Professional Documents
Culture Documents
Prof. Skaggs Casebook: Lerman, Ethical Problems in the Practice of Law, 2nd edition Table of Contents INTRODUCTION & FRAMEWORK .......................................................................................................3
Professionalism ...........................................................................................................................3 An Ethical Framework .................................................................................................................3
AN ETHICAL FRAMEWORK
Wed, Jan. 25: Aristotle, Kant, Mill & Moore. Guest lecturer Dr. Brian Talbot, Philosophy. [Handout] Moral / Conventional Distinction: Moral rule trumps convention o Wrongness of violating conventional rules is wrong because of some dependence on conventions; would no longer be wrong if society said it was ok o If morally wrong, wrongness independent of social convention; Skepticism about Professional EthicsAn Argument (1) Rules of professional ethics are conventional (2) Conventional rules never override moral rules (3) Thus, whenever morality and professional ethics conflict, lawyers and judges should always do what morality demands, rather than what the rules of professional ethics say Premise (1): Are the rules of professional ethics conventional?Yes o Perhaps the rules of professional ethics are codified moral rules? o Is every act that is permitted by the rules of legal ethics permitted by the moral rules? e.g., Bring a suit that is not technically frivilous will be so expensive for other side to defend that they are forced to conceed: morally wrong, not legally wrong e.g., attorney/client issues of withholding information that could set someone free o Is every act forbidden by rules of legal ethics forbidden by the moral rules? E.g., judges adjudicate law as required will have moral consequences when practical effect of doing so is denying equal rights to gays Premise (2): Do conventional rules never override moral rules? o We might have prudential reasons to conform to the rules of legal ethicsNot really, the chance of getting caught is so low; no incentive for ABA to enforce o Are there moral reasons to adhere to standards of professional ethics? Good system and rules we have are necessary to sustain that system Even if a rule is completely arbitrary, we still need to pick something for system to work (e.g., driving on right side of road) Reason we have that rule is because mass violation of that rule is problamatic o How strong are the moral reasons to conform compared to moral reasons not to? The system can sustain sometimes breaking the rules. Thus, the fact that the system cannot survive rampant rule breaking does not explain why you should not break the rules in one particular case Summary: We have good moral reasons for making the rules of ethics, issue is if in a particular case the situation has strong enough moral consequences to override the conventional system o Ethics in law school is not meant to teach you moral rules
REGULATION OF LAWYERS
Admission To Practice: Fitness; Prior Misconduct (p.19-38; 45-71. MR: Preamble, Scope note (7-10); 1-1, 1-2.)
Policy Issues
Key words: zealous (CO disclaims zealousness to maintain civility), hypothetical, reasonable, substantial, selfregulation Procedure for ethical issue: 1. Research: Does this rule apply? a. Look at the rule b. Look at definitions c. Look at comments d. If needed, review RSTMT, case law, and bar association info 2. Analysis: Talk and think about it clearly. What is the purpose of the provision? How does it affect my client relationship? 3. Action: Decide and act. State Ethics codes, primary functions: 1. Guide lawyers in evaluating what conduct is proper in various situations 2. Provide a basis for disciplining lawyers who violate the rules a. Possible fallouts: lose license, criminally prosecuted, sanctions b. Overlap between disciplinary actions and other types of lawcontracts, torts, etc. General tips: Look at purposes and policies behind these rules. If you know the rules, you can explain the purpose of lawyers to your clients and the public at-large. Also evaluate the consequences if you go with your gut and disregard the rules. How to decide whether to disclose: Balance trust and need for candid communication against disclosure. Look at purpose of duty, clients interest, clients preferences, other individual interest, public interest, your interest (minimally), effect on your practice, etc. Set up standards and anticipate potential conflicts. People v Pautler: prosecutor impersonated public defender; CO rules 8.4(c) and 4.3 Lesson to every lawyerCO Sup Ct set precedent w/this casenoble intent doesnt justify breaking the rules Exception: Rule 4.2 comment 2: in negotiation, certain types of stmts dont count as stmts of fact Ethics apply to all lawyers, but do prosecutors have higher standard? Yes, according to Pautler and book. Lesson: dont overemphasize personal beliefs. CO Criminal Justice Records ActSealing Records Misconduct Preamble to MRPC: competent, prompt, and diligent Para 5: addresses lack of civility that exists w/in legal professiononly for legit purposes, not to harass or intimidate, respect Para 7: go beyond rulesapply personal conscience and approbation of professional peers Para 10: self government, although closely associated with govdistinguish cts/judiciary (that have admin/rulemaking functions for lawyers) from congress and exec Para 12: public interest vs. self interest tension existing w/in self government of lawyers Para 14: some mandatory (shall), some permissive (may): No disciplinary action should be taken when the lawyer chooses not to act or acts w/in the bounds of such discretion. Comments are explanatory, not obligatory (rule governs, not comment) Para 16: dont rely on enforcement mechanisms primarily or secondarilyrely on selves and peers (rules you live by when no one is looking) *Read over preamble several timeswhat kind of instruction does it provide for interpreting the rest of the rules? Also, dont skim over the comments to the rules.
Regulation of Lawyers
Institutions that regulate lawyers: (p.37)
1. State Level: Courts, Bar Associations, Legislatures. a. State Courts b. State and Local Bar Associations c. State legislatures d. Lawyer Disciplinary Agencies Federal Level: American Bar Association, federal courts, administrative agencies, and still responsible to state ethics rules where they practice. Individuals: Prosecutors, Malpractice insurers, Law firms and other employers internal rules and standards, and Clients esp. if govt or large corporations Sanctions: a. Do something outside of state in which licensed to practice = can sometimes be disciplined by authorities in the state where misconduct took place, even if not licensed there. b. Lawyer whos admitted in more than one state must report ot other states where she is admitted if discipline is imposed in one state. c. Lawyer who is sanctioned in one jurisdiction can receive same sanction in any other jurisdiction where lawyer is admitted. Practice: RULE 5.5: a. If temporary: Must be associated w/ another authorized lawyer and reasonably relate to lawyers practice in authorized jurisdiction. b. If permanent: Can be employed but cant go to ct and must be authorized by federal or other law.
2. 3. 1.
2.
Procedure: p.76 Request to Disciplinary CouncilIf merit, then investigationCan be pre-trial diversion (if temporary, identifiable problem) or If no diversion, then file complaint, file answer Hearingburden of proof = clear & convincing evidence (b/w civil and criminal proofs) Can pursue same misconduct in civil, criminal, and disciplinary forumsHearing Bd makes findings of fact and determine sanctionsCan appeal to state Supreme Ct
Disciplinary Claims:
Primary goal of lawyer discipline is protection of the public; (theme: do sanctions achieve this goal?) Grounds for Discipline: THEME: You can be disciplined for misconduct unrelated to the practice of law (e.g., Nixon) Ex. lawyer who helped friend break into wifes house, ransacked it, microwaved kitten. suspended indefinitely could apply for reinstatement in 1 yr. (now reinstated); Effectiveness of such minor sanctions for this kind of act? In re Peters, (Minn. 1988): law school dean sexually harrassed female students that worked for him; how would this compare if had been done by a practicing lawyer in a firm?; She faced possibility of not being found fit for the bar Self RegulationDuty to Report (8.3) Rule 8.3: A lawyer who knows that another lawyer has committed a violation of the Rules that raises a substantial question as to that lawyer's honesty, trustworthiness or fitness as a lawyer in other respects, shall inform the appropriate professional authority. o Exceptions: 1) Info protected by the confidentiality rules; 2) info obtained while assisting a lawyer who is in a treatment program Himmel Snitch-Rule: duty to report another lawyers misconduct, even if against clients wishes o + from Himmel: caused more lawyers to report wrongdoing o - from Himmel: misused to reveal skeletons in closet as a negotiation tactic NY: law firm rulediscipline entire law firm Lawyers Responsibility For Misconduct by Other Lawyers (Rules 5.1, 5.2, 5.3) Supervisors should implement reasonable steps to ensure following rules like calendars, conflict policies, training, CLEs, supervision of new attorneys, account for client funds Rule 5.1: Supervising Lawyers = Must be liable for the unethical acts of lawyers theyre supervising if they direct the act or know of the proposed act and dont prevent it. o Its an independent violation if youre a partner/highest managerial responsibility, b/c didnt put systems and processes in place to prevent violations. o Also independent violation if supervising lawyer, specific project supervisor. o Any lawyer who orders, affirms, or knows of the conduct gets underlying violation, but may also qualify for (a) or (b). Rule 5.2: Subordinate Lawyers = May be held accountable for unethical actions that they were ordered to undertake if the supervisors instruction wasnt based on a reasonable resolution of an arguable question of professional duty. o To figure out what a reasonable resolution is, associate should do research or seek advice. o Cant just say you were ordered to do it. o If theres a gray area...reasonableness decided by bar. Rule 5.3: Non-Lawyer Employees = Lawyers who supervise nonlawyer employees must ensure that employees comply with professional rules of conduct. Rule 8.4: Violation of rule through the acts of another.
RULE 8.3: If you know someone else has violated an ethical rule (substantial question as to that lawyers honesty, trustworthiness, or fitness) must inform authorities. EXAMPLES: o Little Hearing = (hearings, no training) New lawyer gets hug caseload dumped on her w/o advise from supervising lawyer. Grossly incompetent so report 5.1 violation on boss. o Consequences of reporting = some states allow lawyers fired for insisting on compliance with ethical rules to sue for wrongful discharge. Margolick = NY Ct shields laywers that report dishonesty. Firm can be sued for breach of k. Jacobson = opposite result of Margolick. Kelley = associates not yet admitted to the bar arent officially attorneys, but it would be ridiculous to permit these associates to ignore unethical behavior that admitted associates are required to report.
Mon, Feb 6: Protection For Junior Lawyers; Civil and Criminal Liability (Ch2: pp.110-149; Problem 2-2)
2.
3. 4. 5.
Civil claims a. CRCP 20: regarding atty discipline b. Legal malpractice: Claim brought against lawyer for prof misconduct that is alleged to have caused harm to another person i. P must prove that but for lawyers misconduct, P would have obtained a + judgment or settlement or that P suffered some other compensable harm (like fiduciary duty) ii. Malpractice insurance not required, but most do. Doesnt cover all potential claims. (typical CO lawyer can expect to face 2 claims for malpractice) c. Tort Claim (E.g. negligence, intentional misconduct): Must assert i. That lawyer owed duty to the P ii. That lawyer failed to exercise competence and diligence normally exercised by lawyers in similar circumstances iii. That breach of duty caused harm to P (but for) d. Contract law: breach of K e. Breach of fiduciary duty (CLAW): f. Agency law (principle bound by agent if had apparent authority, but can still sue A if no actual authority) g. Disqualification for Conflicts of interest h. Other regulatory statutes Criminal claims a. Fraud: tax, mail, securities Remedies: dmgs, injunction, return of property, alteration or cancellation of a legal doc, etc Client protection funds: state-sponsored programs designed to reimburse clients whose lawyers have stolen their money
Wed, Feb 8: guest lecture: Regulation Counsel from CO S.Ct Office of Attorney Regulation Counsel Bar Application Process: err on side of revealing more, not less o CO application does not ask if you have done illicit drugs o Question #43: any additional information that might reflect on your fitness? For ex. if you were addicted to coke, and didnt reveal it gives them leverage o DUI is big deal because it goes to real question of do you have a drinking problem o No CO case law on admissions process thus no prescedent, they can deny you for anything Attorney Discipline Process: anything you do can affect your license o Is there something that needs to be investigated beyond the intake division? if yes, goes to (1) Diversion System (minor misconduct and lawyer needs to be monitored); or (2) trial and formal proceedings, public censure (serious offenses: appprox 100 out of a total of 4000 calls) o Standard: Clear and convincing evidence that lawyer is unfit to be licensed o Categories Intake Inquiries Action on a case 34% Neglect & Communication 16% Mishandling funds 10% (dont use retainer money before you earn it) Statute of Limitations on violations of Rules (5 yrs) o Rule 8.3: duty to report known misconduct: (no cases in CO) Tricky because there is an argument that should have known but statute requires actual knowledge (but intentionally ignorant may fall under rule) Malpractice: have to prove damages (dovetails, but not the same thing as discipline system) o CO does not require malpractice insurance (Oregon is only state that requires it)
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Confidentiality
Rule 1.6 Confidentiality of Information: (a) Shall not reveal any info relating to the representation of a client without: (1) informed consent, (2) implied authorized in order to carry out the representation, or (3) permitted by (b) (b) Exceptions: May reveal information to the extent lawyer reasonably believes it is necessary to: (1) Prevent reasonably certain death or substantial bodily harm (Spaulding v. Zimmerman). (2) Prevent client from committing crime or fraud reasonably certain to result in substantial injury. (Does not apply if fraud has already occurred.) (3) Prevent substantial injury to someone elses financial interests (contentious provision). (4) Secure legal advice about compliance with the ethical rules. (5) To establish defense on lawyers behalf in controversy between lawyer or client. (if needed to collect a fee or to defend against an allegation (6) To comply with other law or a court order. Basic Principle: Protection of all information relating to the representation of a client Purpose: Facilitate open communication b/w lawyers and clients (similar to purpose behind doctor-patient privilege) Asymmetrical rulescant tell that client is guilty, but can tell about client to collect fees or defend in malpractice claim (self interest)
Generally
Rule 1.18(b): duty of confidentiality to prospective clients People v Chavez: disqualified when present prosecution is substantially related to earlier case; conflict of interest (vs. Togstad: competence)duty of protected confidences even in case of prospective client
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p.11
Rule 1.8(b) Conflict of Interest: Current Clientsshall not improperly use client information to the disadvantage
of the client unless the client gives informed consent (so cant use to benefit another client or for personal gain) Personal Gain: Ex: If representing client in land acquisition, you cant buy if theres potential disadvantage to client get informed consent in writing o Usually the use of info for personal gain is improper (but not always) (ex. of insider trading) May use info obtained from one client to benefit another as long as get informed consent or client is not disadvantaged by the use o Even if it doesnt look like it could disadvantage your client, double check and have conversation with client to mitigate risk Potential damage: dmg to biz, reputation, addl crim charges, potentially upgrade charge (ex. Problem 3-8: An Investment Project: (may have to pay lost profits to client)
Mon, Feb 20: Attorney-client privilege: confidentiality compared; elements; waiver(215-44; 4-1, 4-3)
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Waiver of Privilege: privilege belongs to the client. A lawyer may not waive privilege over his clients objection
Rule: Waiver requires a voluntary act by the client or by an authorized agent of the client 1. Express waiver by client 2. Waiver by inaction: o if attorney doesnt object and the client answers, it constitutes a waiver by inaction and cannot reverse on appeal 3. Waiver by reveailing privileged communication to a nonprivileged person: o waives the entire privilege; since there is no longer attorney-client privilege, the client, the lawyer, and the third person can be compelled to testify; o but does not include revelations to clergy, (and in some cases to drs, and spouses) o Privildege is NOT waived if lawyer inadvertently reveals info without being negligent o If 2 clients hire lawyer jointly, are considered common clients with a common privilege. 4. Waiver by putting privileged communication into issue 5. Waiver as to a conversation by disclosure of part of it: (designed to prevent half-truths) 6. Compliance with court orders: (does not waive the issue for purposes of appeal) Controversial: whether lawyers can waive atty-client privilege for dead clients Rule: Privilege remains in force even after the client dies; but if the right to waive privilege belongs to the client who is no longer able to exercise it, can lawyer? Balance of black letter law vs. flexibility o Swidler & Berlin (S.Ct 1998), p.243: Suicide of Vincent Foster: investigation a/b how White House handled firings; PH: Ct of Appeals ordered attys notes be turned over, stating that privilege for a dead client must give way when the infor has substantial importance for an ongoing criminal investigation. S.Ct reversed Held: Based on common law, Atty-client privilege left intact posthumously b/c of concerns re: reputation, civil liability, or possible harm to friends/family o Historical exception to privilege when parties contest a will, based on rationale that it furthers the clients intent;
Wed, Feb 22: Corporate privilege; Work-Product; Forming A-C relationshipRule 1.18 (244-77; 4-4)
p.13
application of test is unpredictable: some cts hold that control group includes managers of departments and other cts include only corporate VPs Elements for Upjohn standard to apply 1) Lawyer must be acting as corporate counsel 2) Purose of communication must be to allow counsel to provide legal advice to corp 3) Employees must be aware that they are being questioned for this purpose 4) Employees must be aware that converstaions are highly confidential Atty must realize he represents corp, not employees w/in corp; Corporate consel are ethically bound to choose the interests of the corporation over those of its constitutients Deceptive to employee?: refusal to participate in internal investigation is a breach of employees duty of loyalty to the corporation; but if in interview, employee implicates himself personally in criminal conduct, may have unknowingly lost 5th amend priviledge against selfincrimination
Governmental requests for waiver of privilege o 1 ct recognized selective waiver, but general rule is if not confidential to 1, not confidential to anyone; so if give privileged materials to govt, forfeit A-C and work product protection o McNulty Memo (outlines what DOJ prosecutors can seek): Prosecutors may only request waiver when there is a legitimate need for the privileged information to fulfill their law enforcement obligations; need more than merely desire or convenicence Legitimate need depends on: Likelihood and degree to which the privileged info will benefit investigation Can info be obtained in a timely and complete way using alternative means Completeness of the voluntary disclosure already provided Collateral consequences to a corporation of a waiver If legitimate need exists, step-by-step process requring supervisor approval; May consider refusal to turn over category I info (factual) in decided whether to charge. o Balancing test: want info, but downsides for public and corporation o Problem 4-4: Worldwide Bribery Protects notes and other material that a lawyer prepares in anticipation of litigation from discovery; Protection of a lawyers mental impressions, not underlying information/facts o does NOT protect materials lawyer creates or collects for other reasons o protects some documents not covered by A-C privilege because do not relate to communications between lawyer and client o Usually no protection for documents client turns over unless lawyer can show that their selection and compilation of the documents reflects litigation strategy Not an absolute protection: o Judge can order disclosure if opposing party shows (1) substantial need and (2) is unable w/o undue hardship to obtain the substantial equivalent of material by other means o Stronger protection of lawyers mental impressions: need extraordinary circumstanaces Origins: Hickman v. Taylor & FRCP 26(b)(3)
Attorney-Client Relationship
Forming lawyer-client relationship
Doesnt require fee, signed K, payment, or ongoing representation Does require competence, diligence, honesty, and communication o How do you know if youre competent? See cmts after Rule 1.1 Choosing clients: Lawyer can take on a case in an area of law which he has ltd experience if he compensates through study or affiliation w/another lawyer and has time/resources to take on the case (Rule 1.1competent representation) o Lawyers are allowed to be picky, except Rule 6.1: lawyers duty to provide legal assistance to people who are not able to pay for it (50 hrs pro bono/yr) Rule 6.2: ct may assign lawyer to represent indigent criminal D, even if ct cant paylawyers must accept unless good cause Lawyer may not discriminate on basis of race, religion, nationality, sex, age, disability, or protected category in decision a/b which clients to represent
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Offering advice as the basis for a lawyer-client relationship o When a person seeks legal advice or legal services from a lawyer, and the lawyer gives legal advice or provides legal services, the person may thereby become a client Dont be cavalier a/b giving legal advice Agreement to pay a fee is not a necessary aspect of lawyer-client relationship o Three Theories: Tort Theory: A-C relationship is created whenever an indiv seeks and receives legal advice from an attorney in circumstnaces in which a reasonable person would rely on such advice Negligence Theory: if render legal advice (not necessarily at someones request) under circumstances which made it reasonably foreseeable to the attorney that if such advice was rendered negligently, individual receiving advice might be injured Contract theory: if no fee, promissory estoppel o Togstad v. Vesely (1980), p.269: P went to lawyer for legal advice, was told there wasnt a case, and relied upon this advice in failing to pursue a claim. Ct held that an attorney-client relationship was formed under these circumstances because reasonably foreseeable to lawyer that she would be injured if advice was negligently given. (factors: did not qualify his legal opinion by urging her to seek a secondary opinion, did not tell her that he lacked expertise in med malpractice area Elements for a legal malpractice action: (1) an A-C relationship existed; (2) D acted negligently or in breach of contract; (3) such acts were the proximate cause of Ps damages; (4) that but for Ds conduct the P would have been successful in prosecution of their claim. Why require an attorney-client relationship? In the case of purely economic harms, most state negligence law requires a duty owed that arises out of some special relationship Mon, Feb 27: Lawyer as agent; duties of competence, honesty, diligence, candor; effective counselRules 1.0(d), 1.1, 1.3, 1.4, 1.16(b), 2.1, 6.2, 8.4(c): (p. 279-309; Problems 5-1, 5-2, 5-3)
Allocation of Authority
Lawyers responsibility as agents
Agency Law: where one has the authority to act on behalf of the principal (the decision maker); Lawyer is agent of client (the principal), Thus, Client is bound by what lawyer does or fails to do Express and implied authority o Both are actual authority: (client bound by lawyers actions) o Implied authority: by just asking lawyer to represent him, client implicitly authorizes lawer to take action that is reasonable and calculated to advance clients interest o But Certain actions may not be valid unless lawyers have express authority Apparent authority o When client tells 3rd party that clients lawyer has authority to settle a claim on his behalf, 3rd party may rely on the lawyers subsequent actions, even if the client did not actually authorize those actions o Retaining a lawyer may confer apparent authority o Note: a lawyers statement to a 3rd party that she is authorized to act doesnt constitute apparent authority; Only the acts or statements of a client (or another principal) can justify reliance by the third party Authority to settle litigationstates differ on whether by merely hiring a lawyer to represent him in litigation, a client authorizes (implicitly or by apparent authority) lawyer to settle case o A settlement agreed to by an attorney in open court is binding on the client (policy of protecting adversaries) o Out-of-court settlments: Client may be bound by implied authority discerned from an extensive course of conduct Ex. Where apparent authority would not have been enough to enforce a settlment that was reached without the clients actual agreement, clients departure from room after agreeing to ground rules that someone with authority to settle be present throughout negtoiation along with the words you handle it were sufficient to give attorney actual authority to settle case in his absence.
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Examine own experience, lawyering skills, complexity of case, available time/resources before taking on a client ABAs MacCrate Report (p.280): lists 10 fundamental lawyering skills and 4 values needed before assuming ultimate responsibility for a client: o 10 Fundamental Lawyering Skills: Problem-solving; Legal analysis and reasoning; Legal research; Factual investigation; Oral and written communication; Counseling; Negotiation; Litigation and alternative dispute resolution procedures; Organization and management of legal work; Recognizing and resolving ethical dilemmas Clients Recourse: may complain to bar disciplinary authorities, file malpractice suit against lawyer, or in criminal case, bring an ineffective assistance appeal Problem 5-1: The Washing Machine: even where client cant pay fee, competency rule requires lawyer to do some research. Issue of stores lawyer offering to settle with a payment plan where monthly payments lower but end up paying more overall. Here, the stores credit department had actually violated fed collection rules and the case ended up being dropped. Competence in criminal case: Strickland v. Washington (S.Ct 1984), p.285: ineffective assistance of counsel: crim D challenges conviction based on conduct of his/her atty, 6th Amend (held: Sup Ct denied appeal in death sentencing case. Found lawyers decision not to investigate further into character or psychological evidence was reasonable given strategic decision to rely on Ds acceptance of responsibility) o Sixth Amendment: req that a criminal D be provided with a lawyer whose work meets at least the minimum standard of being effective (state may provide more protection) Differs from disciplinary grievance based on incompetenceineffective assistance of counsel is criminal issue by which D can get case overturned (issue of attorney possbly being disciplined even though client got no recourse) o STANDARD: 2 prongs to ineffective assistance of counsel (must meet both) (1) Must show lawyers performance was deficient General assumption is reasonably effective assistance of counsel. If challenged/ineffective assistance of counsel, then high level of discretion to lawyers opinion to encourage people to represent criminal Ds o Could attorney have taken multiple reasonable approaches o Atty acting in time (not in hindsight) Objectively, was counsels decision not to investigate reasonable under prevailing professional norms (2) Prejudice: deprived D of fair trial (i.e., a trial whose result is relaible) Reasonable probability that but for counsels errors, outcome would have been favorable; A reasonable probability is a probablity sufficient to undermine confidence in the oucome o Marshalls Dissent: if can prove inadequacy, prejudice necessarily follows (thinks standard is too high, especially in death sentencin cases) o Std is high: tough for Ds to prevail in these cases, but Ds bring this type of case often Rule 1.3: A lawyer shall act w/reasonable diligence and promptness in representing a client. o Comments state lawyer take whatever measures are required to vindicate a clients cause and must act with zeal in advocay upon the clients behalf o The term Zealous was replaced with diligence in rule and term zeal dropped to comments (concern re: scorched earth litigation and may encourage unethical behavior) If lawyer accepts responsibility by virtue of making agreements with clients or filing with court, they are NOT excussed from duty of diligence if leave a firm (unless withdraw from representation) Lying vs deception: Is there a moral distinction? o White lies, to protect people, to protect your own privacy, end the issue? Honesty and communication under ethics rules o Required to be honest in front of tribunals (Rule 3.3(a)) and third-parties (Rule 4.1) o Not explicitly required to be honest with clientsjust reasonable communication under Rule 1.4, comment Rule 8.4(c): prohibits conduct involving dishonesty, fraud, deceit, or misrepresentation o If a lie to a client amounts to fraud, depends on the states substantive or procedural law (definitions of fraud vary from state to state)
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Wed, Feb 29: Managing and Ending the A-C relationshipRules 1.2, 1.4, 1.14, 1.16 (p.309-331, 334-40, 344-50; Problems 5-4, 5-7
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Option 3: compromise: convince D to submit to psych exam by falsely telling him you will not use results during guilty phase but only during sentencing Misleading: he may agree to this but only because he thinks he will be acquitted and so psych eval will never come out Rule 1.4 o Rule 1.2: clients objective = persuade jury bombings were necessary; attys obj = avoid death penalty; client has ultimate authority re: objective (6th Am: rt to assistance of counsel) contradictory objectives: should your objective to save his life > clients objective to die rather than have mental health defense imosed on him (secondary issue of what Prof. Mello calls state assisted suicide) Clients Rt to FIRE Atty: almost always allowed except if on eve of trial, would cause undue delay (a) Reasonably maintain a normal client-lawyer relationship (b) Reasonably necessary protective action o when lawyer reasonably believes the client: (1) has diminished capacity, (2) is at risk of substantial physical, financial, or other harm unless action is taken, and (3) cannot adequately act in clients own interest, the lawyer may: 1) consult with indiv/entities that have ability to take action to protect client and 2) may seek appoint of a third-party guardian who would make some legal decisions on behalf of the client o Rule 1.6: when taking protective action under 1.14(b), lawyer is impliedly authorized to reveal info about client, but only to extent reasonably necessary to protect the clients interest Factors for assessing clients mental capacity (1.14, comment 6): balance o Clients ability to articulate reasoning o Variablity of state of mind and ability to appreciate consequences of a decision o Substnative fairness of a decision, and o Consistency of a decision with clients known longer term commitments and values Class Hypo: Right to refuse medication? Prof had a client that was being forced to take pysch medicine against his wishes. obviously nutso but Prof decided to advocate for his right to refuse based on clients ability to accept alternate consequence of treatment in facility without medication
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Rule 1.14 applies same standard to minors as it does to adults with mental impairments o Young diminished capacity necessarily; assume regular capacity at first Delinquency cases: similar to criminal cases, lawyers follow norms of representing adults o Young children are empowered to set the objectives of their criminal case to same degree as an unimpaired adult o Lawyers for children need to be particularly good communicators . . . sensitive to the risk that their clients will put too much faith in their advice . . . Custody, abuse, and neglect proceedings o Rule 1.14, Comment 1: children as young as 5 or 6 are regarded as having opinions that are entitled to weight in legal custody proceedings o However, less shaped by traditional A-C relationship than in delinquicy cases, children may have fewer rights, child may not have their own lawyer in custody cases o ABA, Stds of Practice for Lawyers Representing a Child in Abuse & Neglect Cases Childs attorney: Same duties of loyalty, confidentiality, and competence child is a separate individual with an independent voice Guardian ad litemoften appointed by the court; protect childs interest wihtout being bound by childs expressed preferencess Representation of childs expressed preferencesmay not advocate contrary to childs express interest unless it would be dangerous Duty to explain to the child in a developmentally appropriate way such information as will assist child in having maxiumum input Problem 5-7: The Foster Child: Should you advocate for a particular placement?
Conflicts of Interest,
19 CONFLICTS OF INTEREST
Mon, Mar 5: General principles; conflicts between current clientsRule 1.7, 1.10 (p.351-77; 6-1, 6-2)
Conflicts of Interest
Overview of Conflict Rules
Concurrent conflict: Rules 1.7, 1.8, and 1.18: conflict btwn two present obligations of a lawyer Successive conflict: Rules 1.7, and 1.9 Imputed conflict: Rule 1.10 Conflicts for present and former government lawyers: Rule 1.11
Policy Objectives: Benefits (arg for construing rules narrowly) o duty of loyalty to client o dont want to put confidential information at risk o lawyer impartiality and protection of adversarial system Cost (arg for reading rules loosely) o Availability of counsel of clients choice o Economic liberty of lawyers o Prevent tactical misuse of disqualification motions RSTM: consider Effect of conflict (what harm is the rule trying to prevent) Significance/extent of potential harm Objective reasonableness standard General Principles: Conflicts can sneak up on younot just at beginning of atty-client relationship Many conflicts can be resolved by obtaining informed consent of the clients affected, but you have to recognize that a conflict exists first Conflicts with whom: Can involve tons of people: current clients, past clients, prospective clients, changes in clients biz relationships, other lawyers in your firm, new associates, 3 rd parties, etc. need systems in place to identify persons/issues involved to identifying conflicts, cmt 3 Another issue occurs w/firm mergers and lateral moves of lawyers Rules are broad and fuzzy and dont provide definitive answers (but what part of the law isnt?) Consequences of representing a client in the face of a conflict o Legal sanctions: disqualification, discipline, malpractice liability, injunction against representation (transactional case), fee forfeiture o Business: client may fire you or mistrust you; harm to professional reputation Possible solutions when a conflict arises May need to withdraw Decline to represent a new client, May proceed despite conflict, if conflict is consentable (i.e., waivable) Remedy conflict by agreeing to limit scope of representation or impose a screen between conflicted lawyers
Conflicts of Interest,
o o o
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If one client files a lawsuit against another client (can be unrelated matters); Cross-examining a current client Representation of co-plaintiffs or co-defendants in civil litigation Ex: Injured passengers: Reemas settlement > Jills settlement Must tell clients a/b settlement Must tell clients a/b changes in circumstances that reqs informed consent 2) significant risk of a material limitiation on lawyers ability to represent another client.. o other relationships include: another client, a former client. someone else to whom lawyer owes a duty (e.g., fiduciary), someone besides client is paying fee; lawyers own interests o Material limitation: A mere possibility of harm is insufficient to present a conflict; Ask: 1) How likely is it that a difference in interests will eventuate? and, 2) if such a divergence is likely, would it materially interfere with the lawyers advice to or representation of a client? cmt 8
If a conflict exists, is it consentable? Can consent if: (all 4 elements must be met) (1) Lawyer reasonably believes (objective) that lawyer will be able to provide competent and diligent representation to each affected client NOTE: Consider adverse effects on relationship and representation. Are matters factually interrelated? Joint representation w/divergent interests? 2 current or 1 current & 1 former? If only former client impacted, consentable Friendship/bond of professional loyalty toward 1 of clients? Sophistication of client (2) Representation isnt prohibited by law (3) Cant represent opposing parties in same litigation, even if clients consent. ex. cant represent both husband and wife in divorce) (4) Each affected client gives informed consent, confirmed in writing (impresses the seriousness of the decision on the client). Informed consent: defined in Rule 1.0 Lawyer must orally explain risks, advantages, and possible alternatives to lawyer proceeding w/representation If disclosure of confidential information about A is necessary for client B to understand the nature of the conflict, need to get As permission. If A declines, lawyer may NOT proceed with the representation because will not be able to obtain informed consent from client B Advanced waivers sometimes enforceable Withdrawal and disqualification (Rule 1.16)
Conflicts of Interest,
21
Conflicts between current clients; economic competitors; inconsistent positions; prospective clients. (pp. 37881, 383-88; Problems 6-3, 6-5); Ch7: Rep. both parties; rep. organization; rep. criminal co-defendants Rules 1.7, 1.13 (pp. 391-415; Problems 7-1, 7-2) [DIDNT READ]
Economic competitors
Rule 1.7, cmt 6: simultaneous representation in unrelated matters of clients whose interests are only economically adverse...does not ordinarily constitute a conflict of interest... o But may be breach of attys fiduciary duty (CLAW) to represent conflicting interests Representing the competitor of a former client o Maritrans: Chinese wall defense (Rule 1.11); normally business competition isnt a conflict, but different b/c theyd learned so much about 1 client that it would be materially adverse to original client to take on competitors; Fiduciary duties Positional conflict: lawyer making inconsistent arguments on a legal issue in different courts at different times w/o running afoul of the conflicts rules o Generally not enough to disqualify youinherent in the business o But Conflict exists if significant risk that one position will materially limit client in another caseif one precedent will strongly affect next case Consider (RSTM 128, cmt f) o Trial or appellate ct?if same j/d where precedent is binding, then may be an issue o Substantive or procedural? o Time b/w matters? o Practical significance of issue to immediate and long-run interests of clients involved o Clients reasonable expectations in retaining the lawyer Problem: Top Gun: Represent city pro bono on case claiming gun sales are public nuisance, also represent pharma co that may be affected by precedent or credit rating will be hurt
Mon, Mar 12: guest: Omar Ashmawy, Chief Counsel, Office of Congressional Ethics; Major, Air Force JAG, Office of the Chief Prosecutor, Office of Military Commissions (U. S. N. B. Guantanamo Bay) where he prosecuted U.S. v. Hamdan Fundamental Flaw: more concern with the political consequences than with the legal consequences (politics being mixed in and tainting process of law) o Problem with process: lack of understanding regarding fundamental ethical lawyer environment (e.g., ordering search of detainees mail resulted in breaking lawyer-client confidences, problem was there was no process to weed this out) Ethical Problems: o 1. Cant rely on due process o 2. Evidence issues (hard to get access because of confidentiality) o 3. An outranking official telling you want to do as a lawyer unlawful command influence (normally in ct. marshall setting this would lead to case dismissal, prob here was defense wasnt even aware) attorneys forced to charge with offenses they didnt think fit Attorneys responses to ethical issues: some ignored, some left (one guy who left in very public way, putting out press release case actually being dismissed) Problem/Ex:
o
Major David Frakt (USAF) was assigned to represent Mr. Ali Al-Bahlul, an alleged terrorist, in a trial before a military commission at Guantanamo Bay, Cuba. Al-Bahlul faced a possible sentence of life in prison, but he did not recognize the legitimacy of the tribunal, did not want to participate in all of its proceedings, and told Frakt that he did not want Frakt or anyone else to represent him. Despite Al-Bahluls statements to the court that he did not want Frakt to serve as his lawyer, and Frakts statement that he wanted to respect Al-Bahluls wishes, the judge ordered Frakt to represent Al-Bahlul. Frakt went to court and sat at the table for defense counsel. As the trial began, the government began to introduce evidence that was subject to the objection that it was inadmissible. If you had been Frakt, what would you have done? Would you have attended the court proceedings? Sat at the counsel table? Objected to prevent the admission of evidence that could have been excluded if objected to? Crossexamined the prosecutions witnesses? What attorney did?: protested proceedings by sitting there and not saying anything Result: convicted of all charges and sent to life in prision Twist: if had actually litigated case, they could have brought it as death penalty case, which is what D really wanted (to be a martyr)
Conflicts of Interest,
22
Wed, Mar 14: Rep. family members; rep. ins. cos.; class actions; settlementsRules 1.7, 1.8(f) & (g) (p. 416-33; Problem 7-3); Former clientsRules 1.7, 1.9 (p. 435-59.; . Problems 8-1, 8-2)
Family Members
Representing both spouses in a divorce o If both parties want to get divorced and have no disagreement a/b child custody or property division, then maybe only technical rather than actual adversity (some states) o Some states forbid lawyer from representing both in the suit for divorce, but permit lawyer to assist both parties in preparing a settlment agreement, as long as clients agree and resutling settlment seems fair o Other states forbit representing both in any divorce action, even with consent o Examine if there are issues that might lead to conflicts: Kids Assets Financial differences Personal conflictslonger relationship w/one client? Representing family members in estate planning o Potential probs: one spouse has a secret, one spouse wants to disinherit a child, etcconfidence issues o Florida Bar Opinion 95-4 Separate confidence: Lawyer represents both spouses in wills. Husband uses another firm to add codicil benefiting woman/extra-marital affair; lawyer must withdraw from joint representation b/c conflict of interest; Tension b/w duty of confidentiality and duty to informjoint interest destroyed Issue of tension between duty to protect confidences vs. duty to communicate to client relevant information o Problem 7-5: Representing the McCarthys: Way case was decided by NJ ct: had to disclose the existince, but not the name of the illigitmate child. Rule 1.8(f): Lawyer shall not accept compensation for representing a client from a 3 rd party unless o informed consent, o no interference w/ lawyers independent judgment, and o information relating to representation is protected under Rule 1.6 Who is the client of the insurance defense lawyer? The insured, not the insurance company If K sets it up that atty represents both insurance co and insured, atty has to withdraw What does lawyer do if conflict arises b/w insured and insurer? Act in best interests of insured Problem: Two Masters: both insurance company and client Potential conflicts include: o A greater concern for the interests of the class reps than for the unnamed members o A prior relationship with the named defendants in the class action o A greater concern for receiving a fee than for persuing the class claims o Settlement of claims by collusion rather than a fair process where class members intersests are adequately represented Class action may be a proper strategy if: 1) client concerns and desired remeides are more common than conflicting and 2) claims too small to justify cost of individual litigation. Rst 128, cmt. D Rule 1.7 and 1.9?: unnamed defendants not considered clients for purposes of Rule 1.7(a) An aggregate settlement: involves multiple plaintiffs claims against a common defendant, such large-scale multiparty litigation generally settle in clusters. Rule 1.8(g): cant do unless each client gives informed consent, in writing. Disclosure shall include the existence and anture of all the claims or pleas involved and of the participation of each person. o Must communicate directly with each client o Disclose total amount of settlement o And explain to each client what share of the settlement others are to receive. o Must also disclose amount of fees and costs lawyer will receive o Must also obtain informed consent to share confidential info among them
Class actions
Conflicts of Interest,
23
24
Legal Fees
Lawyer-client fee Ks
Types of agreements: Bill by the hour; Contingent fees (% based on damages collected); Other Methods: Flat fees; Fee schedules (specified fees for particular tasts) Fees must be REASONABLE Rule 1.5(a): o 8 Factors in determining reasonableness (Rule 1.5(a)) (1) Time, labor required, novelty and difficulty, requisite skill needed (2) Likelihood that acceptance will preclude other employment (client must know this) (3) What is customarily charged for that particular service (4) Amt involved and results obtained (5) Time limitations imposed by client or circumstances (6) Nature and length of the professional relationship (7) Experience, reputation, and ability of the lawyer (8) Whether the fee is fixed or contingent *Reasonable fee factors are hard to applybetter to communicate with client along the way to make sure reasonable; keep records of how much time spent and what done; main factor is usually norms in local legal community and similar practice Brobeck, Phleger & Harrison v. Telex Corp., (9th Cir 1979), (p. 490): $1M min contingent fee for filing a petition for certiorari was reasonable; Ct upheld fee arrangement based on contract law as neither excessive nor unconscionable. o Ct. Reasoning: Although minimum fee was clearly high, Telex received substantial value; furthermore, they wanted best attorney could find and insisted on a contingent fee arrangement despite lawyers usually hourly based o Factors for unconscionability: did one party take advantage of anothers ignorance, exert superior bargaining power, or disguised unfair terms in small print. o Issues of contract ambiguity: should the fact that ambiguity is interpreted against drafter be a factor in reasonableness; also Telex had their own lawyer in negotiating K arrangement In re Fordham (Mass 1996)(p.496): excessive fee ($50k) in DUI case unreasonable; Inexperience in criminal defense work cannot justify the extraordinarily high fee, Issue: Can a lawyer charge for extra study time spent on a case to learn an area of the law? o PH: Disciplinary Hearing committee held not clearly excessive because client went into relationship with open eyes, lawyer within safe harbor, and Client acquiesced to fee by not strenuously objecting to bills. o Safe Harbor Rule: if lawyer contracts to bill by hour, and honestly and diligently works the actual number of hours billed, resulting fee should be reasonable. Objective standard: for determining if excessive (here, spent 20-30 hrs cf. to norm for DUI case, cf to 227 he spent) Does not require fraudulent billing (here, fee found excessive even though lawyer was not lying about amount of hours worked) Accquiescence irrelevant: test is whether fee charged is clearly excessive, not whether the fee is accepted as valid or acquiesced in by client. o Holding: Safe Harbor not appropriate here: amt of hours spent to educate himself and to represent client was clearly excessive despite good faith and diligence. not entered into with open eyes: although arrangement fully disclosed including lawyers need to become familiar with area of law, he didnt give estimate of total expected fee and did not seem to understand implications of hiring him. o safe harbor: amt of time to educate self on legal issue compared to good faith & diligence Mon, Apr 2: p. 527-61. Model Rules 1.5(c) - (e), 1.8(a), (c)-(j), 1.15 Fees and billing; other issues. Problems 9-3, 9-4.
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o Financial stake in clients recovery incentives unethical tactis to maximize recovery Policy: Arguments in favor of contingent fee arangements: o Allow access to justice for non-wealthy o Aligns interests of lawyer and client Policy: Why are they not allowed in divorce or criminal cases? o In divorce lawyers traditionally obliged to encourage couples to reconcile o Criminal context: conflict of interest (e.g., if lawyers fee contingent on acquittal but client offered a better plea deal arrangement); also vulnerable clients may accept excessive fee agreements (agree to higher fee thinking outcome unlikely) Rule 1.5(c): (more specific disclosure requirements): o Must be in writing Signed by client State method by which fee is to be determined, including %s in all hypotheticals, (eg. If settlement, trial or appeal) and whether expenses are deducted first or not Must include other expenses client liable for even if dont win When ends, give another statement in writing explaing charges and how calculated Must you deduct legal expenses before calculating lawyers fee? Doesnt matter a long as you disclose how you intend to calculate the fee No limit on max %, but must be reasonable (1.5(a)); o But look to other laws: Some j/ds impose a ceiling on % that may be charged o Policy: are high fees fair?: justified because compensates for the lawyers risk and helps cross-subsidy to maintain viable practice (Norm is 1/3) Prohibited from charging contingent fees in criminal and domestic relations cases Rule 1.5(d) o But after divorce has been granted, may charge contingent fee to collect past due alimony or child support. 1.5, cmt 6 Buying legal claims (Rule 1.8(i)): lawyer may not acquire proprietary interest in the subject matter of litigation the lawyer is conducting for a client Financial assistance to client (Rule 1.8(e)) o Purpose: Prevent lawyers from having too big a stake in the outcome of litigation o Exceptions: 1) May advance court costs and expenses of litigation, & repayment may be contingent on outcome of litigation 2) May pay ct costs and litigation expenses of an indigent client o Problem 9-3: Impoverished Client: lost job no money to pay rent or eat; cant give to client rent/groceries/ phone; can pay ct costs or expenses of litigation (cell phone or clothes for court may qualify as ct expense) Policy: if lawyer offers to pay clients living expenses while suit is going on, client might pursue a frivolous suit to obtain offered financial support (R. 1.8, cmt 10) Publication rights (Rule 1.8(d))may make a deal after case is over, but intent is to prevent lawyer from working against interests of client to prolong/publicize the case o Does not restrict lawyers representign clients in book or movie contracts where the book or movie is not about a case handled by the lawyer (R. 1.8, cmt 9) Advance payment of fees & nonrefundable retainer feesAdvance is deposited in lawyers client trust account, and lawyer withdraws portions of the advance as they are earned o Unearned portion of advance must be returned to client (Rule 1.16(d): but note: you dont have to tell client that) Non-refundable retainersgoes against public policy and clients rt to fire atty o Lump-Sum/ Classic Retainer: earned when it is received; reasoning: payment secures lawyers availability but does not depend on performance of any particular task; thus lawyer may have to forgo other obligations to maintain availability (p.534-40 likely on MPRE) Limiting Malpractice LiabilityRule 1.8(h) o Lawyer can not prospectively limit liability for malpractice; unless client has independent legal representation in making that agreement (Rule. 1.8(h)(1)) So impractical to include a waiver of malpractice liabilit in K for legal services.
Fee disputes
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If a lawyer and client want to settle a malpractice claim client does not have to be seperately represented as long as: (i) client is advised in writing of that it's a good idea to seek advice from another lawyer before making such a settlement; (ii) and is given a reasonable opportunity to consult another lawyer (Rule 1.8(h)(2)) o Hypo: what if you miss a ct deadline and client has good claim for malpractice. What do you do? Try to get mercy of court, but cant charge for extra time spent on fixing mistake If can t get it fixed and client has good claim (say, because clients now barred by statute of limitations), how do you protect yourself? Partnership Organization for limited liability o General Partnership (GP): each partner is vicariously liable, joint and severally, for malpractice of other partners or lawyer-employees o Limited Liability Partnerships (LLP): one partner is liable for his own conduct and that of others he supervises but is not vicariously liable for conduct of his partners Rule 1.18: LLPs are allowed as long as each partner remains personally liable to the client for his own conduct Fee Arbitration: o Bar Assoc has established committees to intermediate over fee disputes (Rule 1.5: cmt says if mandatory, must comply; if process is voluntarily, urged to conscientiously consider submitting to it) o Binding Arbitration Clauses: ABA Ethics Committee says they are okay as long as: (1) Client is carefully advised of the advantages and disadvantages, (2) Gives incormed consent, and (3) Clause does not otherwise insulate lawyer from liabilty Ex. client needs to be told that waiving right to a jury trial, some discovery rights and right to appeal (some j/d require independent counsel) Collection of Fees: may withold documents prepared by lawyer for which payment has not been received, but only if doing so will not unreasonably harm client (ch5, Rst 43, cmt c) o If regularly engage in consumer debt collection activities, subject to the Fair Debt Collection Practices Act: cant make false or misleading representations or engage in abusive and unfair practices (subject to civil liability) (State consumer statutes may also apply) o May obtain lien on client property (one of the exceptions in Rule 1.8(i)) State law authorizes liens (by statute, common law or by contract) If lien acquired by contract, then constitutes a business transaction with a client and is governed by Rule 1.8(a): 1) Terms must be fair and clearly explained in writing, 2) written encouragement and chance to seek advice from independ. Lawyer Lawyer withdraws/fired before matter is completed: issue in contingent fee arrangements; if fired or justified in withdrawing, compensation on a quantum meruit basis (equitable assessment of value of work done); (Rule 1.16(b) lists reasons why lawyer would be justified in withdrawing) Rule 1.5(e): may divide fees between lawyers not in the same firm only if: o (1) division is in proprotion to the services performed by each lawyer or each lawyer assumes joint responsibility; o (2) client agrees to arrangement, including the share each lawyer will receive, and agreement is confirmed, in writing Writing Req: written confirmation (dont necessarily need client signed writing) o (3) total fee is reasonable Referral Fees: referring lawyer must take on financial and ethical responsibility for the representation as if the lawyers were associated in a partnership (cmt 7); o duty of superv. bc both referring and receiving attys responsib for each others violations o If referring lawyer plans to do some work on the case and divide fee proportion, responsible for their work but not case as a whole Cant share fees with non-lawyers. Rule 5.4(a) o Can pay salaries or bonuses but cant routinely divide profits o Purpose to maintain a lawyers indepndent judgment from being influenced by nonlawyers o Runners to find accident victims?: No except can pay referral service for making info available about their practice Fees paid by Third Party: only if (1) client consents after advised, (2) 3rd person does not direct lawyers decsisions or otherwise interfere, and (3) cant share confidences w/ 3 rd person. R 1.8(f)
TROUBLES BETWEEN LAWYER AND CLIENT Client Property: Lawyer as custodian of client property & docs (Rule 1.15)
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Client trust accounts: bank acct in which lawyer keeps funds that belong to various clients o Must keep money for clients separate from lawyers own property: 1.15(a) Acount maintained in state where lawyers office is (or elsewhere w/ client consent) Property other than money must be appropriately safeguarded Complete records for period specified in state rules o Lawyer cant deposit own funds o Commingling is most grave and grounds for disbarment; can be disciplined even if done unintentionally, no funds lost and even if mental capacity comprimised by illness Responsibility for client property o Prompt delivery of funds or property (1.15(d)) Must notify client and promptly pay Upon clients request (or party with an interest in fund), must provide record of amt received and how much paid to whom Disputes about money or property in lawyers possession (1.15(e)) If dispute, distribute undisputed portions of settlement and keep disputed portion in client trust Lawyers responsibility to clients creditors (1.15 cmt) If 3rd party has lawful claim against funds that are in the lawyers custody, lawyer might have some obligation to the 3rd party BUT lawyer is not a collection agency for clients creditors Administering estates and trustslawyer may accept appt as executor of a clients estate, not prohibited from receiving sums for services in settling estates. BUT lawyer must advise client according to Rule 1.7 a/b what happens when lawyer acts as executor
Wed, Apr 4: p. 563-91. Rules 1.11-1.12 Conflicts issues for govt lawyers; judges. Prob 10-1-2. [NO READ] Chart on chalkboard: Category Rule Prohibition/Limit Way Out? Comment There is a requirement of requsal if you are an elected judge in the extreme circumstances of facing a party that financially contributes to your reelection Problem of Libya: Mitigating factors: He was trying to negotiate a settlment with panam victims, No confidential information at issue
Mon, Apr 9: L&S: Chapter 11, pp. 593-623. Model Rules 3.1, 3.3 Obligations in pleadings and evidence. Problems 11-1, 11-2, 11-3.
Duties to Courts
Focus: Lawyers duties to judges and adversaries in proceedings to resolve disputes. (ch11)
Rule 1.3: cmt about lawyer not being required to zealously press for every advantage
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Prior suit brought without probable cause Prior suit brought with malice, and She was injured despite having won prior suit o special injury: to reputation, his person, or his liberty; not enough that suit was costly or time consuming (Mich) Defense: if can prove there was probable cause for previous suit, that is, if lawyer had a reasonable belief that facts could be established and that under those facts, client had a valid claim
wide interpretations of whats needed under FRCP 11 and very fact specific cases: o Boyer v. KRS Computer ex-employee claimed employer electronically eavesdropped. Employer actually got info from other employees. lawyer sanctioned for filing without having checked with other employees first o Footman v. Cheung - lawyer sanctioned for serious ethical violations because claimed plaintiff had multiple sclerosis and had entered restaurants restroom, when in fact he had diabetes and had not entered stall o Parker v. Vigo School - not sanctioned because scintilla of evidence, while not enough to survive summary judgement, was sufficient to avoid FRCP 11 sanctions. o Jimenez v. Tech School: lawyer sanctioned for filing suit based on what client told him and of copies of emails the client produced that turned out to be forgeries. Ct said its hard to say whether a lawyer could ever rely solely on his clients version of the facts as a basis for filing suit. May be more justifiable if SOL about to expire here, lawyer should have subjected his client to rigorous questioning and insisted on seeing the original documents. Problem 11-1: Your visit from Paula Jones (p.604) o Facts: Paula Jones comes to you with a story that she had been sexually harassed by the governor in his suite. She ended up in his suite pursuant to the note from body guard and went there thinking that she is going to get promoted (in her job). The following occurred in the hotel suit Governor said that he was friends with Paula's superior Governor said to Paula "I love your curves" Governor put his hand on her leg and attempted to kiss her As Paula walked away, Bill lowered his trousers and underwear and asked her to kiss his erect penis; Paula fled o Issue: What must you do to corroborate Jones's allegations before suing Bill? check her statement about position and see whether it has been abolished depose security guard find out whether her former superior was indeed "good friend" and appointee of Bill check to see if governor have indeed stayed in the room that Paula claims tort of sexual harassment have occurred ask for paper Subject client to rigorous questioning(Jiminez): ask why she waited so long why she was transferred would be the most difficult thing to corroborate
(2) fail to disclose to the tribunal legal authority in the controlling jurisdiction known to the lawyer to be directly adverse to the position of the client and not disclosed by opposing counsel; or
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Requires more than avoiding falsehood. Lawyer must affirmatively disclose directly adverse law if opponent doesnt meaning of direct adversity: something controlling in your jurisdiction Comment 4: law and facts are different. Facts are subject to adversary system. Law is different - court should be determining the case based on all relevant law. If court is not aware, then it cannot do a good job
(3) offer evidence that the lawyer knows to be false. If a lawyer, the lawyers client, or a witness called by the lawyer, has offered material evidence and the lawyer comes to know of its falsity, the lawyer shall take reasonable remedial measures, including, if necessary, disclosure to the tribunal. a lawyer who knows that his client or other witness is going to lie to the court may not allow the witness to do so if the witness does lie, the lawyer must call on the witness to correct the lie, and if he won't the lawyer must disclose the lie applies to trial testimony, depositions, and other testimony related adjudication (cmt 1) if you find out later, need to do remedial measures (disclosure to the tribunal); see cmt 10
A lawyer may refuse to offer evidence, other than the testimony of a defendant in a criminal matter, that the lawyer reasonably believes is false. Reasonably Believe (cmt 8): you have the discretion of deciding (i.e. have to know if it false, before you disallow the defendant to testify) o if lawyer reasonably believes, but not certain of falsehood of evidence, lawyer may refuse to offer the evidence (unless case is criminal, then must allow client to testify) o In a criminal case, lawyer must allow defendant to testify if the lawyer reasonably believes but is not certain that the evidence is false.
(b) A lawyer who represents a client in an adjudicative proceeding and who knows that a person intends to engage, is engaging or has engaged in criminal or fraudulent conduct related to the proceeding shall take reasonable remedial measures, including, if necessary, disclosure to the tribunal. lawyer has a duty to prevent not only a false testimony but also "criminal / fraudulent conduct"; e.g. trying to bribe or influence jurors or intimidate a witness, destroying evidence (cmt 12) see Comment 10 for remedial measures
(c) The duties stated in paragraphs (a) and (b) continue to the conclusion of the proceeding, and apply even if compliance requires disclosure of information otherwise protected by Rule 1.6. unless the case have been completed (that includes appeals), the lawyer who learns of false testimony must take steps to correct it cmt 13: conclusion of proceeding: when final judgment has been affirmed on appeal or time for review has passed. (e.g, if you learn 3 years after the thing is over, do not need to go forth with the disclosure) the duty to correct the record overrides the duty of confidentiality
(d) In an ex parte proceeding, a lawyer shall inform the tribunal of all material facts known to the lawyer that will enable the tribunal to make an informed decision, whether or not the facts are adverse. if only one side makes presentation, must disclose adverse material facts known to the lawyer and that the lawyer reasonably believes are necessary to an infomred decision (cmt 14) no adversary process therefore must tell adverse story Remedial Measures (see Comment 10) first talk to your client and advise him on obligations as the attorney try to get the client to do it herself if client refuses, then may need to withdraw, if it is going to be enough if not enough, then tell the court that the information was false exception to the confidentiality 1.6 rules; (Rule 3.3 trumps 1.6 confidentiality rules)
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Lawyer knows that her client is considering testifying falsely in Lawyer must counsel the client and refrain from court or in a deposition asking client questions that would elicit the false testimony. Rule 3.3(a)(3)
Lawyer suspects but does not know that planned testimony may be false; witness is not criminal defendant
If lawyer reasonably believes it is false, lawyer may refuse to offer the testimony, or may allow it. Rule 3.3(a)(3)
Criminal Defendant
Lawyer suspects but does not know that planned testimony may be false; witness is a criminal defendant
If defendant insists on testifying, the lawyer must allow it even if the lawyer reasonably believes it is false. Rule 3.3(a)(3)
Client or witness
Lawyer knows that her client or other witness has testified falsely during direct or cross-examination
Lawyer must counsel client to correct the record; consider withdrawing; correct record if necessary to undo the effect of the fase evidence. Rule 3.3(b) / (c) / Comment 10
Client or witness
Witness has misled the court by making statements that are literally true but deceptive
Lawyer may have duty to counsel client and correct the record. Rules 3.3(b), 8.4(c) Lawyer must bring it to court's attention and distinguish it or explain why it is not authoritative. Rule 3.3(a)(2)
Lawyer
Lawyer knows of directly adverse controlling legal authority that has not been disclosed by opposing counsel
Lawyer
Lawyer knows of facts adverse to client's interest, not requested in discovery or required to be disclosed by a court rule
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Partial Truths: A lawyers duties if a client intends to mislead the court without lying: A partial truth is a statement that may literally be true but that deceives another person by omitting relevant information or twisting information in a way that distorts it o Ethics rules prohibit false statements but permit some less direct forms of deception Perjury o Bronston Standard (US Sct reversed) non-responsive answers that are misleading do not constitute perjury only deliberately false statements may be prosecuted o if lawyer knowingly puts on perjured testimony, may be disbarred or convicted of crime of subornation of perjury Ethics require more exacting degree of truth than perjury (but very little caselaw on issue) o Rule 3.3(b): lawyers are required to correct fraudulent conduct by their witnesses o Rule 8.4(c): deceit is not permitted o Rule 7.1: bars lawyers from making false / misleading statements about themselves or their services (related to advertising); A statement is false or misleading if: material misrepresentation of fact or law is prohibited omits a fact necessary to make the statement considered as a whole not materially misleading Problem 11-3: Flight from Sudan, Scene 2 o Question: Should you disclose / take steps to disclose that fact? o under Bronston standard no - literal truth o ethical rules are not clear, and Massariah is not your client (therefore no) o if don't reveal and truth comes out - argue that it is not dishonesty that it is not particularly important o overall lesson - if you don't tell the truth you can be backed into the corner, so watch out! Wed, Apr 11: L&S: Chapter 11, pp. 624-43. Model Rules 3.3, 3.4, Obligations in pleadings and evidence. Problems 11-4, 11-5 MISSED Truth and Falsity in Litigation (cont) Variations in State Rules on Candor to tribunals False impressions created by lawyers during litigation o How Simpson Lawyers Bamboozled a Jury o Problem 11-4: the Drug Test o Problem 11-5: The Body Double Lawyers duties of truthfulness in preparing witnesses to testify o What do the ethics rules say about coaching? o Rule 3.4: Fairness to Opposing Party and Counsel Concealment of Physical Evidence and Documents Duties of criminal defense lawyers with respect to evidence of crimes o What should a lawyer do when a criminal defendant hands the lawyer a weapon or other tangible evidence of a crime? Rule 3.4(a) State v. Olwell In re Ryder People v. Meredith o Are documents treated differently from other physical evidence? No Morrell v. State o Do lawyers who have possession of documentary evidence have to be concerned about criminal statutes as well as ethical rules? Yes o Do all j/d require lawyers to contact prosecutors about physical evidence in their possession? No Mon, Apr 16: L&S: Chapter 11, pp. 643-77. Model Rules 3.3-3.9 Obligations in pleadings and evidence. Problem 11-8, 11-9.
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Enforcing 3.4(a) is difficultviolations are tough to detect and lawyer can cite atty-client or work product privileges Criminal cases Concealing evidence or assisting/counseling other to do so may be a crimeobstructing an investigation, tampering evidence, accessory to a crime; When does obligation not to coneal begin? o If lawyer has no knowledge that a violation of the law has been committed & no criminal investigation is foreseeable, a lawyer has no duty to turn evidence over to a prosecutor o In some states, lawyers duty not to conceal tangible evid takes effect as soon as the lawyer believes that an official investigation is about to be instituted. Other states, not until investigation actually starts o It may be difficult under crim law to define the point at which legitimate destruction becomes unlawful obstruction of justice; Generally, obstruction of justice statutes apply only when an official proceeding is ongoing or imminent Civil cases Rule 3.4(a) bans only unlawful concealment: some states have dif standard for civil cases: allow lawyers to keep possession of evidence not pertinent to criminal investigations o Why dif stanard? b/c in a civil case, possession of such docs are not being used to cover up a crime and discovery can be used When does obligation begin? Governed by civil discovery rules (FRCP 26) and MRPC (Rule 3.4). o As soon as civil case commences, lawyer may have duty under procedure rules to turn over some info to opposing party, even if no discovery request (e.g. FRCP 26(a)(1)) o duty to preserve in some states business records for specified periods even if no dispute on horizon; even if no preservation statute applies, if lawyer has some reason to believe wrongdoing has occurred may have a duty to preserve evidence.
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If opponent has not yet done so but has the right to file another brief, laywer may not (yet) have a duty to disclose (probably better to do so to make sure case doesnt get overturned later + improves credibility to judge)
Ex parte Disclosures: Adverse material facts Rule 3.3(d): in ex parte (one-sided) proceedings, must disclose all material facts known to the lawyer that will enable the tribunal to make an informed decision, whether or not the facts are adverse (e.g., request for a temporary restraining order) Purpose: allow judge to accord the absent party just consideration (3.3(d), cmt 14) o Suggests if matter is not truly adversarial, rule 3.3(d) may not apply (e.g., social security disability hearing) Trumps confidentiality rules, but not required to reveal info protected by the attorney-client and the work product doctrine
Statements by Lawyers during Jury Trials Rule 3.7: Advocate-witness rule: gen, lawyers may not testify as witnesses in cases they are handling; unless
1) testimony relates to an uncontested issue (e.g., lawyer attempting to introduce a letter into evidence may testify she received it from her clients brother); o 2) relates to nature and value of legal services; or o 3) disqualification of lawyer would work substantial hardship on the client What about comments appealing to racial or other prejudice of jurors? Prohibited by Rule 8.3, cmt 3 Other Restricitons: see Rule 3.4(e) p.672 Lawyers duties in Nonadjudicative ProceedingsRule 3.9 o
Mon, Apr 23: L&S: Chapter 12: pp. 679-711. Model Rules 4.1-4.4 Communication with lawyers, 3rd parties, represented persons. Problems 12-1, 12-2.
Deception of third persons Rule 4.1(a): duty to avoid material false statements of fact or law
o
similar to Rule 3.3(a)(1): both instruct not to lie 3.3 applies only to proceedings before tribunals; 4.1 applies whenever a lawyer is representing a client; 3.3 prohibits making any false stmts to tribunals, 4.1 prohibits only material false statemetns of fact or law to 3rd persons But 8.4(c): prohibition from engaging in conduct involving deceit or misrepresent, has no qualifier excusing false stmts that are not material (Pautler) o Material defined as something that would have changed the behavior of the receipient of the info (defined in Gatti, not in book) o Obligations of disclosure to 3rd persons: 4.1(b) limited duty to make affirmative disclosures to others when necessary to avoid assiting a crim or fraudulent act by a client; But duty to disclose is subordinate to duty under R. 1.6 to protect confidential info Problem 12-1: Emergency Food Stamps: false stmt of material fact to third person (some states have modified rule to allow atties to misrepresent facts during an investigation) False statements by clients? No duty to correct the record when a client is lying in her prescence to someone other than a court; o But, could get disciplined for sitting by silently while a client perpetuates a fraud, if lawyers presence during an event at which the client lies is use of the lawyers services to commit a fraud (thus permitting disclosure under R 1.6(b)) Negotiations: Under generally accepted conventions, statements estimating price/value, or a partys intentions are not considered statements of material fact (4.1(a), cmt 2) o But negotiators cannot take advantage of incorrect assumpstions or mistakes of the other side when they know such mistakes are being made (Stare v. Tate, divorce case where stock price mistakenly calculated by wifes lawyer and husbands lawyer didn't say anthing) o Class Notes: negotiation game Slightly suspect but necessary pt of business, inability to enforce and slipperly slope issues
Lawyers use of testers in fact investigations 8.4(a) lawyer cant violate rules or do so through acts of another SO, if lawyer could not ethically do work himself, cannot enlist others to do it Apple Corp v. ICS (NJ): (Beatles Stamps IP case): ct held Rule 8.4(c) does not apply to misrepresentation solely as to identity or purpose and solely for evidence-gathering purposes BUT The Gatti Case (Oregon): lawyer represented chiropracter, in investigating a possible fraud case falsely stated that he was a doctor; Ct held that by misrepresenting his identity and purpose, he violated his duty to the public to maintain personal integrity. o Ct did not make an exception for prosecutor-directed criminal investigations; but afterwards Statute passed allowing covert law enforcement, but did not let lawyers participate personally in the deception Issue is still unsettled, but see bar opinion endorsing dissemblance if investigating civil rights or IP violations, on p.688
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Receipt of inadvertently transmitted info, including metadata Rule 4.4(b): you are allowed to use the info just have to promptly let the other side know (must notify sender if know or reasonably should know that sent inadvertently) May you mine for metadata? (courts split): o ABA and Maryland: no duty to refrain from viewing it or notifying sender o Alabama and NY: cant attempt to view metadata
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What rules (if any) require you to return the document / notify about your possession? o A cmt in the rule says something about Would it violate any rules to use these documents in negotiating with Ron's lawyer about custody / push for better financial settlement? What do you do with the documents? o Problems? stolen property is a crime, may implicate a duty to turn them over o Keeping docs in your office? not representing criminal defendant no ongoing investigation you have copies, by keeping them it is not impossible for other side to obtain them What should you do? o Issue that if you turn them in it may implicate your client in theft your client wants custody, you fight hard, use docs in the best way for your client if litigation: these documents may not be admissible seems like the best thing to do is try to negotiate o if fathers attorney, what do you do as a neutral partisan say sorry, you're still going to court bad situation for mom's attorney The answer is not clear. A lot depends on whether the court will admit the evidence
Wed, Apr 25: L&S: Chapter 12: pp. 711-30. Model Rule 3.8 Prosecutors duties; prejudicial conduct. Problems 12-3, 12-4
Duties of Prosecutor
A Prosecutor is a Minister of justice Rule 3.8, comment 1 o Prosecutors have extra duties b/c of extra powers o Why? many have political ambitions or want to improve reputation through high profile caseshigh conviction rate=fast advancement Worst offenses: concealing evid suggesting innocence & presenting evid known to be false if a prosecutor is directing an investigation, he arguable violates Rule 4.1 (prohibiting materially false statements) and Rule 4.2 (prohibiting contact with represented persons) o Little case law interpreting 4.1 in application to criminal investigations o 4.2: state may not have any communication w/ represented criminal D unless: (1) state first obtains lawyers consent; (2) communication is authorized by law; or (3) stat obtains a court order authorizing the communication Does the authorized by law exception cover communications occuring prior to filing of charges? Comment 5, Rule 4.2 suggests ok, but 4.2 prohibits contact, without lawyers consent, once a charge is filed o Postarraignment interviews have been found a violation of 4.2; but some courts have found that preindictment contact ok McDade Amendment: subjects lawyers working for fed govt to all applicable state ethics rules, not just 4.2 Problem 12-4: Prosecutors Masquerade o Rule 4.3: if talking to someone unrepresented and they misconstrue o Issues of defense losing faith in system vs. lawyers personal moral and ethical duty 3.8(a) is prosecutors analogue = to Rule 3.1 and FRCP 11 Rule 3.8(a): prosecutor may not file a criminal case w/o a belief formed after due investigation, that there are good factual and legal grounds for it o Some argue that probable cause std is pretty low; dont need more likely than not, just need fair possibility of guilt; a little more than a reasonable suspicion: (rule just imports existing legal standard into ethics code) o Other rules, like ABA: higher than probable cause std, admissible evid Must hand over all exculpatory evidence to defense even if not requested Ex: Duke lacrosse casestate prosecutor was disbarred for misconduct in criminal prosecution
Undercover investigations
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Advocacy is the skill of discovering the available measn of persuasion in a given case - Aristotle Three fundamental elements of rehetoric: 1) Speaker 2) Content 3) Audience 1 + 2 > 3 15% Can only communicate 85% of what you mean; Failures: Ad hominem attacks and appeals to pity usually lose Two Elements of Practicing Law (handout) I. Taxaonomic: function is quantitative (can get grades) II. Aesthetic: qualitative, not quantitativepoint: did the person learn something, i.e., did the idea you wanted to get across manage to get to the audience Ethos: distinguishing character of person or group Ethics: process of developing an ethical nature or character Profesional responsibility: dont miscite, keep it concise; lawyer has a conflict of zealous advocacy vs. duty of candor as an officer of the court from english law where barrister seperated from solicitor, who was agent of client Need to understand dynamics of where you are Part of your character is that you give a damn, and part is that you can logically thnk about the content Ethics as distinguished from legal ethics is about goals you set for yourself to develop habits of behavior that it beccomes second nature for you to do this Secret: combination of the systematic with the perception is the constant area of where you need to practice (lawyers oath is far more instructive than all the rules of professional conduct) Being a lawyer is an invitation to lead a moral life Death of Jury Trial: 2% of civil cases are tried by jury Jury trial (vs. judge decided): measures the civility of socitey; lets public make a value judgmeent rather than a bottom line economic decision; Personification of the social values of our society LAST CLASS WRAP UP
Compliance with rules like traffic rules, by themselves they are not particularly aspirational compared to ethics which are Themes: Inscription noted in syllabus Cynicism Thomas Moores oath