robert-french-individually-and-on-behalf-of-the-estate-of-velma-rae ( 2010 )


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  •                          COURT OF APPEALS
    SECOND DISTRICT OF TEXAS
    FORT WORTH
    NO. 2-08-273-CV
    ROBERT FRENCH, INDIVIDUALLY                                    APPELLANT
    AND ON BEHALF OF THE ESTATE                                  AND APPELLEE
    OF VELMA RAE FRENCH, DECEASED
    V.
    LAW OFFICES OF WINDLE                                           APPELLEE
    TURLEY, P.C.                                               AND APPELLANT
    ------------
    FROM THE 141ST DISTRICT COURT OF TARRANT COUNTY
    ------------
    MEMORANDUM OPINION 1
    ------------
    This appeal arises out of the now ten-year pursuit of attorney’s fees by
    the Law Offices of Windle Turley, P.C. (“LOWT”) against Robert French. A jury
    awarded no damages on the quantum meruit claim filed by LOWT against
    French and $1,400,000 in damages on French’s claim against LOWT for
    1
     See Tex. R. App. P. 47.4.
    intentional infliction of emotional distress (“IIED”). After the trial court set aside
    the jury’s award on French’s claim, both parties appealed. Because we hold
    that the evidence was legally insufficient to support the jury’s finding of no
    damages for LOWT, we reverse and remand in part. Because we hold that the
    trial court did not err by setting aside the jury’s award on French’s IIED claim,
    we affirm in part.
    I. Facts and Procedural History
    In 1995, Robert French decided to pursue a medical malpractice claim
    individually and on behalf of his wife’s estate and, to that end, on December
    12, 1995, he entered into a contingent fee agreement with LOWT. LOWT
    assigned firm attorney David Surratt to work on the case. Surratt left the firm
    in late August 1997. Before he left, on August 11, 1997, Surratt drafted a
    brief internal file memorandum; the tone of the memo was one of a less-than-
    positive view of the likelihood of success in the case. Surratt stated that he
    had met with LOWT attorney Mike Sawicki to discuss French’s case and that
    he briefed Sawicki on the insurer’s response to the firm’s settlement package
    and French’s strong desire to proceed with the suit. He noted that a “suit
    might result in some form of settlement, but we may have a lot of obstacles.”
    Two days later (and a year and eight months after LOWT took French’s
    case), on August 13, 1997, Surratt sent a letter to French stating that “[b]ased
    2
    on our analysis and considering the insurer’s recent denial of a possible pre-suit
    settlement, we have determined that our firm would not be in a position to
    represent you in pursuit of a lawsuit.”       Surratt recommended that French
    consult another attorney about his options before deciding what to do about his
    case. Surratt stated that the firm had closed French’s file and that Surratt
    would “prepare a packet of materials which would be helpful to an attorney’s
    evaluation of your case.” The letter informed French that his cause of action
    had a two-year statute of limitations.
    French asked LOWT to reconsider, and consequently, LOWT agreed to
    have Sawicki review the case.       Sawicki filed suit on behalf of French on
    September 5, 1997. Sawicki worked on the case for LOWT until February
    2000, at which point he also left the firm.
    After Sawicki left, French became unhappy with his legal representation,
    and he eventually terminated his relationship with LOWT and hired Sawicki.
    LOWT then filed a petition in intervention in French’s lawsuit, seeking the full
    fee under the contingent fee agreement.
    Sawicki, on French’s behalf, filed a motion to strike the intervention and
    subsequently asked LOWT to submit the dispute to the Texas Bar Association
    3
    Fee Dispute Committee. 2       Sawicki noted in a letter to LOWT that the
    disciplinary rules of conduct for attorneys encourage attorneys to settle fee
    disputes with clients through alternative dispute resolution. 3 Sawicki, on behalf
    of French, also offered to reimburse LOWT for its expenses incurred while
    working on the case and to share attorney’s fees. 4 When LOWT declined to
    work out any kind of fee-sharing arrangement, French then asked LOWT to take
    the case back, but it refused. When Sawicki filed a motion to withdraw as
    counsel and substitute LOWT, LOWT filed a response refusing to be substituted
    as counsel. It asserted that an attorney-client relationship between the parties
    would not be possible given their history. The trial court subsequently granted
    French’s motion to strike LOWT’s intervention. 5
    2
     Law Offices of Windle Turley, P.C. v. French, 
    140 S.W.3d 407
    , 409
    (Tex. App.—Fort Worth 2004, no pet.).
    3
     See Tex. Disciplinary R. Prof’l Conduct 1.04 cmt. 19, reprinted in Tex.
    Gov’t Code Ann., tit. 2, subtit. G app. A (Vernon Supp. 2009) (Tex. State Bar
    R. art X, § 9) (“If a procedure has been established for resolution of fee
    disputes, such as an arbitration or mediation procedure established by a bar
    association, the lawyer should conscientiously consider submitting to it.”); see
    also Fee Arbitration Rules, Tarrant County Bar Association Fee Arbitration
    Comm. (setting out rules for voluntary arbitration of fee disputes between
    attorneys practicing before courts in Tarrant County and their clients), available
    at http://www.tarrantbar.org/Default.aspx?tabid=50.
    4
     Windle 
    Turley, 140 S.W.3d at 409
    .
    5
     
    Id. at 410.
    4
    French proceeded to trial in Tarrant County with Sawicki as counsel.
    After French obtained a favorable jury verdict, LOWT refiled its petition in
    intervention, asserting claims for breach of contract and quantum meruit. 6
    LOWT also filed a lawsuit in Dallas County, seeking attorney’s fees and
    “injunctive relief prohibiting the District Clerk of Tarrant County from releasing
    any funds paid into the Registry of the Court that represented disputed
    attorney’s fees and expenses.” 7 The trial court there dismissed the suit on
    French’s motion, finding that LOWT’s pleadings were frivolous and groundless
    and were brought for the purposes of harassment, needlessly prolonging
    litigation and creating unnecessary expense.        The court awarded French
    sanctions in the amount of $4,876.25. That ruling was upheld on appeal by
    the Dallas Court of Appeals. 8
    In the Tarrant County lawsuit, both parties moved for summary judgment
    on LOWT’s second petition in intervention. 9 French argued that LOWT had
    abandoned its contingent fee agreement with him, LOWT’s attempt to recover
    6
     
    Id. 7 
    Law Offices of Windle Turley, P.C. v. French, 
    164 S.W.3d 487
    , 489
    (Tex. App.—Dallas 2005, no pet.).
    8
     
    Id. at 494.
          9
     Windle 
    Turley, 140 S.W.3d at 410
    .
    5
    the fee was unconscionable, the contingent fee agreement violated public
    policy, and he had good cause to terminate the contract with LOWT. 10 The trial
    court granted French’s motion and denied LOWT’s. 11 On appeal, this court
    reversed and remanded the contingency fee dispute to the trial court. 12
    After remand, a jury trial was held on LOWT’s quantum meruit claim
    (LOWT had dropped its breach of contract claim against French on the day of
    trial) and an IIED claim filed by French. The trial court denied LOWT’s motion
    to disqualify Sawicki from representing French, in which it had asserted that
    Sawicki should be disqualified because he was a necessary witness as to
    essential facts on LOWT’s quantum meruit claim. After hearing testimony, the
    jury entered a verdict finding LOWT’s damages to be $0. The jury also found
    for French on his IIED claim, awarding him $1,400,000. The trial court, on
    LOWT’s motion, set aside that finding and rendered a judgment notwithstanding
    the verdict (“JNOV”) against French on his IIED claim.
    10
     Neither Gwenda Dunn, another plaintiff in the underlying action, nor
    her motion for summary judgment, is before us.
    11
     Windle 
    Turley, 140 S.W.3d at 410
    .
    12
     
    Id. at 415.
    6
    II. LOWT’s Cross-Appeal
    LOWT’s Quantum Meruit Claim
    We address LOWT’s cross-appeal first.        LOWT brings two issues on
    appeal. In its first issue, it argues that the evidence was legally and factually
    insufficient to support the jury’s finding of $0 on its quantum meruit claim.
    Standard of Review
    We may sustain a legal sufficiency challenge only when (1) the record
    discloses a complete absence of evidence of a vital fact; (2) the court is barred
    by rules of law or of evidence from giving weight to the only evidence offered
    to prove a vital fact; (3) the evidence offered to prove a vital fact is no more
    than a mere scintilla; or (4) the evidence establishes conclusively the opposite
    of a vital fact.13 A party complaining that the evidence is factually insufficient
    on a finding on which the party had the burden of proof must show that the
    jury’s finding was “against the great weight and preponderance of the
    evidence.” 14
    13
     Uniroyal Goodrich Tire Co. v. Martinez, 
    977 S.W.2d 328
    , 334 (Tex.
    1998), cert. denied, 
    526 U.S. 1040
    (1999); Robert W. Calvert, “No Evidence”
    and “Insufficient Evidence” Points of Error, 
    38 Tex. L. Rev. 361
    , 362–63
    (1960).
    14
     Cropper v. Caterpillar Tractor Co., 
    754 S.W.2d 646
    , 651 (Tex.
    1988); see Herbert v. Herbert, 
    754 S.W.2d 141
    , 144 (Tex. 1988).
    7
    Applicable Law
    Quantum meruit is an equitable remedy, independent of a contract, 15
    “based upon the promise implied by law to pay for beneficial services rendered
    and knowingly accepted.” 16 Recovery under this remedy is available to a party
    when the nonpayment for the services rendered would “‘result in an unjust
    enrichment to the party benefitted by the work.’” 17 To recover under quantum
    meruit, the party must show that valuable services were rendered for the
    defendant and that the services were accepted, used, and enjoyed by the
    defendant, under such circumstances as reasonably notified the defendant that
    the plaintiff in performing such services was expecting to be paid by the
    defendant. 18
    When an attorney working on a contingent-fee basis is discharged
    without cause before the representation is completed, the attorney may seek
    15
     Residential Dynamics, LLC v. Loveless, 
    186 S.W.3d 192
    , 198–99
    (Tex. App.—Fort Worth 2006, no pet.).
    16
     Campbell v. Nw. Nat’l Life Ins. Co., 
    573 S.W.2d 496
    , 498 (Tex.
    1978); Residential 
    Dynamics, 186 S.W.3d at 199
    .
    17
     Residential 
    Dynamics, 186 S.W.3d at 198
    (quoting City of Ingleside
    v. Stewart, 
    554 S.W.2d 939
    , 943 (Tex. Civ. App.—Corpus Christi 1977, writ
    ref’d n.r.e.)).
    18
     Vortt Exploration Co., Inc. v. Chevron U.S.A., Inc., 
    787 S.W.2d 942
    ,
    944 (Tex. 1990).
    8
    compensation in quantum meruit, subject to the prohibition against charging or
    collecting an unconscionable fee. 19 If an attorney abandons his client without
    just cause, the attorney forfeits his right to compensation. 20 In such a case, the
    law does not provide that services rendered have no value; rather, when
    payment is excused because of the attorney’s abandonment, the attorney may
    not recover for the services, regardless of their value. 21
    In determining whether a fee is reasonable, the factfinder should consider
    the following factors, as applicable:
    (1) the time and labor required, the novelty and difficulty of the
    questions involved, and the skill required to perform the legal
    service properly;
    (2) the likelihood . . . that the acceptance of the particular
    employment will preclude other employment by the lawyer;
    (3) the fee customarily charged in the locality for similar legal
    services;
    (4) the amount involved and the results obtained;
    (5) the time limitations imposed by the client or by the
    circumstances;
    19
     Hoover Slovacek LLP v. Walton, 
    206 S.W.3d 557
    , 561–62 (Tex.
    2006).
    20
     Royden v. Ardoin, 
    160 Tex. 338
    , 
    331 S.W.2d 206
    , 209 (1960).
    21
     See 
    id. (stating that
    an attorney is not entitled to compensation when
    he abandons his client without just cause before the proceeding for which he
    was retained has been conducted to its termination).
    9
    (6) the nature and length of the professional relationship with the
    client;
    (7) the experience, reputation, and ability of the lawyer or lawyers
    performing the services; and
    (8) whether the fee is fixed or contingent on results obtained or
    uncertainty of collection before the legal services have been
    rendered. 22
    Testimony at Trial
    LOWT called Sawicki as its first witness. Sawicki testified that he did not
    know how much the services he provided at LOWT were worth. When asked
    if he had taken any depositions while at the firm, he stated that he thought he
    had but could not remember. He disagreed with an assessment that the case
    was 80% ready for trial when he left the firm. When asked if he thought it was
    50% ready, he stated that “[t]he short answer would be, no,” and “I don’t
    know how to quantify percentages, so I can’t say that.” He asserted his belief
    that LOWT was not entitled to recover for work done by Surratt and that there
    should be no compensation for it because Surratt had done nothing to create
    value for the case, but he agreed that LOWT was entitled to recover the value
    of services that he himself had rendered while at LOWT. He assumed that he
    22
     Arthur Andersen & Co. v. Perry Equip. Corp., 
    945 S.W.2d 812
    , 818
    (Tex. 1997); Burnside Air Conditioning & Heating, Inc. v. T.S. Young Corp.,
    
    113 S.W.3d 889
    , 897–98 (Tex. App.—Dallas 2003, no pet.) (noting that the
    record need not contain evidence on each of the factors).
    10
    had filed a request for admissions from the defendant, but he could not
    remember specifically having done so, and he could not say how long it would
    have taken him to do so because he sometimes used forms for drafting such
    documents. He further stated that it may have been something that a legal
    assistant at the firm had done.     He agreed that if he had used a form, he
    probably would have read over it and made sure it was tailored to French’s
    case. He did not specifically remember sending a request for admissions to one
    of the defendants in the medical malpractice case, although he assumed that
    he had done so. When asked if LOWT should be compensated for his filing a
    request for admissions, Sawicki stated, “I guess so.”
    He agreed that he had sent some interrogatories to the defendants, but
    he did not remember if he wrote them himself or used a form. He did not
    specifically remember sending any, but he stated that it was likely that he did
    so. He also stated that it was likely he had sent some requests for production,
    although he did not remember. When asked if such work provided “good and
    valuable services,” he testified “I guess so,” but he was not sure what was
    meant by “good and valuable.”
    All in all, Sawicki’s testimony was that he did not remember drafting
    documents such as requests for admission or interrogatories, but in all likelihood
    he did do so because that is what he normally would have done. He could not
    11
    remember how long such tasks would have taken because he could have used
    a form, and if he used a form, it would not have taken much time.
    Sawicki filed the original petition in French’s lawsuit, and it was nine
    pages long. He agreed that if the defendant’s attorney had sent something to
    LOWT, he would have read it. When asked if this service would have been
    valuable to French, he stated, “I guess so” and then “yes.” He was asked what
    percentage of work on the case had been done prior to April 20, 2000, when
    French informed LOWT that he no longer wanted the firm to represent him, and
    he stated that he could not give a percentage.
    In terms of value, Sawicki stated that his evaluation of the value of the
    case as of the day that French brought him the case would have been based on
    the settlement offer on the table at that time, which was in the range of
    $125,000 to $150,000.       Thus, he testified, 40% of that figure was what
    LOWT “could have picked up off the table” on that date. He did not state that
    figure as what he thought his services at LOWT were worth but rather as what
    LOWT could have recovered in attorney’s fees from French as of that date.
    On cross-examination, Sawicki testified that on August 13, 1997, Surratt
    had sent a letter to French stating that the firm could not proceed further with
    the claim, and as of that date, LOWT had not filed suit on French’s behalf. By
    this time, it was close to the two-year statute of limitations on French’s claim.
    12
    After Sawicki left the firm, John Kirtley was assigned to the case. Kirtley told
    French that he had never tried a medical malpractice case and was looking
    forward to learning about them. Sawicki also testified that Turley’s assistant
    at LOWT told French that he should get another lawyer. Sawicki tried to work
    out a joint venture arrangement with LOWT, but Turley refused. Sawicki tried
    to send the files back to LOWT, but the firm refused delivery of the files and
    declined to represent French any further.
    LOWT next called Steve Maxwell as an expert witness. Maxwell testified
    that he was board certified in personal injury law. LOWT provided him with
    4,000 or 5,000 pages of documents, which were copies of work done on the
    French case from the time French hired LOWT through April 24, 2000.
    Maxwell did not look at all the documents that were sent to him, but he did go
    through the boxes and formed a general idea of what the documents
    comprised.
    Maxwell testified that from his review, most of the work had been done
    by Sawicki and that Sawicki had done an excellent job. In his opinion, there
    was value to a client in the process an attorney goes through in evaluating
    whether to go forward with a case. He testified that it looked like Surratt had
    been investigating the case prior to Sawicki taking over. Maxwell testified that
    Surratt had done everything he was supposed to do. Maxwell also stated that
    13
    prior to April 2000, when French notified LOWT that he no longer wished the
    firm to represent him and that he was hiring Sawicki, depositions were taken,
    interrogatories and requests for disclosure were sent out, and motions to
    compel were filed.
    LOWT’s attorney asked Maxwell his opinion as to the minimum amount
    of hours he thought would have been necessary to perform the work that he
    had reviewed. Maxwell stated that, based on his experience, anywhere from
    400 to 700 hours “would not be at all unusual” as an accurate recounting of
    the time that was spent on the work.        No evidence of billing records was
    introduced, and there was no testimony from anyone at LOWT about the
    amount of time actually spent on the case. Maxwell testified that when time
    records are not kept, it is impossible to be precise as to how much time is spent
    on a case, but that he could go through the documents produced and “get a
    pretty good idea of all of the work that was being done” and that “it’s obvious
    that hundreds of hours were spent.” Maxwell further stated that his guess was
    that for a medical malpractice case worked on a contingency basis in 1996
    through 2000, a $350 to $400 an hour billing rate would be “in the middle of
    what would be a reasonable fee on that kind of basis.”
    On cross-examination, Maxwell acknowledged that he did not review
    what went on in the trial. When asked if he would agree then that he did not
    14
    know what actually won or lost the case, he stated, “I have my beliefs,
    because I can look at what was done to get this case ready, and I can kind of
    see where the strengths and the weaknesses [lie],” but he acknowledged that
    he did not know what document, deposition, testimony, arguments, or facts
    won the underlying case.
    Analysis
    In a pretrial conference held the day of the trial, Sawicki expressed
    concern to the trial court about whether he would be allowed to present
    evidence on whether the attorney-client relationship had been terminated for
    good cause. The trial court responded that it believed that because LOWT had
    dropped its breach of contract claim, it had negated the issue of good cause.
    The trial court did indicate that it would allow some testimony about events
    prior to the date of termination. In his proposed jury charge, French submitted
    a question asking whether he had good cause to terminate his contract with
    LOWT. In the charge submitted to the jury, though, the jury was not asked
    whether French had terminated the contract with LOWT for good cause or if
    LOWT had abandoned French without just cause. 23 French also submitted a
    23
     See 
    Royden, 331 S.W.2d at 209
    (stating that an attorney is not
    entitled to compensation when he abandons his client without just cause before
    the proceeding for which he was retained has been conducted to its
    termination).
    15
    question asking whether French’s compliance with the contract was waived,
    but the trial court denied French’s request to include that question.
    Page three of the charge included a section headed “INSTRUCTIONS,”
    under which only the following appeared:
    Failure to comply by [French] is excused if all the following
    circumstances occurred:
    1.    [LOWT]
    a.    by words or conduct made a false representation
    or concealed a material fact,
    b.    with knowledge of the facts or with knowledge
    or information that would lead a reasonable
    person to discover the facts, and
    c.    with the intention that [French] would rely on the
    false representation or concealment in acting or
    deciding not to act, and
    2.    [French]
    a.    did not know and had no means of knowing the
    real facts, and
    b.    relied to his detriment on the false representation
    or concealment of the material facts.
    The jury was not, however, asked to make a finding about whether French was
    excused. French does not argue on appeal that the trial court erred by omitting
    a question on excuse.
    16
    Question one appears on the next page of the charge. That question
    asked,
    What is the reasonable value of work performed by [LOWT] on
    Robert French’s behalf from December 12, 1995 to April 20,
    2000?
    Factors to consider in determining the reasonable
    value, if any, are—
    (1)   the time and labor required, the novelty and
    difficulty of the questions involved, and the skill
    required to perform the legal service properly;
    (2)   the likelihood . . . that the acceptance of the
    particular employment will preclude other
    employment by the lawyer;
    (3)   the fee customarily charged in the locality for
    similar legal services;
    (4)   the amount involved and the results obtained;
    (5)   the time limitations imposed by the client or by
    the circumstances;
    (6)   the nature and length of the professional
    relationship with the client;
    (7)   the experience, reputation, and ability of the
    lawyer or lawyers performing the services; and
    (8)   whether the fee is fixed or contingent on results
    obtained or uncertainty of collection before the
    legal services have been rendered.
    Answer in dollars and cents, if any.
    17
    The charge did not include any instruction on quantum meruit, and the
    jury was not asked to make any findings on the separate elements of quantum
    meruit. In other words, the charge’s question assumed that LOWT proved its
    entitlement to recover on its quantum meruit claim. Although French objected
    in the trial court that there was no evidence to support the claim’s elements,
    and thus no question on quantum meruit should be submitted to the jury, he did
    not object to the failure to include questions on the specific elements of the
    actual claim. We therefore measure the sufficiency of the evidence against the
    charge that was actually submitted, rather than the charge that should have
    been submitted. 24
    Because of the way that the charge was written, we cannot determine
    the basis for the jury’s decision. That is, we cannot determine, for example,
    whether the jury’s answer contains an implied finding that payment is excused
    or whether it was a finding that no valuable services were rendered after
    considering the Arthur Anderson factors. Whatever the jury’s reasoning, we are
    guided by the holding of the Supreme Court of Texas in Midland Western
    24
     See Osterberg v. Peca, 
    12 S.W.3d 31
    , 55 (Tex.) (holding that when
    no objection is made to the charge, the sufficiency of the evidence is measured
    against the charge submitted), cert. denied, 
    530 U.S. 1244
    (2000); St. Joseph
    Hosp. v. Wolff, 
    94 S.W.3d 513
    , 530 (Tex. 2002) (holding that when the
    opposing party objects to the charge, sufficiency of the evidence is measured
    against the charge that should have been submitted).
    18
    Building. 25 In that case, the jury had awarded damages for the plaintiff but did
    not award attorney’s fees. The court said:
    The jury’s award of no fees, however, was improper. First Service
    offered evidence of its attorney’s fees and the value thereof. While
    the jury could have rationally concluded that a reasonable and
    necessary fee was less than the amount sought, an award of no
    fees was improper in the absence of evidence affirmatively showing
    that no attorney’s services were needed or that any services
    provided were of no value.26
    And this court has held that the evidence is insufficient to support a jury’s
    finding of no value of work in a quantum meruit claim when the evidence is
    uncontroverted that a person’s work had value, even if there is no conclusive
    evidence of a specific value of the work. 27
    Similarly, in this case, French did not make an affirmative showing that
    no attorney’s services were needed or that the services provided were of no
    value. French’s and Sawicki’s testimony contradicted LOWT’s evidence as to
    value but did not establish a lack of any value. Although Sawicki could not give
    an accurate estimate of the time that he spent on the case while at LOWT, and
    he did not establish a definite value for the services, he did not affirmatively
    25
     Midland W. Bldg. L.L.C. v. First Serv. Air Conditioning Contractors,
    Inc., 
    300 S.W.3d 738
    , 739 (Tex. 2009) (per curiam).
    26
     
    Id. 27 
    Kitchen v. Frusher, 
    181 S.W.3d 467
    , 476 (Tex. App.—Fort Worth
    2005, no pet.).
    19
    show that the services were of no value whatsoever.         And even Sawicki
    acknowledged, albeit reluctantly, that at least some of the services that he
    assumed he had provided had some value to French. So even if the jury
    disbelieved Maxwell’s testimony in estimating the value of the services
    provided, which would have left the jury with no testimony as to what the
    value actually was, there was no showing at the trial that the proper measure
    of the value was zero. Thus, although the jury could have perhaps properly
    found that the services were worth less than Maxwell asserted, it could not find
    $0. Accordingly, because there was no evidence to support the jury’s finding
    and LOWT established that its services were of some value, we sustain
    Appellant’s first issue. Because under the evidence, LOWT established that its
    services were of some value but did not establish a specific value of the
    services as a matter of law, under Midland, we remand this question to the trial
    court. 28
    28
     See 
    Midland, 300 S.W.3d at 739
    –40 (reversing and remanding on
    legal sufficiency grounds when there was no evidence to support the jury’s
    verdict of zero attorney’s fees but no specific amount of attorney’s fees was
    established as a matter of law); see also McMillin v. State Farm Lloyds, 
    180 S.W.3d 183
    , 210—11 (Tex. App.—Austin 2005, pet. denied) (reversing the
    jury’s award of zero attorney’s fees because no evidence supported it and
    remanding the issue to the trial court because the record did not conclusively
    prove any particular amount as reasonable and necessary).
    20
    Sawicki’s Representation of French
    In its second issue, LOWT argues that the trial court abused its discretion
    by refusing to disqualify Sawicki and allowing him to act as French’s attorney
    and testify as a witness. It contends that Sawicki was an essential witness in
    the litigation and that the trial court’s permitting him to testify was prejudicial
    to LOWT.
    Standard of Review
    We review a trial court’s denial of a motion to disqualify counsel under
    an abuse of discretion standard. 29 A trial court abuses its discretion if it acts
    arbitrarily and unreasonably or without reference to any guiding principles. 30 A
    trial court also abuses its discretion if it fails to analyze or apply the law
    correctly. 31
    Analysis
    Rule 3.08 of the Texas Rules of Disciplinary Procedure provides that an
    attorney shall not act as an advocate in an adjudicatory proceeding if the
    29
     See In re Sanders, 
    153 S.W.3d 54
    , 56 (Tex. 2004).
    30
     Downer v. Aquamarine Operators, Inc., 
    701 S.W.2d 238
    , 241–42
    (Tex. 1985), cert. denied, 
    476 U.S. 1159
    (1986).
    31
     
    Sanders, 153 S.W.3d at 56
    .
    21
    attorney knows or believes that he “may be a witness necessary to establish
    an essential fact” on his client’s behalf unless
    (1) the testimony relates to an uncontested issue;
    (2) the testimony will relate solely to a matter of formality and
    there is no reason to believe that substantial evidence will be
    offered in opposition to the testimony;
    (3) the testimony relates to the nature and value of legal services
    rendered in the case;
    (4) the lawyer is a party to the action and is appearing pro se; or
    (5) the lawyer has promptly notified opposing counsel that the
    lawyer expects to testify in the matter and disqualification of the
    lawyer would work substantial hardship on the client. 32
    Comment nine to this rule states that the rule is a disciplinary standard “and is
    not well suited to use as a standard for procedural disqualification.” 33 Although
    the rule does not provide a standard for disqualification proceedings, comment
    ten states that the rule may provide guidance in a disqualification dispute. The
    Supreme Court of Texas has recognized that the rule provides guidelines
    relevant to a disqualification determination. 34
    32
     Tex. Disciplinary R. Prof’l Conduct 3.08(a), reprinted in Tex. Gov’t
    Code, tit. 2, subtit. G app. A (Vernon 2005).
    33
     
    Id. cmt. 9.
          34
     
    Sanders, 153 S.W.3d at 56
    .
    22
    Comment ten states that the rule “should not be used as a tactical
    weapon to deprive the opposing party of the right to be represented by the
    lawyer of his or her choice.” 35    For example, “a lawyer should not seek to
    disqualify an opposing lawyer by unnecessarily calling that lawyer as a
    witness.” 36 And the supreme court has stated that disqualification is a severe
    remedy that “can cause immediate harm by depriving a party of its chosen
    counsel and disrupting court proceedings.” 37 Accordingly, disqualification is
    only appropriate if “the lawyer’s testimony is ‘necessary to establish an
    essential fact’” and if the party requesting disqualification demonstrates “that
    the opposing lawyer’s dual roles as attorney and witness will cause the party
    actual prejudice.” 38
    In Sanders, a husband in a divorce proceeding arranged with his attorney
    to pay part of his legal fees by remodeling her offices. 39 The wife sought to
    disqualify the husband’s attorney on the ground that as an employer of a party
    in a custody case, the attorney would be a material witness to establish
    35
     Tex. Disciplinary R. Prof’l Conduct 3.08(a) cmt. 10.
    36
     
    Id. 37 
    Sanders, 153 S.W.3d at 57
    .
    38
     
    Id. 39 
    Id. at 56.
    
    23
    whether his employment schedule would interfere with his parenting duties and
    his ability to pay child support. 40 The supreme court stated that, assuming such
    fact was “essential,” the wife failed to explain why other sources in the record
    were insufficient to establish it, and accordingly, the trial court did not abuse
    its discretion by declining to disqualify the attorney on that ground. 41
    Here, as the party seeking disqualification, LOWT had the burden to show
    that Sawicki’s testimony was necessary to establish a necessary fact and that
    Sawicki’s dual roles as attorney and witness would cause it actual prejudice. 42
    LOWT had to establish the reasonable value of the services that it provided to
    French. LOWT argued to the trial court that it had to call Sawicki as a witness
    because Sawicki’s testimony “[went] to the very heart of what’s at stake here,”
    that Sawicki “[had] personal knowledge of what he did in this case, when he
    did it in the case, [and] how much effort he put into it,” and that LOWT did not
    have any other witnesses who could testify about that.
    But LOWT had other evidence to establish the reasonable value of its
    services to French. LOWT had boxes of documents produced by the LOWT
    lawyers and staff employees who worked on French’s case, including Sawicki.
    40
     
    Id. 41 
    Id. at 57.
    
          42
     See 
    id. 24 LOWT
    had an expert witness to testify about the kinds of hours required for a
    medical malpractice case like French’s, the work that Sawicki did at the firm,
    the quality of his work, the amount of time such work would have required, and
    the reasonable rates for such work.      LOWT also had other attorneys and
    employees that it could have called to testify about work performed on French’s
    behalf before Sawicki worked on the case, while Sawicki worked on the case,
    and after he left the firm. Thus, LOWT failed to show that calling Sawicki as
    a witness was necessary to establish the reasonable value of its services.
    Consequently, the trial court did not abuse its discretion by denying LOWT’s
    motion to disqualify Sawicki from representing French. We overrule LOWT’s
    second issue.
    III. French’s Cross Appeal
    In French’s sole issue on cross-appeal, he argues that the trial court erred
    by entering a judgment not withstanding the jury verdict on his IIED claim
    because there is legally sufficient evidence to support the award.
    Standard of Review
    A trial court may disregard a jury verdict and render a JNOV if no
    evidence supports the jury finding on an issue necessary to liability or if a
    25
    directed verdict would have been proper. 43 A directed verdict is proper only
    under limited circumstances: (1) when the evidence conclusively establishes the
    right of the movant to judgment or negates the right of the opponent; or (2)
    when the evidence is insufficient to raise a material fact issue. 44
    To determine whether the trial court erred by rendering a JNOV, we view
    the evidence in the light most favorable to the verdict under the well-settled
    standards that govern legal sufficiency review. 45    We must credit evidence
    favoring the jury verdict if reasonable jurors could and disregard contrary
    evidence unless reasonable jurors could not. 46
    Analysis
    A plaintiff asserting a claim for IIED must prove that “(1) the defendant
    acted intentionally or recklessly; (2) the conduct was extreme and outrageous;
    43
     See Tex. R. Civ. P. 301; Tiller v. McLure, 
    121 S.W.3d 709
    , 713 (Tex.
    2003); Fort Bend County Drainage Dist. v. Sbrusch, 
    818 S.W.2d 392
    , 394
    (Tex. 1991).
    44
     Prudential Ins. Co. of Am. v. Fin. Review Servs., Inc., 
    29 S.W.3d 74
    ,
    77 (Tex. 2000); Farlow v. Harris Methodist Fort Worth Hosp., 
    284 S.W.3d 903
    , 919 (Tex. App.—Fort Worth 2009, pet. denied).
    45
     See Wal-Mart Stores, Inc. v. Miller, 
    102 S.W.3d 706
    , 709 (Tex.
    2003).
    46
     Cent. Ready Mix Concrete Co. v. Islas, 
    228 S.W.3d 649
    , 651 (Tex.
    2007); see Tanner v. Nationwide Mut. Fire Ins. Co., 
    289 S.W.3d 828
    , 830
    (Tex. 2009).
    26
    (3) the actions of the defendant caused the plaintiff emotional distress; and (4)
    the resulting emotional distress was severe.” 47 No claim for IIED can be
    maintained “when the risk that emotional distress will result is merely incidental
    to the commission of some other tort,” and, “[a]ccordingly, a claim for [IIED]
    will not lie if emotional distress is not the intended or primary consequence of
    the defendant’s conduct.” 48
    Conduct is extreme and outrageous if it is “‘so outrageous in character,
    and so extreme in degree, as to go beyond all possible bounds of decency, and
    to be regarded as atrocious, and utterly intolerable in a civilized community.’” 49
    A court determining whether certain conduct is extreme and outrageous should
    consider the context and the relationship between the parties. 50 “‘The extreme
    and outrageous character of the conduct may arise from an abuse by the actor
    of a position, or a relation with the other, which gives him actual or apparent
    47
     GTE Sw., Inc. v. Bruce, 
    998 S.W.2d 605
    , 611 (Tex. 1999); see also
    Standard Fruit & Vegetable Co. v. Johnson, 
    985 S.W.2d 62
    , 65 (Tex. 1998).
    48
     GTE 
    Sw., 998 S.W.2d at 611
    ; see also Standard Fruit & 
    Vegetable, 985 S.W.2d at 66
    .
    49
     Natividad v. Alexsis, Inc., 
    875 S.W.2d 695
    , 699 (Tex. 1994)
    (quoting Twyman v. Twyman, 
    855 S.W.2d 619
    , 621 (Tex. 1993));
    Restatement (Second) of Torts § 46 cmt. d (1965).
    50
     GTE 
    Sw., 998 S.W.2d at 612
    .
    27
    authority over the other, or power to affect his interests.’” 51 If a person does
    no more than insist on his legal rights in a permissible way, he cannot be liable
    for causing emotional distress in doing so. 52
    An attorney in Texas is permitted to seek recovery of a fee, either in
    contract or in quantum meruit, depending on how the relationship between the
    attorney and the client ended. 53 Thus, LOWT had a legal right to seek recovery
    of at least the reasonable value of its services, subject to a defense that LOWT
    had abandoned its representation of French without just cause.              Even
    knowledge that, in doing so, it would cause French emotional distress does not
    make LOWT liable on an IIED claim. 54
    51
     
    Id. (quoting Restatement
    (Second) of Torts § 46 cmt. e).
    52
     Montemayor v. Ortiz, 
    208 S.W.3d 627
    , 656–57 (Tex. App.—Corpus
    Christi 2006, pet. denied).
    53
     Hoover Slovacek 
    LLP, 206 S.W.3d at 561
    (“[I]f an attorney hired on
    a contingent-fee basis is discharged without cause before the representation is
    completed, the attorney may seek compensation in quantum meruit or in a suit
    to enforce the contract by collecting the fee from any damages the client
    subsequently recovers.”); 
    Royden, 331 S.W.2d at 209
    (stating that an attorney
    who abandons his client before the proceeding for which he was retained has
    been completed, or who commits a material breach of the employment
    contract, is not entitled to compensation for his services).
    54
     See Creditwatch, Inc. v. Jackson, 
    157 S.W.3d 814
    , 817 n.20 (Tex.
    2005); 
    Montemayor, 208 S.W.3d at 656
    –57 (“We are unable to conclude that
    the pursuit of a remedy through legal process, however invasive, or even
    injurious, constitutes outrageous conduct beyond the bounds of decency, such
    as that which must be established to recover for intentional infliction of
    28
    Of course, the manner in which a party pursues its legal rights may
    sometimes be actionable, 55 but the supreme court has set a high bar for
    plaintiffs pursuing such a claim in the context of a dispute in a business
    relationship. In Tiller v. McLure, the supreme court addressed an IIED claim that
    arose out of a dispute over two commercial contracts. 56        McLure and her
    husband owned a business that contracted to do construction work for Tiller. 57
    After McLure’s husband was diagnosed with a malignant brain tumor, she sent
    Tiller a letter informing him of her husband’s condition and designating herself
    as a contact person for concerns and complaints about the project. Tiller made
    “numerous and unpleasant” calls to McLure, all related to the contracts, that
    emotional distress.”). But see, e.g., Tex. Disciplinary R. Prof’l Conduct 1.04
    cmt. 19 (“If a procedure has been established for resolution of fee disputes,
    such as an arbitration or mediation procedure established by a bar association,
    the lawyer should conscientiously consider submitting to it.”).
    55
     See, e.g., Household Credit Servs., Inc. v. Driscol, 
    989 S.W.2d 72
    ,
    78, 81–82 (Tex. App.—El Paso 1998, pet. denied) (holding that the acts of a
    credit card company’s agent in attempting to collect on an account gave rise
    to an IIED claim when the agent made repeated calls to the debtor’s place of
    employment after being asked to stop, once making twenty-six calls within a
    two-hour time period; made four or five calls to her home a day, sometimes
    before 6:30 in the morning and after 11 p.m. in the evening; used abusive
    language; told the debtor that the agent had put a contract out on her life; and
    called in a bomb threat to the debtor’s workplace).
    56
     
    121 S.W.3d 709
    , 714 (Tex. 2003).
    57
     
    Id. at 712.
    29
    were “self-centered and often unprofessional.” 58 In none of his calls did Tiller
    directly attack McLure; rather, his complaints and threats all related to the
    project. 59 After McLure’s husband died, Tiller learned that she intended to shut
    down the construction site for the day of the funeral so that company
    employees could attend. 60    Tiller objected and threatened to terminate the
    contract if she did so. Between McLure’s taking over the lead on the project
    and the end of the project, Tiller telephoned her over sixty times. The court
    noted that Tiller’s actions were “regularly insensitive, unreasonable, or
    otherwise wrongful” but, in context, did not rise to the level of extreme and
    outrageous.61
    Furthermore, in Creditwatch, the supreme court held that the act of the
    plaintiff’s former employer in orchestrating a post-termination eviction of the
    plaintiff was “callous, meddlesome, mean-spirited, officious, overbearing, and
    vindictive—but not ‘so outrageous in character, and so extreme in degree, as
    to go beyond all possible bounds of decency, and to be regarded as atrocious,
    58
     
    Id. at 714.
          59
     
    Id. 60 
    Id. at 712.
    
          61
     
    Id. at 715.
    30
    and utterly intolerable in a civilized community.’” 62 The court stated that “[w]e
    certainly understand judicial reticence to dismiss claims like this one stemming
    from heinous acts” but that “such acts will rarely have merit as intentional
    infliction claims,” “except in circumstances bordering on serious criminal
    acts.” 63 Pursuing a claim to be paid what one believes is owed him does not
    rise to the level of outrageous conduct required by the supreme court in an IIED
    claim. 64
    French argues that LOWT owed him a fiduciary duty and that its conduct
    must therefore be viewed with stricter scrutiny than the conduct of an
    individual in an ordinary relationship. The supreme court has instructed us that
    context matters in determining whether certain conduct is extreme and
    outrageous.65 An attorney seeking recovery of a fee can, in theory, pursue
    62
     
    Creditwatch, 157 S.W.3d at 817
    –18.
    63
     
    Id. at 818
    (emphasis added).
    64
     See 
    Montemayor, 208 S.W.3d at 656
    –57; Gaspard v. Beadle, 
    36 S.W.3d 229
    , 238 (Tex. App.—Houston [1st Dist.] 2001, pet. denied) (holding
    that sending a bill to a former client after ending a sexual relationship with her
    did not support an IIED claim; although the sending of the bill after breaking up
    with her “add[ed] insult to injury,” the attorney believed he had a right to be
    paid for his legal work, and the court did not consider his actions to be extreme
    and outrageous).
    65
     City of Keller v. Wilson, 
    168 S.W.3d 802
    , 811 (Tex. 2005) (stating
    that, in reviewing IIED claims for legal sufficiency, a court considers the context
    and the relationship between the parties); GTE 
    Sw., 998 S.W.2d at 612
    31
    recovery in such a way that would constitute outrageous behavior. 66 But here
    it was only LOWT’s pretrial refusal to agree to less than the contracted-for fee
    and its pursuit of its fee through judicial means that caused French’s emotional
    distress. A pursuit of a legal right, done in a legally permissible manner, even
    if done with callous disregard for the emotional distress such pursuit will cause,
    will not subject an actor, even an attorney, to liability for IIED. 67 Furthermore,
    the actions complained of by French as causing his emotional distress all
    occurred after the attorney-client relationship between French and LOWT had
    ended. 68
    LOWT did put French in a position that the jury may have considered
    unconscionable: by asserting its right to a 40% recovery, LOWT left French
    with potentially oppressive alternatives of choosing, at the extreme, a much
    smaller share of recovery or an attorney with much less experience who was
    willing to accept a much smaller contingency fee. After putting French in such
    a position, LOWT then refused to accept the case back, so that if French went
    forward with his case and won, he would be forced to pay (if LOWT
    (quoting Restatement (Second) of Torts § 46 cmt. e (1965)).
    66
     See, e.g., Household Credit 
    Servs., 989 S.W.2d at 81
    –82.
    67
     See Wornick Co. v. Casas, 
    856 S.W.2d 732
    , 735 (Tex. 1993).
    68
     See Hall v. Stephenson, 
    919 S.W.2d 454
    , 465 (Tex. App.—Fort
    Worth 1996, writ denied) (noting general rule that an attorney has no duty to
    a client after the attorney-client relationship has ended).
    32
    successfully recovered its share) for more than one attorney. After intervening
    in the Tarrant County lawsuit, LOWT filed a separate lawsuit in Dallas County,
    subjecting French to not one but two lawsuits over the same fees, one of which
    was found to be frivolous. The jury, faced with an attorney who would put a
    client in such a position, especially an older client involved in a lawsuit over the
    unexpected loss of his spouse, may have felt that the attorney’s behavior was
    outrageous, atrocious, and utterly intolerable. But the law in this state provides
    that a party pursuing its legal rights in a permissible way is not outrageous
    conduct per se, and we must apply that law.
    French argues that none of the acts of LOWT in pursuing payment were
    justified, “let alone reasonable.” That may be so, but neither were they
    outrageous enough in character to meet the standards for an IIED claim as set
    out by the supreme court in Tiller and Creditwatch. 69 We overrule French’s sole
    issue.
    IV. Conclusion
    Having overruled French’s sole issue on appeal, we affirm the trial court’s
    judgment notwithstanding the verdict on French’s IIED claim. Having sustained
    LOWT’s first issue, we reverse the trial court’s take-nothing judgment on
    LOWT’s claim and remand for a new trial on LOWT’s quantum meruit claim.
    69
     See 
    Creditwatch, 157 S.W.3d at 817
    –18; 
    Tiller, 121 S.W.3d at 715
    .
    33
    LEE ANN DAUPHINOT
    JUSTICE
    PANEL: LIVINGSTON and DAUPHINOT, JJ.
    DELIVERED: March 4, 2010
    34