Farrell v. Hess Oil Virgin Islands (HOVIC)

57 V.I. 50, 2012 WL 3536799, 2012 V.I. LEXIS 40
CourtSuperior Court of The Virgin Islands
DecidedAugust 6, 2012
DocketCase No. SX-04-CV-607
StatusPublished
Cited by3 cases

This text of 57 V.I. 50 (Farrell v. Hess Oil Virgin Islands (HOVIC)) is published on Counsel Stack Legal Research, covering Superior Court of The Virgin Islands primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Farrell v. Hess Oil Virgin Islands (HOVIC), 57 V.I. 50, 2012 WL 3536799, 2012 V.I. LEXIS 40 (visuper 2012).

Opinion

DONOHUE, Presiding Judge

MEMORANDUM OPINION

(August 6, 2012)

THIS MATTER is before the Court on two motions filed by Defendants, Hovic and Hess Corporation; 1) Motion to Disqualify Plaintiffs’ Counsel, Attorney Theodore Huge, Esq., and the Law Firm of Motley Rice. LLC; and 2) Motion to Disqualify Plaintiffs’ Counsel. Attorney Theodore Huge, Esq., Attorney Russell Pate Esq., and their [55]*55respective law firms Harris & Huge LLC and the Pate Law Firm.1 For the reasons stated below, the Court will deny both motions.

1. PROCEDURAL HISTORY

This matter sounds in negligence.2 In 2004, the law firm of Motley Rice LLC3 (“Motley Rice”) took on representation of the Plaintiffs in this matter. Attorney Theodore Huge Esq., (“Huge”) while an associate at the law firm of Motley Rice, contacted Attorney Lee J. Rohn (“Rohn”) and the law firm of Rohn & Associates to act as local counsel in this matter.4 Rohn agreed and subsequently filed the Complaint on October 29, 2004.5 Co-Defendant, Hess6 filed an Answer to the Complaint on January 19, 2005.7 On March 22, 2005 Huge also filed a Notice of Appearance on behalf of Plaintiffs.8 Subsequently, Hess filed a motion to disqualify Rohn [56]*56from representing Plaintiffs in this matter.9 This Court found that under the law10 given the factual history of this matter and Rohn’s prior representation of Hess in toxic tort litigation cases she was disqualified from representing Plaintiffs in this matter.11 Prior to the issuance of the order disqualifying Rohn, Hess filed a motion to disqualify Huge and the firm of Motley Rice. While this motion was still pending, Huge left Motley Rice and started his own law firm, Harris & Huge. Motley Rice withdrew as counsel for Plaintiffs.12 Plaintiffs retained Huge after he left Motley Rice. Huge refiled a Notice of Appearance on behalf of Harris & Huge on August 16, 2010.13 Later, Huge contacted Attorney J. Russell Pate (“Pate”) in 2011 and asked if Pate on behalf of his law firm, the Pate Law Firm, would also act as local counsel in this matter. Pate agreed and filed a Notice of Appearance on March 30, 2011.14 Subsequently, on June 21, 2011 Hess filed a motion to disqualify Pate and the Pate Law Firm and Huge and the firm of Harris & Huge.15 Shortly afterward. Pate filed a Notice of Deposition of Plaintiff Arnold Anthony.16 In reaction, Hess filed a motion for emergency protective order, requesting that the Court prevent any depositions in light of the motion to disqualify Plaintiffs’ counsel before the Court.17 The Court granted the order on Nov. 29, 2011.18 Both Huge and Pate opposed disqualification,19 Subsequently, on [57]*57May 31, 2012 the Court held an evidentiary hearing on the instant motions.20

II. STANDARD

The Court is tasked with supervising the conduct of attorneys that appear before it; and has inherent power to disqualify any attorney if it finds such action is warranted.21 It is at the Court’s discretion to determine whether disqualification is warranted.22 Although “doubts are to be resolved in favor of disqualification, the party seeking disqualification must carry a heavy burden and must meet a high standard of proof before a lawyer is disqualified.”23 Hess contends that Rohn’s disqualification must be imputed to Huge and Pate and their respective law firms. The imputation of conflicts of interest to affiliated lawyers guards against the reality that where a lawyer’s relationship with a client “creates an incentive to violate an obligation to another client” an affiliated attorney may have a similar incentive.24 Further, lawyers who qualify as affiliated or associated might have access to confidential files or information 25 This is why the imputation of a conflict of interest is an essential tool in reducing the compromising of confidential client information amongst affiliated lawyers.26 However, policy considerations, including the right of the client to choose an attorney and [58]*58the ability of attorneys to move between firms cautions courts against extending imputation further than necessary.27

The Court of Appeals for the Third Circuit has laid out several factors a court must review in deciding a motion to disqualify counsel; 1) the former client’s interest in attorney loyalty; 2) the current client’s interest in retaining [chosen counsel]; 3) the risk of prejudice to the current client; and 4) the court’s interest in protecting the integrity of the proceedings and maintaining public confidence in the judicial system.28 A court “ ‘should disqualify . . . only when it determines on facts of the particular case, that disqualification is an appropriate means of enforcing the applicable disciplinary rule’ ”29 In the Virgin Islands, the conduct of attorneys is guided by the American Bar Association Model Rules of Professional Conduct [“MRPC”]30

III. DISCUSSION

A. Huge and the Law Firm of Harris & Huge

As stated earlier. Motley Rice initially l'epresented Plaintiffs. While an associate at Motley Rice, Huge contacted Rohn and asked her to act as local counsel in this matter. Subsequently, Huge left Motley Rice and started the law firm of Harris & Huge. Plaintiffs retained Huge as their attorney. Hess first motioned to impute disqualification on the law firm of Motley Rice and Huge. As Motley Rice has withdrawn from representation of Plaintiffs, disqualification of Motley Rice is moot.31 After Huge left Motley Rice and started his own law firm, Hess’ filed a new motion to disqualify Huge, which urges the Court to impute Rohn’s disqualification on to Huge and the law firm of Harris & Huge. The imputation rules apply when deciding whether to disqualify an associated [59]*59attorney.32 Thus, Rule 1.10(a) guides the Court in this matter. MRPC 1.10(a) states in pertinent part,

While lawyers are associated in a firm, none of them shall knowingly represent a client when any one of them practicing alone would be prohibited from doing so by Rules 1.7 or 1.9 .. 33

“Whether a lawyer’s disqualification will be imputed to other lawyers with whom she works depends first of all upon why she was disqualified.”34 Only if MRPC 1.7 or 1.9 compels disqualification, will it be imputed under 1.10.35 Typically, courts confronted with similar allegations first determine whether the attorney formerly associated with the adverse party is disqualified under 1.936 which governs the disqualification of an attorney based on her former firm’s representation of a client.37

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Bluebook (online)
57 V.I. 50, 2012 WL 3536799, 2012 V.I. LEXIS 40, Counsel Stack Legal Research, https://law.counselstack.com/opinion/farrell-v-hess-oil-virgin-islands-hovic-visuper-2012.