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Legal Updates for Lawyers' Professional Liability

John “Jack” Slimm Wins Pivotal New Jersey Appellate Division Decision Impacting the Defense of Trial Counsel in Legal Malpractice Actions in Connection with the Duty Owed to Adversaries in Litigation

Presented by the Lawyers' Professional Liability Practice Group

September 19, 2024

by John L. Slimm

In Mavroudis v. Vedder Price, P.C., Mitchell D. Cohen, McElroy, Deutsch, and William O’Connor, Jr., Esq., A-2568-21 (App. Div. September 6, 2024), the Appellate Division’s decision came after a decade of litigation in various courts stemming from a judgment GE Capital Corporation obtained against the plaintiff and his partners. The original judgment stemmed from the debtors’ default on certain MRI equipment leases. Litigation then ensued regarding debt collection. 

The debtors/non-clients filed a complaint against the attorneys (our clients) and the collection attorneys, alleging professional negligence and malpractice, malfeasance, breach of fiduciary duty, common law fraud, negligent misrepresentation, and gross negligence in connection with statements, arguments, affidavits, certifications made in the litigation over the debt, and the amount of the debt. The plaintiffs alleged, as a result of the statements and arguments made by the defendant attorneys in the underlying litigation regarding the debt, the attorneys committed fraud and misrepresentation that led to the plaintiffs’ damages, which they claimed were well in excess of $10 million. 

The Appellate Division found that, although privity is not necessary between an attorney and a non-client where an attorney has reason to foresee the specific harm which occurred, our clients owed no duty to the plaintiff-debtors as non-clients since the attorneys’ alleged misrepresentations were made during adversarial litigation and, thus, were not intended to induce reasonable reliance by a specific non-client. The court further held that, although lawyers have an obligation to speak truthfully on issues of material fact, their primary duty is to be a zealous advocate for their own client. Therefore, the Appellate Division rejected the plaintiffs’ contention that a duty was owed to the non-client under the circumstances of this case. 

In addition, the Appellate Division rejected the plaintiffs’ reliance on the Rules of Professional Conduct (RPC) to sustain their cause of action since in New Jersey a violation of the RPC, standing alone, does not create a cause of action for damages. Further, the court rejected the plaintiffs’ request to permit malpractice claims by non-clients in the presence of fraud, collusion, or malicious acts. 

According to the Appellate Division, although lawyers have an obligation to speak truthfully on issues of material fact under RPC 3.3 and 4.1, an attorney’s primary duty is to be a zealous advocate for his or her own client. Therefore, the court rejected the plaintiffs’ contention that a duty was owed to a non-client in the circumstances under which the attorneys make arguments as adversaries in litigation in certifications, affidavits, and statements in open court. The Appellate Division rejected the plaintiffs’ claim that the attorneys’ representations were actionable, holding that, permitting a cause of action against the adversary would not serve a legitimate purpose but would, instead, “become a weapon used to chill the entirely appropriate zealous advocacy in which a system of justice depends.” 

This decision is extremely important to the trial bar and provides attorneys with a level of protection/immunity in connection with statements and arguments they make as adversaries in litigation. 

Should you have any questions, do not hesitate to contact Jack Slimm of our Mount Laurel, New Jersey, office. 


 

Legal Updates for Lawyers’ Professional Liability – September 19, 2024 is prepared by Marshall Dennehey to provide information on recent legal developments of interest to our readers. This publication is not intended to provide legal advice for a specific situation or to create an attorney-client relationship. We would be pleased to provide such legal assistance as you require on these and other subjects when called upon. ATTORNEY ADVERTISING pursuant to New York RPC 7.1 Copyright © 2024 Marshall Dennehey, all rights reserved. No part of this publication may be reprinted without the express written permission of our firm. For reprints or inquiries, or if you wish to be removed from this mailing list, contact tamontemuro@mdwcg.com.

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Appellate Division Affirms Dismissal of Legal Malpractice Counterclaim Against Martin Law Firm

In Martin v. Loury, 2026 N.J. Super. Unpub. LEXIS 1617 (App. Div. July 15, 2026), Martin Law Firm represented Kirk Loury in an employment matter Mr. Loury filed against his former employer, Concord Equity Group Advisors LLC (“Concord”). The allegations included, among other things, that Loury was not fairly compensated for his employment with Concord. After a bench trial finding in Loury’s favor, the Appellate Division remanded this matter in February 2016 for a second trial. During the second trial, Concord CEO, Lee Argush, testified to lower compensation estimate than first trial. On remand, the second trial judge awarded Mr. Loury the same damages as the first judge, finding Mr. Argush not credible. After the findings during the second trial, Martin Law Firm filed an action against Mr. Loury to recover legal fees and costs of representing Mr. Loury in a second bench trial and Mr. Loury filed a counterclaim against Martin Law Firm for legal malpractice, alleging he should have received an even higher award in the second bench trial. In this allegation, Mr. Loury, through his expert, claimed that Martin Law Firm should have recalled Mr. Loury to the stand to rebut Mr. Argush’s testimony to allege an alternative theory of damages. Mr. Loury’s expert admitted that the second judge already rejected Mr. Argush's theory and accepted Loury's damages theory. The trial court barred Mr. Loury’s expert and dismissed Loury's counterclaim with prejudice before convening the collection trial, and the jury ruled in Martin Law Firm’s favor. Mr. Loury appealed the trial court's pretrial rulings barring his liability expert from testifying in support of his legal malpractice counterclaim, denying his motion for summary judgment on that counterclaim, and denying his motion to amend his counterclaim by adding attorney Joseph A. Martin as a codefendant. In affirming the trial court’s decision, the Appellate Division held that the trial court properly excluded Loury’s expert testimony in the counterclaim against Martin Law Firm because the expert could not explain how calling Loury as a rebuttal witness would have increased damages when the second judge already rejected Mr. Argush's testimony and accepted Loury's damages theory, making the expert’s causation opinion speculative. The Appellate Division also held that the trial court properly denied Mr. Loury's summary judgment motion on his malpractice counterclaim because reasonable minds could differ on whether Mr. Martin's alleged failures would have changed the second judge's damages award, given the judge already found Mr. Argush not credible, creating genuine factual disputes precluding summary judgment. Also, the Appellate Division held that the trial court properly denied Loury's May 2023 motion to add Joseph Martin individually because the statute of limitations expired in February 2022, six years after the 2016 appellate remand when Mr. Loury incurred new legal costs, and relation back did not apply because Mr. Loury knew Mr. Martin's identity throughout and strategically chose to sue only Martin Law Firm in his 2019 counterclaim.