American-Canadian Oil & Drilling Corp. v. Aldridge & Stroud

373 S.W.2d 148, 237 Ark. 407, 1963 Ark. LEXIS 555
CourtSupreme Court of Arkansas
DecidedDecember 16, 1963
Docket5-3059
StatusPublished
Cited by18 cases

This text of 373 S.W.2d 148 (American-Canadian Oil & Drilling Corp. v. Aldridge & Stroud) is published on Counsel Stack Legal Research, covering Supreme Court of Arkansas primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
American-Canadian Oil & Drilling Corp. v. Aldridge & Stroud, 373 S.W.2d 148, 237 Ark. 407, 1963 Ark. LEXIS 555 (Ark. 1963).

Opinions

E. DeMatt Henderson, Special Associate Justice.

This appeal is a sequel to the case of Aldridge & Stroud, Inc. v. American-Canadian Oil & Drilling Corp., 235 Ark. 8, 357 S. W. 2d 8, and reference is made to such former opinion for certain of the basic facts involved in this appeal. Upon the remand required by that decision, Ur. D. D. Panich and the law firm of Mehaffy, Smith & Williams (who jointly will bo designated The Attorneys) petitioned the Chancery Court for allowance of attorneys’ fees and expenses incident to their representation of appellant, American-Canadian. William T. Foran and Mrs. Kay Van, the parties whose claims to the oil properties were sustained in onr former opinion, resisted such petition by respectively filing a Response and a Brief in Opposition; and appellant filed an extensive answer denying the propriety of any fee.

Following hearings held on July 9 and November 27, 1962, the Chancellor on December 13, 1962 entered a comprehensive decree which again fully adjudicated the rights of the nine separate parties to this complex litigation; and in addition granted The Attorneys’ petition and fixed their fee at $30,000.00 for services rendered appellant, and awarded Aldridge & Stroud judgment on its note (which our former decision held valid) in the sum of $89,842.50, based upon principal of $75,000 plus accrued interest and an award of $7,500 for attorneys’ fees. Only American-Canadian has appealed and for reversal urges that The Attorneys should be denied any fees because they represented conflicting interests in appearing as solicitors for both appellant, as the maker of the note, and Aldridge & Stroud, as its holder, and further that the award of attorneys ’ fees to Aldridge & Stroud was violative of public policy. Appellant does not now question the amount of either of the fees awarded, hut asserts it was error to award any fees.

The primary question for determination is whether The Attorneys did, either in fact or as a matter of law, represent conflicting interests by acting in their dual capacity as attorneys for appellant and Aldridge & Stroud, for if such were the case we would unhesitatingly hold that they thereby forfeited all rights to any compensation. No rule of law is more firmly established than that—“A fiduciary relationship exists between attorney and client, and the confidence which the relationship begets between the parties makes it necessary for the attorney to act in utmost good faith.” Norfleet v. Stewart, 180 Ark. 161, 20 S. W. (2) 868. This high fiduciary relationship positively precludes attorneys from representing conflicting interests as was well stated in Silbiger v. Prudence Bonds Corporation, 180 Fed. (2) 917, where Judge Learned Hand observed: ‘ ‘ Certainly by the beginning of the Seventeenth. Century it had become a commonplace that an attorney must not represent opposed interests; and the usual consequence has been that he is debarred from receiving any fee from either, no matter how successful his labors. Nor will the court hear him urge, or let him prove, that in fact the conflict of his loyalties has had no influence upon his conduct; the prohibition is absolute and the consequence is a forfeiture of all pay.”

This Court in Norfleet, supra, quoted with approval from Baker v. Humphrey, 101 U. S. 494, where it was said, “Courts of Justice can best serve both the public and the profession alike by applying firmly upon all proper occasions the salutary rules which have been established for their government in doing the business of their clients.” Being mindful of these commendable and indeed essential rules and the duty of courts firmly to enforce them we have reached the conclusion that in this case The Attorneys did not represent conflicting interests.

There áre undoubtedly situations where the active practicing attorney may properly appear for more than a single client without in any manner being placed in a position of divided loyalty, or be exposed to the temptation to conciliate rather than vigorously espouse the rights of the clients he represents. This is particularly true of litigation not strictly inter partes such as probate proceedings, corporate reorganizations, bills of inter-pleader, and indeed litigation of this very type which was so accurately characterized in our former opinion as a “free-for-all receivership.” In Deupree v. Garnett, 277 P. 2d 168 the Oklahoma court quoted with approval from 7 CJS, Attorney and Client, Section 47, as follows: ‘‘ However, it is not inconsistent with the status or office of attorney that he represents different interests which are not actually adverse in the sense that they conflict or are hostile. Mere possibility that different interests represented by an attorney might develop a conflict is not sufficient to disqualify him.”

This Court has twice recognized that in actions on notes an attorney does not, as a matter of law, represent conflicting interest by acting for both the holder and the maker of a note who admits the validity of the obligation. In the early case of Wassell v. Reardon, 11 Ark. 705, the defendant maker gave to plaintiff’s attorney a power to confess judgment and the resulting judgment was upheld. Again in Houpt v. Bohl, 71 Ark. 330, 75 S. W. 470. the defendants authorized plaintiffs’ attorney to waive service of summons and enter their appearance and consent to judgment which this Court then sustained. So it cannot be held, as a matter of law, that The Attorneys in this case had a conflict of interest simply because they represented both appellant as maker and Aldridge & Stroud as holder of the note.

In determining whether, in fact, there was a conflict of interest we have tested the dual representation against the conduct prescribed by the Canons of Professional Ethics of The American Bar Association, which we adopted April 24, 1939, the applicable Canon being No. 6 which specifies:

“It is unprofessional to represent conflicting interests, except by express consent of all concerned given after a full disclosure of the facts. Within the meaning of this canon, a lawyer represents conflicting interests when in behalf of one client, it is his duty to contend for that which duty to another client requires him to oppose.”

Adapting this Canon to the situation under review, the question is presented:

Did The Attorneys represent conflicting interests when as attorneys for Aldridge & Stroud it was their duty to' contend that the note it held was valid, while their duty as attorneys for American-Canadian required them to oppose such contention?

To decide this important question it is necessary to refer to certain facts reflected by the record filed herein on the former appeal. If we could not do so the present appeal would necessaidly have to be summarily dismissed without any consideration of the merits of appellant’s contentions.

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American-Canadian Oil & Drilling Corp. v. Aldridge & Stroud
373 S.W.2d 148 (Supreme Court of Arkansas, 1963)

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Bluebook (online)
373 S.W.2d 148, 237 Ark. 407, 1963 Ark. LEXIS 555, Counsel Stack Legal Research, https://law.counselstack.com/opinion/american-canadian-oil-drilling-corp-v-aldridge-stroud-ark-1963.