Brown v. Eighth Judicial District Court Ex Rel. County of Clark

14 P.3d 1266, 116 Nev. 1200, 116 Nev. Adv. Rep. 127, 2000 Nev. LEXIS 138
CourtNevada Supreme Court
DecidedDecember 19, 2000
Docket34501
StatusPublished
Cited by33 cases

This text of 14 P.3d 1266 (Brown v. Eighth Judicial District Court Ex Rel. County of Clark) is published on Counsel Stack Legal Research, covering Nevada Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Brown v. Eighth Judicial District Court Ex Rel. County of Clark, 14 P.3d 1266, 116 Nev. 1200, 116 Nev. Adv. Rep. 127, 2000 Nev. LEXIS 138 (Neb. 2000).

Opinions

[1202]*1202OPINION

By the Court,

Rose, C. J.:

This writ petition presents us with the question whether a party’s counsel of choice should be disqualified based on his close association with a law firm disqualified under SCR 160 for an imputed conflict of interest.1 We conclude that disqualification is not warranted absent proof of a reasonable probability that counsel actually acquired privileged,. confidential information, and we therefore grant the petition.

Petitioner Florence Brown sustained life-threatening injuries in an automobile accident in August 1992. She was hospitalized and underwent surgery by real party in interest, Dr. John Thalgott, and Dr. Jeffrey Zapinsky.2 In late 1993 or early 1994, Mr. and Mrs. Brown hired attorney Thomas C. Mehesan to represent them.

Mehesan negotiated a settlement of the automobile accident case; however, he felt compelled to withdraw from representation of the Browns when they and medical care lien holders both claimed the settlement proceeds that had been deposited in Mehesan’s trust account. Mehesan referred the Browns to the law firm of Barker, Gillock, Koning & Brown (later Gillock, Koning, Markley & Killebrew; now Gillock, Markley & Killebrew), which agreed to represent the Browns in a medical malpractice action.

The Gillock firm commenced proceedings before the Medical-Legal Screening Panel (now the Medical-Dental Screening Panel) against Dr. Thalgott. Dr. Thalgott was represented by attorney Neil G. Galatz, who had previously represented the doctor in other matters. Galatz was assisted in his representation of Dr. Thalgott by his paralegal and personal secretary, Lucrezia Smith, who had worked for Galatz since July 1987. The screening panel issued a finding of no reasonable probability of medical malpractice by Dr. Thalgott in February 1996, and the Gillock firm filed a medical malpractice complaint on behalf of the Browns in March 1996.

In September 1996 Smith left the Galatz law firm to work for the law firm of Broening, Oberg, Woods, Wilson & Cass; Smith then left that firm in March 1997 to work for the law firm of Kummer, Kampfer, Bonner & Renshaw. Meanwhile, in February [1203]*12031997, James F. Pico of the Pico & Mitchell law firm was substituted as Dr. Thalgott’s attorney in place of Galatz.

Mehesan resolved his potential conflict of interest with the Browns, and in April 1997 the Browns formally associated Mehesan with the Gillock firm as their co-counsel. Firm partner Gerald Gillock was designated lead counsel for trial; however, Mehesan was extensively involved in preparing for trial, and attended or took all major depositions in the case.

In October 1997 this court issued its opinion in Ciaffone v. District Court, 113 Nev. 1165, 945 P.2d 950 (1997), which rejected a challenge by the Gillock firm to its disqualification in an unrelated wrongful death action based on its employment of a legal secretary who had previously worked on the wrongful death case for opposing counsel.

In May 1998 Gillock hired Smith as his personal secretary. Gillock screened Smith from the Brown case, but did not notify Dr. Thalgott or obtain a waiver from him.

Also in May 1998, the district court scheduled a jury trial to begin in the underlying case on March 9, 1999. In February 1999 Dr. Thalgott moved to continue the trial. The district court denied the motion, but subsequently reset the trial for May 12, 1999, to accommodate the court’s schedule.

On May 7, 1999, Dr. Thalgott filed a “Motion to Disqualify Plaintiffs’ Attorneys,” based on Ciaffone and Smith’s employment with the Gillock firm. In his supporting affidavit, Dr. Thalgott swore he first became aware that Smith had become Gillock’s personal secretary on May 5, 1999, while preparing for trial. In their opposition, petitioners conceded Ciaffone applied, but argued that disqualification was not warranted because Dr. Thalgott’s attorney knew that Smith had formerly worked for Galatz, and had known for at least two or three months that Smith was now working for Gillock.

Dr. Thalgott’s attorney acknowledged these facts at the May 10, 1999, hearing on the motion, but argued his knowledge was irrelevant under the circumstances: he had not known the extent of Smith’s involvement in Dr. Thalgott’s cases, and Dr. Thalgott had not known that Smith had changed sides.

Gillock then offered to withdraw himself and his firm from representation of the Browns, so that the case could proceed to trial as scheduled with Mehesan taking over as trial counsel. Gillock and Mehesan both indicated that Mehesan was ready to try the case. Dr. Thalgott’s attorney argued Mehesan should be disqualified as well because of his close association with Gillock. Notwithstanding repeated assertions by Gillock and Mehesan that no confidential information had actually passed from Smith to either of them, or from Gillock to Mehesan, the court granted the [1204]*1204motion and disqualified both the Gillock firm and co-counsel Mehesan.

Petitioners specially retained the law firm of Lionel, Sawyer & Collins and moved for reconsideration. The parties fully briefed and argued the issue whether Mehesan was subject to imputed disqualification under SCR 160, given the fact that he was not a member of the disqualified firm.

In its order denying reconsideration, the district court clarified that it did not believe that Ciaffone mandated automatic disqualification of co-counsel based on a double imputation of confidential knowledge. The court declined to specify any particular test that should be applied in the co-counsel situation generally, and focused instead on the specific facts before it. Accepting the truthfulness of the affidavits indicating there was no actual transfer of privileged information, the court nevertheless decided the close working relationship between Gillock and Mehesan required Mehesan’s disqualification to avoid any appearance of impropriety. This writ petition followed.

It is not disputed that Smith acquired privileged, confidential information from and relating to Dr. Thalgott when she worked for Galatz. Smith’s conflict of interest was imputed to the Gillock firm, which was disqualified under SCR 160(2) and Ciaffone.

SCR 160(2) prohibits lawyer screening and imputes a lawyer’s disqualification to the lawyer’s firm.3 In Ciaffone, this court held that nonlawyer employees are subject to the same rules governing imputed disqualification because to hold otherwise would grant less protection to privileged, confidential information acquired by a lawyer’s employees than to that acquired by the lawyer. Ciaffone, 113 Nev. at 1168, 945 P.2d at 953.

The district court properly declined to interpret Ciaffone as mandating automatic disqualification of co-counsel based on a double imputation of Smith’s knowledge. The question is whether Ciaffone’s rationale supports the imputed disqualification of co-counsel Mehesan for an appearance of impropriety without evidence of a reasonable probability that there was a transfer of privileged, confidential information.4 We conclude it does not.

[1205]

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Cite This Page — Counsel Stack

Bluebook (online)
14 P.3d 1266, 116 Nev. 1200, 116 Nev. Adv. Rep. 127, 2000 Nev. LEXIS 138, Counsel Stack Legal Research, https://law.counselstack.com/opinion/brown-v-eighth-judicial-district-court-ex-rel-county-of-clark-nev-2000.