity for vindication,
    but a lost opportunity to minimize [Blinn’s] criminal record.” Accordingly,
    because the factual questions on this core issue remain squarely at issue,
    Beal’s motion for summary judgment must be denied.
    (Appellant’s App. p. 26) (internal references omitted).
    Beal now appeals. Additional facts will be provided as necessary.
    DISCUSSION AND DECISION
    Beal contends that the trial court erred when it concluded that a genuine issue of
    material fact exists as to whether Beal’s conduct during the federal investigation into
    Blinn’s actions resulted in a harsher sentence than Blinn otherwise might have received.
    I. Motion to Strike Expert Testimony
    As we cannot review the trial court’s summary judgment unless we establish what
    evidence the parties designated for our review, we first address Beal’s contention that the
    trial court abused its discretion when it denied his motion to strike Blinn’s expert
    testimony because the testimony was “based entirely on speculation.” (Appellant’s Br. p.
    25). A trial court has broad discretion in granting or denying a motion to strike expert
    testimony. Norfolk S. Ry. Co. v. Estate of Wagers, 
    833 N.E.2d 93
    , 100 (Ind. Ct. App.
    2005). We reverse a trial court’s decision to admit or exclude evidence only if that
    decision is clearly against the logic and effect of the facts and circumstances before the
    court. 
    Id. at 101.
    Further, the trial court’s decision will not be reversed unless prejudicial
    error is clearly shown. 
    Id. 7 Pursuant
    to Ind. Evidence Rule 702(a), expert testimony must convey knowledge
    that “will assist the trier of fact to understand the evidence or to determine a fact in
    issue.” Evid. R. 702(a) assigns to the trial court a gatekeeping function of ensuring that
    an expert witness’ testimony both rests on a reliable foundation and is relevant to the task
    at hand. Howerton v. Red Ribbon, Inc., 
    715 N.E.2d 963
    , 966 (Ind. Ct. App. 1999).
    Knowledge admissible under the Rule must connote more than subjective belief or
    unsupported speculation.      
    Id. Expert testimony
    must be supported by appropriate
    validation or good grounds based on what is known, establishing a standard of
    evidentiary reliability. Lytle v. Ford Motor Co., 
    696 N.E.2d 465
    , 472 (Ind. Ct. App.
    1998).
    Here, Blinn introduced Hammerle, the attorney who negotiated his federal plea
    agreement, as his expert witness. Hammerle has been a criminal defense attorney for
    more than thirty-five years and is experienced in federal criminal litigation and proffer
    sessions. As successor counsel to Kammen and Beal in the underlying representation of
    Blinn, Hammerle was familiar with the facts surrounding the case. As such, he based his
    opinion on his education, training, and knowledge of the facts of the underlying case and
    applicable law.
    In the designated testimony, Hammerle testified that during his conversations with
    federal agents after he commenced his representation of Blinn, it became clear that Blinn
    was offered a misdemeanor charge in exchange for his cooperation with the proffer
    session. In his opinion, Beal breached the legal standard of care by not understanding
    proffer sessions and unilaterally refusing the Government’s requests for further
    8
    interviews. Hammerle noted that the subsequent admission at trial of Blinn’s statements
    uttered during the proffer session made his criminal case indefensible.
    Beal now contends that Hammerle’s opinions are based on nothing more than
    speculation because of Hammerle’s testimony that “in [thirty]-some years of practice, I
    don’t believe I ever had a client in the federal system offered a misdemeanor.”
    (Appellant’s App. p. 374). Hammerle’s response follows on the heels of a question about
    the “typical or average ordinary sentence for a federal misdemeanor with a guy who’s got
    a DUI in his past, a range?” (Appellant’s App. p. 374). Placing Hammerle’s statement in
    the proper context, we conclude that Hammerle was touching on the federal sentencing
    guidelines, commenting that he typically represents defendants charged with crimes
    which warrant a higher sentencing range than a misdemeanor. It does not reflect—as
    Beal requests us to find—that Hammerle’s experience is flawed and his opinions are
    based on speculation. Therefore, we find that the trial court properly denied Beal’s
    motion to strike Hammerle’s expert testimony.
    II. Legal Malpractice
    A. Standard of Review
    Summary judgment is appropriate only when there are no genuine issues of
    material fact and the moving party is entitled to a judgment as a matter of law. Ind. Trial
    Rule 56(C). A fact is material if its resolution would affect the outcome of the case, and
    an issue is genuine if a trier of fact is required to resolve the parties’ differing accounts of
    the truth . . . , or if the undisputed facts support conflicting reasonable inferences.
    Williams v. Tharp, 
    914 N.E.2d 756
    , 761 (Ind. 2009).
    9
    In reviewing a trial court’s ruling on summary judgment, this court stands in the
    shoes of the trial court, applying the same standards in deciding whether to affirm or
    reverse summary judgment. First Farmers Bank & Trust Co. v. Whorley, 
    891 N.E.2d 604
    , 607 (Ind. Ct. App. 2008), trans. denied. Thus, on appeal, we must determine
    whether there is a genuine issue of material fact and whether the trial court has correctly
    applied the law. 
    Id. at 607-08.
    In doing so, we consider all of the designated evidence in
    the light most favorable to the non-moving party. 
    Id. at 608.
    The party appealing the
    grant of summary judgment has the burden of persuading this court that the trial court’s
    ruling was improper. 
    Id. When the
    defendant is the moving party, the defendant must
    show that the undisputed facts negate at least one element of the plaintiff’s cause of
    action or that the defendant has a factually unchallenged affirmative defense that bars the
    plaintiff’s claim. 
    Id. Accordingly, the
    grant of summary judgment must be reversed if
    the record discloses an incorrect application of the law to the facts. 
    Id. We observe
    that, in the present case, the trial court did not enter findings of fact in
    support of its judgment.      Special findings are not required in summary judgment
    proceedings and are not binding on appeal. 
    Id. However, such
    findings offer this court
    valuable insight into the trial court’s rationale for its decision and facilitate appellate
    review. 
    Id. B. Analysis
    Beal’s main argument focuses on Indiana’s public policy which bars a person
    convicted of a crime from imposing liability on others through a civil action for the
    results of his or her own criminal conduct. Because Blinn entered into a voluntary plea
    10
    agreement and accepted responsibility for his criminal conduct, he cannot now “seek to
    profit from [his] own criminality.” (Appellant’s Br. p. 17). Specifically, Beal maintains
    that Blinn’s sentencing and fine arose from his admitted guilt and he cannot now redirect
    that causation on Beal in order to recover for the results of that sentencing.
    Consequently, Beal concludes that “[w]hether or not [Beal] informed Blinn ‘of a request
    by federal agents to interview Blinn’ [] is irrelevant []” as Indiana public policy does not
    permit Blinn’s lawsuit to recover the profits of his criminal activity. (Appellant’s Br. p.
    21).
    To prove a legal malpractice claim, the plaintiff-client must show:               (1)
    employment of the attorney (the duty); (2) failure of the attorney to exercise ordinary
    skill and knowledge (the breach); (3) proximate cause (causation); and (4) loss to the
    plaintiff (damages). Sleweon v. Burke, Murphy, Constanza & Cuppy, 
    712 N.E.2d 517
    ,
    520 (Ind. Ct. App. 1999), trans. denied. To establish causation and the extent of harm in
    a legal malpractice case, the client must show that the outcome of the underlying
    litigation would have been more favorable but for the attorney’s negligence. 
    Id. In support
    of his argument, Beal references Rimert v. Mortell, 
    680 N.E.2d 867
    (Ind. Ct. App. 1997), trans. denied, Indiana’s seminal case with respect to professional
    malpractice and Indiana’s public policy for recovery of damages resulting from a
    criminal act. In Rimert, a patient with a psychiatric illness filed a medical malpractice
    action against his psychiatrist, claiming his psychiatrist negligently discharged him from
    the hospital, after the patient was charged with four counts of murder and found guilty
    11
    but mentally ill. 
    Id. at 869.
    The physician settled the patient’s claim, and the patient
    filed a petition for payment of damages from the Patient’s Compensation Fund. 
    Id. Rejecting Rimert’s
    claim, we concluded that
    the rule against actions based upon or involving a plaintiff’s criminal act is
    correlative with Indiana’s public policy against permitting one to profit
    from his or her wrongdoing. Each embodies the principle that one who is
    responsible for the commission of a criminal or wrongful act must
    exclusively bear his or her share of the responsibility for the act, and may
    not evade that responsibility either through gaining some profit for the act
    or shifting liability for the act to another. We therefore hold it to be the
    public policy of this state that an individual who has been convicted of a
    crime should be precluded from imposing liability upon others, through a
    civil action, for the results of his or her own criminal conduct.
    Consequently, a person may not maintain an action if, in order to establish
    the cause of action, he or she must rely, in whole or in part, upon an illegal
    act or transaction to which he or she is a party or upon a violation by him or
    herself of the criminal laws.
    
    Id. at 874.
    The case at bar can be differentiated from Rimert and its progeny. Blinn is not
    relying on his own criminal conduct in an attempt to shift responsibility for the resulting
    damages to another party. Rather, Blinn seeks damages for Beal’s own behavior in
    failing to represent him appropriately. Beal represented Blinn in a federal criminal
    action, despite Beal’s limited experience with federal litigation, his unfamiliarity with the
    legal construction of a federal proffer session, its purpose and its consequences, and his
    failure to convey a request for further interviews as part of the proffer session to Blinn.
    Designated evidence reflects that a completed proffer session might have resulted in a
    reduced sentence. As such, there is a genuine issue of material fact whether Beal’s
    conduct resulted in a harsher sentence and even jail time for Blinn. To be sure, Blinn is
    12
    not maintaining that Beal caused or contributed to the commission of the crime; instead,
    Blinn is seeking to impose liability on Beal for Beal’s own subsequent conduct during the
    federal investigation.
    Pursuant to Beal’s theory, a criminal defendant, once convicted, can never pursue
    a legal malpractice claim against his attorney because he committed a crime, regardless
    of the quality of his attorney’s representation. Underlying his argument is the theme that
    a guilty person has not been harmed by a conviction and thus should not be able to sue
    his or her lawyer as a result of a conviction, regardless of whether the person, although
    guilty, would have been acquitted or should have received a lesser sentence. However, as
    a practical matter, there can be no doubt that if a criminal defense lawyer’s negligence
    causes a client to be wrongly convicted and imprisoned, the client is harmed on the first
    day of imprisonment, if not before. In criminal as well as in civil cases, there is no
    necessary and direct link between not prevailing in a case and the existence of a claim for
    legal malpractice. A prevailing party can be harmed by a lawyer’s negligence, just as a
    party can lose even though the lawyer did not commit malpractice. An innocent person
    can be convicted even with adequate representation, and a guilty person’s conviction can
    be actionable because a lawyer’s negligence failed to protect the rights that even a guilty
    person has. Stevens v. Bispham, 
    851 P.2d 556
    , 574 (Ore. 1993) (Unis., J., concurring).
    Likewise, the fact that a criminal defendant has been exonerated of the criminal offense
    through reversal on direct appeal or otherwise does not mean that the criminal
    defendant’s lawyer was negligent; nor does the fact that a person is acquitted at trial
    mean that his or her counsel was not negligent. See 
    id. at 575.
    In other words, the
    13
    determination that, based on the evidence and argument at trial, a criminal defendant is
    proven guilty beyond a reasonable doubt is not the same as the issue of whether the
    lawyer’s negligent representation contributed to or caused the resulting conviction.
    Beal’s argument, however, allows criminal defense attorneys to hide behind their own
    negligence by asserting the client’s conviction—albeit caused by the lawyer’s
    negligence—as a defense to a claim of legal malpractice. In contrast, lawyers whose
    clients do not prevail in civil matters do not have the ability to assert to their clients,
    “You lost, therefore, I was not negligent.” See 
    id. The public
    not only has an interest in
    encouraging the representation of criminal defendants, but it also has an interest in
    making sure that the representation is, at the very least, not negligent.
    Our decision today is in line with Indiana’s current case law, which allows a
    criminal defendant to institute a legal malpractice claim against his or her attorney. See
    Godby v. Whitehead, 
    837 N.E.2d 146
    (Ind. Ct. App. 2005), trans. denied; Silvers v.
    Brodeur, 
    682 N.E.2d 811
    (Ind. Ct. App. 1997); Adams v. Traylor-Wolff, 
    2013 WL 5701056
    , (N.D. Ind., Oct. 18, 2013). In fact, the criminal defendant need not even
    establish his innocence to proceed with a legal malpractice case against his counsel. See
    
    Godby, 837 N.E.2d at 151
    ; 
    Silvers, 682 N.E.2d at 818
    . Because there is a genuine issue
    of material fact whether Blinn’s charged crime and sentence would have been more
    favorable but for Beal’s actions during his representation of Blinn, we affirm the denial
    of Beal’s motion for summary judgment. See 
    Sleweon, 712 N.E.2d at 520
    .2
    2
    In a related argument, Beal asserts that “[t]hat Blinn’s claim is barred under Indiana law owing to a lack
    of proximate cause was already held to be true as to attorney Kammen[.]” (Appellant’s Br. p. 22).
    14
    CONCLUSION
    Based on the foregoing, we conclude that the trial court properly denied Beal’s (1)
    motion to strike and (2) motion for summary judgment.
    Affirmed.
    VAIDIK, C. J. and MAY, J. concur
    However, we note that in Blinn v. Kammen, 27A04-1008-PL-532 (Ind. Ct. App. June 30, 2011),
    Kammen’s alleged legal malpractrice was that he failed to “call Beal to testify at the initial hearing
    regarding whether the [G]overnment could introduce Blinn’s proffer statements.” 
    Id., slip op.
    at p. 2.
    With respect to this perceived act of legal malpractice, we concluded that because Kammen did ultimately
    put Beal on the stand, Kammen’s action could not be considered the proximate cause of Blinn’s injury.
    See 
    id., slip op.
    at p. 3. The Kammen court did not evaluate Beal’s action with respect to Blinn’s injury.
    15