Eleanor Schiessle v. Donald E. Stephens

717 F.2d 417, 1983 U.S. App. LEXIS 16841
CourtCourt of Appeals for the Seventh Circuit
DecidedSeptember 16, 1983
Docket82-2223
StatusPublished
Cited by136 cases

This text of 717 F.2d 417 (Eleanor Schiessle v. Donald E. Stephens) is published on Counsel Stack Legal Research, covering Court of Appeals for the Seventh Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Eleanor Schiessle v. Donald E. Stephens, 717 F.2d 417, 1983 U.S. App. LEXIS 16841 (7th Cir. 1983).

Opinion

COFFEY, Circuit Judge.

The plaintiff, Eleanor Schiessle, appeals from an order of the United States District Court for the Northern District of Illinois, Eastern Division, disqualifying her co-counsel, the law firm of Ross, Hardies, O’Keefe, Babcock & Parsons in this antitrust action. The question presented for review is whether, in light of our recent pronouncements on attorney disqualification, the district court erred in its determination that disqualification was required in this case. We hold that the rebuttable presumption rule adopted by this court in Novo Terapeutisk Laboratorium, etc. v. Baxter Travenol Lab., 607 F.2d 186 (7th Cir.1979) (en banc) and Freeman v. Chicago Musical Instrument Co., 689 F.2d 715 (7th Cir.1982), and reaffirmed in LaSalle Nat. Bank v. County of Lake, 703 F.2d 252 (7th Cir.1983), is dispositive of this appeal and consequently we affirm the order of the district court. 1

I.

Eleanor Schiessle commenced this action in August of 1979 against eighteen defendants including Arthur Swanson, Carl Swanson and Paul Swanson (individually and as Arthur Swanson and Associates) alleging that various acts taken by the defendants to condemn and to redevelop property owned by the plaintiff in Rosemont, Illinois, violated, inter alia, federal antitrust law. The plaintiff retained the law firm of Ross, Hardies, O’Keefe, Babcock & Parsons (Ross) to represent her in this action, and Tobin Richter, a partner in the Ross firm, appeared on behalf of Schiessle in proceedings before the district court. On August 14, 1979, prior to an official appearance being filed on behalf of the Swansons, Michael King, at that time a partner at the Anto-now & Fink law firm, contacted Attorney Richter by phone asking that the lawsuit be dismissed as to the Swanson defendants. In a subsequent phone conversation two days later, Attorney Richter informed King that Schiessle would not dismiss the Swan-sons as defendants but offered that there was a possibility of settlement with the other defendants and that consideration would be given to taking the Swansons’ depositions at an early date. However, subsequent to the phone conversations between Attorneys Richter and King on August 30, 1979, Kenneth Lodge, of the law firm of Burke, Nash and Shea, Ltd., filed an appearance on behalf of the Swansons. Attorney Lodge remained as the Swansons’ attorney of record until October 19, 1979, when the district court granted his motion to withdraw from the case and to substitute Attorneys William Goldberg and Timothy Kocian of the Antonow & Fink firm as counsel for the defendant Swansons.

Attorney King left the Antonow & Fink law firm and joined the Ross law firm as a partner on October 1, 1979. Attorney King changed firms prior to the withdrawal of Attorney Lodge and the substitution of An-tonow & Fink as counsel for the Swanson *419 defendants. Antonow & Fink raised no objection to the Ross firm’s representation of the plaintiff Schiessle at the time Anto-now & Fink became counsel of record for the Swansons and did not object until nearly two years later. In August of 1981, Attorney Kocian of the Antonow & Fink law firm informed Richter of the Ross firm that if Schiessle refused to dismiss the Swansons as defendants, Antonow & Fink (Kocian) would inter alia, move to disqualify the Ross firm as counsel for plaintiff Schiessle on the ground that Attorney King had participated in the Swansons’ defense while at Antonow & Fink, thereby disqualifying the entire Ross firm from participating in the case on behalf of Schiessle.

The Ross firm refused to dismiss the Swansons and filed a motion with the district court in September of 1981, requesting a declaration of qualification as counsel for the plaintiff. In conjunction with that motion, the Ross firm filed affidavits of Attorneys King and Richter. In his affidavit, Attorney King averred that although he did some work on the present action on behalf of the Swansons during his affiliation with Antonow & Fink, he never filed either an appearance on behalf of the Swansons or an answer, nor did he conduct any “detailed investigation into the case.” In fact, according to King, he never met the Swan-sons. With regard to his contact with his case after he left the Antonow & Fink firm, he averred:

“Since the time I joined Ross, Hardies, I have, of course, not worked on the Schiessle case, have not filed an appearance, have not discussed the merits of the case, nor have I informed anyone of any conversations or information, if any, which occurred during my time at Anto-now & Fink. At this time, I know nothing of the merits of the case, have not worked on the case, have billed no time to Mrs. Schiessle, met Mrs. Schiessle, nor participated in any discussion of the merits of the case with her.
“Notwithstanding that I would not recognize the Swansons or Mrs. Schiessle if they walked into my office, I will continue as I have in the past to have absolutely no contact with the case.”

The Swanson defendants responded by filing a cross-motion for disqualification of the Ross firm. Attached to the Swansons’ cross-motion was an affidavit of Attorney Goldberg of the Antonow & Fink firm reciting (1) that during August and September of 1979 Michael King was the Antonow & Fink “partner in charge” of representing the Swansons in the antitrust lawsuit; (2) that on “four separate occasions [King] had conversations with Paul Swanson concerning [the] lawsuit;” and (3) that King had “numerous conferences concerning this lawsuit and the Swansons with other attorneys of Antonow & Fink.”

On June 29,1982, the district court granted the defendants’ cross-motion and disqualified the Ross firm as counsel for the plaintiff Schiessle in her action against the Swansons relying exclusively on the parties’ affidavits and without benefit of an evidentiary hearing. The district court, relying on Westinghouse Elec. Corp. v. Gulf Oil Corp., 588 F.2d 221 (7th Cir.1978), concluded that because the representation of the Swansons by Attorney King and his former firm (An-tonow & Fink) and the representation of Schiessle by the Ross firm (King’s present firm) involved the identical antitrust lawsuit, the court would irrebuttably presume that confidences were shared between King and the other members of the Ross firm. Therefore, according to the court, the Ross firm was precluded from acting as Schies-sle’s counsel in the instant action. Schiessle now appeals the district court’s order of disqualification.

II.

Questions of ethical propriety like those presented in this appeal have been addressed by this court within the past year. See, e.g., Freeman v. Chicago Musical Instrument Co.,

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Bluebook (online)
717 F.2d 417, 1983 U.S. App. LEXIS 16841, Counsel Stack Legal Research, https://law.counselstack.com/opinion/eleanor-schiessle-v-donald-e-stephens-ca7-1983.