Mission Grove LP v. Darren Hall , 503 S.W.3d 546 ( 2016 )


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  • Affirmed in part and Reversed and Remanded in part Opinion filed October
    4, 2016.
    In The
    Fourteenth Court of Appeals
    NO. 14-15-00120-CV
    MISSION GROVE, L.P., Appellant
    V.
    DARREN HALL, Appellee
    On Appeal from the 268th District Court
    Fort Bend County, Texas
    Trial Court Cause No. 10-DCV-179490
    OPINION
    Appellant Mission Grove, L.P. appeals the trial court’s orders granting
    summary judgment in favor of appellee Darren Hall on Mission Grove’s claims for
    breach of contract, fraud, and promissory estoppel. As to the breach of contract
    claim, we affirm the trial court’s order granting summary judgment in favor of
    Hall. As to the fraud and promissory estoppel claims, we reverse the trial court’s
    order granting summary judgment in favor of Hall and we remand to the trial court
    for further proceedings in accordance with this opinion.
    BACKGROUND AND PROCEDURAL HISTORY
    Mission Grove, as owner and developer of the Lakes of Mission Grove
    subdivision, entered into a contract with Texas Classic Homes, L.P., 1 (Texas
    Classic) for Texas Classic to be the approved builder for the subdivision. Hall
    signed the contract on behalf of Texas Classic. The signature page of the contract
    was executed as follows:
    Paragraph 11 of the contract at issue in this case provides in its
    entirety:
    Builder will provide to Developer complete and accurate information
    related to the contract amount and draw status in order to verify the
    amounts due under this agreement including, but not limited to the
    Contract with Customer, the HUD-1 and change order invoices. The
    obligations under this agreement are also a personal obligation of the
    builder representative signing below.
    1
    Texas Classic Homes LP is erroneously identified in the contract as “Texas Classic
    Homes Inc.” The error is not material to the issues raised in this appeal.
    2
    Texas Classic failed to perform under the agreement and filed for
    bankruptcy. Thereafter, Mission Grove filed a breach of contract claim against
    Hall, personally, for failure to pay or perform as agreed. Mission Grove alleged
    that such failure to perform occurred beginning in September of 2006. Hall filed
    his first motion for summary judgment, asserting that he was not a party to the
    contract because he had not signed the contract in his individual capacity.
    More than four years after filing its original petition, Mission Grove filed an
    amended original petition to include claims against Hall for promissory estoppel,
    fraud and negligent misrepresentation. Hall then filed a second motion for
    summary judgment on Mission Grove’s remaining claims, asserting that the four-
    year statute of limitations had expired. Mission Grove responded, contending that
    the claims were timely under the relation-back doctrine. The trial court granted
    both motions for summary judgment. Mission Grove timely filed this appeal.
    ISSUES PRESENTED
    Mission Grove challenges the trial court’s summary judgment ruling in favor
    of Hall on both the breach of contract claim and the fraud and promissory estoppel
    claims.2 In its first issue, Mission Grove asserts that both the contract between the
    parties and the parties’ pre-contract negotiations unambiguously make Hall
    personally liable for his company’s obligations under the agreement and, therefore,
    summary judgment for Hall on the breach of contract claim is error. In its second
    issue, Mission Grove asserts that although the fraud and promissory estoppel
    2
    Mission Grove originally brought a claim for negligent misrepresentation along with its
    fraud and promissory estoppel claims. The negligent misrepresentation claim was included in the
    claims for which Hall moved for summary judgment in the trial court. Mission Grove does not
    challenge the trial court’s ruling on the negligent misrepresentation claim and it is not before this
    court.
    3
    claims were filed well beyond the limitations period, those claims are not time-
    barred because of the relation-back doctrine.
    STANDARD OF REVIEW
    We review a trial court’s grant of summary judgment de novo. Valence
    Operating Co. v. Dorsett, 
    164 S.W.3d 656
    , 661 (Tex. 2005). When a trial court’s
    order granting summary judgment does not specify the ground or grounds relied on
    for its ruling, summary judgment will be affirmed on appeal if any theories
    advanced are meritorious. Carr v. Brasher, 
    776 S.W.2d 567
    , 569 (Tex. 1989).
    In a traditional motion for summary judgment, the movant bears the burden
    of showing that no genuine issue of material fact exists and that it is entitled to
    judgment as a matter of law. Tex. R. Civ. P. 166a(c). A movant who conclusively
    negates at least one of the essential elements of a cause of action or conclusively
    establishes an affirmative defense is entitled to summary judgment. Frost Nat’l
    Bank v. Fernandez, 
    315 S.W.3d 494
    , 508 (Tex. 2010). Once a movant establishes a
    right to summary judgment as a matter of law, the burden shifts to the non-movant
    to present evidence raising a genuine issue of material fact. See Walker v. Harris,
    
    924 S.W.2d 375
    , 377 (Tex. 1996); Williams v. Bell, 
    402 S.W.3d 28
    , 35 (Tex.
    App.—Houston [14th Dist.] 2013 no pet.).
    Summary judgment evidence raises a genuine issue of fact, if in light of the
    evidence, reasonable and fair-minded jurors could differ in their conclusions.
    Goodyear Tire & Rubber Co. v. Mayes, 
    236 S.W.3d 754
    , 755 (Tex. 2007) (per
    curiam). However, for summary judgment evidence to be considered, it must
    contain facts and be presented in a form that would be admissible at trial. See
    United Blood Servs. v. Longoria, 
    938 S.W.2d 29
    , 30 (Tex. 1997) (per curiam); In
    re Estate of Guerrero, 
    465 S.W.3d 693
    , 706 (Tex. App.—Houston [14th Dist.]
    2015, pet. filed); see also Tex. R. Civ. P. 166a(f) (requiring that supporting and
    4
    opposing affidavits in summary judgment proceedings “shall set forth such facts as
    would be admissible in evidence, and shall show affirmatively that the affiant is
    competent to testify to the matters stated therein”).
    APPLICABLE LAW AND ANALYSIS
    I.    Breach of Contract
    Mission Grove first argues that the trial court erred in granting summary
    judgment in favor of Hall. Specifically, Mission Grove asserts that the
    unambiguous language of the contract makes it clear that Hall was personally
    liable for the obligations of Texas Classic. Additionally, Mission Grove asserts that
    the summary judgment evidence reflects that the parties discussed Hall’s personal
    responsibility prior to the execution of the contract and thus raised a genuine issue
    of material fact regarding the parties’ intentions.
    Hall moved for summary judgment on the ground that he was not a party to
    the contract because he signed the contract only in a representative capacity. The
    trial court granted Hall’s motion.
    To prevail on his traditional motion for summary judgment, Hall was
    required to conclusively negate an element of Mission Grove’s breach of contract
    claim or prove all elements of an affirmative defense. See Frost Nat’l 
    Bank, 315 S.W.3d at 508
    . The elements of a breach of contract claim are: (1) a valid contract
    existed between the plaintiff and the defendant; (2) the plaintiff tendered
    performance or was excused from doing so; (3) the defendant breached the terms
    of the contract; and (4) the plaintiff sustained damages as a result of the
    defendant’s breach. West v. Triple B Servs., LLP, 
    264 S.W.3d 440
    , 446 (Tex.
    App.—Houston [14th Dist.] 2008, no pet.). At issue here is element one, a contract
    between Mission Grove and Hall.
    5
    A.     Hall is not primarily liable as a party to the contract.
    In the first paragraph of the contract, the parties are expressly identified as
    Mission Grove L.P. (“Developer”) and Texas Classic Homes, Inc. (“Builder”).
    Thereafter, Texas Classic is referred to as “Builder.” Hall’s name does not appear
    in the recitation of the parties. As set forth above, Texas Classic Homes is written
    in the space identified as “Name of Builder.” On the signature line, Hall’s
    signature includes the word “President.” Then, Hall’s printed name appears in the
    next line and the word “President” again appears on the line for “title.”
    Hall acknowledges that he signed the contract, but argues that he did so only
    in a representative capacity as the president of Texas Classic and that he did not
    become a party to the contract. “As a general rule, a suit for breach of contract may
    not be maintained against a person who is not a party to the contract, particularly a
    non-party who is assigned duties by the terms of the contract.” Bernard Johnson,
    Inc. v. Cont’l Constructors, Inc., 
    630 S.W.2d 365
    , 369 (Tex. App.—Austin 1982,
    writ ref’d n.r.e.) (citing Jones v. George, 
    61 Tex. 345
    , 364 (1884); Carruth v.
    Valley Ready-Mix Concrete Co., 
    221 S.W.2d 584
    (Tex. App.—Eastland 1949, writ
    ref’d)). It is “axiomatic   ...   that a contract between other parties cannot create an
    obligation or duty on a non-contracting party, which non-contracting party was a
    stranger to the basic, underlying construction contract.” City of Beaumont v.
    Excavators & Constructors, Inc., 
    870 S.W.2d 123
    , 129 (Tex. App.—Beaumont
    1993, writ denied) (citing Bernard Johnson, 
    Inc., 630 S.W.2d at 369
    ). In addition,
    Texas Classic is unambiguously identified within the contract as the principal. See
    A to Z Rental Ctr. v. Burris, 
    714 S.W.2d 433
    , 435 (Tex. App.—Austin 1986, writ
    ref’d n.r.e.) (holding that a person making or purporting to make a contract with
    another as an agent for a disclosed principal does not become a party to the
    contract, unless the parties have otherwise agreed) (citing Anderson v. Smith, 398
    
    6 S.W.2d 635
    (Tex. App.—Dallas 1965, no writ); Restatement (Second) of Agency §
    320 (1957)).
    Mission Grove urges, in response, that this contract falls into the exception
    for signatures in a representative capacity. More specifically, Mission Grove urges
    that paragraph 11 signals the intent of the parties that Hall, too, would become a
    party to the contract. Paragraph 11 of the contract provides:
    Builder will provide to Developer complete and accurate information
    related to the contract amount and draw status in order to verify the
    amounts due under this agreement, including, but not limited to the
    Contract with the Customer, the HUD-1 and change order invoices.
    The obligations under this agreement are also the personal
    obligations of the builder representative signing below.
    (emphasis added)
    Despite the general rule that an agent does not become a party to a contract
    executed in a representative capacity for a disclosed principal, an agent may
    nonetheless expressly agree to be bound. See Neel v. Tenet HealthSystem Hosps.
    Dallas, Inc., 
    378 S.W.3d 597
    , 604–05 (Tex. App.—Dallas 2012, pet. denied). We
    must therefore determine whether Hall expressly agreed to be bound to the subject
    contract.
    In construing the contract, our primary concern is to ascertain and give effect
    to the intentions of the parties as expressed in the written instrument. See Kelley–
    Coppedge, Inc. v. Highlands Ins. Co., 
    980 S.W.2d 462
    , 464 (Tex. 1998). To
    ascertain the parties’ true intentions, we examine the entire agreement in an effort
    to harmonize and give effect to all of its provisions so that none will be rendered
    meaningless. MCI Telecomms. Corp. v. Tex. Utils. Elec. Co., 
    995 S.W.2d 647
    , 652
    (Tex. 1999). We presume that the contracting parties intend every clause to have
    some effect. Heritage Res., Inc. v. NationsBank, 
    939 S.W.2d 118
    , 121 (Tex. 1996).
    A contract should be construed by determining how the reasonable person “would
    7
    have used and understood such language, considering the circumstances
    surrounding its negotiation and keeping in mind the purposes intended to be
    accomplished by the parties when entering into the contract.” Manzo v. Ford, 
    731 S.W.2d 673
    , 676 (Tex. App.—Houston [14th Dist.] 1987, no writ). As such, “[n]o
    single provision taken alone will be given controlling effect.” Seagull Energy E &
    P, Inc. v. Eland Energy, Inc., 
    207 S.W.3d 342
    , 345 (Tex. 2006).
    We first note that the sentence upon which Mission Grove relies for Hall’s
    “express agreement to be bound” does not contain Hall’s name at all: “The
    obligations under this agreement are also the personal obligations of the builder
    representative signing below.” Thus, the sentence reflects no agreement between
    Mission Grove and Hall. In other words, under Mission Grove’s argument, the
    “express agreement to be bound” would apply to whoever signed the agreement on
    behalf of Texas Classic, not just Hall. In fact, the sentence belies Mission Grove’s
    argument because it refers solely to one signing “on behalf of” or in a
    representative capacity for the company. The sentence can be harmonized with a
    signature in a representative capacity because corporations must necessarily act
    through individuals; the individual signing a contract in a representative capacity
    always “represents that the corporation intends to perform the contract.” JJJJ
    Walker, LLC v. Yollick, 
    447 S.W.3d 453
    , 460 (Tex. App.—Houston [14th Dist.]
    2014, pet. denied).
    Had Hall’s name been referenced in the personal-obligation sentence, the
    question presented would be much closer, but even one analogous decision from
    our sister court places such signatory liability in doubt. See, e.g., Prent v. rJET,
    L.L.C., No. 01-14-00408-CV, 
    2015 WL 1020207
    , at *2–4 (Tex. App.—Houston
    [1st Dist.] Mar. 5, 2015, no pet.) (mem. op.). In Prent, for example, the contract
    identified the parties as rJET and Infinitus Aviation. 
    Id. at *3.
    Denise Prent
    8
    executed the agreement as president of Infinitus. 
    Id. However, within
    the body of
    the contract, Prent was once identified as a Lessee, along with the statement
    certifying, “I am responsible for the operational contract of the aircraft.” 
    Id. The First
    Court of Appeals determined that “construing the lease as a whole, . . . it is
    not ambiguous and Prent executed it in her representative capacity on behalf of
    Infinitus.” 
    Id. at *4.
    Unlike the Texas Classic contract before us, the Infinitus
    contract actually contained some language suggesting a promise by Prent. Hall
    made no promises within this contract.
    Mission Grove also contends that the summary judgment evidence
    submitted—the affidavit of Showalter—raises a genuine issue of material fact as to
    the parties’ intentions about whether Hall was a party to the contract. In his
    affidavit, Showalter states that the parties discussed Hall’s personal obligation
    before executing the agreement, and Hall expressed understanding and acceptance
    of that obligation and promised to fulfill personally the obligations of Texas
    Classic under the agreement. Showalter also states that Mission Grove relied on
    these promises when entering into the agreement. Thus, Mission Grove contends
    that we should ascertain the parties’ intentions from this parol agreement, rather
    than from the express terms of the contract.
    For this evidence to be considered, however, it must contain facts and be
    presented in a form that would be admissible at trial. See 
    Longoria, 938 S.W.2d at 30
    . When a written instrument is worded so that it can be given a certain or definite
    legal meaning or interpretation, then it is not ambiguous and the construction and
    meaning thereof is question of law for the court to determine. See R & P Enters. v.
    LaGuarta, Gavrel & Kirk, Inc., 
    596 S.W.2d 517
    , 519 (Tex. 1980); Universal C. I.
    T. Credit Corp. v. Daniel, 
    243 S.W.2d 154
    , 157 (Tex. 1951); Calpine Producer
    Servs., L.P. v. Wiser Oil Co., 
    169 S.W.3d 783
    , 787 (Tex. App.—Dallas 2005, no
    9
    pet.) (citing Dedier v. Grossman, 
    454 S.W.2d 231
    , 234 (Tex. Civ. App.—Dallas
    1970, writ ref’d n.r.e.)). A contract, however, is ambiguous when its meaning is
    uncertain and doubtful or it is reasonably susceptible to more than one meaning.
    Coker v. Coker, 
    650 S.W.2d 391
    , 393 (Tex. 1983). In construing a contract, the
    court seeks to “ascertain the true intentions of the parties as expressed in the
    instrument.” 
    Id. (emphasis added).
    In other words, the “intent of the parties must
    be taken from the agreement itself, not from the parties’ present interpretation, and
    the agreement must be enforced as it is written.” Calpine Producer 
    Servs., 169 S.W.3d at 787
    (quoting Parts Indus. Corp. v. A.V.A. Servs., Inc., 
    104 S.W.3d 671
    ,
    678 (Tex. App.—Corpus Christi 2003, no pet.)). Additionally, the parties’ intent is
    to be ascertained from the instrument as a whole, not from isolated parts thereof;
    the court will not inquire into the subjective intent of the contracting parties. See
    id.; Stine v. Stewart, 
    80 S.W.3d 586
    , 589 (Tex. 2002) (per curiam); Burrus Mills,
    Inc. v. Hein, 
    378 S.W.2d 85
    , 88 (Tex. Civ. App.—Dallas 1964, writ dism’d);
    Ervay, Inc. v. Wood, 
    373 S.W.2d 380
    , 384 (Tex. Civ. App.—Dallas 1963, writ
    ref’d n.r.e.).
    We have concluded above that the agreement unambiguously expresses the
    parties’ intent that Mission Grove and Texas Class are the parties to the contract
    and that Hall executed the agreement in his representative capacity. Therefore,
    Mission Grove’s extraneous evidence may not be admitted to ascertain the parties’
    intent. See Fimberg v. F.D.I.C., 
    880 S.W.2d 83
    , 86 (Tex. App.—Texarkana 1994,
    writ denied) (holding that appellant’s affidavit contradicting plain language of
    unambiguous promissory note constituted impermissible parol evidence);
    Rosemont Enters., Inc. v. Lummis, 
    596 S.W.2d 916
    , 923–24 (Tex. App.—Houston
    [14th Dist.] 1980, no writ) (holding that affidavit contradicting express provisions
    of note was not competent summary judgment evidence). Consequently, Mission
    10
    Grove’s extraneous summary judgment evidence did not serve to raise a genuine
    issue of material fact as would preclude summary judgment. See 
    Fimberg, 880 S.W.2d at 86
    ; 
    Lummis, 596 S.W.2d at 924
    ; see also Dean A. Smith Sales, Inc. v.
    Metal Sys., Inc., 
    397 S.W.3d 305
    , 308 (Tex. App.—Dallas 2013, pet. denied)
    (holding impermissible parol evidence is not competent summary judgment
    evidence).
    B.     Hall is not liable secondarily as a guarantor of Texas Classic’s
    contract.
    In the alternative, Mission Grove argues that Hall personally guaranteed his
    company’s performance and that without this personal guarantee from Hall,
    Mission Grove would not have entered into the contract. “A guaranty agreement
    creates a secondary obligation whereby the guarantor promises to be responsible
    for the debt of another and may be called upon to perform if the primary obligor
    fails to perform.” Wasserberg v. Flooring Servs. of Tex., LLC, 
    376 S.W.3d 202
    ,
    205 (Tex. App.—Houston [14th Dist.] 2012, no pet.). For a guaranty to be
    enforceable, it must evidence, with reasonable clearness, “an intent on the part of a
    party to become liable on an obligation in case of default by the primary
    obligator.” Block v. Aube, 
    718 S.W.2d 914
    , 915 (Tex. App.—Beaumont 1986, no
    writ) (citing Taylor v. First State Bank, 
    178 S.W. 35
    (Tex. Civ. App.—Fort Worth
    1915, no writ)).
    To show that Hall personally guaranteed the performance of Texas Classic,
    the agreement must clearly evidence Hall’s intent to become personally liable for
    the obligations of Texas Classic under the agreement if Texas Classic defaulted.
    Mission Grove asserts that Texas courts have had little difficulty holding an owner
    or officer of a company personally liable for a company obligation and cites
    several cases in which the court found the owner or officer had personally
    11
    guaranteed the obligations of the company. We conclude that Mission Grove’s
    authority for such a broad statement is distinguishable. Most of the cases cited by
    Mission Grove involve contracts containing specific first-person guarantor
    language such as “I guarantee.” See, e.g., 84 Lumber Co., L.P. v. Powers, 
    393 S.W.3d 299
    , 305 (Tex. App.—Houston [1st Dist.] 2012, pet. denied) (holding that
    language in credit application that “I do unconditionally and irrevocably personally
    guarantee” the credit account was a personal guarantee by signatory that created
    both corporate and individual liability); Taylor-Made Hose, Inc. v. Wilkerson, 
    21 S.W.3d 484
    , 488 (Tex. App.—San Antonio 2000, pet. denied) (determining that
    the language “[w]e agree to pay,” and “I, personally agree to pay” used in the
    “terms and conditions” section immediately preceding the signature evidenced the
    signatory’s agreement to be personally liable for delinquent amounts on the
    account).
    The contract at issue has no such first-person language. The signature line
    and agreement in this case use only entity-specific terms and do not evidence an
    intent that Hall’s signature was made in an individual capacity. See First ATM, Inc.
    v. Onedoz, Inc., No. 03-08-00286-CV, 
    2009 WL 349164
    , at *4 (Tex. App.—
    Austin Feb. 13, 2009, no pet.) (mem. op.) (holding that the use of entity-specific
    terms in conjunction with a lack of first person statements in the agreement
    evidenced that any assent by the company’s owner and president through his
    signature to the statement the “individual executing the contract is personally
    liable” was made only in a representative capacity). Thus, these cases are
    distinguishable from the case before this court.
    Mission Grove’s other authority is similarly distinguishable for its
    construction of explicit language that unambiguously evidenced the signatory’s
    specific intent to be the personal guarantor for the debts or obligations of the
    12
    company under the agreement in an individual capacity. See 
    Neel, 378 S.W.3d at 604
    (holding that when individuals signed a lease as “Tenants,” the additional
    language that “[e]ach and every person, . . . comprising Tenant . . . shall be jointly
    and severally liable” sufficiently established personal liability for the lease); see
    also Austin Hardwoods, Inc. v. Vanden Berghe, 
    917 S.W.2d 320
    , 323 (Tex. App.—
    El Paso 1995, writ denied) (finding the following language in credit application
    creates a guarantee: “We fully understand your credit terms and agree to the proper
    payment in consideration of extended credit. If a corporation, the undersigned
    personally guarantees the payment of this account in his individual capacity.”)
    The contract at issue contains no such explicit guarantee. The word
    “guaranty” does not appear in the contract. Other than the signature line, Hall’s
    name does not appear in the contract. Even if, for the sake of argument, we
    substituted Hall’s name into the sentence upon which Mission Grove relies and
    eliminated the reference to Hall’s representative capacity, it would suggest primary
    liability on the contractual obligations, not secondary liability. But, because we
    must accept the contract as written by the parties, and construe it as a whole to give
    effect to the parties’ objective intentions, we can find nothing to support a
    construction for secondary (guarantee) liability. See 
    Block, 718 S.W.2d at 915
    .
    Therefore, Hall is not secondarily liable on the contract for Texas Classic’s
    obligations.
    Having determined that Hall is neither primarily liable on Texas Classic’s
    contract as a party nor secondarily liable on such contract as a guarantor, we
    conclude the trial court did not err in granting Hall’s motion for summary
    judgment on Mission Grove’s breach of contract claim. We overrule Mission
    Grove’s first issue.
    13
    II.      Fraud and Promissory Estoppel Claims
    Mission Grove’s second issue challenges the trial court’s summary judgment
    ruling in favor of Hall on Mission Grove’s fraud and promissory estoppel claims
    based on the statute of limitations. Mission Grove concedes that it filed the fraud
    and promissory estoppel claims by amended pleading beyond the four-year
    limitations period for such claims. However, Mission Grove argues that the claims
    are not barred by limitations because of Texas Civil Practice and Remedies Code
    section 16.068, the relation-back doctrine. See Tex. Civ. Prac. & Rem. Code §
    16.068.
    Section 16.068 provides: If a filed pleading relates to a cause of action, cross
    action, counterclaim, or defense that is not subject to a plea of limitation when the
    pleading is filed, a subsequent amendment or supplement to the pleading that
    changes the facts or grounds of liability or defense is not subject to a plea of
    limitation unless the amendment or supplement is wholly based on a new, distinct,
    or different transaction or occurrence.” Tex. Civ. Prac. & Rem. Code § 16.068. As
    a remedial statute, section 16.068 should be construed liberally; it is designed to
    protect litigants from loss of their claims by a plea of limitations. Milestone Props.,
    Inc. v. Federated Metals Corp., 
    867 S.W.2d 113
    , 116 (Tex. App.—Austin 1993, no
    writ).
    Tracking the language of the statute, Mission Grove asserts that the relation-
    back doctrine applies because (a) the breach of contract cause of action was not
    time barred when it was originally filed and (b) that the new causes of action for
    fraud and promissory estoppel are based on the same transaction or occurrence
    upon which the breach of contract claim is based. Hall does not disagree on these
    points. Instead, Hall argues that regardless of whether Mission Grove’s fraud and
    promissory estoppel claims arise from the same transaction or occurrence as the
    14
    breach of contract claim, to revive the time-barred causes of action using the
    relation-back doctrine, the breach of contract claim must have been “a valid cause
    of action.” Hall then reasons that because the trial court granted summary
    judgment on Mission Grove’s breach of contract action, that claim was not a valid
    cause of action.
    Hall’s one-paragraph argument on the relation-back doctrine and its valid-
    cause-of-action element relies upon two cases. See Almazan v. United Servs. Auto.
    Ass’n, 
    840 S.W.2d 776
    , 778 (Tex. App.—San Antonio 1992, writ denied) (“a cause
    of action barred by limitation cannot be revived by filing a pleading stating an
    invalid cause of action and thereafter amending to include the barred cause of
    action,”); Church v. Ortho Diagnostic Sys., Inc., 
    694 S.W.2d 552
    , 556 (Tex.
    App.—Corpus Christi 1985, writ ref’d n.r.e.)3 (holding that for a “statement of a
    new cause of action in an amended pleading to come within the provisions of this
    statute, the nature of the original claim must have had some validity”)).
    Neither case supports Hall’s argument; nor do we find a case holding that
    the relation-back doctrine only applies if the original cause of action is ultimately
    meritorious. Instead, in Almazan, the referenced “invalid cause of action” was a
    new cause of action that was already time-barred at the time the original claim was
    filed. See 
    Almazan, 840 S.W.2d at 778
    (noting that “the legislature did not intend
    to allow an amended pleading to revive causes of action that were barred when the
    original pleading was filed”). Hall has not made an Almazan argument here. In
    other words, Hall has never argued that Mission Grove’s fraud and promissory
    estoppel claims were already time-barred at the time Mission Grove filed the
    breach of contract action. And, in Church, when the Court required the initial
    3
    The Church opinion is based upon Tex. Rev. Civ. Stat. Ann. art. 5526 (Vernon Supp.
    1985), the predecessor to Tex. Civ. Prac. and Rem. Code § 16.068.
    15
    claim to have “some validity,” it was looking for a pleading that “state[s] a cause
    of action.” See 
    Church, 694 S.W.2d at 556
    . Hall has not argued that Mission
    Grove’s breach of contract action failed to state a claim.
    Consistently, our court has applied “a two-pronged test to determine whether
    an amended pleading relates back to an earlier pleading for purposes of
    limitations.” Cooke v. Maxam Tool & Supply, Inc., 
    854 S.W.2d 136
    , 141 (Tex.
    App.—Houston [14th Dist.] 1993, writ denied) (noting that the test is (1) the first
    pleading must not be time-barred when filed, and (2) the amended pleading must
    not be wholly based on a new, distinct or different transaction or occurrence). We
    have never considered the substantive merit of claims originally plead to determine
    the application of the relation-back doctrine. We have never held that the original
    claim must withstand a summary judgment motion or be persuasive to the fact
    finder in order to be “valid” for purposes of the relation-back doctrine. We decline
    to do so here. Under the test Hall suggests, a court could never determine whether
    the relation-back doctrine applies without necessarily concluding that the initial
    claims were meritorious, whether challenged by summary judgment or directed
    verdict or not challenged at all. It is unworkable.
    Because Hall did not and does not allege that Mission Grove’s breach of
    contract claim was time-barred at the time of filing or that Mission Grove’s new
    claims are wholly based on a new, distinct or different transaction or occurrence,
    the relation-back doctrine applies. We therefore reverse the trial court’s order
    granting Hall summary judgment on Mission Grove’s fraud and promissory
    estoppel claims and remand to the trial court for further proceedings.
    16
    CONCLUSION
    We affirm the trial court’s order granting summary judgment on Mission
    Grove’s breach of contract claim. We reverse the trial court’s order granting
    summary judgment on Mission Grove’s fraud and promissory estoppel claims and
    remand to the trial court for further proceedings.
    /s/     Ken Wise
    Justice
    Panel consists of Justices Jamison, McCally, and Wise.
    17