Brown v. Kelton

2011 Ark. 93, 380 S.W.3d 361, 2011 Ark. LEXIS 85
CourtSupreme Court of Arkansas
DecidedMarch 3, 2011
DocketNo. 10-925
StatusPublished
Cited by24 cases

This text of 2011 Ark. 93 (Brown v. Kelton) 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
Brown v. Kelton, 2011 Ark. 93, 380 S.W.3d 361, 2011 Ark. LEXIS 85 (Ark. 2011).

Opinions

PAUL E. DANIELSON, Justice.

| Appellants Mid-Central Plumbing Company, Inc., and John W. Rogers, Mid-Central’s sole shareholder, along with separate appellant Stephen Toof Brown, bring this interlocutory appeal from an order of the Pulaski County Circuit Court disqualifying Brown from serving as the attorney for Mid-Central and Rogers in the case filed against them by appellee Brian Kel-ton. Appellants argue that the circuit court erred in disqualifying Brown because: (1) Ark.Code Ann. § 16-22-211 (Supp.2009) does not prohibit Farmer’s Insurance Exchange from using an employee to defend its insureds; (2) alternatively, the circuit court erred by not holding Ark. Code Ann. § 16-22-211 unconstitutional for intruding on this court’s exclusive authority to regulate the practice of law; (3) Kelton had no standing to object to an alleged conflict of interest; (4) it was not a conflict of interest for Brown to serve as the attorney for Mid-Central and Rogers; and (5) Mid-Central and Rogers gave proper informed | ^consent to be represented by Farmer’s Insurance Exchange’s staff counsel. Brown also argues that he did not breach his duty to preserve Mid-Central’s confidences. Mid-Central and Rogers additionally argue that the circuit court improperly disregarded their fundamental right to be represented by their chosen counsel. We affirm the circuit court’s order disqualifying Brown in the instant case.

This case arose from a car accident in which Kelton’s vehicle was struck by a vehicle owned by Mid-Central. Kelton filed suit against Mid-Central and Rogers alleging damages from the collision. Mid-Central and Rogers were insured by Truck Insurance Exchange (“TEI”) for $1,000,000, and TEI was reinsured by Farmer’s Insurance Exchange (“FIE”).

Approximately three months after an answer was filed on behalf of Mid-Central and Rogers, their attorney filed a motion for substitution, seeking to name Stephen Brown, an attorney employed by FIE, as the new attorney on the case. The circuit court entered an order substituting counsel. However, Kelton filed a response in opposition to the motion for substitution shortly thereafter. The circuit court held a hearing and the parties agreed that because the response in opposition had been filed after the motion to substitute had already been granted, it would be treated as a motion to disqualify.

After the hearing, the circuit court found that Brown’s representation of Mid-Central and Rogers would have constituted the unauthorized practice of law by FIE pursuant to Ark.Code Ann. § 16-22-211; that a conflict of interest existed for Brown because his undivided duty of loyalty and confidentiality would have. been owed to Mid-Central and Rogers, not |sto the insurance company that employed him; and that no effective waiver of the inherent conflict had or could have taken place. Accordingly, the circuit court disqualified Brown from further participation in the case on behalf of FIE’s insureds. The circuit court entered its order on June 2, 2010. This interlocutory appeal followed, and we now turn to the merits of the appeal.

Appellants first argue that Ark.Code Ann. § 16-22-211 does not prohibit an insurance carrier from assigning the defense of an insured’s lawsuit to in-house counsel and that such is true in a majority of other jurisdictions as well. Kelton responds that the circuit court’s application of section 16-22-211 was correct and that using in-house counsel to represent an insured equates to the insurance company unlawfully practicing law.

We review statutory interpretation de novo, as it is for this court to determine the meaning of a statute. See Dachs v. Hendrix, 2009 Ark. 542, 354 S.W.3d 95; Osborn v. Bryant, 2009 Ark. 358, 324 S.W.3d 687. Our rules of statutory construction are well settled:

The basic rule of statutory construction is to give effect to the intent of the legislature. Where the language of a statute is plain and unambiguous, we determine legislative intent from the ordinary meaning of the language used. In considering the meaning of a statute, we construe it just as it reads, giving the words their ordinary and usually accepted meaning in common language. We construe the statute so that no word is left void, superfluous or insignificant, and we give meaning and effect to every word in the statute, if possible.

Dachs, 2009 Ark. 542, at 7, 354 S.W.3d 95, at 100 (quoting City of Little Rock v. Rhee, 375 Ark. 491, 495, 292 S.W.3d 292, 294 (2009)).

Section 16-22-211 states, in relevant part:

14(a) It shall be unlawful for any corporation or voluntary association to practice or appear as an attorney at law for any person in any court in this state or before any judicial body, to make it a business to practice as an attorney at law for any person in any of the courts, to hold itself out to the public as being entitled to practice law, to tender or furnish legal services or advice, to furnish attorneys or counsel, to render legal services of any kind in actions or proceedings of any nature or in any other way or manner, or in any other manner to assume to be entitled to practice law or to assume or advertise the title of lawyer or attorney, attorney at law, or equivalent terms in any language in such a manner as to convey the im-
pression that it is entitled to practice law or to furnish legal advice, service, or counsel or to advertise that either alone or together with or by or through any person, whether a duly and regularly admitted attorney at law or not, it has, owns, conducts, or maintains a law office or any office for the practice of law or for furnishing legal advice, services, or counsel.
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(d) This section shall not apply to a corporation or voluntary association lawfully engaged in the examination and insuring of titles to real property, nor shall it prohibit a corporation or a voluntary association from employing an attorney or attorneys in and about its own immediate affairs or in any litigation to which it is or may become a party.

Ark.Code Ann. § 16-22-211(a),(d) (Supp. 2009).

Appellants argue that FIE falls into the exception created by subsection (d) because the insured’s lawsuit is a matter that is “in and about its own immediate affairs.” However, they attempt to de-emphasize the language that follows. The exception created is two-fold. The plain language of the statute allows a corporation to employ an attorney in two scenarios: (1) for matters “in and about its own immediate affairs”; “or (2) in any litigation to which it is or may become a party.” Id. (emphasis and numeral added).

Appellants argue that the language of section 16-22-211 should not be interpreted as creating disjunctive alternatives. However, “[i]n its ordinary sense, the word ⅛’ is a disjunctive particle that marks an alternative, generally corresponding to ‘either,’ as ‘either this |Bor that’; it is a connective that marks an alternative.” McCoy v. Walker, 317 Ark. 86, 89, 876 S.W.2d 252, 254 (1994) (quoting Beasley v. Parnell, 177 Ark. 912, 918, 9 S.W.2d 10, 12 (1928)).

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Bluebook (online)
2011 Ark. 93, 380 S.W.3d 361, 2011 Ark. LEXIS 85, Counsel Stack Legal Research, https://law.counselstack.com/opinion/brown-v-kelton-ark-2011.