Bodily v. Intermountain Health Care Corp.

649 F. Supp. 468, 1986 U.S. Dist. LEXIS 17336
CourtDistrict Court, D. Utah
DecidedNovember 24, 1986
DocketCiv. C85-373G
StatusPublished
Cited by11 cases

This text of 649 F. Supp. 468 (Bodily v. Intermountain Health Care Corp.) is published on Counsel Stack Legal Research, covering District Court, D. Utah primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Bodily v. Intermountain Health Care Corp., 649 F. Supp. 468, 1986 U.S. Dist. LEXIS 17336 (D. Utah 1986).

Opinion

J. THOMAS GREENE, District Judge.

This matter came on for hearing on September 29, 1986, on defendant Intermoun-tain Health Care Corporation’s Motion to Disqualify. Defendant Intermountain Health Care was represented by Dan S. Bushnell and Charles W. Dahlquist II, and the law firm of Howard, Lewis & Peterson was represented by Glenn C. Hanni. Legal memoranda were submitted on behalf of all parties, testimony of witnesses was heard and exhibits were received into evidence. Counsel argued the Motion extensively after which the matter was taken under advisement. The court now being fully advised, sets forth its Memorandum Decision and Order.

FACTUAL BACKGROUND

The law firm of Howard, Lewis & Peterson (the “Howard firm”), which is located in Provo, Utah, has a well-established general litigation practice with particular emphasis upon medical malpractice and personal injury claims. On April 1, 1985, the plaintiff, Norman W. Bodily, by and through his attorneys, the Howard firm, filed a medical malpractice action in federal district court against Intermountain Health Care Corporation (“IHC”). At the time the dispute herein arose, the Howard firm had six other lawsuits pending in various stages of discovery against IHC in various courts within this state.

On July 11, 1985, Mr. Peter C. Rosen-bloom of the Los Angeles, California law firm of Findlay, Kumble, Wagner, Hein, Underberg, Manley & Casey contacted Mr. Richard B. Johnson, a partner with the Howard firm, by telephone. Having selected the Howard firm from among listings in the Martindale Hubbell referral service, Mr. Rosenbloom briefly introduced himself and indicated that his firm had been retained by IHC to represent that entity in connection with a wrongful discharge action brought by Veta S. Wilson. Wilson, a former employee of the Utah Valley Regional Medical Center, a Provo, Utah facility owned and operated by IHC, had filed an action against IHC on June 14, 1985, in Utah’s Fourth Judicial District Court. In his conversation with Johnson, Rosenbloom indicated that his law firm needed a local firm to move for the admission of certain firm members to practice in the Wilson matter and also to conform documents to the local rules of practice. Johnson testified that during this initial telephone conversation he specifically informed Rosen-bloom that the Howard firm had a number of malpractice cases pending against IHC, including the Bodily litigation. Johnson said he explained that the Howard firm’s proposed representation of IHC presented a serious conflict of interest problem but that Rosenbloom said he did not see a conflict, nor have any problem with the Howard firm’s pending lawsuits against IHC in unrelated litigation. Nevertheless, according to Johnson, Rosenbloom stated that if there were any problems in discussing the matter with his superiors and the client, he would let Johnson know. 1 Other *471 wise, Rosenbloom said that the file would be sent the next day with instructions for Johnson to appear as local counsel in the case in order to accomplish the purposes previously outlined. 2

The following day, Johnson received a confirmation letter from Rosenbloom by express mail dated July 11, 1985, requesting that Johnson file a motion for the admission, pro hac vice of Mr. Gary R. Over-street, Mr. Michael W. Monk and Mr. Peter C. Rosenbloom for purposes of the Wilson litigation. The matter was set up on the billing and accounting records of the Howard firm under the name of Rosenbloom since Mr. Johnson considered that he was simply performing a minor professional courtesy as local counsel for out of state attorneys. Johnson did not discuss the new representation with other members of the Howard firm, and no one otherwise discovered the Howard firm’s conflicting representation of IHC:

On July 17, 1985, Johnson filed the appropriate motion, and an Order admitting the California attorneys was signed by Honorable George E. Ballif on August 1, 1985. Later in August, Johnson reviewed and edited a draft of motion to dismiss and memorandum in connection with the Wilson matter, and returned it to Rosenbloom who made additional corrections and returned it to Johnson. The motion and memorandum were filed with the Utah court on August 19, 1985. Subsequently, Johnson prepared a notice of deposition, which was to be held on September 27, 1985, although Johnson was never contemplated as the attorney who would take the scheduled deposition. On October 17,1985, Rosenbloom sent Johnson a letter confirming a conversation several days earlier and enclosed a draft of their proposed reply brief in the Wilson litigation. Johnson also edited this brief as to form and filed it with the court. On November 8, 1985, the state district court ruled upon an ex parte motion and order for leave to file an oversized memorandum and order, which motion had been prepared by Johnson. Mr. Johnson did no further work on the Wilson matter after this time and he submitted a bill to the California counsel for legal services and costs in the name of Rosenbloom for the amount of $195.82.

According to Johnson’s testimony, supported by other evidence, no written documents of any kind were requested or received by Johnson from IHC. Johnson at no time discussed the Wilson case with IHC’s counsel, management or other personnel. Johnson testified that the Howard firm did not receive from any source, nor was it privy to, any confidential or secret information of IHC. Although Johnson did not solicit or receive information of any kind in connection with the Wilson litigation which may have been used or construed as against the interests of IHC in other litigation, as counsel for IHC in the Wilson case he had access to such information and materials.

Johnson testified that it was his understanding from the representations of IHC’s designated California counsel that IHC had knowledge of the need for local counsel and was. consenting to the Howard firm’s representation in this matter. Nevertheless, Johnson did not memoralize his initial conversation with Rosenbloom concerning the disputed disclosure of the conflict by way of a follow-up letter to Rosenbloom or by other written communication. Johnson did not contact or inform IHC or its Salt Lake City counsel of the Howard firm’s potentially conflicting representation. Further, Johnson did not contact any of the other clients of the Howard firm, including Bodily, which' had pending lawsuits against *472 IHC for the purpose of disclosing the potential conflict and obtaining their consent to the proposed dual representation. In November, IHC’s inhouse and Salt Lake City counsel discovered that the Howard firm had been engaged by the California firm to represent IHC. Johnson was immediately contacted by telephone and told to perform no further service and that his employment in the matter was terminated. It is undisputed that in this telephone conversation Johnson asserted that the California firm had “cleared” the representation insofar as conflict of interest matters are concerned.

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Cite This Page — Counsel Stack

Bluebook (online)
649 F. Supp. 468, 1986 U.S. Dist. LEXIS 17336, Counsel Stack Legal Research, https://law.counselstack.com/opinion/bodily-v-intermountain-health-care-corp-utd-1986.