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  "name": "RANCHO DEL VILLACITO CONDOMINIUMS, INC., a New Mexico corporation, and Kerry Kruskal, Plaintiffs-Counter-Defendants-Appellants, v. Eugene WEISFELD, Alcott & Weisfeld, a New Mexico partnership, and Colin C. Alcott, Defendants-Counter-Claimants-Appellees; Martin D. KRUSKAL and RDV Investors, Ltd., a New Mexico limited partnership, Plaintiffs-Counter-Defendants-Appellants, v. Eugene WEISFELD, Alcott & Weisfeld, a New Mexico partnership, and Colin C. Alcott, Defendants-Counter-Claimants-Appellees",
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    "judges": [
      "BACA, C.J., and RANSOM, J., concur."
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    "parties": [
      "RANCHO DEL VILLACITO CONDOMINIUMS, INC., a New Mexico corporation, and Kerry Kruskal, Plaintiffs-Counter-Defendants-Appellants, v. Eugene WEISFELD, Alcott & Weisfeld, a New Mexico partnership, and Colin C. Alcott, Defendants-Counter-Claimants-Appellees. Martin D. KRUSKAL and RDV Investors, Ltd., a New Mexico limited partnership, Plaintiffs-Counter-Defendants-Appellants, v. Eugene WEISFELD, Alcott & Weisfeld, a New Mexico partnership, and Colin C. Alcott, Defendants-Counter-Claimants-Appellees."
    ],
    "opinions": [
      {
        "text": "OPINION\nFROST, Justice.\n1. Plaintiffs-Appellants Martin Kruskal, Rancho del Villacito Condominiums, Inc., Kerry Kruskal, and RDV Investors, Ltd. (collectively Kruskal), appeal from a dismissal with prejudice of a malpractice case against Defendants-Appellees Eugene Weisfeld, Colin Alcott, and Alcott & Weisfeld (collectively Weisfeld). Kruskal consented to the dismissal in order to appeal two rulings by the trial court relating to collateral estoppel and admission of evidence. However, we need not consider Kruskal\u2019s arguments regarding the correctness of the trial court\u2019s rulings, because we find that Kruskal\u2019s consent to dismissal with prejudice is fatal to his appeal in this case. We affirm.\nI. FACTS\n2. This case arises out of a failed business venture involving Kruskal and Richard Moss. In 1980 Kruskal purchased property in Taos which he intended to develop into condominium units. Kruskal employed Weisfeld as his attorney for various legal matters, including setting up a corporation and partnership between Kruskal and Moss. Weisfeld also prepared the contract by which Kruskal employed Moss as developer for the condominium project.\n3. Over the course of the next year, Kruskal became concerned that Moss was violating his employment agreement and was improperly incurring excessive debt on behalf of the corporation. Kruskal claims he went to Weisfeld on several occasions for advice regarding Moss\u2019s alleged improprieties. Weisfeld allegedly advised Kruskal not to terminate Moss and to borrow additional amounts to cover the corporation\u2019s accounts payable. Kruskal contends that Weisfeld never warned him that his actions might constitute waiver or ratification of Moss\u2019s improprieties.\n4. In April 1985, Kruskal and Moss agreed to submit their dispute to binding arbitration and appointed Weisfeld as arbitrator. The arbitration agreement recited that Weisfeld had disclosed his personal and legal relationships with both parties and that the parties waived any objections based on conflict of interest on the part of Weisfeld. In early 1986 Weisfeld rendered his arbitration decision, finding that Moss had violated his employment contract. However, Weisfeld also found that Kruskal had ratified Moss\u2019s acts, and either had waived any objection to Moss\u2019s violations or was estopped from raising objections based on his actions after learning of Moss\u2019s improprieties. This Court, in an unpublished decision, upheld the arbitration decision as a binding resolution of the issues between Kruskal and Moss. Kruskal v. Moss, No. 19,065, slip op. (N.M. Apr. 25,1991).\n5. Kruskal next initiated this malpractice claim against Weisfeld as arising out of the advice Weisfeld gave him. Kruskal brought his claim in light of Weisfeld\u2019s arbitration decision finding estoppel and waiver contrary to his earlier advice. In response, Weisfeld claimed that he correctly advised Kruskal that Kruskal\u2019s acts did not constitute waiver, but that he incorrectly found waiver and estoppel in his arbitration decision. He therefore contended that he did not commit malpractice because his advice as Kruskal\u2019s lawyer was correct. He also argued that he cannot be sued in malpractice for the errors he made in rendering his arbitration decision because of arbitrator immunity. See, e.g., Corey v. New York Stock Exch., 691 F.2d 1205, 1210-12 (6th Cir.1982) (discussing arbitrator immunity); 5 Am.Jur.2d Arbitration and Award \u00a7 107 (1962) (same).\n6. Kruskal, confronted with this gordian knot of legal logic, moved to enter the findings of the arbitration decision into evidence and to make them binding on Weisfeld through collateral estoppel. Kruskal apparently agreed that, objectively, Weisfeld\u2019s original advice was correct, namely that there was no waiver or estoppel. However, Kruskal hoped to make Weisfeld\u2019s arbitration decision \u2014 finding that waiver and estoppel had occurred' \u2014 binding on Weisfeld for purposes of determining whether his earlier advice to Kruskal constituted malpractice. The trial court refused to give the arbitration agreement binding effect and would not enter the arbitrator\u2019s specific findings into evidence.\n7. The trial court\u2019s rulings were not final, appealable orders, and the eourt refused to certify the issues for interlocutory appeal. See NMSA 1978, \u00a7 39-3^ (Repl.Pamp.1991) (interlocutory appeals); SCRA 1986, 12-203 (Repl.Pamp.1992) (same). Kruskal decided he could not present a prima facie ease of malpractice without a ruling that the arbitration decision findings of waiver and estoppel were admissible and were binding on Weisfeld. Thus, on the eve of trial, Kruskal declined to present a case and consented to a dismissal with prejudice in order to bring an appeal from a final judgment.\nII. DISCUSSION\n8. At the outset we are faced with the threshold question whether Kruskal may appeal a dismissal to which he consented. In Gallup Trading Co. v. Michaels, 86 N.M. 304, 305, 523 P.2d 548, 549 (1974), this Court held that,\nIt is the general rule that: \"... A judgment by consent is in effect an admission by the parties that the decree is a just determination of their rights on the real facts of the case had they been found. It is ordinarily absolutely conclusive between the parties, and cannot be appealed from or reviewed on a writ of error.\u201d\n(quoting Shaw v. Spelke, 110 Conn. 208, 147 A. 675, 677 (1929)); see also 4 Am.Jur.2d Appeal and Error \u00a7 244 (1962) (\u201cA judgment of dismissal or nonsuit rendered at the plaintiffs request or with his consent is not, as a general rule, reviewable at his instance.\u201d). In Gallup Trading, we concluded that because the appellant consented to the entry of summary judgment, he acquiesced in the judgment and lost his right to appeal. Gallup Trading, 86 N.M. at 305, 523 P.2d at 549.\n9. Kruskal counters that other jurisdictions have allowed' for an exception to this rule if the plaintiffs consent to dismissal is not completely voluntary. This exception applies when an adverse ruling by the trial court would effectively preclude recovery by the plaintiff or is completely dispositive of the case. See, e.g., Wimberly v. Parrish, 253 N.C. 536, 117 S.E.2d 472, 474 (1960) (holding, when \u201ca judge intimates an opinion on the law which lies at the foundation of the action, adverse to the plaintiff, or excludes evidence offered by the plaintiff which is material and necessary to make out his case, he may submit to a nonsuit and appeal\u201d); 4 Am. Jur.2d, supra, \u00a7 244. See generally C.R. McCorkle, Annotation, Appellate Review at Instance of Plaintiff Who Has Requested, Induced, or Consented to Dismissal or Non-suit, 23 A.L.R.2d 664, 673 (1952 & Supp.1982 & Supp.1995).\n10. A recent opinion by the Iowa Supreme Court, Hense v. G.D. Searle & Co., 452 N.W.2d 440 (Iowa 1990), is instructive on this issue. In Hense, the Iowa Supreme Court considered whether to allow review of a consent judgment when \u201cthe plaintiffs consent [was] not truly voluntary when viewed in the light of prior rulings which [had] precluded recovery.\u201d Id. at 444. After examining cases from jurisdictions applying the strict \u201cnonreviewability\u201d approach and those allowing for a \u201clack of consent\u201d exception, the court decided,\nOn balance, we think the \u201clack of consent\u201d exception to the rule of nonreviewability, rather than a strict appellate waiver rule, better reflects Iowa\u2019s general preference for considering cases on their merits. Moreover, it parallels the \u201cvoluntariness\u201d exception this court has applied to the general rule that a party who accepts the benefits of a judgment or decree may not appeal the provisions under which the benefits are awarded.\nId.\n11.However, the Hense court went on to conclude, \u201cEven applying this standard, however, plaintiff cannot prevail. Neither the trial court\u2019s final [ruling] \u2014 nor any other rulings preceding plaintiffs invited summary judgment \u2014 can fairly be said to have precluded plaintiff from recovering.\u201d Id. See also 4 Am.Jur.2d, supra, \u00a7 244 (noting that, to fall within the exception, \u201cit is ordinarily required that the ruling be such as to preclude a recovery by the plaintiff in the present action, or, as sometimes expressed, that the ruling be completely dispositive of the case\u201d).\n12. In the present case, we need not decide whether to recognize a \u201clack of consent\u201d exception to the general rule of nonreviewability of voluntary dismissals, because, as in Hense, Kruskal\u2019s voluntary dismissal does not fall within this exception. The trial court\u2019s rulings in this case were not completely dispositive of the cause of action, nor did they preclude recovery by Kruskal.\n13. Kruskal\u2019s complaint for legal malpractice against Weisfeld alleged numerous failures and errors regarding the advice Weisfeld gave to Kruskal. However, in pursuing his case, Kruskal focused solely on whether Weisfeld\u2019s advice regarding waiver and estoppel was legally erroneous, and whether Kruskal\u2019s actions based on that advice constituted waiver or estoppel. Kruskal apparently concluded that Weisfeld\u2019s advice did in fact accurately reflect the law of waiver and estoppel, despite the findings in the arbitration decision. Kruskal then decided he could only prove malpractice by making the arbitration decision findings of waiver and estoppel binding for purposes of determining the correctness of Weisfeld\u2019s earlier advice.\n14. However, a malpractice claim does not necessarily turn on whether the lawyer\u2019s advice is legally accurate. As the Court of Appeals recently noted, \u201cTo recover on a claim of legal malpractice based on negligence, a plaintiff must prove three essential elements: (1) the employment of the defendant attorney; (2) the defendant attorney\u2019s neglect of a reasonable duty; and (3) the negligence resulted in and was the proximate cause of loss to the plaintiff.\u201d Hyden v. Law Firm of McCormick, Forbes, Caraway & Tabor, 115 N.M. 159, 162-63, 848 P.2d 1086, 1089-90 (Ct.App.), cert. denied, 115 N.M. 60, 846 P.2d 1069 (1993). The Court continued, \u201cAs to the second element, a plaintiff must show, usually through expert testimony, that his or her attorney failed to use the skill, prudence, and diligence of an attorney of ordinary skill and capacity.\u201d Id. at 163, 848 P.2d at 1090.\n15. Thus, the real issue in this case was not whether Weisfeld\u2019s advice was legally inaccurate, but whether his advice fell below the standard of care for an attorney of ordinary skill and capacity. The fact-finder would have evaluated this claim in light of Weisfeld\u2019s alleged errors and omissions in advising Kruskal, including any failures by Weisfeld to explain fully the legal implications and possible effects of pursuing his recommended course of action or of entering into arbitration and using Weisfeld as arbitrator. Kruskal, however, attempted to conclusively establish Weisfeld\u2019s negligence through the novel application of collateral estoppel. When the trial court ruled against this approach, Kruskal still could have presented a traditional ease of malpractice, calling expert witnesses to testify that Weisfeld\u2019s advice, although not technically inaccurate, fell below the standard of care and resulted in damage to Kruskal.\n16. We therefore find that the trial court\u2019s rulings on collateral estoppel and on the evidentiary value of the arbitration decision did not completely dispose of Kruskal\u2019s cause of action or preclude recovery. The rulings merely foreclosed one possible basis for recovery. We conclude that Kruskal is not entitled to appeal from his voluntary dismissal of his malpractice claim. To hold otherwise would be to allow plaintiffs to bring piecemeal appeals and to test alternative theories in the appellate courts at the expense of the defendant. See Steenson v. Robinson, 236 Or. 414, 385 P.2d 738, 739 n. 1 (1963) (en banc) (stating rationale for denying right to appeal a voluntary dismissal).\n17. Because we conclude that the trial court\u2019s rulings were not dispositive of Kruskal\u2019s claims and that Kruskal therefore may not appeal from his voluntary dismissal, we need not address the merits of Kruskal\u2019s claims regarding the possible collateral estoppel effect or evidentiary use of the arbitration decision. Nor do we express any opinion on the merits of Kruskal\u2019s malpractice claim.\n18. When we upheld the validity of the arbitration agreement in Kruskal v. Moss, we stated that simply because an attorney-arbitrator has previously represented one of the parties participating in the arbitration does not mean that he or she is automatically disqualified from acting as arbitrator for the subsequent dispute. Slip op. at 4; see also Model Code of Professional Responsibility EC 5-20 (1980). However, in so stating, we did not intend to endorse the common use of this practice. The practice of attorneys acting as arbitrators for their clients is fraught with potential dangers of ethical conflicts and should not be engaged in lightly.\n19. The present case provides a vivid example of the hazards of attorneys arbitrating their clients\u2019 disputes. Although we do not pass on the ethical implications of Weisfeld\u2019s actions in this case, we find it difficult to conceive how an attorney, confronted with the realization (albeit mistaken) that his earlier advice to his client was incorrect and faced with the prospect of so ruling in a binding arbitration decision, would not feel compelled to withdraw as arbitrator. It is for this reason we suggested in our earlier decision that a malpractice claim \u201cmight conceivably be raised\u201d between Kruskal and Weisfeld. Kruskal, slip op. at 5. However, Kruskal\u2019s tactical decision to dismiss voluntarily his malpractice claim against Weisfeld has foreclosed appellate review and has effectively precluded any further resolution of the issues raised in the underlying claim.\nIII. CONCLUSION\n20. We affirm the trial court\u2019s judgment of dismissal.\n21. IT IS SO ORDERED.\nBACA, C.J., and RANSOM, J., concur.",
        "type": "majority",
        "author": "FROST, Justice."
      }
    ],
    "attorneys": [
      "John R. Tiwald, Albuquerque, Cynthia A. Fry, Albuquerque, for Appellants.",
      "Rodey, Dickason, Sloan, Akin & Robb, P.A., John M. Brant, R. Nelson Franse, Albuquerque, for Appellees."
    ],
    "corrections": "",
    "head_matter": "908 P.2d 745\nRANCHO DEL VILLACITO CONDOMINIUMS, INC., a New Mexico corporation, and Kerry Kruskal, Plaintiffs-Counter-Defendants-Appellants, v. Eugene WEISFELD, Alcott & Weisfeld, a New Mexico partnership, and Colin C. Alcott, Defendants-Counter-Claimants-Appellees. Martin D. KRUSKAL and RDV Investors, Ltd., a New Mexico limited partnership, Plaintiffs-Counter-Defendants-Appellants, v. Eugene WEISFELD, Alcott & Weisfeld, a New Mexico partnership, and Colin C. Alcott, Defendants-Counter-Claimants-Appellees.\nNo. 21379.\nSupreme Court of New Mexico.\nNov. 13, 1995.\nRehearing Denied Dec. 12, 1995.\nJohn R. Tiwald, Albuquerque, Cynthia A. Fry, Albuquerque, for Appellants.\nRodey, Dickason, Sloan, Akin & Robb, P.A., John M. Brant, R. Nelson Franse, Albuquerque, for Appellees."
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