Disciplinary Matter Involving Frost

863 P.2d 843, 1993 WL 485271
CourtAlaska Supreme Court
DecidedNovember 26, 1993
DocketS-5169, S-5268
StatusPublished
Cited by14 cases

This text of 863 P.2d 843 (Disciplinary Matter Involving Frost) is published on Counsel Stack Legal Research, covering Alaska Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Disciplinary Matter Involving Frost, 863 P.2d 843, 1993 WL 485271 (Ala. 1993).

Opinions

OPINION

MATTHEWS, Justice.

In this disciplinary case the hearing committee found that Stephen Frost violated four provisions of the disciplinary rules and recommended that he be suspended from the practice of law for eighteen months. Frost appealed to the disciplinary board, which accepted the committee’s findings, but recommended that Frost should be suspended for a total of eight months.1 Both the bar association and Frost now challenge the disciplinary board’s recommendation. The bar contends that the board erred in rejecting the hearing committee’s recommendation of an eighteen-month suspension. Frost contends that the evidence does not establish that he committed any violations and raises a number of procedural and jurisdictional points. We find that Frost committed only one minor violation and that censure is the appropriate discipline.

I. BURDEN OF PROOF/STANDARD OF REVIEW

Bar counsel has the burden of proving the charges of misconduct in a petition for formal hearing by clear and convincing evidence. Alaska Bar Rule 22(e). This court reviews the evidence adduced before the hearing committee independently while giving deference to the findings of the board. Bar Rule 22(n); In re Simpson, 645 P.2d 1223, 1226-27 (Alaska 1982). On questions of sanctions, this court also exercises its independent judgment, guided by the American Bar Association Standards for Imposing Lawyer Sanctions (1986) and the sanctions imposed in [845]*845comparable disciplinary proceedings. Alaska Bar Rule 22(r); In re Schuler, 818 P.2d 138, 139 (Alaska 1991).

II. STATEMENT OF FACTS

This case arose when George Barth Sr. and Peter Barth filed grievances against Frost. Following an investigation, the bar association filed a ten-count petition for formal hearing. A nine-day evidentiary hearing was held August 19 through 29, 1991. We have reviewed the transcript of the hearing. Except where a dispute in testimony is noted, the following facts are supported by clear and convincing evidence.

George Barth Sr. (George Sr.), a businessman and former real estate salesman, was represented by Frost in a number of legal matters between 1982 and 1988. Frost was not George Sr.’s only attorney, however, as George Sr. was a frequent litigant who used numerous attorneys.2

In 1986 one of George Sr.’s brothers, Peter Barth, was involved in litigation against two of his other brothers, Tom Barth and John Barth, and another party, Virginia Gaylen, concerning a daycare center referred to as Hanson Acres. Peter asked George Sr. for his help in this litigation. George Sr. asked Frost to represent Peter but Frost declined, concluding that Peter was too emotionally distraught to deal with the case rationally. To overcome this problem, George Sr. took an assignment of Peter’s interest in Hanson Acres and in the litigation in the name of George Sr.’s wholly-owned corporation, Alta Corporation (Alta). Under this assignment, Peter was to receive “the first Fifty Thousand Dollars ($50,000) cash received, without interest, after all costs and attorney’s fees are paid.” Alta then entered into a contingent fee agreement with Frost under which Frost would represent Alta in the litigation in exchange for fifty percent of any proceeds.

About six months after Frost entered the litigation a settlement was reached. Gay-len became the sole owner of the property and signed promissory notes, one in the amount of $50,000 in favor of Alta, and two in the amount of $40,000 in favor of Tom and John. These notes were secured by a second deed of trust on Hanson Acres. Hanson Acres was also subject to a prior deed of trust and note in the original amount of $305,000 administered by Sea-First Bank. This note was in default, and under the settlement Gaylen was required to pay it.

George Sr., through Alta, assigned fifty percent of the $50,000 note to Frost on September 2, 1986. In March of 1987 George Sr., on behalf of Alta, assigned Alta’s remaining interest in the $50,000 note to George Sr.’s daughter, Diane Barth Olsbo. Frost prepared this assignment. George Sr. explained to Frost that he wanted this done because he was going to be out of the country and that Diane would be available for signing any and all necessary documents. It was understood that, although the assignment was absolute in form, the note was intended to be held for the benefit of Alta and, thus, for Peter.

In April of 1987 Frost agreed to conduct a non-judicial foreclosure proceeding on the Hanson Acres property. Frost wrote to George Sr. on April 17, 1987, stating, “I will bring the foreclosure action on behalf of Alta and Frost & Grashin and will evenly split the legal costs and legal fees with you.” Consistent with this, on May 27, 1987, Frost wrote to the other holders of second deed of trust notes on Hanson Acres — Tom, John, and Diane — and obtained their consent to non-judicially foreclose the second deed of trust. Thereafter, Frost sent monthly statements to George Sr. captioned “Foreclosure v. Gaylen.”

In June of 1987, under George Sr.’s direction, Diane assigned her interest in the $50,000 note to George Barth Jr. (George Jr.), George Sr.’s son. According to Diane, [846]*846the reason for this assignment was that she was about to file for divorce and she thought the note might become enmeshed in that litigation. Diane and George Sr. testified that they intended that the note would be held for the benefit of Alta and Peter. However, the assignment, like the assignment from Alta to Diane, was absolute on its face. After George Jr. received the assignment from Diane, he consented to being represented by Frost in the nonjudicial foreclosure.

On August 14, 1987, Frost transmitted to Land Title Company, the trustee under the second deed of trust, the documents necessary to initiate the non-judicial foreclosure. On August 24, 1987, the trustee initiated the foreclosure by executing and recording a notice of default and sale. The sale was scheduled for December 10, 1987. The deed of trust sale took place as scheduled and the successful purchasers were the record owners of the second deed of trust notes: John, Tom, George Jr., and Frost’s law firm. The purchase was made with an offset bid. The trustee’s deed was issued on December 21, 1987.

In the interim between the assignment from Diane to George Jr. and the sale, an important event took place. George Jr. called Frost, claiming that the interest that had been assigned to him in Hanson Acres was his free of any claims by Alta. George Jr. stated that he had received the interest in payment of a debt which George Sr. owed him in another transaction.3

Frost discussed George Jr.’s claim with George Sr.4 Both Frost and George Sr. agree on the following aspects of this discussion:

1. That George Sr. was upset and said he had to do something right away.
2. That Frost stated he would not become involved in a lawsuit brought by Alta or George Sr. against George Jr.
3. That Frost warned George Sr. that there was a possibility that George Jr.

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Disciplinary Matter Involving Frost
863 P.2d 843 (Alaska Supreme Court, 1993)

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Bluebook (online)
863 P.2d 843, 1993 WL 485271, Counsel Stack Legal Research, https://law.counselstack.com/opinion/disciplinary-matter-involving-frost-alaska-1993.