Carlsen v. Thomas

159 F.R.D. 661, 1994 WL 749483
CourtDistrict Court, E.D. Kentucky
DecidedDecember 23, 1994
DocketCiv. A. No. 94-83
StatusPublished
Cited by8 cases

This text of 159 F.R.D. 661 (Carlsen v. Thomas) is published on Counsel Stack Legal Research, covering District Court, E.D. Kentucky primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Carlsen v. Thomas, 159 F.R.D. 661, 1994 WL 749483 (E.D. Ky. 1994).

Opinion

MEMORANDUM OPINION AND ORDER

PATTERSON, United States Magistrate Judge.

This matter is before the Court upon the motion of Plaintiffs, Chris J. Carlsen and Ernest G. Carlsen, to disqualify Jerry Anderson and his law firm from acting as counsel for Defendant, J.W. Thomas [Record No. 14]. The parties previously consented to the exercise by the undersigned of full judicial authority in this action pursuant to 28 U.S.C. § 636(c)(1) [Record Nos. 8 and 9], and said motion to disqualify is now ripe for decision.

This action was originally brought by Plaintiffs, on the basis of diversity of citizenship jurisdiction, in the United States District Court for the District of South Dakota, Southern Division. Plaintiffs, residents of South Dakota, seek a declaratory judgment rescinding Plaintiffs’ obligation to make further payments to Defendant, a resident of Kentucky, pursuant to the terms of a stock purchase agreement into which the parties entered on or about October 16,1987 [Record No. 1, Complaint]. Said agreement relates to a business venture of the parties in Breathitt County, Kentucky. After an unsuccessful challenge to the Court’s in person-am jurisdiction over him, Defendant, as part of his answer to the Complaint, also asserted a counterclaim against the Plaintiffs for the remaining payments allegedly due by them under said agreement. The matter proceeded through some discovery in the District Court in South Dakota. By order dated March 22,1994, the presiding District Judge, upon Defendant’s motion for change of venue, transferred this action to this Court.

Following the entry of the parties’ stipulations of consent, and in the course of a Fed.R.Civ.P. 16 status/scheduling conference before the undersigned, Plaintiffs’ counsel [663]*663raised the question of potential disqualification of Defendant’s counsel. The Court directed that further pretrial scheduling in this action be deferred pending briefing of and decision by the Court upon an appropriate motion for disqualification.

The gravamen of Plaintiffs’ motion to disqualify Jerry Anderson and his law firm1 from acting as Defendant’s counsel in this action is that Anderson has a conflict of interest by virtue of his prior activity as counsel on matters substantially related to this litigation, and further that Anderson is a potential witness in this litigation. The parties’ briefs [Record Nos. 15 and 16] argue the applicability of various provisions of the Kentucky Rules of Professional Responsibility to the issues raised. However, a threshold question presented, although not raised by any party, is what are the applicable professional rules or standards which govern the motion to disqualify.

Unlike some federal courts, the United States District Court for the Eastern District of Kentucky (as well as the Western District) has not, by Local Rule or otherwise, expressly adopted any professional standards to govern the conduct of attorneys, such as the forum state’s governing rules of professional conduct.2 The parties’ briefs on the subject motion to disqualify assume that the Kentucky Rules of Professional Responsibility, as adopted by the Kentucky Supreme Court (which Rules are a part of the Rules of said Supreme Court, hereinafter cited as “SCR”), govern the issues presented. SCR 3.130(8.4) provides that a lawyer permitted to practice in Kentucky is subject to the disciplinary authority of the Rules of the Supreme Court of Kentucky although engaged in practice elsewhere. However, Comment 3 to this Rule suggests that federal law must be consulted when an attorney practices in federal court:

Where the lawyer is licensed to practice law in two jurisdictions which impose conflicting obligations, applicable rules of choice of law may govern the situation. A related problem arises with respect to practice before a federal tribunal, where the general authority of the states to regulate the practice of law must be reconciled with such authority as federal tribunals may have to regulate practice before them. (Emphasis added.)

The ethical standards by which federal courts measure an attorney’s professional conduct are standards defined by federal law. In re Snyder, 472 U.S. 634, 645 n. 6, 105 S.Ct. 2874, 2881 n. 6, 86 L.Ed.2d 504 (1985). Furthermore, it has long been recognized that federal courts have the inherent power to evaluate the professional conduct of attorneys practicing before them, and to sanction unprofessional conduct, including disqualification of attorneys. Insituform of North America, Inc. v. Midwest Pipeliners, Inc., 139 F.R.D. 622, 624 (S.D.Ohio 1991). See also Manning v. Waring, Cox, 849 F.2d 222 (6th Cir.1988).

While the Joint Local Rules for the United States District Courts of the Eastern and Western Districts of Kentucky do not explicitly adopt a particular set of rules or standards for professional conduct for the attorneys appearing in this Court, Local Rule 3(c) does require that all parties, except [664]*664those appearing in a limited category of cases, shall have local counsel who is admitted to practice in Kentucky and resides or has an office in this state. Moreover, this Court’s Local Rules provide for discipline of any Kentucky attorney admitted to the Bar of this Court who has been found “guilty of unprofessional conduct within the meaning of the standards of professional responsibility adopted by the Supreme Court of Kentucky or is guilty of other conduct unbecoming an officer of the Court ...” and provides a procedure for the imposition of such discipline. Local Rule 3(b)(2)(E). To be a member of the Bar of this Court, an attorney must be admitted to practice before the Supreme Court of Kentucky and be in good standing with that Court. Local Rule 3(a)(1). Accordingly, it would not be unreasonable to conclude that although this Court’s Local Rules do not explicitly adopt any particular rules of professional conduct, the sum and substance of this Court’s Local Rule 3 governing attorneys who practice before this Court implicitly deem the “standards of professional responsibility adopted by the Supreme Court of Kentucky” as persuasive authority, if not governing standards, for practice before this Court.

The proper method for a party to alert the Court that a possible violation of professional or ethical standards has occurred is by filing a motion to disqualify counsel. Musicus v. Westinghouse Electric Corp, 621 F.2d 742, 744 (5th Cir.1980); Kitchen v. Aristech, supra, 769 F.Supp. at 256 (S.D.Ohio 1991).

However, the ability to deny one’s opponent the services of his chosen counsel is a potent weapon. Confronted with such a motion, courts must be sensitive to the competing public interests of requiring professional conduct by an attorney and of permitting a party to retain counsel of his choice. In order to resolve competing interests, the court must balance the interest of the public in safeguarding the judicial process together with the interests of each party.

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Cite This Page — Counsel Stack

Bluebook (online)
159 F.R.D. 661, 1994 WL 749483, Counsel Stack Legal Research, https://law.counselstack.com/opinion/carlsen-v-thomas-kyed-1994.