Shaut v. Roberts , 2022 Ohio 817 ( 2022 )


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  • [Cite as Shaut v. Roberts, 
    2022-Ohio-817
    .]
    COURT OF APPEALS OF OHIO
    EIGHTH APPELLATE DISTRICT
    COUNTY OF CUYAHOGA
    MICHAEL H. SHAUT,
    Plaintiff-Appellant,              :
    No. 110528
    v.                                :
    KEVIN ROBERTS, ET AL.,                             :
    Defendants-Appellees.             :
    JOURNAL ENTRY AND OPINION
    JUDGMENT: REVERSED AND REMANDED
    RELEASED AND JOURNALIZED: March 17, 2022
    Civil Appeal from the Cuyahoga County Common Pleas Court
    Case No. CV-20-936408
    Appearances:
    Michael Shaut Law Office, LPA, Michael Shaut, and Isaac
    Tom Monah, for appellant.
    The Roberts Law Firm and Kevin T. Roberts, for
    appellees.
    SEAN C. GALLAGHER, A.J.:
    Michael Shaut appeals the trial court’s decision dismissing his legal
    malpractice action against Kevin Roberts and The Roberts Law Firm (“Roberts”) as
    being time barred under R.C. 2305.11(A). For the following reasons, we reverse and
    remand for further proceedings.
    Shaut filed a legal malpractice action on August 25, 2020. The action
    arose from Roberts’s representation of Shaut in multiple employment and securities
    law actions and arbitration proceedings, including Hart v. Downing Invest.
    Partners (Am. Arbitration Assn. Case No. 01-16-0005-1632), which took place in
    New York, New York, during 2017. According to Shaut, Roberts failed to meet the
    standards of a legal professional during the course of and subsequent to the
    arbitration proceeding, which resulted in a $2.5 million judgment entered against
    Shaut. In 2018, Roberts agreed to file an appeal from the arbitration award in the
    United States District Court for the Northern District of Ohio, but that appeal was
    dismissed on July 24, 2018. Shortly thereafter (no specific date was included in the
    first amended complaint), Shaut hired new counsel in New York through Roberts,
    who continued to be involved in the matter and appeared on Shaut’s behalf in a
    “related case” in Boston, Massachusetts.
    After the arbitration award, the plaintiffs reduced the award to a final
    judgment through a New York state court, and in July 2019, a foreign judgment case
    was filed in the Cuyahoga County Court of Common Pleas to register the New York
    judgment. Shaut represented himself in that local action. Through the end of
    August 2019, Shaut alleged that neither party terminated the attorney-client
    relationship. On August 30, 2019, Shaut sent correspondence seeking to discuss the
    arbitration proceeding and its progeny and the potential malpractice claim in
    compliance with their engagement agreement that required mediation or alternative
    dispute resolution over disputes.
    Shaut attached three documents to the first amended complaint
    setting forth the above allegations: (1) the engagement agreement between him and
    Roberts upon which the attorney-client relationship was based; (2) an
    unauthenticated, partial printout of a docket from the United States District Court
    for the Southern District of New York, Case No. 1:16-cv-04040, listing Roberts as
    Shaut’s counsel of record and Shaut’s status in the case being “terminated” on
    March 19, 2020; and (3) correspondence, dated August 30, 2019, from Shaut to
    Roberts presenting a demand to settle the malpractice claim.
    In response to the first amended complaint, Roberts filed a 40-page
    motion to dismiss under Civ.R. 12(B)(6), attaching 18 exhibits of court filings from
    the various cases referenced in the first amended complaint. The attachments
    spanned 168 pages, but none of the attached exhibits were authenticated. Shaut
    filed a brief in opposition in which he claimed, citing Civ.R. 8, that the complaint
    was well pleaded and therefore should survive Roberts’s motion to dismiss.
    Roberts’s motion to dismiss was based on the incorrect standard of
    review, an issue that carried over into this appeal. Roberts’s motion is predicated
    on the heightened pleading standard established for federal courts in Bell Atlantic
    Corp. v. Twombly, 
    550 U.S. 544
    , 
    127 S.Ct. 1955
    , 
    167 L.Ed.2d 929
     (2007), and
    Ashcroft v. Iqbal, 
    556 U.S. 662
    , 
    129 S.Ct. 1937
    , 
    173 L.Ed.2d 868
     (2009), instead of
    the notice pleading standard under Civ.R. 8.       Under the heightened, federal
    standard, a plaintiff must demonstrate the plausibility of the allegations, well
    beyond the notice pleading standard under Ohio law of setting forth cognizable
    claims. We need not consider Roberts’s attempt to impose the heightened standard
    in this case. This court has altogether rejected the invitation to adopt the federal
    approach in Tuleta v. Med. Mut. of Ohio, 
    2014-Ohio-396
    , 
    6 N.E.3d 106
    , ¶ 31 (8th
    Dist.). And as Roberts indicated in the supplemental authority briefing, the Ohio
    Supreme Court has not adopted the federal standard for Ohio either. Maternal
    Grandmother, ADMR v. Hamilton Cty. Dept. of Job & Family Servs., Slip Opinion
    No. 
    2021-Ohio-4096
    , ¶ 28 (DeWine, J., concurring).
    The trial court nonetheless disagreed with Shaut and concluded based
    on its review of the first amended complaint and the three attached exhibits that
    “there is no set of facts from which this Court can conclude that the cognizable event
    in this matter occurred on or after August 25, 2019 [(a year preceding the filing of
    the malpractice action)] or that the attorney-client relationship for the particular
    transaction or undertaking at issue in this matter existed on or after August 25,
    2019.”      In other words, the trial court concluded that the failure to include
    allegations within the complaint demonstrating that the statute of limitations was
    inapplicable meant that the action was time barred. Shaut timely appealed that
    decision.
    R.C. 2305.11(A) provides that an action for legal malpractice against
    an attorney or a law firm shall be commenced within one year after the cause of
    action accrued.
    “Under R.C. 2305.11(A), an action for legal malpractice accrues and
    the statute of limitations begins to run when there is a cognizable
    event whereby the client discovers or should have discovered that his
    injury was related to his attorney’s act or non-act and the client is
    put on notice of a need to pursue his possible remedies against the
    attorney or when the attorney-client relationship for that particular
    transaction or undertaking terminates, whichever occurs later.”
    (Emphasis added.) Smith v. Conley, 
    109 Ohio St.3d 141
    , 
    2006-Ohio-2035
    , 
    846 N.E.2d 509
    , ¶ 4, quoting Zimmie v. Calfee, Halter & Griswold, 
    43 Ohio St.3d 54
    ,
    
    538 N.E.2d 398
     (1989), syllabus, and citing Omni-Food & Fashion, Inc. v. Smith, 
    38 Ohio St.3d 385
    , 
    528 N.E.2d 941
     (1988). The statute-of-limitations analysis in a legal
    malpractice case requires two factual inquiries: “(1) When should the client have
    known that he or she may have an injury caused by his or her attorney? and (2)
    When did the attorney-client relationship terminate?” The later of those dates “is
    the date that starts the running of the statute of limitations.” Smith at ¶ 4.
    A “‘motion to dismiss for failure to state a claim upon which relief can
    be granted is procedural and tests the sufficiency of the complaint.’” State ex rel.
    Belle Tire Distribs. v. Indus. Comm. of Ohio, 
    154 Ohio St.3d 488
    , 
    2018-Ohio-2122
    ,
    
    116 N.E.3d 102
    , ¶ 17, quoting State ex rel. Hanson, 
    65 Ohio St.3d 545
    , 548, 
    605 N.E.2d 378
     (1992). A court may grant a Civ.R. 12(B)(6) motion to dismiss “only
    when the complaint, when construed in the light most favorable to the plaintiff and
    presuming all the factual allegations in the complaint are true, demonstrates that
    the plaintiff can prove no set of facts entitling him to relief.” 
    Id.,
     citing Mitchell v.
    Lawson Milk Co., 
    40 Ohio St.3d 190
    , 192, 
    532 N.E.2d 753
     (1988). Appellate courts
    review an order granting a Civ.R. 12(B)(6) motion to dismiss de novo. Perrysburg
    Twp. v. Rossford, 
    103 Ohio St.3d 79
    , 
    2004-Ohio-4362
    , 
    814 N.E.2d 44
    , ¶ 5. Thus,
    the sole inquiry is whether on the face of the complaint, it can be determined that
    the legal malpractice cause of action accrued over a year before the filing of the
    complaint.
    Under Ohio law, the statute of limitations is an affirmative defense.
    Civ.R. 8(C). “[T]he difficulty of successfully asserting an affirmative defense in a
    Civ.R. 12(B)(6) motion to dismiss” had been “long recognized” based on the fact that
    “‘affirmative defenses typically rely on matters outside the complaint, they normally
    cannot be raised successfully in a Civ.R. 12(B)(6) motion.’” Schmitz v. NCAA, 
    155 Ohio St.3d 389
    , 
    2018-Ohio-4391
    , 
    122 N.E.3d 80
    , ¶ 41, quoting Main v. Lima, 3d
    Dist. Allen No. 1-14-42, 
    2015-Ohio-2572
    , ¶ 14, and citing Savoy v. Univ. of Akron,
    10th Dist. Franklin No. 11AP-183, 
    2012-Ohio-1962
    , ¶ 6-7 (Kennedy, J., concurring
    in part) (noting that “the better procedure is to address affirmative defenses by way
    of a motion for summary judgment that will allow introduction of additional facts
    beyond the complaint”). “A motion to dismiss based upon a statute of limitations[,
    however,] may be granted when the complaint shows conclusively on its face that
    the action is time-barred.” (Emphasis added.) Doe v. Archdiocese of Cincinnati,
    
    109 Ohio St.3d 491
    , 
    2006-Ohio-2625
    , 
    849 N.E.2d 268
    , ¶ 11, citing Velotta v. Leo
    Petronzio Landscaping, Inc., 
    69 Ohio St.2d 376
    , 
    433 N.E.2d 147
     (1982), paragraph
    three of the syllabus; see also Maitland v. Ford Motor Co., 
    103 Ohio St.3d 463
    ,
    
    2004-Ohio-5717
    , 
    816 N.E.2d 1061
    , ¶ 11. A plaintiff is not required to plead with
    specificity to avoid application of the statute of limitations. Warren v. Estate of
    Durham, 9th Dist. Summit No. 25624, 
    2011-Ohio-6416
    , ¶ 6, citing Irvin v. Am. Gen.
    Fin., Inc., 5th Dist. Muskingum No. CT2004-0046, 
    2005-Ohio-3523
    , ¶ 29, fn. 11.
    In this case, although Shaut filed the complaint on August 25, 2020,
    at the least, none of the allegations from the first amended complaint demonstrates
    when the parties terminated the attorney-client relationship for the particular
    transaction to demonstrate the latest accrual date for the statute of limitations. In
    reaching its dismissal decision, the trial court flipped the standard of review by
    concluding that the first amended complaint failed to demonstrate that the
    cognizable event occurred or the attorney-client relationship existed after
    August 25, 2019, for the purposes of the one-year statute of limitation for legal
    malpractice under R.C. 2305.11(A). That conclusion is based on the incorrect
    standard.
    In order to dismiss a complaint based on the statute of limitations, it
    must conclusively appear on the face of the complaint that the action is time barred.
    Doe at ¶ 11. In other words, the trial court must conclude that the allegations within
    the first amended complaint demonstrate that the accrual date for the statute of
    limitations was prior to August 25, 2019. The trial court in this case concluded
    otherwise, that the first amended complaint did not establish that the statute of
    limitations accrued after August 25, 2019. Although that distinction seems nuanced,
    the trial court’s conclusion upends the standard of review, placing the burden on the
    plaintiff to plead facts supporting an argument against the statute of limitations.
    The absence of allegations demonstrating the inapplicability of the statute of
    limitations defense is not a cognizable reason to dismiss the action. Warren at ¶ 6,
    Irvin at ¶ 29, fn. 11. In asserting an affirmative defense, the defendant bears the
    burden of proving the existence of facts to support the claim.
    Shaut has maintained the same objection to the court’s decision from
    the beginning — that the complaint satisfies the Civ.R. 8 notice pleading standard.
    We agree with Shaut. Because the trial court shifted the burden to Shaut to disprove
    the statute-of-limitations defense within the four corners of the first amended
    complaint, the trial court erred.
    Despite this conclusion, it must be recognized that a “reviewing court
    will not reverse a correct judgment merely because a trial court relied on an
    erroneous reason as the basis for its determination.” O’Neal v. State, 2020-Ohio-
    506, 
    146 N.E.3d 605
    , ¶ 20 (10th Dist.), citing Hassey v. Columbus, 
    2018-Ohio-3958
    ,
    
    111 N.E.3d 1253
    , ¶ 33 (10th Dist.), and Joyce v. Gen. Motors Corp., 
    49 Ohio St.3d 93
    , 96, 
    551 N.E.2d 172
     (1990). “‘[A]n appellate court must affirm the judgment if it
    is legally correct on other grounds, that is, it achieves the right result for the wrong
    reason, because such an error is not prejudicial.’” Id. at ¶ 20, quoting Reynolds v.
    Budzik, 
    134 Ohio App.3d 844
    , 846, 
    732 N.E.2d 485
     (6th Dist.1999). Roberts, in this
    appeal, claims that the unauthenticated documentary evidence attached to its
    motion to dismiss conclusively demonstrates that the action is time barred because
    the parties terminated their relationship for the arbitration-related matter and those
    documents could have been considered by the trial court through the taking of
    judicial notice of the unauthenticated court filings attached to the motion to dismiss.
    Roberts asks this court to review the documentary evidence attached
    to the motion to dismiss in order to determine the accrual date of the statute of
    limitations irrespective of the fact that the trial court refused to consider the
    extraneous evidence.    In the motion to dismiss, Roberts presented copies of
    documents alleged to establish the scope of their representation following the 2017
    arbitration in order to determine when the attorney-client relationship for the
    arbitration transaction ceased.
    Even if the trial court had considered the voluminous documentary
    evidence attached to the motion to dismiss, the black-letter law is well settled: “A
    motion to dismiss based upon a statute of limitations may be granted when the
    complaint shows conclusively on its face that the action is time-barred.” Doe, 
    109 Ohio St.3d 491
    , 
    2006-Ohio-2625
    , 
    849 N.E.2d 268
    , at ¶ 11, citing Velotta, 
    69 Ohio St.2d 376
    , 
    433 N.E.2d 147
    , at paragraph three of the syllabus. Based on the
    allegations in the complaint, it cannot be determined that the action is time-barred
    and we cannot review the documentary evidence Roberts attached to determine
    when the parties terminated the attorney-client relationship for the particular
    transaction underlying the legal malpractice claims.
    As already discussed, nothing from the face of the complaint
    demonstrates when the attorney-client relationship for the particular legal
    transaction terminated. For that, extraneous evidence is a necessary consideration
    because Shaut alleges that Roberts “retained” Shaut’s local counsel in New York for
    the purposes of appealing the arbitration award and that Roberts appeared on behalf
    of Shaut in a related case and otherwise maintained the attorney-client relationship
    through August 30, 2019.         “The determination of when an attorney-client
    relationship terminated is typically a factual question resolved by the trier of fact.”
    Kalski v. Bartimole, 
    2020-Ohio-4137
    , 
    157 N.E.3d 436
    , ¶ 36 (8th Dist.), citing Kinasz
    v. Dickson, 
    2018-Ohio-1754
    , 
    110 N.E.3d 1034
    , ¶ 22 (8th Dist.), and Mobberly v.
    Hendricks, 
    98 Ohio App.3d 839
    , 843, 
    649 N.E.2d 1247
     (9th Dist.1994). Thus, the
    termination of the attorney-client relationship is dependent on a factual record,
    beyond the purview of Civ.R. 12(B)(6).
    The only remaining question, therefore, is whether a court may take
    judicial notice of unauthenticated court filings attached to a motion to dismiss.
    Under Evid.R. 201(B), a “judicially noticed fact must be one not subject to
    reasonable dispute in that it is either (1) generally known within the territorial
    jurisdiction of the trial court or (2) capable of accurate and ready determination by
    resort to sources whose accuracy cannot reasonably be questioned.” As the Supreme
    Court of Ohio has recognized, courts “may take judicial notice of appropriate
    matters in considering a motion to dismiss for failure to state a claim” without
    having to consider the matter as a motion for summary judgment. (Emphasis
    added.) State ex rel. Neff v. Corrigan, 
    75 Ohio St.3d 12
    , 16, 
    661 N.E.2d 170
     (1996).
    The operative phrase is “appropriate matters.” Not all facts are capable of being
    judicially noticed.
    Although courts may take judicial notice of facts under Evid.R.
    201(B), parties cannot request consideration of the documentary evidence, such as
    documents filed with another court, without those documents being properly
    authenticated.1 Uren v. Scoville, 1st Dist. Hamilton No. C-170438, 
    2021-Ohio-3425
    ,
    ¶ 23. Judicial notice of the adjudicative facts contained in earlier cases is not
    permissible nor can it be used to authenticate documents. Natl. Distillers & Chem.
    Corp. v. Limbach, 
    71 Ohio St.3d 214
    , 216, 
    643 N.E.2d 101
     (1994); see also Uren
    (taking judicial notice that a plea agreement was docketed is permissible, but courts
    cannot take judicial notice of the actual plea agreement or the contents therein);
    State ex rel. Jones v. Hogan, Slip Opinion No. 
    2021-Ohio-3567
    , ¶ 11 (a list of the
    state’s exhibits in another proceeding, written reports of police interviews of him
    and three other individuals, a document that appears to be a log of a call to the police
    concerning the incident for which he was convicted, and a document that appears to
    be part of an evidentiary stipulation from another case are not documents that may
    be judicially noticed); Cook v. NL Industries, Inc., 8th Dist. Cuyahoga Nos. 98911
    and 99522, 
    2013-Ohio-5119
    , ¶ 42, citing NorthPoint Properties, Inc. v. Petticord,
    
    179 Ohio App.3d 342
    , 
    2008-Ohio-5996
    , 
    901 N.E.2d 869
    , ¶ 16 (8th Dist.) (courts
    cannot take judicial notice of matters in unrelated cases even where it presided over
    those other cases for the purposes of Civ.R. 12(B)(6)).
    1 Although the Ohio Supreme Court has taken judicial notice of a court filing for
    the purposes of affirming an appellate court’s decision under Civ.R. 12(B)(6) to dismiss a
    writ of prohibition, it has done so based on the court’s “plenary authority in extraordinary
    actions [that] permits us to consider the instant appeal as if it had been filed in this court
    originally” and in cases in which the parties agree to the underlying fact to be judicially
    noticed. State ex rel. Everhart v. McIntosh, 
    115 Ohio St.3d 195
    , 
    2007-Ohio-4798
    , 
    874 N.E.2d 516
    , ¶ 9, quoting State ex rel. Walker v. Lancaster City School Dist. Bd. of Edn.,
    
    79 Ohio St.3d 216
    , 220, 
    680 N.E.2d 993
     (1997). McIntosh does not supersede or overrule
    Limbach.
    In this case, Roberts claims in part, for example, that a foreign
    judgment action filed in Cuyahoga County seeking to recognize the final New York
    judgment entered upon the arbitration proceedings demonstrates that the parties
    terminated the attorney-client relationship for the arbitration transaction because
    Shaut represented himself. The docket from that case, even if the docket itself could
    be judicially noticed for the truth of the matter asserted without obtaining a certified
    copy from the local clerk of courts, does not establish that the foreign judgment
    action is based on the final judgment entered from the arbitration proceedings.
    In order to determine that the foreign judgment action pertained to
    the arbitration underlying the allegations in the first amended complaint, the
    certified copy of the foreign judgment filed must be considered. The docket itself
    does not establish that the action was based on the arbitration proceeding relating
    to the allegations in the complaint. In order for that certified foreign judgment to
    be admissible with relevant information, the party presenting the evidence must
    authenticate the document. Evid.R. 902; Evid.R. 803(8); see also Soliel Tans, L.L.C.
    v. Timber Bentley Coe, L.L.C., 8th Dist. Cuyahoga No. 108125, 
    2019-Ohio-4889
    ,
    ¶ 43 (defendant presented certified copies of the court documents, which are
    therefore admissible). Courts may not take judicial notice of documents filed upon
    another court’s docket in circumvention of the rules of authentication.
    In Soliel, for example, the defendant filed a motion to dismiss, but
    recognized that the trial court would be required to review the content of earlier
    proceedings between the parties to establish a defense to the complaint. 
    Id.
     The
    defendant attached a copy of a complaint, an affidavit, various journal entries, and
    an answer all filed in other court actions. Id. at ¶ 13. The defendant successfully
    sought to have the motion to dismiss treated as one for summary judgment with the
    trial court providing the requisite notice to the plaintiff based on the extraneous
    documentary evidence. Id. at ¶ 16. In the ensuing appeal, the panel affirmed the
    trial court’s decision to consider the motion to dismiss under Civ.R. 56 based on the
    defendant’s request for consideration of other court cases. Id. at ¶ 24; see also
    Ghaster v. Rocky River, 8th Dist. Cuyahoga No. 99779, 
    2013-Ohio-5587
    , ¶ 19 (in
    resolving the Civ.R. 12(B)(6) motion, the trial court improperly considered other
    proceedings to determine when the statute of limitations accrued); Harris v. Pro-
    Lawn Landscaping, Inc., 8th Dist. Cuyahoga No. 97302, 
    2012-Ohio-498
    , ¶ 9 (trial
    court erred in considering other proceedings to determine the applicability of the
    Savings Statute upon a Civ.R. 12 motion to dismiss); Evans v. Ohio Dept. of Rehab.
    & Corr., 10th Dist. Franklin No. 19AP-270, 
    2019-Ohio-4871
    , ¶ 21 (court did not err
    by refusing to take judicial notice of the contents of documents filed in other
    proceedings). We cannot create two standards by affirming the dismissal in this
    case based on review of documents filed in other actions through Civ.R. 12(B)(6) and
    maintain adherence to Soliel, which affirmed the same course of action under a
    motion to dismiss that was considered under Civ.R. 56. It is one or the other. Soliel
    affirmed a trial court’s decision to consider documents filed in other court cases
    concluding that such documents could not be considered under Civ.R. 12(B)(6). The
    same conclusion applies here.
    Based on a de novo review of the trial court proceedings, we conclude
    the trial court erred in dismissing the action. In addition, we cannot consider
    documents and evidence outside the pleadings that were attached to the defendants’
    motion to dismiss in order to find an alternative basis to affirm the trial court’s
    decision.
    Judgment reversed and case remanded for further proceedings.
    It is ordered that appellant recover from appellees costs herein taxed.
    The court finds there were reasonable grounds for this appeal.
    It is ordered that a special mandate issue out of this court directing the
    common pleas court to carry this judgment into execution.
    A certified copy of this entry shall constitute the mandate pursuant to Rule 27
    of the Rules of Appellate Procedure.
    ____________________________________
    SEAN C. GALLAGHER, ADMINISTRATIVE JUDGE
    MARY J. BOYLE, P.J., CONCURS;
    MICHELLE J. SHEEHAN, J., DISSENTS (WITH SEPARATE OPINION)
    MICHELLE J. SHEEHAN, J., DISSENTING:
    Respectfully, I offer another perspective in this Civ.R. 12(B)(6)
    matter. While I generally agree with the law set forth by the majority opinion that
    the trial court is limited to the four corners of the complaint when considering a
    Civ.R. 12(B)(6) motion to dismiss, case law authority permits the trial court to take
    judicial notice of appropriate matters in considering a motion to dismiss. To grant
    Roberts’s motion to dismiss on the statute-of-limitations grounds, the trial court
    need only take judicial notice of the date of filing of a closely related case on its own
    docket. Based on my review of the record, I believe Shaut’s legal malpractice
    complaint was properly dismissed as barred by the statute of limitations.
    The background of the underlying case in this legal malpractice suit
    was summarized in Shaut v. Natl. Cas. Co., 
    2021-Ohio-2522
    , 
    176 N.E.3d 1122
     (8th
    Dist.) Employees of companies Shaut was affiliated with alleged that Shaut and
    other individuals operated an employment Ponzi scheme and the employees had
    been fraudulently induced into entering employment agreements and investing in
    the companies. The matter went to arbitration in New York. Shaut, himself an
    attorney, retained Roberts to represent him in the arbitration. Shaut claimed
    Roberts committed malpractice in failing to follow his legal advice in the arbitration
    case and also failing to properly file an appeal from the arbitration award in a federal
    court in Ohio.
    The Allegations in the Complaint
    At the conclusion of the arbitration case, Hart v. Downing Invest.
    Partners, American Arbitration Association Case No. 01-16-0005-1632, the AAA
    issued an award in favor of the plaintiffs, who then filed a case in a New York state
    court to confirm the arbitration award. Shaut retained New York counsel to
    represent him in the case.       Meanwhile, Roberts filed a motion to vacate the
    arbitration award in the United States District Court for the Northern District of
    Ohio. Shaut’s allegations in the amended complaint (“complaint”) reflects that this
    was the last filing regarding the arbitration matter by Roberts as Shaut’s counsel.
    The district court dismissed the case, and as Shaut alleged, the dismissal led to the
    loss of his appeal in the New York court and the Hart plaintiffs obtained a final
    judgment from that court on the arbitration award. Thereafter, the Hart plaintiffs
    filed Cuyahoga C.P. No. CV-19-910808 in the Cuyahoga County Court of Common
    Pleas to enforce the New York judgment. As alleged in the complaint, Shaut
    represented himself in the common pleas court case, which the court subsequently
    decided in favor of the plaintiffs and issued a judgment of $ 2.5 million. The
    common pleas court’s docket shows that No. CV-19-910808 was filed on July 31,
    2019.
    While the complaint cited other cases (relating to the fraudulent
    employment scheme) where Roberts also represented Shaut, Shaut’s complaint only
    alleged Roberts committed legal malpractice in his representation of Shaut in the
    AAA arbitration; specifically, he alleged Roberts failed to file counterclaims against
    a codefendant and failed to file the codefendant’s deposition testimony. He also
    alleged Roberts failed to properly file the subsequent appeal from the arbitration
    award in the district court in Ohio.
    Accrual of a Legal Malpractice Claim
    Pursuant to Zimmie v. Calfee, Halter & Griswold, 
    43 Ohio St.3d 54
    ,
    
    538 N.E.2d 398
     (1989), Shaut’s legal malpractice action accrued and the one-year
    statute of limitations began to run when there was a “cognizable event” whereby
    Shaut discovered or should have discovered his alleged injury was related to
    Roberts’s conduct, or when the attorney-client relationship for the “particular
    transaction or undertaking” — the arbitration and the related appeal — terminated,
    whichever occurred later.
    “Cognizable Event”
    According to the allegations of the complaint, the “cognizable event”
    sufficient to put Shaut on notice of the alleged malpractice and triggering the one-
    year statute of limitations was the AAA’s issuance of the arbitration award and the
    dismissal of Shaut’s appeal from the arbitration award in the Ohio district court.
    Dottore v. Vorys, Sater, Seymour & Pease, L.L.P., 8th Dist. Cuyahoga No. 98861,
    
    2014-Ohio-25
    , ¶ 58 (a “cognizable event” is an event that is sufficient to alert a
    reasonable person that his attorney may have committed an improper act and that
    further investigation is needed). The later of these two events — the federal court’s
    dismissal of the appeal — occurred on July 24, 2018, as Shaut alleged in the
    complaint.   Based on the allegations of the complaint, therefore, the legal
    malpractice action accrued at that time and the one-year statute of limitations had
    run by the time Shaut filed the instant case on August 25, 2020.
    Termination of the Attorney-Client Relationship for the “Particular
    Transaction or Undertaking”
    Regarding the “particular transaction or undertaking” giving rise to
    the Shaut’s legal malpractice claim, paragraph 14 of the complaint states:
    “Defendants’ representation of Plaintiff during the Hart Arbitration proceeding
    failed to meet the standards of care in the legal profession in five significant aspects.”
    In addition, the first paragraph of the “demand letter,” which Shaut attached to his
    complaint, states that “[t]he demand at issue is based on your past representation
    of me, Michael Shaut, as lead counsel during an employment and securities law
    based arbitration complaint.”
    Consequently, for purposes of the statute of limitations, we only look
    to the date of the termination of the attorney-client relationship in the arbitration
    matter and the related appeal — the “particular transaction or undertaking” in this
    legal malpractice case. Smith v. Conley, 
    109 Ohio St.3d 141
    , 
    2006-Ohio-2035
    , 
    846 N.E.2d 509
    , ¶ 4 (reaffirming the particular-transaction set forth in Zimmie, 
    43 Ohio St.3d 54
    , 
    538 N.E.2d 398
    ).
    In this regard, paragraph 28 of the complaint states that “the Hart
    Arbitration Petitioners [] filed to enroll their New York Judgment as Plaintiff’s
    Judgment Creditors in the Cuyahoga County Court of Common Pleas Case
    No. CV-19-919080. Plaintiff represented himself pro se. * * *.” Based on this
    allegation, the attorney-client relationship for the “particular transaction or
    undertaking” terminated when the Hart plaintiffs registered the final judgment
    regarding the arbitration award from New York in the common pleas court because
    Roberts no longer represented Shaut in the subject arbitration matter.
    While Shaut alleged in the complaint that Roberts never terminated
    the attorney client relationship, a formal letter of termination is not required to
    extinguish the attorney-client relationship. Kalski v. Bartimole, 
    2020-Ohio-4137
    ,
    
    157 N.E.3d 436
    , ¶ 38 (8th Dist.), citing Brown v. Johnstone, 
    5 Ohio App.3d 165
    , 166-
    167, 
    450 N.E.2d 693
     (9th Dist.1982). Rather, “‘the attorney-client relationship is
    consensual in nature and the action of either party can affect its continuance.’” Id.
    at ¶ 37, quoting Brown at 167. Furthermore, “Ohio law generally recognizes that
    the retention of new counsel to handle issues previously managed by a former
    attorney indicates the former attorney-client relationship has been terminated.” Id.
    at ¶ 38, citing Accelerated Sys. Integration, Inc. v. Ritzler, Coughlin & Swansinger,
    Ltd., 8th Dist. Cuyahoga No. 97481, 
    2012-Ohio-3803
    , ¶ 50.
    The attorney-client relationship terminated in the arbitration matter
    — the “particular transaction or undertaking” — when the Hart plaintiffs, having
    obtained the final judgment regarding their arbitration award, filed the common
    pleas court case as judgment creditors to collect the arbitration award on July 31,
    2019. According to Shaut’s allegation, he “represented himself pro se in the matter
    as he had exhausted all of his financial resources.” While the court has held that it
    is “not necessary to specify facts to defend from a statute of limitations defense,”
    Warren v. Estate of Durham, 9th Dist. Summit No. 25624, 
    2011-Ohio-6416
    , ¶ 6,
    quoting Irvin v. Am. Gen. Fin., Inc., 5th Dist. Muskingum No. CT2004-0046, 2005-
    Ohio-3523, ¶ 29, fn. 11, and while Shaut was not required to demonstrate in the
    complaint that his claim was not time barred, Shaut’s own allegations in the
    complaint establish that Roberts’s service as counsel in the arbitration matter had
    been terminated no later than the day the Hart plaintiffs filed the common pleas
    case, regardless of Shaut’s vague allusion to a April 2019 meeting where some
    “confidential matters” concerning Shaut were discussed and Roberts “represented
    that he was Plaintiff’s lawyer and sat through the entire meeting.“
    Judicial Notice
    While the complaint did not specify the date the Hart plaintiffs filed
    the common pleas court case, based on the case law authority, I believe the fact that
    CV-919080 was filed on July 31, 2019, can be judicially noticed, for the following
    reasons.
    In State ex rel. Everhart v. McIntosh, 
    115 Ohio St.3d 195
    , 2007-Ohio-
    4798, 
    874 N.E.2d 516
    , a writ case, the Supreme Court of Ohio addressed the
    question of whether it was error for the Tenth District court to take judicial notice of
    its prior dismissal entry and granted a Civ.R. 12(B)(6) motion to deny the writ. The
    Supreme Court of Ohio acknowledged that it has been held that the courts may not
    take judicial notice of their own proceedings in other cases. It explained, however,
    that the rationale for these holdings is that the prior proceedings are not part of the
    record on appeal and, therefore, the appellate court cannot review whether the trial
    court correctly interpreted such prior proceedings. Id. at ¶ 7. The court in Everhart
    held that it was proper for the prior dismissal entry to be judicially noticed because
    that entry was made part of the record and parties agreed that the Tenth District did
    dismiss the prior appeal. Everhart at ¶ 9-10. In other words, the extraneous matter
    — the dismissal of the prior appeal — can be considered in a Civ.R. 12(B) motion
    when the dismissal entry was part of the record and no “interpretation” of the prior
    proceeding was required to ascertain the matter.
    It appears that Everhart can be relied upon as authority for affirming
    the trial court’s decision here. The only “extraneous matter” to be judicially noticed
    in this case for the trial court to grant Roberts’s Civ.R. 12(B)(6) motion to dismiss
    on the ground of statute of limitations is the fact that the common pleas court’s case
    No. CV-919080 was filed July 31, 2019. The docket sheet of that case number from
    the trial court is part of the record before us, and no “interpretation” of the prior
    proceeding is required — the only matter to be ascertained is the date of the filing.
    Evid.R. 201(B) states that “[a] judicially noticed fact must be one not
    subject to reasonable dispute in that it is either (1) generally known within the
    territorial jurisdiction of the trial court or (2) capable of accurate and ready
    determination by resort to sources whose accuracy cannot reasonably be
    questioned.” Here, the filing date of a case in the court’s own docket is certainly
    capable of accurate and ready determination. Indus. Risk Insurers v. Lorenz Equip.
    Co., 
    69 Ohio St.3d 576
    , 580, 
    635 N.E.2d 14
     (1994) (“It is axiomatic that a trial court
    may take judicial notice of its own docket.”); Summit Cty. Children Servs. v. Stucki,
    9th Dist. Summit No. 29911, 
    2021-Ohio-4584
     (a court may take notice of the docket
    in a closely related case to determine whether the current complaint states a claim
    for relief).   See also Uren v. Scoville, 1st Dist. Hamilton No. C-170438,
    
    2021-Ohio-3425
    , ¶ 23 (noting that taking judicial notice that a plea agreement is
    docketed in a criminal case is permissible under Evid.R. 201(B) but taking judicial
    notice of that document is not permitted).
    In reaching its decision, the court in Everhart affirmed the principle
    that the court can take judicial notice of “appropriate matters” in determining
    Civ.R. 12(B)(6) motion without converting it to a motion for summary judgment.
    
    Id.,
     
    115 Ohio St.3d 195
    , 
    2007-Ohio-4798
    , 
    874 N.E.2d 516
    , at ¶ 10, citing State ex rel.
    Scott v. Cleveland, 
    112 Ohio St.3d 324
    , 
    2006-Ohio-6573
    , 
    859 N.E.2d 923
    , ¶ 26,
    citing State ex rel. Neff v. Corrigan, 
    75 Ohio St.3d 12
    , 16, 
    661 N.E.2d 170
    . I believe
    the holding is applicable under the unique circumstances of this case. While it is
    improper to consider extraneous materials without converting a motion to dismiss
    to a motion for summary judgment in many instances, it does not appear necessary
    in this case to convert the motion to dismiss to a summary judgment proceeding just
    so that the trial court could take note of the date of a case’s filing in its own docket.
    While the termination of an attorney-client relationship is typically a
    factual question resolved by the trier of fact, Kinasz v. Dickson, 
    2018-Ohio-1754
    , 
    110 N.E.3d 1034
    , ¶ 22 (8th Dist.), based on the allegations in the instant complaint, there
    appears to be no set of facts permitting a conclusion that the attorney-client
    relationship for the arbitration matter existed as of August 25, 2019, a year before
    the legal malpractice complaint was filed. Upon a de novo review, I would conclude
    that the trial court did not err in granting Roberts’s motion to dismiss because it was
    barred by the one-year statute of limitations for a legal malpractice claim. For these
    reasons, I respectfully dissent.