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  "name": "VANN DALE HARGETT, CECIL GLENN HARGETT, GERALD KEITH HARGETT, and FRANCES HARGETT DEASON v. ROBERT L. HOLLAND",
  "name_abbreviation": "Hargett v. Holland",
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    "parties": [
      "VANN DALE HARGETT, CECIL GLENN HARGETT, GERALD KEITH HARGETT, and FRANCES HARGETT DEASON v. ROBERT L. HOLLAND"
    ],
    "opinions": [
      {
        "text": "EXUM, Chief Justice.\nThis appeal presents the question whether a claim for professional malpractice against an attorney for alleged negligence in drafting a will is barred by the four-year statute of repose contained in our professional malpractice statute of limitations, N.C.G.S. \u00a7 l-15(c)(1983), when the claim is filed more than 13 years after the attorney prepared the will and supervised its execution. Section l-15(c) provides:\nExcept where otherwise provided by statute, a cause of action for malpractice arising out of the performance of or failure to perform professional services shall be deemed to accrue at the time of the occurrence of the last act of the defendant giving rise to the cause of action: Provided that whenever there is bodily injury to the person, economic or monetary loss, or a defect in or damage to property which originates under circumstances making the injury, loss, defect or damage not readily apparent to the claimant at the time of its origin, and the injury, loss, defect or damage is discovered or should reasonably be discovered by the claimant two or more years after the occurrence of the last act of the defendant giving rise to the cause of action, suit must be commenced within one year from the date discovery is made: Provided nothing herein shall be construed to reduce the statute of limitation in any such case below three years. Provided further, that in no event shall an action be commenced, more than four years from the last act of the defendant giving rise to the cause of action: Provided further, that where damages are sought by reason of a foreign object, which has no therapeutic or diagnostic purpose or effect, having been left in the body, a person seeking damages for malpractice may commence an action therefor within one year after discovery thereof as hereinabove provided, but in no event may the action be commenced more than 10 years from the last act of the defendant giving rise to the cause of action.\nId. (emphasis added).\nConcluding that the attorney had a continuing duty to correct the will up until the testator died, the Court of Appeals held that the attorney\u2019s last act giving rise to the claim, from which the four-year statute of repose began to run, occurred immediately before the testator\u2019s death, which was within four years of the filing of the complaint; therefore, the statute of repose was not a bar to plaintiffs\u2019 claim. We hold that under the circumstances alleged in the complaint there was no continuing duty on the part of the attorney to correct the will; therefore, the attorney\u2019s last act giving rise to the claim was his supervision of the will\u2019s execution. Since this was more than four years preceding the filing of the complaint, we hold the four-year statute of repose bars the claim. Thus, we reverse.\nSince the question is presented on a Rule 12(b)(6) motion to dismiss, we decide the case on the basis of the factual allegations in the complaint, taking them as true. Jackson v. Bumgardner, 318 N.C. 172, 347 S.E.2d 743 (1986); Presnell v. Pell, 298 N.C. 715, 260 S.E.2d 611 (1979). Defendant\u2019s answer denies that he prepared the will or supervised its execution. The parties have stipulated that for purposes of deciding whether the claim is barred by the professional malpractice statute of limitations, we may treat the will \u201cas having been prepared by the Defendant on or before September 1, 1978.\u201d\nA statute of limitations or repose defense may be raised by way of a motion to dismiss if it appears on the face of the complaint that such a statute bars the claim. Oates v. JAG, Inc., 314 N.C. 276, 333 S.E.2d 222 (1985); F.D.I.C. v. Loft Apartments, 39 N.C. App. 473, 250 S.E.2d 693, disc. rev. denied, 297 N.C. 176, 254 S.E.2d 39 (1979); Travis v. McLaughlin, 29 N.C. App. 389, 224 S.E.2d 243, disc. rev. denied, 290 N.C. 555, 226 S.E.2d 513 (1976); Teague v. Asheboro Motor Co., 14 N.C. App. 736, 189 S.E.2d 671 (1972).\nThe complaint\u2019s factual allegations are these: \u201c[I]n or about 1978 Vann W. Hargett, father of plaintiffs, contracted with Defendant Holland to prepare a Last Will and Testament for Vann W. Hargett which would provide upon his death a life estate in the family farm consisting of 79.65 acres to his then wife, Elizabeth H. Hargett, with remainder over to Plaintiffs herein, his children from his first marriage.\u201d Defendant prepared the will, which was executed by Vann W. Hargett and witnessed by defendant on 1 September 1978. Sometime after executing the will, Vann W. Hargett advised plaintiffs that he had provided in his will for a life estate in the family farm to Elizabeth H. Hargett with remainder to plaintiffs. Vann W. Hargett died on 7 November 1988. On 21 November 1988 plaintiffs learned that Elizabeth H. Hargett claimed the will entitled her not only to a life estate in the farm but also to the remainder interest provided she survived the testator by more than six months. Thereafter on several occasions defendant assured plaintiffs that he had prepared the will in accord with the testator\u2019s instructions that Elizabeth H. Hargett would have a life estate in the farm and plaintiffs the remainder. Later litigation over the interpretation of Vann W. Hargett\u2019s will resulted in an unpublished Court of Appeals decision that Elizabeth H. Hargett took a life estate in the farm and the remainder interest was to be shared by plaintiffs and two children of Elizabeth H. Hargett by a former marriage.\nPlaintiffs then filed this action on 6 November 1991 alleging that defendant negligently drafted Vann H. Hargett\u2019s will by \u201cfailing to use the appropriate verbiage so as to effectuate the intent of the testator.\u201d Plaintiffs claim they were damaged to the extent they did not receive all of the remainder interest in the family farm.\nDefendant\u2019s Rule 12(b)(6) motion to dismiss for failure to state a claim was allowed by Judge Helms on the ground that \u201cthe applicable statute of limitations expired prior to commencement of this action . . . .\u201d The Court of Appeals concluded that plaintiff\u2019s cause of action did not accrue under the professional malpractice statute of limitations until the testator\u2019s death; therefore it was not barred by the three-year limitations provision. It also concluded that defendant\u2019s last act giving rise to the claim did not occur until immediately before the testator\u2019s death; therefore the claim was not barred by the four-year statute of repose provision. The Court of Appeals reversed the trial court\u2019s allowance of the motion to dismiss and remanded for further proceedings.\nWe conclude defendant\u2019s last act giving rise to the claim occurred when he supervised the execution of the will on 1 September 1978; therefore plaintiffs\u2019 claim, being brought more than four years after that date, is barred by the four-year statute of repose provision contained in the professional malpractice statute of limitations.\nUnlike statutes of limitations, which run from the time a cause of action accrues, \u201c[statutes of repose . . . create time limitations which are not measured from the date of injury. These time limitations often run from defendant\u2019s last act giving rise to the claim or from substantial completion of some service rendered by defendant.\u201d Trustees of Rowan Tech. v. Hammond Assoc., 313 N.C. 230, 234 n.3, 328 S.E.2d 274, 276-77 n.3 (1985). A statute of repose creates an additional element of the claim itself which must be satisfied in order for the claim to be maintained. Bolick v. Amercian Barmag Corp., 306 N.C. 364, 293 S.E.2d 415 (1982).\nUnlike a limitation provision which merely makes a claim unenforceable, a condition precedent establishes a time period in which suit must be brought in order for a cause of action to be recognized. If the action is not brought within the specified period, the plaintiff \u201cliterally has no cause of action. The harm that has been done is damnum absque injuria \u2014 a wrong for which the law affords no redress.\u201d Rosenberg v. Town of North Bergen, 61 N.J. 190, 199, 293 A.2d 662, 667 (1972).\nBoudreau v. Baughman, 322 N.C. 331, 340-41, 368 S.E.2d 849, 857 (1988) (emphasis original). In Black v. Littlejohn, 312 N.C. 626, 325 S.E.2d 469 (1985), this Court held:\n[T]he period contained in the statute of repose begins when a specific event occurs, regardless of whether a cause of action has accrued or whether an injury has resulted. . . . Thus, the repose serves as an unyielding and absolute barrier that prevents a plaintiff\u2019s right of action even before his cause of action may accrue, which is generally recognized as the point in time when the elements necessary for a legal wrong coalesce.\nId. at 633, 325 S.E.2d at 474-75 (citations omitted).\nRegardless of when plaintiffs\u2019 claim might have accrued, or when plaintiffs might have discovered their injury, because of the four-year statute of repose, their claim is not maintainable unless it was brought within four years of the last act of defendant giving rise to the claim. Flippen v. Jarrell, 301 N.C. 108, 112, 270 S.E.2d 482, 485 (1980), reh\u2019g denied, 301 N.C. 727, 274 S.E.2d 228 (1981); Trustees of Rowan Tech., 313 N.C. 230, 328 S.E.2d 274.\nThe Court of Appeals held that defendant\u2019s last act occurred immediately before testator\u2019s death, the last act being defendant\u2019s failure to fulfill a continuing duty to prepare a will properly reflecting the testator\u2019s testamentary intent.\nUnder the circumstances here we conclude defendant had no such continuing duty. We hold that under the arrangement alleged in the complaint, which was a contract to prepare a will after which defendant was an attesting witness to the will, defendant\u2019s duty was simply to prepare and supervise the execution of the will. This arrangement did not impose on defendant a continuing duty thereafter to review or correct the will or to prepare another will. Absent allegations of an ongoing attorney-client relationship between testator and defendant with regard to the will from which such a continuing duty might arise, or allegations of facts from which such a relationship may be inferred, the allegations which are contained in the complaint are insufficient to place any continuing duty on defendant to review or correct the prepared will, or to draft another will.\nThe concept of a continuing professional duty has arisen in the context of medical malpractice claims where there was a continuous course of treatment of the patient by the physician. Ballenger v. Crowell, 38 N.C. App. 50, 247 S.E.2d 287 (1978).\n[W]here the injurious consequences arise from a continuing course of negligent treatment. . . the statute does not ordinarily begin to run until the injurious treatment is terminated. . . . The malpractice in such cases is regarded as a continuing tort because of the persistence of the physician or surgeon in continuing and repeating the wrongful treatment.\nId. at 58, 247 S.E.2d at 293 (quoting Tortorello v. Reinfeld, 6 N.J. 58, 77 A.2d 240 (1950)) (citations omitted). Even in the medical malpractice context, absent a continuing course of treatment provided by the physician, the physician\u2019s last act occurs when he completes the treatment for which he was engaged. Mathis v. May, 86 N.C. App. 436, 358 S.E.2d 94 (act for which defendant was .hired, diagnosis of a breast mass, was completed upon rendering of a negative diagnosis), disc. rev. denied, 320 N.C. 794, 361 S.E.2d 78 (1987). See also Harvey v. Ritchey, 582 N.E.2d 792 (Ind. 1991) (for claim of medical malpractice based on a failure to diagnose, omission cannot extend beyond time physician last rendered a diagnosis).\nJust as a physician\u2019s duty to the patient is determined by the particular medical undertaking for which he was engaged, an attorney\u2019s duty to a client is likewise determined by the nature of the services he agreed to perform. An attorney who is employed to draft a will and supervise its execution and who has no further contractual relationship with the testator with regard to the will has no continuing duty to the testator regarding the will after the will has been executed. Here plaintiffs\u2019 complaint alleges a contractual relationship between defendant and testator to draft a will and that defendant supervised execution of the will. After defendant completed these acts, he had performed his professional obligations; and his professional duty to testator was at an end.\nThis conclusion is supported by our decision in Trustees of Rowan Tech. v. Hammond Assoc., 313 N.C. 230, 328 S.E.2d 274. In Rowan, the Court held that N.C.G.S. \u00a7 l-15(c) did not apply to architects and engineers because such claims were governed by N.C.G.S. \u00a7 1-50, a statute dealing with claims against persons who design and supervise construction of buildings. However, the Court noted that were \u00a7 l-15(c) to apply, the plaintiff\u2019s claim, which was brought on 26 April 1982, would have been barred by the four-year statute of repose running from the defendant\u2019s last act giving rise to the claim. There the last act of the defendant was on 1 October 1976, the date the defendant certified the general contractor had completed construction. Id. at 234, 328 S.E.2d at 277. No continuing duty to inspect or repair the completed construction was imputed to the defendant.\nBoth the Court of Appeals and plaintiffs mistakenly rely on Sunbow Industries, Inc. v. London, 58 N.C. App. 751, 294 S.E.2d 409 (1982), disc. rev. denied, 307 N.C. 272, 299 S.E.2d 219 (1982). In Sun-bow plaintiff sued defendant attorney for professional malpractice arising out of defendant\u2019s failure to perfect plaintiff\u2019s security interest in certain collateral by failing to file a financing statement prior to a petition for bankruptcy filed by the debtor, DBE, Inc. Plaintiff had retained defendant to represent it in the sale of certain assets to DBE on 27 May 1976, at which time plaintiff entered into a security agreement with DBE. Because defendant did not perfect plaintiff\u2019s security interest before DBE\u2019s petition for bankruptcy on 25 September 1978, the plaintiff was subordinated as a creditor. Plaintiff\u2019s lawsuit was filed more than three years after the date of closing of the sale but less than three years after the filing of the bankruptcy petition. The Court of Appeals held the three-year statute of limitations did not begin to run until the filing of DBE\u2019s petition for bankruptcy, before which, the court concluded, plaintiff had not been harmed. Id. at 753, 294 S.E.2d at 410.\nSunbow is distinguishable. First, Sunbow involved the three-year statute of limitations provision in the professional malpractice limitations statute, rather than the statute of repose provision. More pertinently, defendant in Sunbow was retained for the purpose of representing the plaintiff during the closing and for perfecting plaintiff\u2019s security interest in the assets. Therefore, it was reasonable to conclude defendant had a continuing duty to file the financing statement up until the time of the bankruptcy petition, and that his failure to do so immediately prior to that time was defendant\u2019s last act giving rise to plaintiff\u2019s claim.\nIn Sunbow as here it was the contractual arrangement between attorney and client that determined the extent of the attorney\u2019s duty to the client and the end of the attorney\u2019s professional obligation. Because of the contractual arrangement between testator and defendant here, defendant\u2019s professional obligations concluded with his preparation of the will and the supervision of its execution, the latter act becoming his last act giving rise to the claim.\nFor the foregoing reasons, the decision of the Court of Appeals is reversed.\nREVERSED.",
        "type": "majority",
        "author": "EXUM, Chief Justice."
      }
    ],
    "attorneys": [
      "Brown, Bogin & Montgomery, by R. Kent Brown, for plaintiffappellees.",
      "Dean & Gibson, by Rodney Dean and J. Brace McDonald, for defendant-appellant.",
      "Dameron & Burgin, by Charles E. Burgin; Smith Helms Mulliss & Moore, L.L.P., by Jo Ann T. Harllee, amicus curiae, on behalf of the N. C. Bar Association."
    ],
    "corrections": "",
    "head_matter": "VANN DALE HARGETT, CECIL GLENN HARGETT, GERALD KEITH HARGETT, and FRANCES HARGETT DEASON v. ROBERT L. HOLLAND\nNo. 377PA93\n(Filed 9 September 1994)\nLimitations, Repose, and Laches \u00a7 26 (NCI4th)\u2014 attorney malpractice \u2014 negligent will drafting \u2014 last act giving rise to claim \u2014 statute of repose\nWhere defendant attorney contracted to prepare and supervise the execution of a will, the attorney had no continuing duty thereafter to review or correct the will or to prepare another will, and the attorney\u2019s last act giving rise to a claim for professional malpractice for alleged negligence in drafting the will occurred when he supervised the execution of the will. Therefore, plaintiffs\u2019 malpractice claim against the attorney was barred by the four-year statute of repose contained in the professional malpractice statute of limitations, N.C.G.S. \u00a7 l-15(c), where the claim was filed more than 13 years after the attorney prepared the will and supervised its execution.\nAm Jur 2d, Attorneys at Law \u00a7\u00a7 219-221.\nWhen statute of limitations begins to run upon action against attorney for malpractice. 32 ALR4th 260.\nOn defendant\u2019s petition for discretionary review pursuant to N.C.G.S. \u00a7 7A-31 of a unanimous decision of the Court of Appeals reversing an order dismissing complaint for failure to state a claim entered at the 23 March 1992 Civil Session of Superior Court, Union County, Helms, J., presiding. Heard in the Supreme Court 12 May 1994.\nBrown, Bogin & Montgomery, by R. Kent Brown, for plaintiffappellees.\nDean & Gibson, by Rodney Dean and J. Brace McDonald, for defendant-appellant.\nDameron & Burgin, by Charles E. Burgin; Smith Helms Mulliss & Moore, L.L.P., by Jo Ann T. Harllee, amicus curiae, on behalf of the N. C. Bar Association."
  },
  "file_name": "0651-01",
  "first_page_order": 679,
  "last_page_order": 686
}
