Brunswick v. Statewide Grievance Committee

931 A.2d 319, 103 Conn. App. 601, 2007 Conn. App. LEXIS 368
CourtConnecticut Appellate Court
DecidedSeptember 4, 2007
DocketAC 27629
StatusPublished
Cited by31 cases

This text of 931 A.2d 319 (Brunswick v. Statewide Grievance Committee) is published on Counsel Stack Legal Research, covering Connecticut Appellate Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Brunswick v. Statewide Grievance Committee, 931 A.2d 319, 103 Conn. App. 601, 2007 Conn. App. LEXIS 368 (Colo. Ct. App. 2007).

Opinions

Opinion

GRUENDEL, J.

Rule 3.1 of the Rules of Professional Conduct requires in relevant part that attorneys in our state “shall not bring or defend a proceeding, or assert or controvert an issue therein, unless there is a basis in law and fact for doing so that is not frivolous, which includes a good faith argument for an extension, modification or reversal of existing law. . . ,”1 The defendant, the statewide grievance committee, reprimanded the plaintiff attorney, Max F. Brunswick, for violating that rule in the course of his representation of a client in an arbitration proceeding. Pursuant to Practice Book § 2-38, the plaintiff filed a petition for judicial review with the Superior Court, which dismissed the appeal. The plaintiff now challenges the propriety of that determination. We affirm the judgment of the Superior Court.

The record discloses the following facts. The plaintiff is an attorney licensed to practice law in Connecticut who represented a client in an arbitration proceeding. On January 11, 2002, an award adverse to the plaintiffs client entered.2 On January 15, 2002, the plaintiff filed [603]*603a motion to vacate the arbitration award that alleged, inter alia, that the arbitration award was procured by corruption, fraud, undue means or evident partiality on the part of the arbitrators.3 The court, Hon. Anthony V. DeMayo, judge trial referee, held a hearing on the motion to vacate on February 4 and 6, 2002, at the conclusion of which it denied the motion and issued sanctions against the plaintiff and his client for making allegations without reasonable cause.4 The court thereafter referred the matter to the defendant to investigate [604]*604a possible violation of the Rules of Professional Conduct.5

On December 2, 2003, the New Haven judicial district grievance panel filed a decision in which it found probable cause to believe that the plaintiff had violated rules 8.4 (3), 3.3 (a) and 3.1 of the Rules of Professional Conduct. A three person reviewing committee subsequently conducted a hearing on the matter. In its decision, the committee found the following facts by clear and convincing evidence: “The [plaintiff] offered no evidence on the allegation relating to fraud, corruption or undue influence. The [plaintiffs] only evidence of partiality on the part of the arbitrator(s) was a fee bill from the attorney for [John L. Orsini, whose demand against the plaintiffs client was being arbitrated], which reflected a conference with the arbitrator selected by [Orsini] prior to the commencement of evidence in the arbitration. Much of the hearing before Judge DeMayo concerned another issue raised by the [plaintiff] regarding the denial of a continuance request during the arbitration. The [plaintiff] never withdrew or modified any of the allegations in the motion to vacate. In response to direct inquiries from Judge DeMayo as to the evidential basis for the allegations of fraud, corruption or undue influence, the [plaintiff] only stated that he had not yet gotten to that part of the matter. At the conclusion of the hearing on the motion to vacate, Judge DeMayo denied the motion and issued sanctions against the [plaintiff] and his client for making allegations without reasonable cause in violation of Practice Book § 10-5.”

The reviewing committee found by clear and convincing evidence that the plaintiff violated rule 3.1 in two [605]*605ways. It stated: “The allegation of fraud, corruption or undue influence in procuring the arbitration award was clearly frivolous, as the [plaintiff] had no evidence to support the allegation. With nothing more to go on than his client’s statement . . . and with no evidence to offer in court, the [plaintiff] should have withdrawn the allegation. Certainly, by the time of the hearing on the motion to vacate, the [plaintiff] knew that he had no evidence to offer, and no way to prove, the charges he had made of serious misconduct by the arbitrators since he did not have an affidavit to support the allegation. Instead of conceding this upon direct inquiry from the court, the [plaintiff] continued to maintain the allegation despite the absence of any evidence to support it.” The reviewing committee further found that “the allegation of evident partiality or corruption on the part of the arbitrator(s) also violated rule 3.1 ... . The record reflects that the only evidence presented by the [plaintiff] regarding this allegation was the fee bill from [Orsini’s] attorney charging for a conference with the arbitrator [Orsini] selected. We find that this evidence, in and of itself, does not support a good faith claim of partiality on the part of the arbitrator, since there was no evidence regarding the substance of this conference.”

Upon the plaintiffs request for review, the defendant affirmed the decision of the reviewing committee. The defendant concurred with the reviewing committee’s findings that the plaintiffs allegation relating to fraud, corruption or undue influence and his allegation of evident partiality or corruption on the part of the arbitrators constituted violations of rule 3.1. With regard to the first allegation, the defendant stated: “The evidence in the record establishes that the only evidence the [plaintiff] had . . . was his client’s statement. Although the [plaintiff] initially may have had a good faith basis to make the allegation in the motion [to vacate the [606]*606arbitration award], he certainly did not have a good faith basis to maintain the allegation before the court once his client refused to supply an affidavit in support of the statement.” The defendant therefore concluded that the plaintiffs violations of rule 3.1 warranted a reprimand.

Pursuant to Practice Book § 2-38, the plaintiff filed a petition for judicial review with the Superior Court. In its March 22, 2006 memorandum of decision, the court found substantial evidence to support the findings of the review committee and the conclusion that the plaintiff violated rule 3.1. It therefore dismissed the plaintiffs appeal. From that judgment, the plaintiff now appeals to this court.

I

STANDARD OF REVIEW

Before considering the plaintiffs particular claims, we address the standard of review applicable to such grievance appeals. The plaintiff argues that the proper standard by which to evaluate the defendant’s finding that he violated rule 3.1 is the clearly erroneous standard. Conversely, the defendant maintains that the applicable standard is the substantial evidence test.6 A review of the case law reveals a degree of confusion as to the appropriate standard, therefore warranting closer examination.7

[607]*607Attorney disciplinary proceedings are “for the purpose of preserving the courts from the official ministration of persons unfit to practise in them.” Ex parte Wall, 107 U.S. 265, 288, 2 S. Ct. 569, 27 L. Ed. 552 (1883). As our Supreme Court explained nearly one century ago, “[a]n attorney at law admitted to practice ... as an officer of the court in the administration of justice, is continually accountable to it for the manner in which he exercises the privilege which has been accorded him.

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Cite This Page — Counsel Stack

Bluebook (online)
931 A.2d 319, 103 Conn. App. 601, 2007 Conn. App. LEXIS 368, Counsel Stack Legal Research, https://law.counselstack.com/opinion/brunswick-v-statewide-grievance-committee-connappct-2007.