Horton, D. v. Bruno, J. ( 2017 )


Menu:
  • J-S27018-17
    NON-PRECEDENTIAL DECISION - SEE SUPERIOR COURT I.O.P. 65.37
    DENNIS HORTON,                             :   IN THE SUPERIOR COURT OF
    :        PENNSYLVANIA
    Appellant                :
    :
    :
    v.                              :
    :
    :
    JAMES S. BRUNO                             :   No. 2176 EDA 2016
    Appeal from the Order June 9, 2016
    In the Court of Common Pleas of Philadelphia County
    Civil Division at No(s): 130202725
    BEFORE:       GANTMAN, P.J., OTT, J. and PLATT, J.*
    MEMORANDUM BY OTT, J.:                                       FILED July 3, 2017
    Dennis Horton appeals, pro se, from the order entered June 9, 2016,
    in the Philadelphia County Court of Common Pleas, granting the motion for
    summary judgment filed by defendant, James S. Bruno, in this legal
    malpractice action.1        Horton is currently serving a prison term of life
    ____________________________________________
    *
    Retired Senior Judge assigned to the Superior Court.
    1
    We note Horton’s notice of appeal filed on July 12, 2016, was premature
    because, at that time, his motion for summary judgment, filed in May of
    2016, was still outstanding. See Pa.R.A.P. 341(b)(1) (a final order is one
    that, inter alia, “disposes of all claims and of all parties”). However, on
    September 13, 2016, the trial court entered an order denying Horton’s
    motion. Accordingly, Horton’s appeal is properly before us. See Pa.R.A.P.
    905(a)(5) (“A notice of appeal filed after the announcement of a
    determination but before the entry of an appealable order shall be treated as
    filed after such entry and on the day thereof.”).
    J-S27018-17
    imprisonment for a 1994 conviction of second-degree murder2 and related
    charges.     Bruno served as Horton’s Post Conviction Relief Act (“PCRA”)3
    counsel from 2009 to 2011.             Thereafter, Horton reported Bruno to the
    Pennsylvania Disciplinary Board, and based upon his representation of
    Horton and several other clients, Bruno was subsequently suspended from
    the practice of law for two years. While the disciplinary proceedings were
    pending, Horton filed this civil complaint asserting legal malpractice.     On
    appeal, Horton contends the trial court erred or abused its discretion by: (1)
    denying his pretrial motion to amend his complaint; (2) denying his motion
    to compel Bruno to produce certain documents; and (3) granting Bruno’s
    motion for summary judgment. For the reasons below, we affirm.
    The facts and procedural history underlying this appeal are aptly
    summarized by the trial court as follows:
    On September 30, 1994, a jury convicted [Horton] of
    murder in the second degree, three counts of aggravated
    assault, four counts of robbery, and one count each of criminal
    conspiracy and possessing an instrument of crime.         [See
    Commonwealth v. Horton, 
    48 A.3d 479
    (Pa. Super. 2012)
    (unpublished memorandum)]. [Horton] was sentenced to an
    aggregate term of life imprisonment for the murder plus
    eighteen and a half to sixty-one years’ imprisonment for the
    remaining offenses. On March 20, 1996, the Superior Court
    affirmed the judgment of sentence.        Commonwealth v.
    Horton, 
    678 A.2d 828
    (Pa. Super. 1996) (unpublished
    mem[orandum]).
    ____________________________________________
    2
    See 18 Pa.C.S. § 2502.
    3
    42 Pa.C.S. §§ 9541-9546.
    -2-
    J-S27018-17
    On October 11, 1996, [Horton] retained private counsel
    and filed his first Post Conviction Relief Act (“PCRA”) petition.1
    The trial court dismissed [Horton’s] PCRA petition, and the
    Superior Court affirmed. See Commonwealth v. Horton, 
    736 A.2d 9
    (Pa. Super. 1998) (unpublished mem[orandum]), appeal
    denied, 
    738 A.2d 455
    (Pa. 1999).
    __________
    1
    The pleadings and the Superior Court opinion, Horton,
    
    48 A.3d 479
    , maintain that [Horton’s] first PCRA petition
    did not raise his original trial counsel’s ineffective
    assistance in failing to subpoena medical records. The
    Superior Court added: “[Horton] could have filed a PCRA
    petition long before now, claiming trial counsel’s
    ineffectiveness in not seeking to subpoena the medical
    records, and the records could have been subpoenaed at
    that time.” Horton, 
    48 A.3d 479
    .
    __________
    On January 30, 2006, around ten years after the judgments
    of sentence became final,2 [Horton] filed his second PCRA
    petition, raising an after-discovered facts time bar exception.
    On March 20, 2007, the trial court issued notice under
    Pa.R.Crim.P. 907 of its intention to dismiss the petition as
    untimely.     On March 11, 2009, [Bruno] was appointed to
    represent [Horton]. On December 8, 2009, [Bruno] filed an
    amended PCRA petition on behalf of [Horton], raising additional
    claims to the time bar exception. On May 4, 2010, the trial court
    issued a Rule 907 notice of its intention to dismiss the amended
    petition as without merit. On June 1, 2010, [Horton] filed a
    response, alleging that [Bruno] rendered ineffective assistance in
    his amended petition. The trial court dismissed the petition on
    September 16, 2010. On October 18, 2010, [Horton] appealed,
    contending that, among other things, his “after-discovered”
    medical records of his knee injury, which occurred about a
    month before the crime, entitled him to a time bar exception.
    On April 25, 2011, [Horton] filed a pro se motion seeking the
    removal of [Bruno] and a Grazier hearing.                   [See]
    Commonwealth v. Grazier, 
    713 A.2d 81
    (1998). Following the
    Grazier hearing, the trial court granted [Horton’s] request and
    permitted [Bruno] to withdraw. On April 17, 2012, the Superior
    Court affirmed the trial court’s dismissal of the second PCRA
    petition, reasoning that the petition was untimely, no valid
    exception to the time bar existed, and the remaining issues were
    meritless. Horton, 
    48 A.3d 479
    , appeal denied, 
    60 A.3d 535
    -3-
    J-S27018-17
    (Pa. 2012). In or around April 2012, [Horton] made a complaint
    to the Disciplinary Board of the Supreme Court of Pennsylvania
    (“Disciplinary Board”) regarding [Bruno].3
    __________
    2
    [Horton’s] judgment of sentence became final on April
    19, 1996 pursuant to 42 Pa.C.S. § 9545(b)(3) and
    Pa.R.A.P. 1113. Horton, 
    48 A.3d 479
    .
    3
    In May 2013, the Office of Disciplinary Counsel ("ODC")
    charged [Bruno] with violations of the Rules of Professional
    Conduct, arising out of eleven separate claims against him.
    See Disciplinary Board File No. 180 DB 2011 (Pa. 2014).
    On July 18, 2014, the Disciplinary Board recommended the
    suspension of [Bruno’s] license to practice law for one year
    and one day, with probation of three years, subject to
    conditions. On November 13, 2014, upon consideration of
    the Report and Recommendation of the Disciplinary Board,
    the Supreme Court suspended [Bruno] from the practice of
    law for a period of two years retroactive to February 26,
    2013, followed by a two–year probation [term] after
    reinstatement, subject to conditions. See Supreme Court
    Order dated November 13, 2014.
    __________
    On February 26, 2013, [Horton] filed the instant action
    against [Bruno] in assumpsit (Count I) and in trespass (Count
    II), alleging that [Bruno’s] ineffective assistance in his criminal
    matter constituted breach of contract and negligence.4 Most
    significantly, the complaint averred that [Bruno] failed to obtain
    and attach affidavits of his treating medical providers and failed
    to subpoena medical records5 to his amended PCRA petition,
    which, according to [Horton], prevented him from proving his
    innocence. After the case was transferred from arbitration to
    trial, [Bruno] filed an answer with new matter on July 14, 2014,
    noting that (1) [Horton] never entered into a contractual
    relationship with [Bruno], and the law does not recognize a
    contractual relationship between court-appointed counsel and
    defendant; (2) that [Horton] raised the issue of getting medical
    treatment for his knee injury at trial; (3) that [Horton], in his
    first PCRA petition, did not raise the issue of his original trial
    counsel’s failure to secure his treating medical providers or
    medical records; and (4) that [Horton] cannot show that but for
    [Bruno’s] negligence (i.e. producing an allegedly defective
    petition), [Horton] would have prevailed because one month
    -4-
    J-S27018-17
    prior to the crime, [Horton’s] medical records indicate that he
    was walking with a normal gait. On August 6, 2014, [Horton]
    filed his reply, stating that (1) a contractual obligation was
    formed once [Bruno] accepted the appointment and entered his
    appearance; (2) that the knee injury defense was unavailable at
    trial because the hospital could not locate his file; (3) that it
    would have been inappropriate and frivolous to allege that his
    original trial counsel was ineffective for failing to secure his
    medical records; (4) that [Horton] could have prevailed in his
    second PCRA petition if [Bruno] followed a “multi-tier process,”
    which we summarize here as good lawyering practices; and (5)
    that the outcome of the trial would have been different if his
    complete medical records along with testimony of his treating
    medical providers and his employer6 were included in his second
    PCRA petition. In [Horton’s] new matter, he raised for the first
    time the enforcement of default judgment against [Bruno]. On
    August 25, 2014, [Bruno] replied, claiming noncompliance with
    the rules.
    __________
    4
    On March, 25, 2013, [Horton] initiated his third PCRA
    petition, requesting discovery and DNA testing. On June 3,
    2015, the trial court issued a Rule 907 notice of its
    intention to dismiss the amended petition as untimely.
    5
    Alternatively, [Bruno] failed to attach the copies of
    [Horton’s] medical records obtained by [Horton] at the
    prison medical department.
    6
    [Horton] also avers that [Bruno] failed to include the
    testimony of his former supervisor Norman Whitest, who
    witnessed [Horton’s] knee injury at work that occurred on
    or about April 26, 1993. The Superior Court noted that
    [Horton] could have raised the knee injury defense at trial
    without the medical records, presenting Norman Whitest
    as a witness to suggest that [Horton] could not have
    committed the crime. Horton, 
    48 A.3d 479
    , n.4.
    __________
    On January 13, 2016, [Horton] filed a motion to compel
    production of documents,7 wherein he sought to discover
    [Bruno’s] documents exchanged with the Disciplinary Board and
    with Attorney Sondra Rodrigues, who was counsel for a co-
    defendant in the criminal matter; and [Bruno’s] counseling and
    treatment records. [Bruno] answered, arguing, inter alia, that
    -5-
    J-S27018-17
    the requested items were irrelevant. [Horton] argued that the
    items were relevant and pointed out that [Bruno] waived his
    objections since his answer was untimely and failed to provide
    any reason for the delay. This court denied the motion on May
    24, 2016.
    __________
    7
    The request for production of documents was served
    around June 30, 2015. [Horton] followed up with a letter
    requesting compliance around October 10, 2015.
    __________
    On April 5, 2016, [Bruno] moved for summary judgment
    after discovery was completed and pleadings closed.
    Specifically, [Bruno] argued that summary judgment was
    appropriate because (1) there was no contractual relationship
    between [Horton] and [Bruno], and (2) since the second PCRA
    petition was held to be untimely by both the trial court and the
    Superior Court, [Horton] could not have committed malpractice
    for failing to include the medical evidence. On April 29, 2016,
    [Horton] filed an answer in opposition to the motion for
    summary judgment denying [Bruno’s] averments because a
    contractual relationship allegedly existed and the Superior
    Court’s holding on his second PCRA petition would have been
    different but for [Bruno’s] negligence.     On May 18, 2016,
    [Horton] moved for summary judgment, arguing that no genuine
    issues of materials facts exist in his two claims. This court
    granted summary judgment in favor of [Bruno] on June 10,
    2016. [Horton] thereafter filed his notice of appeal on July 12,
    2016 and timely issued his Pa.R.A.P. 1925(b) statement of
    errors complained of on appeal on August 25, 2016. [Horton’s]
    motion for summary judgment was denied on September 13,
    2016.
    Trial Court Opinion, 9/16/2016, at 1-6 (most citations omitted).
    In his first issue on appeal, Horton argues the trial court erred or
    abused its discretion in denying his motion to amend his complaint “to
    introduce new matters and evidence in support [] thereof, which was
    unavailable at the time the Complaint was filed[,]” namely, the disciplinary
    proceedings against Bruno. Horton’s Brief at 8. He asserts that while leave
    -6-
    J-S27018-17
    to amend lies within the discretion of the trial court, it should be liberally
    granted. See 
    id. Moreover, Horton
    contends that to the extent his motion
    was defective in that he did not seek court approval to amend, the trial court
    should have permitted him the opportunity to correct any defect before
    denying the motion. See 
    id. at 10.
    Furthermore, he maintains any delay in
    filing the motion was attributable to Bruno, since he “never divulged the
    existence of the information in those documents in response to the
    complaint[.]” 
    Id. Pennsylvania Rule
    of Civil Procedure 1033 provides, in relevant part, a
    party may amend a pleading at any time, “either by filed consent of the
    adverse party or by leave of court[.]” Pa.R.C.P. 1033(a).
    Our standard of review of a trial court’s order denying a plaintiff
    leave to amend its complaint, … permits us to overturn the order
    only if the trial court erred as a matter of law or abused its
    discretion. The trial court enjoys “broad discretion” to grant or
    deny a petition to amend. … Although the trial court generally
    should exercise its discretion to permit amendment, … where a
    party will be unable to state a claim on which relief could be
    granted, leave to amend should be denied.
    The Brickman Grp., Ltd. v. CGU Ins. Co., 
    865 A.2d 918
    , 926–927 (Pa.
    Super. 2004) (internal citations omitted).    “An abuse of discretion occurs
    when a trial court ... overrides or misapplies the law, or exercises judgment
    which is manifestly unreasonable, or the result of partiality, prejudice, bias
    or ill will.” Keller v. Mey, 
    67 A.3d 1
    , 7 (Pa. Super. 2013).
    Our review reveals no abuse of discretion on the part of the trial court.
    First, we note Horton did not seek either Bruno’s consent, or the court’s
    -7-
    J-S27018-17
    permission, to amend his complaint. Rather, on April 29, 2016, more than
    three years after he initiated the lawsuit, Horton filed a document titled,
    “Motion Introducing Third, Fourth and Fifth New Matters.”            See Motion
    Introducing Third, Fourth and Fifth New Matters, 4/29/2016.            The “new
    matters” he sought to introduce were documents from Bruno’s disciplinary
    proceedings, and, in particular Bruno’s stipulation to the facts underlying the
    disciplinary complaint.   See 
    id. at 1.
        Horton asserted these stipulations
    “prove[d] conclusively” the allegations in the legal malpractice complaint,
    and entitled him to a judgment “in the sum of [$]75,000.00.” 
    Id. at 3,
    9.
    See also 
    id., Exhibit A,
    Supplemental Joint Stipulation of Facts in Bruno’s
    disciplinary proceedings, 3/20/2013, at ¶¶ 7-93.
    Rule 1033 explicitly requires either “filed consent of the adverse party”
    or “leave of court” before a party may amend his complaint. Pa.R.C.P.
    1033(a). Because Horton obtained neither, the trial court acted well within
    its discretion in denying his belated amendment. Nevertheless, even if we
    presume the trial court should have considered Horton’s pro se filing as a
    petition seeking permission to amend, we still would conclude he is entitled
    to no relief. As will be discussed infra, Bruno’s stipulations in the disciplinary
    proceedings do not prove Horton’s legal malpractice claim.             Therefore,
    because the proposed amendments do not “state a claim on which relief
    could be granted,” the trial court did not abuse its discretion in denying
    -8-
    J-S27018-17
    Horton permission to amend the pleadings.4                  The Brickman Grp., 
    Ltd., supra
    , 865 A.2d at 927. Accordingly, Horton’s first claim fails.
    Second, Horton argues the trial court erred or abused its discretion in
    denying his motion to compel the production of documents.                     See Horton’s
    Brief at 12. By way of background, in June of 2015, Horton served Bruno
    with a request for the production of documents including any and all
    affidavits, documents, statements, and correspondence related to Bruno’s
    disciplinary     proceedings      and       mental    health    treatment,      and    any
    correspondence between Bruno and Horton’s co-defendant’s counsel, Sondra
    Rodriques,     Esq.,   related    to    Horton’s     appeal    or   Bruno’s    disciplinary
    proceeding.      See Motion to Compel Production of Documents, 1/13/2016,
    Exhibit A, Request for Production of Documents, dated 6/30/2015, at
    unnumbered 2-5. When Bruno failed to respond to the discovery request,
    Horton    sent    another    letter    in   October    of    2015   requesting     Bruno’s
    compliance.      After Bruno continued to ignore the request, Horton filed a
    motion to compel on January 13, 2016. Bruno filed a response on April 6,
    ____________________________________________
    4
    We note the judge who considered the proposed amendment was not the
    same judge who ruled upon the motion to compel and summary judgment
    motion. See Order, 5/26/2016. Therefore, the trial court, in its opinion,
    presumed the amendment was not permitted because it was “improper
    under Pa.R.C.P. 1033 and untimely.” Trial Court Opinion, 9/16/2016, at 17.
    Nevertheless, we may affirm the decision of the trial court on any basis.
    See Richmond v. McHale, 
    35 A.3d 779
    , 786 n.2 (Pa. Super. 2012).
    -9-
    J-S27018-17
    2016, and the trial court subsequently denied the motion by order dated
    May 24, 2016.
    Horton contends the court’s denial of his motion to compel was an
    abuse of discretion or error of law. First, Horton asserts Bruno waived any
    objection to the motion to compel because he did not file a response until
    “130 days elapsed.”         Horton’s Brief at 14, citing Pa.R.C.P. 4006(a)(2).5
    Second, he maintains the information he requested regarding Bruno’s
    disciplinary proceedings was relevant because the specific details underlying
    the suspension “are closely related to the issues raised in [the] complaint
    and provide irrefutable proof of the material facts in this case.” 
    Id. at 16.
    Third, Horton insists his requests were not overbroad, and the documents he
    sought regarding Bruno’s mental health treatment were “relevant to proving
    … [Bruno] was negligent in handling his PCRA appeal and was the proximate
    cause in him losing that cause of action.” 
    Id. at 17.
    Fourth, he claims the
    information he sought regarding Bruno’s correspondence with Horton’s co-
    defendant’s counsel would prove Bruno “obtained information from [the
    other] attorney and, negligently, spliced it together into the amended
    petition he filed, which caused it to be insufficient and fatally flawed.” Id.
    ____________________________________________
    5
    Rule 4006 provides, in relevant part, a party answering interrogatories
    “shall serve a copy of the answers, and objections if any, within thirty days
    after the service of the interrogatories.” Pa.R.C.P. 4006(a)(2).
    - 10 -
    J-S27018-17
    Our review of a trial court order regarding discovery matters is well-
    settled:
    The trial court is responsible for “[overseeing] discovery
    between the parties and therefore it is within that court’s
    discretion to determine the appropriate measure necessary to
    insure adequate and prompt discovering of matters allowed by
    the Rules of Civil Procedure.”    Pennsylvania Rule of Civil
    Procedure 4003.1 states:
    Rule 4003.1 Scope of Discovery Generally. Opinions and
    Contentions
    (a) Subject to the provisions of Rules 4003.2 to 4003.5
    inclusive and Rule 4011, a party may obtain discovery
    regarding any matter, not privileged, which is relevant to
    the subject matter involved in the pending action, whether
    it relates to the claim or defense of the party seeking
    discovery or to the claim or defense of any other party ....
    (b) It is not ground for objection that the information
    sought will be inadmissible at trial if the information
    sought appears reasonably calculated to lead to the
    discovery of admissible evidence.
    Pa.R.C.P. 4003.1(a)(b). Generally, discovery “is liberally allowed
    with respect to any matter, not privileged, which is relevant to
    the cause being tried.”
    PECO Energy Co. v. Ins. Co. of N. Am., 
    852 A.2d 1230
    , 1233 (Pa. Super.
    2004).
    The trial court disposed of this issue as follows:
    First, [Horton] requested all documents sent to or received
    from the Disciplinary Board by [Bruno] before, during, and after
    his suspension. Since [Bruno’s] disciplinary proceedings and
    subsequent suspension were admitted, the production of
    documents relating to those events were not relevant to any
    issue which would have affected a material part of [Horton’s]
    cause of action. Further, this request was overbroad, given the
    drawn-out timeframe.         Finally, the relevant documents
    - 11 -
    J-S27018-17
    concerning the disciplinary proceedings and suspension were
    available to the public since November 2014.
    Next, [Horton] requested all documents pertaining to in-
    patient or out-patient counseling and treatment of [Bruno]
    related to the suspension.       This request was overbroad,
    irrelevant, and normally would not lead to admissible evidence.
    Additionally, [Horton] requested all documents submitted
    by other complainants against [Bruno] in the same disciplinary
    proceedings.     [Horton’s] relevancy arguments for this far-
    reaching request did not explain how these documents could
    provide any relevant information to his case. This request was
    denied for the same reasons set forth above.
    Lastly, [Horton] requested all correspondence and
    documents exchanged with Attorney Sondra Rodrigues related to
    [Bruno’s] representation of [Horton]. This request was denied
    for the same reasons set forth in the denial of [Horton’s] first
    request related to the disciplinary proceedings and suspension.
    Trial Court Opinion, 9/16/2016, at 16.
    Our review reveals no error of law or abuse of discretion committed by
    the trial court. First, we note Bruno’s failure to respond in a timely manner
    to Horton’s requests for the production of documents or motion to compel
    does not automatically entitle Horton to relief.       “[T]he imposition of
    sanctions always is subject to a balancing test and a weighing of various
    factors.” McGovern v. Hosp. Serv. Ass'n of Ne. Pennsylvania, 
    785 A.2d 1012
    , 1019 (Pa. Super. 2001).
    Second, we agree with the trial court’s conclusion that Horton’s
    requests were overbroad, and much of the information he sought would
    have been irrelevant to the present action. Essentially, Horton sought all
    documents and records which were in any way related to the disciplinary
    proceedings.    As the trial court explained, the “relevant documents
    - 12 -
    J-S27018-17
    concerning the disciplinary proceedings and suspension were available to the
    public since November 2014.”      
    Id. In a
    joint stipulation of facts, Bruno
    admitted he failed to respond promptly (if at all) to Horton’s letters and
    requests for information about the PCRA case, and, in doing so, violated the
    Pennsylvania Rules of Professional Conduct. See Motion Introducing Third,
    Fourth and Fifth New Matters, 4/29/2016, Exhibit A, Supplemental Joint
    Stipulation of Facts in Bruno’s disciplinary proceedings, 3/20/2013, at ¶ 93
    (Bruno admitting he violated Rules 1.3, 1.4(a)(3), 1.4(a)(4), 1.16(d), and
    8.4(d), in his representation of Horton). However, as will be discussed infra,
    Bruno’s failings do not prove he committed legal malpractice. Indeed, even
    “a finding of ineffectiveness is not tantamount to a finding of culpable
    conduct” in a legal malpractice action.      Bailey v. Tucker, 
    621 A.2d 108
    ,
    115 n.14 (Pa. 1993). We agree with the trial court’s conclusion that none of
    the information Horton requested would have proven the allegations in his
    complaint. Accordingly, no relief is warranted.
    In his third and final claim, Horton contends the trial court erred in
    granting Bruno’s motion for summary judgment. Specifically, he argues (1)
    the court’s ruling was premature because it was made before Bruno was
    required to file an answer to Horton’s motion for summary judgment, and
    (2) there were genuine issues of material fact in dispute.
    When reviewing an order of the trial court granting summary
    judgment, we must bear in mind the following:
    - 13 -
    J-S27018-17
    Summary judgment is appropriate where the record clearly
    demonstrates there is no genuine issue of material fact and the
    moving party is entitled to judgment as a matter of law.
    Atcovitz v. Gulph Mills Tennis Club, Inc., 
    571 Pa. 580
    , 
    812 A.2d 1218
    , 1221 (2002); Pa. R.C.P. No. 1035.2(1). When
    considering a motion for summary judgment, the trial court must
    take all facts of record and reasonable inferences therefrom in a
    light most favorable to the non-moving party.            Toy[ v.
    Metropolitan Life Ins. Co.], 928 A.2d [186,] 195 [(Pa. 2007)].
    Whether there are no genuine issues as to any material fact
    presents a question of law, and therefore, our standard of review
    is de novo and our scope of review plenary.          Weaver v.
    Lancaster Newspapers, Inc., 
    592 Pa. 458
    , 
    926 A.2d 899
    ,
    902–03 (2007).
    Estate of Agnew v. Ross, 
    152 A.3d 247
    , 259 (Pa. 2017).
    First, Horton argues the trial court erred in granting Bruno’s motion for
    summary judgment before the time expired for Bruno to file an answer to
    Horton’s motion for summary judgment.        He claims the court’s premature
    ruling was prejudicial because “it deprived him of the answers to the
    averments he forwarded in his summary judgment motion, which would
    have caused the court to rule in his favor[.]” Horton’s Brief at 19.
    The trial court disposed of this argument as follows:
    This court ruled on [Bruno’s] motion for summary
    judgment after [Horton] filed his response. [Bruno] did not have
    to file a response to [Horton’s] motion, as this court understood
    and was aware of the legal positions of the parties upon review
    and consideration of all pleadings and affidavits. There appears
    to be no authority on point that mandates a trial court cannot
    dispose of a motion for summary judgment and its subsequent
    response presently before the court until a non-movant filed his
    own motion for summary judgment and the opposing party
    responds.
    Trial Court Opinion, 9/16/2016, at 13.
    - 14 -
    J-S27018-17
    We find no basis to disagree.      Horton’s attempt to find statutory
    support for his argument in the Pennsylvania Rules of Civil Procedure fails.
    Although Rule 1035.3 requires an adverse party to file a response to a
    motion for summary judgment, and the court may enter judgment against a
    party who does not respond, the Rule does not contemplate the facts herein,
    where the trial court disposes of a party’s motion for summary judgment
    while a cross summary judgment motion is pending.        As the court stated
    above, Horton provides no support for his claim that the court’s actions were
    improper. Moreover, the trial court was aware of all the relevant issues at
    the time it granted Bruno’s motion. Accordingly, no relief is warranted.
    Second, Horton argues the trial court erred or abused its discretion in
    granting Bruno’s motion when material facts were in dispute. See Horton’s
    Brief at 20.    With regard to his assumpsit claim, Horton contends that
    pursuant to Fiorentino v. Rappaport, 
    693 A.2d 208
    (Pa. Super. 1997),
    appeal denied, 
    701 A.2d 577
    (Pa. 1997), once counsel and a defendant
    enter into an attorney/client relationship, even if the attorney is court-
    appointed, the client may sue for breach of contract or negligence. See
    
    id. at 21-22.
       Furthermore, with regard to his negligence claim, Horton
    maintains he “offered irrefutable proof that a) [Bruno] engaged in negligent
    misconduct in his     representation of [Horton], and      b) his   negligent
    misconduct was the proximate cause of [Horton] losing his PCRA appeal.”
    
    Id. at 20.
    - 15 -
    J-S27018-17
    Again, our review of the record, the parties’ briefs, and the relevant
    case law reveals Horton is entitled to no relief. First, we agree with the trial
    court’s determination that Horton cannot maintain a breach of contract
    action against Bruno because Bruno was court-appointed, and “[Horton]
    never retained [Bruno’s] services and had no contract with [Bruno].” Trial
    Court Opinion, 9/16/2016, at 10. See Moore v. McComsey, 
    459 A.2d 841
    ,
    844 (Pa. Super. 1983) (finding plaintiff was subject to two-year statute of
    limitations for negligence action in legal malpractice claim when counsel had
    been court-appointed and appellate court “deem[ed] it unrealistic to attempt
    to confer upon appellant the status of a third party beneficiary to a contract
    between the Commonwealth and appointed counsel.”).             See also Ibn-
    Sadliika v. Riester, 
    551 A.2d 1112
    , 1114 n.2 (Pa. Super. 1988) (“It has
    already been established that a contract of employment does not exist
    between a defendant and court-appointed counsel, and that a legal
    malpractice   action   against   court-appointed   counsel   will   lie   only   in
    trespass.”), citing 
    Moore, supra
    .
    Moreover, Horton’s reliance on 
    Fiorentino, supra
    , is misplaced.            In
    that case, the purportedly negligent attorney was hired by the plaintiff to
    represent him in a civil action; he was not a court-appointed attorney in a
    - 16 -
    J-S27018-17
    PCRA case.      This factual distinction is dispositive.   Accordingly, Horton’s
    breach of contact action fails.6
    With regard to Horton’s negligence claim, we note the Supreme Court
    in 
    Bailey, supra
    , outlined the requisite elements for a legal malpractice
    action sounding in trespass:
    [W]e hold that a plaintiff seeking to bring a trespass action
    against a criminal defense attorney, resulting from his or her
    representation of the plaintiff in criminal proceedings, must
    establish the following elements:
    (1) The employment of the attorney;
    (2) Reckless or wanton disregard of the defendant’s interest on
    the part of the attorney;
    (3) the attorney’s culpable conduct was the proximate cause of
    an injury suffered by the defendant/plaintiff, i.e., “but for” the
    attorney’s conduct, the defendant/plaintiff would have obtained
    an acquittal or a complete dismissal of the charges.
    (4) As a result of the injury, the criminal defendant/plaintiff
    suffered damages.
    (5) Moreover, a plaintiff will not prevail in an action in criminal
    malpractice unless and until he has pursued post-trial remedies
    and obtained relief which was dependent upon attorney error;
    ____________________________________________
    6
    Moreover, Horton’s reliance on the Pennsylvania Supreme Court’s decision
    in Reese v. Danforth, 
    406 A.2d 735
    (Pa. 1979), is also misplaced. Horton
    quotes the holding of the Reese Court that “once the appointment of a
    public defender in a given case is made, his public or state function ceases
    and thereafter he functions purely as a private attorney concerned with
    servicing his client … [and] he ought to be subject to liability for tortious
    conduct.” 
    Id. at 739.
    However, the Reese Court was concerned only with
    an attorney’s liability for negligent conduct; it did not consider whether a
    client may maintain a breach of contract action against a court-appointed
    attorney.
    - 17 -
    J-S27018-17
    additionally, although such finding may be introduced into
    evidence in the subsequent action it shall not be dispositive of
    the establishment of culpable conduct in the malpractice action.
    
    Bailey, supra
    , 621 A.2d at 114–115 (footnotes omitted).
    In the present case, the trial court found Horton failed to establish the
    third prong of the Bailey test. The court opined:
    [T]he record fails to support the finding that [Horton] “did not
    commit any unlawful acts with which he was charged as well as
    any lesser offenses included therein.” [
    Bailey, supra
    , 621
    A.2d] at 115 n.12. We find no facts from which this court could
    conclude that [Horton] was innocent of all the criminal charges
    filed against him. Nor has [Horton] pleaded and proved that
    [Bruno’s] culpably negligent representation was the cause of the
    dismissal of his second PCRA petition in the sense that “but for”
    [Bruno’s] misconduct, [Horton] would have obtained an acquittal
    or complete dismissal of the criminal charges. [Horton’s] failure
    to timely raise or establish a valid after-discovered facts time bar
    exception to his second PCRA petition was not because of
    [Bruno’s] negligence, but due to [Horton’s] failure to raise the
    medical conditions defense in his first PCRA petition.          See
    Horton, 
    48 A.3d 479
    (“Since appellant’s petition was untimely
    and no valid exception to the time bar of the PCRA exists, the
    PCRA court was without jurisdiction to review the petition …
    [T]here was nothing counsel could have done or avoided doing
    that would have changed the outcome.”). Absent fulfillment of
    the third prong for legal malpractice of criminal defense
    attorneys, [Horton] cannot establish criminal malpractice against
    [Bruno].
    Trial Court Opinion, 9/16/2016, at 11-12.
    Again, we find no error or abuse of discretion on the part of the trial
    court. Horton insists the third prong of the Bailey test “must be modified to
    ‘but for’ the attorney’s conduct, the plaintiff would have obtained an
    ‘evidentiary hearing’ or ‘new trial.’” Horton’s Brief at 22. He further claims
    the trial court should have considered “what may have happened had
    - 18 -
    J-S27018-17
    [Bruno] not been negligent.”          
    Id. at 23.
      We disagree.   The language of
    Bailey is clear:      in order to obtain relief, Horton must establish Bruno’s
    “culpable conduct was the proximate cause” of his injury, that is, “‘but for’
    [Bruno’s] conduct, [Horton] would have obtained an acquittal or a complete
    dismissal of the charges.”       
    Bailey, supra
    , 621 A.2d at 115. This, Horton
    failed to do.
    Nevertheless, we find that even if we considered Horton’s claims under
    the relaxed standard he proposes - that is, whether Bruno’s negligence was
    the proximate cause of Horton’s failure to obtain an evidentiary hearing – we
    would still conclude Horton is entitled to no relief.       Horton attempted to
    overcome the PCRA’s time bar by demonstrating the applicability of the
    newly discovered facts exception codified at Section 9545(b)(1)(ii). 7       This
    claim was based upon recently received medical records that, he asserts,
    demonstrates he suffered from an injury shortly before the crime that would
    have rendered him “unable to participate in the crime.” 
    Horton, supra
    , 
    48 A.3d 479
    (unpublished memorandum at 9).                 In his legal malpractice
    complaint, Horton maintained the PCRA appellate court denied relief due, in
    part, to Horton’s failure to substantiate that claim with actual evidence.
    Horton attributes the omission to Bruno’s failure to obtain and attach to the
    ____________________________________________
    7
    See 42 Pa.C.S. § 9545(b)(1)(ii) (“[T]he facts upon which the claim is
    predicated were unknown to the petitioner and could not have been
    ascertained by the exercise of due diligence”).
    - 19 -
    J-S27018-17
    amended petition the previously misplaced medical records, and affidavits
    from Horton’s treating physicians.    See Complaint, 2/26/2013, at ¶ 68(j)-
    (k).   However, even if Bruno had secured the relevant documents, Horton
    would not have been able to establish a time-bar exception.
    The newly discovered facts time-bar exception requires a defendant to
    plead and prove: “1) the facts upon which the claim was predicated were
    unknown and 2) could not have been ascertained by the exercise of due
    diligence.” Commonwealth v. Bennett, 
    930 A.2d 1264
    , 1272 (Pa. 2007)
    (internal punctuation and citation omitted; emphasis in original).       The
    Supreme Court has made clear that “[t]he focus of the exception is on [the]
    newly discovered facts, not on a newly discovered or newly willing source for
    previously known facts.” Commonwealth v. Marshall, 
    947 A.2d 714
    , 720
    (Pa. 2008) (quotation omitted).
    Here, the fact upon which Horton’s PCRA claim was predicated was his
    knee injury, which he claims would have rendered him unable to commit the
    crime. However, Horton knew he had injured his knee at the time of trial.
    The medical records and doctor affidavits, which he contends would have
    corroborated his injury, constitute a “newly discovered or newly willing
    source for previously known facts.”      
    Id. See also
    Commonwealth v.
    Johnson, 
    945 A.2d 185
    , 190 (Pa. Super. 2008) (newly discovered witnesses
    willing to testify the victim owed defendant’s co-conspirator money did not
    satisfy the newly discovered facts exception because defendant admitted
    that prior to trial, he knew victim owed money to his co-conspirator; thus,
    - 20 -
    J-S27018-17
    fact was not newly discovered), appeal denied, 
    956 A.2d 433
    (Pa. 2008).
    Therefore, because Horton could not have overcome the PCRA’s time-bar
    even if Bruno had obtained the absent documents, Bruno’s ineffectiveness
    was not the proximate cause of Horton’s injury. Accordingly, the trial court
    properly granted Bruno’s motion for summary judgment.
    Order affirmed.
    Judgment Entered.
    Joseph D. Seletyn, Esq.
    Prothonotary
    Date: 7/3/2017
    - 21 -