Foley-Ciccantelli v. Bishop's Grove Condominium Ass'n
This text of 2011 WI 36 (Foley-Ciccantelli v. Bishop's Grove Condominium Ass'n) is published on Counsel Stack Legal Research, covering Wisconsin Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.
Opinions
SHIRLEY S. ABRAHAMSON, C.J.
¶ 1. This is an appeal from an order of the Circuit Court for Waukesha [409]*409County, Kathryn W. Foster, Judge, on certification by the court of appeals pursuant to Wis. Stat. § 809.61 (2007-08).1
¶ 2. The circuit court granted the motion of Bishop's Grove Condominium Association, Inc., the defendant, to disqualify the attorney representing Susan Foley-Ciccantelli and Dr. Mark J. Ciccantelli, the plaintiffs, in their personal injury slip-and-fall action against the defendant.2 The motion made no allegation of unethical conduct. The circuit court concluded that the plaintiffs' law firm did not engage in any unethical conduct of any kind. The instant case is not a determination of unethical conduct. Violations of the Code of Professional Conduct are determined only by means of disciplinary action. This is a disqualification proceeding, not a disciplinary proceeding.
¶ 3. The circuit court determined, however, that the attorney's law firm had previously represented Bishop's Grove's exclusive property manager, the Foster Group, Ltd., and Wayne Foster, the principal in the Foster Group; that the attorney had communicated with Wayne Foster in regard to the present case; and that the attorney's representation of the plaintiffs in the present case created an appearance of impropriety.
¶ 4. The court of appeals certified two questions. The first addresses whether Bishop's Grove has standing to bring a motion to disqualify plaintiffs' attorney:
[410]*410(1) Does a non-client party (Bishop's Grove) have standing in a civil action to move for the disqualification of the opposing party's attorney3 based on that attorney's prior representation of a non-party (The Foster Group and Wayne Foster)?4
¶ 5. There is no single longstanding or uniform test to determine standing in the case law. Courts have inconsistently used a variety of terminologies as tests for standing. Therefore, as a prerequisite to answering the first question, we review the law of standing. Upon careful analysis of the case law, it is clear that the essence of the determination of standing is: (1) whether the party whose standing is challenged has a personal interest in the controversy (sometimes referred to in the case law as a "personal stake" in the controversy); (2) whether the interest of the party whose standing is challenged will be injured, that is, adversely affected; and (3) whether judicial policy calls for protecting the interest of the party whose standing has been challenged.
¶ 6. These three aspects of standing do not necessarily eliminate the various tests that have been applied in administrative review cases, in constitutional law cases, and in declaratory judgment cases. These various tests, while at times inconsistently used by courts, when appropriately used in particular types of cases are tools for determining personal interest, adverse effect, and [411]*411judicial policy, the three essential aspects of standing. When a statute, rule, or constitutional provision is at issue, a court determines these three aspects of standing by examining the facts to determine whether an injured interest exists that falls within the ambit of the statute, rule, or constitutional provision involved that judicial policy calls for protecting. When no statute, rule, or constitutional provision directly governs the standing analysis, a court determines these three aspects of standing by examining the facts to determine whether an injured interest exists that falls within the ambit of relevant legal principles that judicial policy calls for protecting. The present case falls within the latter group of cases.
¶ 7. We address the first question relating to standing in light of our analysis of the standing cases. We conclude that as a general rule only a former or current client has standing to move to disqualify an attorney from representing someone else in a civil action. Nevertheless, a non-client party may establish standing, that is, may establish that a personal interest in the controversy is adversely affected and that judicial policy calls for protection of that interest, when the prior representation is so connected with the current litigation that the prior representation is likely to affect the just and lawful determination of the non-client party's position.
¶ 8. We conclude that Bishop's Grove, the non-client defendant, has standing to move to disqualify opposing counsel. Bishop's Grove has shown that the plaintiffs' attorney's prior representation of the Foster Group and Wayne Foster is so connected with the current litigation that the prior representation is likely to [412]*412affect the just and lawful determination of Bishop's Grove's position.5
¶ 9. Because we conclude Bishop's Grove has standing to bring a motion for disqualification in the present case, we next address the second question presented:
(2) Did the circuit court err as a matter of law in applying an "appearance of impropriety" standard in deciding the motion for disqualification? If so, what is the correct standard?
¶ 10. In answer to this question, we conclude that the circuit court applied an incorrect standard of law in disqualifying the plaintiffs' attorney, namely, disqualifying the plaintiffs' attorney on the basis of an "appearance of impropriety."
¶ 11. The appropriate standard a circuit court applies to determine a motion for disqualification of counsel based on an attorney's duty to a former client is guided by SCR 20:1.9. A circuit court must determine: (1) whether there was an attorney/client relationship between counsel and the former client and whether it is over; (2) whether the subsequent representation involves the same or a substantially related matter as the former representation; (3) whether the interests of the subsequent client are materially adverse to those of the former client; and (4) whether the former client consented to the new representation.
[413]*413¶ 12. In the present case, it is necessary to determine whether the current and former representations involve a substantially related matter and whether the interests of the plaintiffs are materially adverse to those of the former clients, the Foster Group and Wayne Foster.
¶ 13. Given the paucity of facts in the affidavits in the record relating to the attorney's prior representation of the Foster Group and Wayne Foster, we are unable to determine whether the two representations involve substantially related matters and whether the interests of the plaintiffs are materially adverse to the former clients' interests.
¶ 14. Therefore, we cannot determine from the record before us whether the circuit court's order disqualifying the plaintiffs' attorney is erroneous when applying the correct standard. Accordingly, we reverse the order of the circuit court disqualifying the plaintiffs' attorney and remand the matter to the circuit court for such further proceedings as the circuit court determines are appropriate to resolve the question presented.
I
¶ 15. The factual background presented in this appeal can be simply stated.
¶ 16.
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SHIRLEY S. ABRAHAMSON, C.J.
¶ 1. This is an appeal from an order of the Circuit Court for Waukesha [409]*409County, Kathryn W. Foster, Judge, on certification by the court of appeals pursuant to Wis. Stat. § 809.61 (2007-08).1
¶ 2. The circuit court granted the motion of Bishop's Grove Condominium Association, Inc., the defendant, to disqualify the attorney representing Susan Foley-Ciccantelli and Dr. Mark J. Ciccantelli, the plaintiffs, in their personal injury slip-and-fall action against the defendant.2 The motion made no allegation of unethical conduct. The circuit court concluded that the plaintiffs' law firm did not engage in any unethical conduct of any kind. The instant case is not a determination of unethical conduct. Violations of the Code of Professional Conduct are determined only by means of disciplinary action. This is a disqualification proceeding, not a disciplinary proceeding.
¶ 3. The circuit court determined, however, that the attorney's law firm had previously represented Bishop's Grove's exclusive property manager, the Foster Group, Ltd., and Wayne Foster, the principal in the Foster Group; that the attorney had communicated with Wayne Foster in regard to the present case; and that the attorney's representation of the plaintiffs in the present case created an appearance of impropriety.
¶ 4. The court of appeals certified two questions. The first addresses whether Bishop's Grove has standing to bring a motion to disqualify plaintiffs' attorney:
[410]*410(1) Does a non-client party (Bishop's Grove) have standing in a civil action to move for the disqualification of the opposing party's attorney3 based on that attorney's prior representation of a non-party (The Foster Group and Wayne Foster)?4
¶ 5. There is no single longstanding or uniform test to determine standing in the case law. Courts have inconsistently used a variety of terminologies as tests for standing. Therefore, as a prerequisite to answering the first question, we review the law of standing. Upon careful analysis of the case law, it is clear that the essence of the determination of standing is: (1) whether the party whose standing is challenged has a personal interest in the controversy (sometimes referred to in the case law as a "personal stake" in the controversy); (2) whether the interest of the party whose standing is challenged will be injured, that is, adversely affected; and (3) whether judicial policy calls for protecting the interest of the party whose standing has been challenged.
¶ 6. These three aspects of standing do not necessarily eliminate the various tests that have been applied in administrative review cases, in constitutional law cases, and in declaratory judgment cases. These various tests, while at times inconsistently used by courts, when appropriately used in particular types of cases are tools for determining personal interest, adverse effect, and [411]*411judicial policy, the three essential aspects of standing. When a statute, rule, or constitutional provision is at issue, a court determines these three aspects of standing by examining the facts to determine whether an injured interest exists that falls within the ambit of the statute, rule, or constitutional provision involved that judicial policy calls for protecting. When no statute, rule, or constitutional provision directly governs the standing analysis, a court determines these three aspects of standing by examining the facts to determine whether an injured interest exists that falls within the ambit of relevant legal principles that judicial policy calls for protecting. The present case falls within the latter group of cases.
¶ 7. We address the first question relating to standing in light of our analysis of the standing cases. We conclude that as a general rule only a former or current client has standing to move to disqualify an attorney from representing someone else in a civil action. Nevertheless, a non-client party may establish standing, that is, may establish that a personal interest in the controversy is adversely affected and that judicial policy calls for protection of that interest, when the prior representation is so connected with the current litigation that the prior representation is likely to affect the just and lawful determination of the non-client party's position.
¶ 8. We conclude that Bishop's Grove, the non-client defendant, has standing to move to disqualify opposing counsel. Bishop's Grove has shown that the plaintiffs' attorney's prior representation of the Foster Group and Wayne Foster is so connected with the current litigation that the prior representation is likely to [412]*412affect the just and lawful determination of Bishop's Grove's position.5
¶ 9. Because we conclude Bishop's Grove has standing to bring a motion for disqualification in the present case, we next address the second question presented:
(2) Did the circuit court err as a matter of law in applying an "appearance of impropriety" standard in deciding the motion for disqualification? If so, what is the correct standard?
¶ 10. In answer to this question, we conclude that the circuit court applied an incorrect standard of law in disqualifying the plaintiffs' attorney, namely, disqualifying the plaintiffs' attorney on the basis of an "appearance of impropriety."
¶ 11. The appropriate standard a circuit court applies to determine a motion for disqualification of counsel based on an attorney's duty to a former client is guided by SCR 20:1.9. A circuit court must determine: (1) whether there was an attorney/client relationship between counsel and the former client and whether it is over; (2) whether the subsequent representation involves the same or a substantially related matter as the former representation; (3) whether the interests of the subsequent client are materially adverse to those of the former client; and (4) whether the former client consented to the new representation.
[413]*413¶ 12. In the present case, it is necessary to determine whether the current and former representations involve a substantially related matter and whether the interests of the plaintiffs are materially adverse to those of the former clients, the Foster Group and Wayne Foster.
¶ 13. Given the paucity of facts in the affidavits in the record relating to the attorney's prior representation of the Foster Group and Wayne Foster, we are unable to determine whether the two representations involve substantially related matters and whether the interests of the plaintiffs are materially adverse to the former clients' interests.
¶ 14. Therefore, we cannot determine from the record before us whether the circuit court's order disqualifying the plaintiffs' attorney is erroneous when applying the correct standard. Accordingly, we reverse the order of the circuit court disqualifying the plaintiffs' attorney and remand the matter to the circuit court for such further proceedings as the circuit court determines are appropriate to resolve the question presented.
I
¶ 15. The factual background presented in this appeal can be simply stated.
¶ 16. The plaintiffs purchased a condominium from Bishop's Grove on or about February 1, 2007. Thereafter, the plaintiffs, by their attorney, Timothy J. Andringa of Cramer, Multhauf & Hammes, LLP, brought a personal injury action against Bishop's Grove and Bishop's Grove's insurer, State Farm Fire & Casualty Co., stemming from the plaintiffs' "slip-and-fall" injury on February 6, 2007, at Bishop's Grove's condo[414]*414minium complex. The allegation in the complaint is that the slip and fall occurred on common property owned by Bishop's Grove at an accumulation of ice resulting from negligently maintained rain gutters.
¶ 17. The Foster Group is "the exclusive managing agent" under a management agreement between Bishop's Grove and the Foster Group (a copy of which is in the record). Under the management agreement, the Foster Group is to, inter alia, "cause the buildings, appurtenances, and grounds of the condominium to be maintained according to the standards acceptable to the association."
¶ 18. According to the plaintiffs, Bishop's Grove's liability in the slip-and-fall case might arise from the acts or omissions of the Foster Group in maintaining the common property at Bishop's Grove.
¶ 19. Neither Wayne Foster nor the Foster Group is a party in the slip-and-fall action. However, the plaintiffs and Bishop's Grove view Wayne Foster as a likely witness in the slip-and-fall case. The Foster Group, as real estate property manager, is an insured under State Farm's comprehensive business liability policy issued to Bishop's Grove. The same defense counsel in this slip-and-fall case represents Bishop's Grove and the insurance company.6
¶ 20. Bishop's Grove's counsel filed a motion for disqualification of plaintiffs' attorney upon learning that the Foster Group and Wayne Foster had been [415]*415represented by the plaintiffs' attorney's law firm (the Cramer firm) in the past. The plaintiffs and Bishop's Grove submitted affidavits and briefs in support of their respective positions on the motion for disqualification.
¶ 21. Wayne Foster's affidavit describes the relationship between the Cramer firm and the Foster Group and himself as follows:
3) Peter Plaushines [an attorney with the Cramer firm] has represented the Foster Group Ltd. for over fifteen years.
4) Peter Plaushines has represented me as the principal of Foster Group, Ltd. for a variety of business matters.
5) Most of Peter Plaushinesf] representation of Foster Group, Ltd. has involved real estate or real estate development.
6) Peter Plaushines was counsel for Foster Group, Ltd. development of the Ruffs Preserve subdivision and the Water's Edge Condominium on Lake Nagawicka development, among others.
7) Peter Plaushines defended Foster Group in the law suit of Gulseth vs. Cousel, 2004 CV-1286, Washington County, which ended in about the year 2006 and also involved another land development called Island View.
8) Peter Plaushines has, as Fosters [sic] Group's attorney, drafted condominium documents and provided advice and counsel regarding all aspects of condominium development in prior years....
¶ 22. Nothing in the record demonstrates that either Wayne Foster or the Foster Group has consented to the Cramer firm's representation of the plaintiffs. Nowhere in the record does Wayne Foster explicitly [416]*416object to the Cramer firm's representation of the plaintiffs. Wayne Foster's affidavit is, however, attached to Bishop's Grove's motion to disqualify the plaintiffs' counsel.
¶ 23. The affidavit of Attorney Peter Plaushines of the Cramer firm states that to the best of his knowledge he did not receive confidential information from Wayne Foster regarding the subject matter of the current slip-and-fall representation; that he did not represent Wayne Foster or the Foster Group in any matters involving Bishop's Grove, Inc.; and that he did not receive any confidential information from Wayne Foster or the Foster Group relating to Bishop's Grove.
¶ 24. Attorney Timothy G. Andringa of the Cramer firm filed an affidavit averring that prior to representing the plaintiffs, the firm ran a conflict of interest check against Bishop's Grove; that the firm has never represented Bishop's Grove; and that the firm did not represent Bishop's Grove or the Foster Group with respect to any management agreement involving Bishop's Grove. According to the affidavit, the slip-and-fall action involves neither real estate development nor contractual issues of property management, and the Cramer firm's prior representation of the Foster Group has "no relationship of any kind to the current personal injury case."7
¶ 25. At the hearing on the disqualification motion, Bishop's Grove argued that the Cramer firm had a long-term relationship and familiarity with the Foster [417]*417Group, which gave the plaintiffs' counsel an unfair advantage in the present case.
¶ 26. Following arguments on the disqualification motion, the circuit court did not make any findings of fact. The circuit court ordered the plaintiffs' attorney disqualified, balancing the plaintiffs' right to retain counsel of their choosing with the "appearance of impropriety" caused by the Cramer firm's prior representation of the Foster Group and Wayne Foster, all in light of plaintiffs' attorney's two communications with Wayne Foster in connection with the current litigation, which we discuss later.
¶ 27. No evidentiary hearing was held to determine whether the Cramer firm's previous representations of the Foster Group or Wayne Foster were substantially related to the subject matter of the slip-and-fall action or whether the plaintiffs' interests were materially adverse to those of the former clients.
II
¶ 28. We turn first to the question whether Bishop's Grove, a party in the case but not a former client of the plaintiffs' counsel, has standing in a civil action to move for the disqualification of the plaintiffs' counsel, based on the plaintiffs' counsel's prior representation of non-parties.
¶ 29. The question whether Bishop's Grove has standing to move for the disqualification is a question of law that this court determines independently of the circuit court but benefiting from its analysis.8
[418]*418A
¶ 30. The parties' briefs on the standing issue are relatively cursory. Bishop's Grove relies predominantly on case law establishing that Wisconsin courts liberally construe standing.9
¶ 31. The plaintiffs essentially rely on two cases (with facts different from the present case) relating to a lawyer's conflict of interest to persuade the court that Bishop's Grove has no standing under the facts of the present case. The two cases are Forecki v. Kohlberg, 237 Wis. 67, 295 N.W 7 (1940), and In Matter of Disciplinary Proceedings Against Marine, 82 Wis. 2d 602, 264 N.W.2d 285 (1978).
¶ 32. Forecki, upon which the plaintiffs and Justice Roggensack's concurrence rely, is an appeal of a jury verdict. The defendants in Forecki objected to opposing counsel's potential breach of duty to an adversarial party. The defendants alleged that the plaintiffs were adverse to each other and therefore that the circuit court erred in permitting the plaintiffs' counsel to represent both plaintiffs.
¶ 33. The Forecki court concluded that the defendants had no right to attack the verdict on these grounds.10
¶ 34. The Forecki court quoted 7 C.J.S., Attorney and Client, 827, § 47 for the proposition that "[o]nly a party who sustains a relation of client to an attorney . . . may be entitled to object to [a current] representa[419]*419tion."11 The court also ruled that the plaintiffs were "both intelligent and experienced business men" who made no objections to their representation.12 Further, upon review of the record, and relying on Canon 6 of the Professional Ethics of the American Bar Association, the court determined that "there was in fact no conflict of interests upon which defendants' objections on that ground could have been sustained."13
¶ 35. In the second case upon which the plaintiffs rely, the Marine disciplinary action, the court cited Forecki for the principle that "only the client, and not third persons, has standing to complain of an attorney's representation while adversely interested."14 Otherwise, the Marine case offers no insight into the present case.
¶ 36. These two cases do not answer the standing question posed in the present case. They do not present the fact situation of the instant case. We conclude that the question of standing of a non-client party in a civil action to move for the disqualification of the opposing party's attorney is one of first impression in Wisconsin.
B
¶ 37. We have undertaken a more exhaustive review of the law of standing than presented by the parties. Three teachings emerge from the standing cases:
[420]*420¶ 38. One: Standing in Wisconsin is not to be construed narrowly or restrictively, but rather should be construed liberally.15
¶ 39. Two: Cases have used a variety of tests to determine whether the party challenged has standing. No single longstanding or uniform test for standing appears in the case law. The terminology used in standing cases often turns on the nature of the case, but even in the same category of cases, the terminology for the test for standing or the application of the test is not consistent. In stating the test for standing, the cases have not paid close attention to the factual or legal distinctions among the cases. Two recent court of appeals cases have acknowledged the lack of uniformity in the case law on standing.16 The court of appeals has explained:
The formulation for analyzing the issue of standing has varied somewhat in the case law, in part depending on the nature of the claim asserted. The parties each use a somewhat different formulation in their arguments.
[421]*421Chenequa Land Conservancy, Inc. v. Vill. of Hartland, 2004 WI App 144, ¶ 13, 275 Wis. 2d 533, 685 N.W.2d 573.
¶ 40. Three: On careful analysis of the cases, it is clear that the basic thrust of all the cases, the essence of the determination of standing, regardless of the nature of the case and the particular terminology used in the test for standing, is that standing depends on (1) whether the party whose standing is challenged has a personal interest in the controversy (sometimes referred to in the case law as a "personal stake" in the controversy); (2) whether the interest of the party whose standing is challenged will be injured, that is, adversely affected;17 and (3) whether judicial policy [422]*422calls for protecting the interest of the party whose standing is challenged.18
[423]*423¶ 41. These three aspects of standing were aptly summarized in Wisconsin's Environmental Decade, Inc. v. Public Service Commission, 69 Wis. 2d 1, 13, 230 N.W.2d 243 (1974), an administrative review case, as follows:
The only problems about standing should be what interests deserve protection against injury, and what should be enough to constitute an injury. Whether interests deserve legal protection depends upon whether they are sufficiently significant and whether good policy calls for protecting them or for denying them protection.19
c
¶ 42. The terminology used to analyze these three aspects of standing, the personal interest, the adverse effect, and judicial policy, has often depended on the nature of the case, although the decisions do not always make this point clearly. Indeed, the decisions often select the terminology used in the test for standing [424]*424without carefully analyzing the nature of the case from which the terminology is derived. Justice Roggensack's concurrence offers a good illustration of this point. It pulls out the "legally protectable interest" language from Fox v. Wis. Department of Health and Social Services, 112 Wis. 2d 514, 524, 334 N.W.2d 532 (1983), but fails to acknowledge that the court in Fox established this language explicitly for administrative law review cases.20
¶ 43. In cases that involve an administrative rule or decision, as well as cases that raise a constitutional challenge to executive or legislative action or cases initiated as declaratory judgment actions, the decisions most often examine and interpret a particular statute or constitutional provision at issue in the case to determine whether the party has standing. Thus, these cases often refer to "legally protectable interests." This phrase or a similar phrase means interests protected by a statute or constitutional provision at issue.
¶ 44. For example, in cases involving review of a rule or decision of an administrative agency, courts have interpreted standing in light of the substantive statutes and regulations at issue and the text of chapter 227. Chapter 227 governs administrative procedure and review and speaks in terms of review by "persons aggrieved" and persons "directly affected."
¶ 45. In Fox the personal interest, the adverse effect, and the judicial policy aspects of standing were set forth as follows:
This court has established a two-part analysis, similar to the federal test, for determining whether parties seeking to challenge an administrative rule have standing. The first step is to determine "whether the decision [425]*425of the agency directly causes injury to the interest of the petitioner. The second step is to determine whether the interest asserted is recognized by law" (citations omitted; emphasis added).
Fox v. DHSS, 112 Wis. 2d 514, 524, 334 N.W.2d 532 (1983) (citing Wisconsin's Envtl. Decade, Inc. v. Pub. Serv. Comm'n of Wis., 69 Wis. 2d 1, 9, 230 N.W.2d 243 (1975)).21 The Fox opinion describes the second step as not only "whether the interest asserted is recognized by law" but also as whether the injury is to a "legally protected interest."22 Thus, a legally protected interest in Fox is an interest recognized by law.
¶ 46. In contrast to the administrative review cases, in Wisconsin cases involving a constitutional challenge to legislative or executive action, to determine the personal interest, the adverse effect, and the judicial policy aspects of standing, the decisions frequently rely on language from federal cases governing standing in constitutional challenges.23 Thus in State ex [426]*426rel. First National Bank of Wisconsin Rapids v. M&I Peoples Bank of Coloma, 95 Wis. 2d 303, 308, 290 N.W.2d 321 (1980), relying on federal cases, the court described the standing question as two-fold: is there an injury and does the constitutional provision on which the claim rests grant the party whose standing is challenged a right to judicial relief. The court explained the standing inquiry as follows:
Whether the plaintiff himself has suffered "some threatened or actual injury resulting from the putatively illegal action"... and "whether the constitutional... provision on which the claim rests properly can be understood as granting persons in the plaintiffs position a right to judicial relief' (citations omitted).24
[427]*427¶ 47. In declaratory judgment actions governed by Wis. Stat. § 806.04, one component of justiciability under the declaratory judgment statute is that the complainant "must have a legal interest in the controversy — that is to say, a legally protectible interest."
¶ 48. In City of Madison v. Town of Fitchburg, 112 Wis. 2d 224, 228, 332 N.W.2d 782 (1983), a declaratory judgment action, the issue was whether the City of Madison had standing to challenge an incorporation proceeding under Wis. Stat. § 60.81 (1981). Standing did not turn directly on a statute. Section 60.81 was silent regarding standing to challenge incorporation. [428]*428City of Madison, 112 Wis. 2d at 228. The court determined the three aspects of standing by evaluating the facts and relevant legal principles. City of Madison, 112 Wis. 2d at 230-31. Accordingly, the court decided that the City of Madison had a personal interest in the outcome of the controversy that was adversely affected by the proceeding. City of Madison, 112 Wis. 2d at 231.27 The court then concluded that the City of Madison had standing to advance its claim. City of Madison, 112 Wis. 2d at 231-32.
¶ 49. Many declaratory judgment cases do, however, involve interpretation of a statute or declaration of constitutionality.28 Recently, in Chenequa Land Conservancy, Inc. v. Village of Hartland, 2004 WI App 144, ¶¶ 10-16, 275 Wis. 2d 533, 685 N.W.2d 573, a declaratory judgment/standing case, the complainant alleged [429]*429that a conveyance violated a statutory requirement. The court of appeals decided the standing of the party by determining whether the party suffered an actual or threatened injury and whether the interest injured "is legally protectible, meaning that the interest is arguably within the zone of interests" that the statute at issue seeks to protect. Chenequa, 275 Wis. 2d 533, ¶ 16; see also id., ¶ 15.
¶ 50. Chenequa is an example of a recent court of appeals decision pointing out the confusing use of different terminologies in the test for standing and pondering their differences. Chenequa, 275 Wis. 2d 533, ¶ 13; see also Metro. Builders Ass'n of Greater Milwaukee v. Vill. of Germantown, 2005 WI App 103, ¶ 20, 282 Wis. 2d 458, 698 N.W.2d 301.
¶ 51. In Chenequa, the court of appeals acknowledged that in some declaratory judgment cases the court analyzed standing applying a "logical nexus" requirement. Under the logical nexus requirement, the party whose standing is challenged must have suffered an actual or threatened injury and there must be a logical link between that party's status and the claim sought to be adjudicated. The court of appeals queried whether the "logical nexus" requirement in declaratory judgment cases differs from the formulation of standing used in appeals from administrative agency decisions. In the latter cases, the party whose standing is challenged must suffer an "injury in fact and the interest injured must be one protected by law, that is, arguably within the zone of interests to be protected or regulated by the statute or constitutional provision in question."29
¶ 52. In Chenequa, the court of appeals viewed the "logical nexus" terminology about standing from [430]*430declaratory judgment cases and the "zone of interest" terminology about standing from administrative law cases as "essentially equivalent." Chenequa, 275 Wis. 2d 533, ¶ 16.
¶ 53. After the Chenequa decision, the parties in Metropolitan Builders Association of Greater Milwaukee v. Village of Germantown, 2005 WI App 103, 282 Wis. 2d 458, 698 N.W.2d 301, debated the significance of Chenequa and the different terminologies used in the test for standing. In Metropolitan Builders, the court of appeals declared that the differences in the terminology for determining standing in administrative review cases such as Wisconsin's Environmental Decade and declaratory judgment cases such as Chenequa are "purely semantic." Metropolitan Builders Ass'n, 282 Wis. 2d 458, ¶ 20. But the differences in terminology used in the test for standing have never been adequately explained in the cases. We agree with the observation of the court of appeals in Chenequa: "Generally, in prior cases we have either concluded there was no injury, and thus there was no need to analyze whether there was a 'legally protectible' interest that was injured or threatened with injury, ... or, without specifically discussing the meaning of 'legally protectible,' we have analyzed the relevant constitutional provision or statute." Chenequa, 275 Wis. 2d 533, ¶ 16 n.8 (citations omitted).
¶ 54. The case law can be better understood (even though there are inconsistencies in terminology) upon a careful analysis of the nature of each case. In all three types of cases discussed above — administrative law review, constitutional challenges, and declaratory judgments — substantive statutory or constitutional provisions are at issue and govern standing. The es[431]*431sence of the question of standing in these cases (that is, the essence of determining personal interest, adverse effect, and judicial policy, the three aspects of standing) is whether there is an injury and whether the injured interest of the party whose standing is challenged falls within the ambit of the statute or constitutional provision involved.
¶ 55. In other words, the question is whether the party's asserted injury is to an interest protected by a statutory or constitutional provision. Contrary to the assertions in Justice Roggensack's concurrence, our delineating the essence of this court's standing analyses does not necessarily eliminate the two-part test established in Fox, 112 Wis. 2d at 524, which is applicable to administrative review cases, or the two-fold analysis described in First National Bank, 95 Wis. 2d at 308, applicable to actions based in the constitution, or the justiciability analysis established by Loy v. Bunderson, 107 Wis. 2d 400, 410, 320 N.W.2d 175 (1982). These "tests," while at times inconsistently used by courts, when appropriately used are tools for determining personal interest, adverse effect, and judicial policy, the three essential aspects of standing. In these cases a court decides standing by examining the facts and interpreting a statute, rule, or constitutional provision at issue.30
¶ 56. In other cases, such as the present case and several cases cited in the margin at notes 17 and 27, no statute or constitutional provision is viewed as directly governing the standing analysis. No statute or constitutional provision expressly relates to or protects the interest asserted by the party whose standing is chal[432]*432lenged. Therefore that party's personal interest does not necessarily involve a "legally protectable interest," as that phrase is used in the case law to mean "an interest within the zone of interests protected by a statute or constitution." Instead, in such cases, a court determines whether the asserted interest of the party whose standing is challenged is to be recognized by the court on the basis of the facts and relevant legal principles.
¶ 57. Declaring that the party has a legally protectable interest is the legal conclusion a court reaches after examining the interests involved, applicable statutes, constitutional provisions, rules, and relevant common law principles.31
D
¶ 58. We now turn to the standing question presented in the instant case, in which no statutory or constitutional provision is directly at issue.
¶ 59. A non-client party's standing to seek disqualification of an opposing party's attorney on the ground that the current representation may breach a duty to a non-party former client is one of first impression in Wisconsin. This issue requires the court to [433]*433determine whether under the facts and relevant legal principles Bishop's Grove has a personal interest in the controversy; whether Bishop's Grove's interest will be adversely affected; and whether judicial policy calls for protecting Bishop's Grove's interest.
¶ 60. In Wisconsin former clients have standing to object to their former attorney's representation of someone else. The former client is protecting the duties the attorney owes to the client.32
¶ 61. When a non-client party moves for disqualification of opposing counsel who has represented a non-party former client, the non-client party is urging that the duties owed to a non-party former client be enforced because the prior representation is so connected with the current litigation that the prior representation is likely to affect the just and lawful determination of the non-client party's position. Thus, in the present case, in moving for disqualification of the plaintiffs' attorney, Bishop's Grove is urging that the duties the plaintiffs' counsel owes to the Foster Group and Wayne Foster be enforced because the prior representation is so connected with the current litigation that the prior representation is likely to affect the just and lawful determination of Bishop's Grove's position.
[434]*434¶ 62. Ordinarily, the "doctrine of standing prohibits a litigant from raising another's legal rights."33 Jurisdictions have divided, however, on whether a non-client party has standing to assert the duties owed to a non-party former client.
¶ 63. Some jurisdictions adhere to a strict rule that a non-client party does not have standing to move to disqualify an attorney.34 These jurisdictions conclude that only a client or former client has standing to seek disqualification of its attorney.35 This strict position seems contrary to the general doctrine in Wisconsin law that standing is generally not construed narrowly or restrictively but rather broadly in favor of those seeking access to the courts.36
¶ 64. Furthermore, this strict position does not seem appropriate in Wisconsin, in which direct actions against insurance companies are allowed. Under Wis. Stat. § 632.24, a plaintiff may bring a direct action against an insurance company without naming the in[435]*435sured as a party.37 Adhering to the strict standing rule in this context would be too restrictive. An insurance company sued under the direct action statute would be prohibited as a non-client party defendant from bringing a motion to disqualify opposing counsel on the basis of counsel's prior representation of the insurance company's insured. Such a rule of standing would be too restrictive. Yet, the insurance company has a personal interest in the litigation that is adversely affected when the insurance company's insured (who is not a named party) is a former client of the complaining party's attorney.
¶ 65. Reasons often cited for prohibiting a non-client party from seeking disqualification of an opposing party's counsel are that an attorney's duties a to client are designed to protect the client, not other persons;38 that disqualification motions might be used abusively as a litigation tactic and this should be discouraged;39 and that the rules of professional conduct are to be enforced through disciplinary agencies, not to be used as procedural weapons in civil actions.
[436]*436¶ 66. At the other end of the spectrum, a minority of jurisdictions concludes that a non-client party has standing to move to disqualify opposing counsel.40 These courts rely in part on a "court's well recognized power to control the conduct of attorneys practicing before it."41 This expansive standing rule is also based on an attorney's obligation to report violations of rules of professional conduct.42
¶ 67. This broad view of standing might open the door to numerous motions to disqualify and might enable parties to misuse the motion as a procedural weapon to obtain delay and increase the opposing parties' costs. On the other hand, a bright-line rule barring a non-client's standing may encourage a party to strategically refuse to name a former client as a party although in proving the case counsel must necessarily implicate the former client.
¶ 68. A third group of jurisdictions seems to take a middle position.43 In these courts, the general rule is [437]*437that a non-client party cannot move to disqualify opposing counsel on the ground that the current representation may be a breach of duties owed to the former client. Narrow exceptions to the general rule, however, are recognized.44
¶ 69. We are persuaded that a middle course represents a good balance of conflicting goals and is in keeping with our law broadly recognizing standing "as a matter of sound judicial policy." The middle course avoids the pitfalls of a rule that a non-client party has no standing to move to disqualify opposing counsel and a rule that every non-client party has standing. The middle course recognizes that a rule of professional conduct "does not imply that an antagonist in a collateral proceeding or transaction has standing to seek enforcement of the rule;"45 that rules of professional conduct "can be subverted when they are invoked by opposing parties as procedural weapons;"46 and that a non-client party does not generally have standing to enforce a violation of the Rules of Professional Conduct for Attorneys.47
¶ 70. Yet the middle course also recognizes that under some circumstances a breach of duties owed to a non-party former client may impact the just and lawful determination of a non-client party's position and that [438]*438under these circumstances it is sound judicial policy for the non-client party to have standing to move for disqualification.
¶ 71. Accordingly, we conclude that as a general rule only a former or current client has standing to move to disqualify an attorney from representing someone else in a civil action. Nevertheless, in cases involving a challenge to a party's standing to bring a motion for disqualification of opposing counsel on the ground that opposing counsel is breaching duties to a non-party former client, to determine the personal interest, the adverse effect, and the judicial policy aspects of standing in Wisconsin we conclude that a non-client party has standing to move for disqualification of opposing counsel, when the prior representation is so connected with the current litigation that the prior representation is likely to affect the just and lawful determination of the non-client party's position.48
¶ 72. The doctrine of standing in the present case explores whether a connection exists between the current and prior representations and whether the prior representation is likely to affect the just and lawful determination of the non-client party's position. In contrast, the standard of law (examined in Part III, below) for determining whether an attorney should be disqualified explores whether the current and subsequent representations involve a substantially related matter.
[439]*439E
¶ 73. We now turn to the facts of this case. Although Wayne Foster and the Foster Group are not parties to the slip-and-fall litigation, Wayne Foster as well as employees of the Foster Group may be key witnesses for the plaintiffs. The plaintiffs' witness list includes Wayne Foster and authorized representatives of Bishop's Grove Condominium to testify about maintenance of the premises. The plaintiffs apparently intend to rely upon the testimony of Wayne Foster regarding the duties and actions of the Foster Group as the exclusive property manager of the Condominium in establishing Bishop's Grove's liability.
¶ 74. Moreover, in the instant case, Wayne Foster and the employees of the Foster Group may not merely be witnesses. Rather, according to the plaintiffs' theory of the case, Bishop's Grove is liable for the acts and omissions of Wayne Foster and the Foster Group. According to the record, Bishop's Grove's liability in the slip-and-fall action will likely turn on the actions or omissions of the Foster Group or Wayne Foster, as Bishop's Grove's exclusive property manager.
¶ 75. The Foster Group's and Wayne Foster's conduct as manager connects the current litigation with counsel's prior representation of Wayne Foster and the Foster Group. The record demonstrates that opposing counsel's firm represented the Foster Group and Wayne Foster for many years and that the representation related to condominiums. Nothing in the record limits the nature of the attorney's representation involving condominiums. Except for statements denying any representation specifically connected with Foster Group's management of Bishop's Grove, the record does not affirmatively state that the prior representation was [440]*440not in any way related to the Foster Group's management of condominium properties.
¶ 76. According to Bishop's Grove's counsel, the plaintiffs have an unfair advantage arising out of their counsel's prior representation of the Foster Group and Wayne Foster. Implicit in the affidavits and argument is Bishop's Grove's claim that opposing counsel has special insight into how the Foster Group operates and manages condominium developments and a special relationship with Wayne Foster that advantages the plaintiffs. In support of its argument about the plaintiffs' counsel's familiarity with Wayne Foster, Bishop's Grove relied on the plaintiffs' attorney's communications with Wayne Foster with respect to the present litigation.
¶ 77. The first communication between the plaintiffs' counsel and Wayne Foster was a phone call to Wayne Foster prior to the commencement of litigation. At the plaintiffs' counsel's request, Wayne Foster agreed to communicate with the claims adjuster and explain condominium law and the concept of common property. In the opinion of the plaintiffs' counsel, the insurance company's claims adjuster did not understand condominium law and the concept of common property.
¶ 78. The second communication between the plaintiffs' counsel and Wayne Foster was a letter that the plaintiffs' attorney sent to Wayne Foster notifying him of the time and place of his deposition, instead of serving a subpoena or communicating with opposing counsel.
¶ 79. Bishop's Grove asserts that these communications show the familiarity between Wayne Foster and the plaintiffs' counsel based on their attorney-client relation and that the familiarity helps the plaintiffs to Bishop's Grove's disadvantage.
[441]*441¶ 80. On the basis of this record, we conclude that Bishop's Grove fits under the exception to the general rule that a non-client party does not have standing to bring a disqualification motion against opposing counsel. In the present case, Bishop's Grove has standing to move for disqualification of opposing counsel. Bishop's Grove has a personal interest in the motion to disqualify opposing counsel that is adversely affected because the prior representation is connected with the current litigation so that the prior representation appears to have an impact on the just and lawful determination of Bishop's Grove's position.
Ill
¶ 81. We now turn to the second question presented on appeal, namely whether the circuit court's standard for determining disqualification of the Cramer firm, the "appearance of impropriety," is the correct legal standard. If not, what is the correct standard?
¶ 82. A circuit court has "broad discretion" in determining whether an attorney should be disqualified.49 An appellate court will sustain a circuit court's discretionary determination of an attorney's disqualification if the determination is based on the facts of record and on the appropriate and applicable law and is the product of a rational mental process by which the facts and law are considered together to reach a reasoned and reasonable determination.50
[442]*442¶ 83. A circuit court's discretionary determination based on an error of law is an erroneous exercise of discretion.51 Whether a circuit court applied the appropriate and applicable law is a question of law that an appellate court determines independently of the circuit court but benefiting from its analysis.52 In determining the applicable law in the present case, we may have to interpret and apply the Supreme Court Rules of Professional Conduct for Attorneys. Interpretation and application of a Supreme Court Rule is a question of law that an appellate court determines independently of the circuit court, benefiting from its analysis.53 Whether the facts fulfill a legal standard is ordinarily a question of law that an appellate court determines independently of the circuit court, benefiting from its analysis.54
A
¶ 84. In the present case, Bishop's Grove, the non-client, asserts the client's (the Foster Group's and Wayne Foster's) grounds for disqualification of plain[443]*443tiffs' counsel. We therefore apply in the present case the law of disqualification relating to a former client's attempt to disqualify counsel in a subsequent representation of another person.55
¶ 85. A fundamental principle in an attorney-client relationship is that the lawyer owes duties to a client and a former client. Most of the core concepts of lawyer conflicts of interest were developed through common-law decisions long before jurisdictions officially adopted lawyer codes.56 "[T]he confidence and trust underlying the attorney-client relationship are foundational to the practice of law and deeply rooted in our law and Professional Rules."57
¶ 86. The resolution of the issue of disqualification in the present case is thus guided by our prior case law and the precepts of the Supreme Court Rules of Professional Conduct for Attorneys regarding an attorney's duties to former clients.58 Appellate courts [444]*444have often cited the Rules of Professional Conduct for guidance in non-disciplinary cases, including disqualification cases.59 The Introductory Note to the Restatement (Third) of Law Governing Lawyers (2000) ex[445]*445plains that lawyer code provisions may he relevant for the purpose of a motion for disqualifying a lawyer.
¶ 87. The Wisconsin cases explain that the standard to apply in disqualifying an attorney on the ground of the attorney's former representation of a client is the "substantially related" standard. "[T]he attorney will be disqualified if the subject matter of the two representations [is] 'substantially related.' "60
¶ 88. Our case law further explains that matters are substantially related "if the lawyer could have obtained confidential information in the first representation that would have been relevant in the second."61 A court need not find that an attorney has actually breached ethical standards or revealed client confidentiality.62 It is only necessary that an attorney have undertaken representation that is adverse to the interests of a former client.63 A serious possibility that the interest represented by the attorney in the subsequent [446]*446employment is adverse to the interest represented in the original employment may be enough for disqualification.64
¶ 89. The circuit court did not apply the substantially related standard in the present case. Instead, it applied an "appearance of impropriety" test. The circuit court thus erred as a matter of law. The "appearance of impropriety" test that the circuit court applied is not the appropriate standard for disqualification of an attorney based on duties to a former client. "The possible appearance of impropriety... is simply too weak and too slender a reed on which to rest a disqualification order . . . ,"65
[447]*447¶ 90. The seminal case setting forth the substantially related standard, and the case upon which Wis[448]*448consin case law is based,66 is T.C. Theatre Corp. v. Warner Brothers Pictures, 113 F. Supp. 265, 268 (S.D.N.Y. 1953). "[W]here any substantial relationship can be shown between the subject matter of a former representation and that of a subsequent adverse representation, the latter will be prohibited."67 In establishing this standard, the federal district court in Theatre Corp. relied upon the American Bar Association's Model Canons of Professional Ethics, although the case was not a disciplinary case.68
¶ 91. Thus, likewise, in determining whether the Cramer firm should be disqualified under the substantially related standard, we refer to the Wisconsin Rules [449]*449of Professional Conduct for Attorneys governing the conduct of members of the bar. The Rules provide principles for an attorney's duties to former and current clients. We again emphasize that the instant case does not involve a determination of unethical conduct. This is a disqualification proceeding, not a disciplinary proceeding. The circuit court concluded that the plaintiffs' law firm did not engage in any unethical conduct of any kind.
¶ 92. In examining the Rules of Professional Conduct, we look at SCR 20:1.9 because Bishop's Grove's motion to disqualify the Cramer firm is based on the firm’s duty owed to former clients.69
¶ 93. In pertinent part, SCR 20:1.9(a) provides as follows:
(a) A lawyer who has formerly represented a client in a matter shall not thereafter represent another person in the same or a substantially related matter in which that person's interests are materially adverse to the interests of the former client unless the former client gives informed consent, confirmed in a writing signed by the client.
(c) A lawyer who has formerly represented a client in a matter or whose present or former firm has formerly represented a client in a matter shall not thereafter:
[450]*450(1) use information relating to the representation to the disadvantage of the former client except as these rules would permit or require with respect to a client, or when the information has become generally known; or
(2) reveal information relating to the representation except as these rules would permit or require with respect to a client.
¶ 94. In applying SCR 20:1.9 to determine whether disqualification is required, a court must determine: (1) whether there was an attorney-client relationship and whether it has ceased; (2) whether the subsequent representation of another person involves the same or a substantially related matter; (3) whether the interests of the subsequent client are materially adverse to those of the former client; and (4) whether the former client consented to the new representation.70
¶ 95. In the instant appeal, it is undisputed that an attorney-client relationship had existed between the Cramer firm and Wayne Foster and the Foster Group and that the Cramer firm no longer represented Wayne Foster or the Foster Group at the time the slip-and-fall litigation began.71 Furthermore, no one asserts that the former clients (Wayne Foster and the Foster Group) have consented to the Cramer firm's representation of the plaintiffs in the present case.
[451]*451¶ 96. The disagreement in the present case lies mainly with the interpretation of "substantially related." Wisconsin courts have been using the substantially related standard in attorney disqualification cases when an attorney represents a party in a matter in which the adverse party is that attorney's former client.72 We now apply the substantially related standard in the present case in which the attorney's former client is not a party.
¶ 97. The substantially related standard is not only explained in our case law but is further explained in the American Bar Association Model Rules of Professional Conduct and comments thereto, which are not binding on Wisconsin courts but are instructive when interpreting Wisconsin Supreme Court Rules that are analogous to the ABA Model Rules.73 The Comments to ABA Model Rule 1.974 describe the "substantially related" standard as follows:
[452]*452Matters are "substantially related" for purposes of this Rule if they involve the same transaction or legal dispute or if there otherwise is a substantial risk that confidential factual information as would normally have been obtained in the prior representation would materially advance the client's position in the subsequent matter.
¶ 98. The Restatement (Third) of The Law Governing Lawyers similarly describes the substantially related standard.75 The Comments to § 132 of the Restatement explain that "[a] subsequent matter is substantially related to an earlier matter ... if there is a substantial risk that the subsequent representation will involve the use of confidential information of the former client obtained in the course of the representation .... Substantial risk exists where it is reasonable to conclude that it would materially advance the client's position in the subsequent matter to use confidential information obtained in the prior representation."76
¶ 99. The substantially related standard "has sometimes proved much easier to recite than to describe accurately or to apply confidently."77 To assist [453]*453courts in applying the standard, it is helpful to understand the rationale of the substantially related standard. The standard reflects several concerns, including protecting the confidential information of the former client obtained in the course of representation; protecting the present client by disqualifying counsel who might be constrained in effective representation because of an obligation to a former client;78 and protecting the lawyer such that retention of the lawyer for services on specific cases or issues will not be transformed into the lawyer's lifetime commitment.79
¶ 100. A central concern underlying the substantially related standard in SCR 20:1.9, and disqualification based on a breach of duties owed a former client, is confidentiality between the attorney and the former client. Maintaining confidentiality of information relating to representation is a fundamental principle in the attorney-client relationship.80 This fundamental principle encourages clients "to seek legal assistance and to communicate fully and frankly with the lawyer even as to embarrassing or legally damaging subject matter." SCR 20:1.6, ABA Comment 2. By protecting attorney-client confidentiality, a court maintains public confidence in the legal profession and protects the integrity of the judicial process.81
[454]*454¶ 101. If attorney-client confidentiality were the only interest to consider in disqualification of counsel, there would be no need for the substantially related standard, as confidentiality would be best protected by a blanket rule precluding lawyers from representations adverse to any former client. But, a blanket disqualification rule would unnecessarily deny persons their chosen counsel.
¶ 102. In Wisconsin, a litigant's right to prosecute or defend a suit with an "attorney of the suitor's choice" is protected by the state Constitution. Article I, Section 21(2) of the Wisconsin Constitution states: "In any court of this state, any suitor may prosecute or defend his suit either in his own proper person or by an attorney of the suitor's choice" (emphasis added).82
[455]*455¶ 103. The state constitutional right of representation in any court "by an attorney of the suitor's choice" is not, however, absolute.
¶ 104. For example, in Lorscheter v. Lorscheter, 52 Wis. 2d 804, 808, 191 N.W 200 (1971), the court concluded that a party in a default divorce proceeding was not entitled to substitute a new attorney on the day of the hearing when she had not complied with the statutory framework governing attorney substitution in pending actions. The right to counsel of one's choice may be denied when it unduly interferes with the administration of justice. Id.
¶ 105. Similarly, a suitor's choice of counsel is limited by the court's licensure and bar membership requirements.83 The constitutional right to an attorney of the suitor's choice is tempered by the requirement that counsel be licensed in Wisconsin.
¶ 106. The Wisconsin Constitution grants each person a right of representation in any court "by an attorney of the suitor's choice." This constitutional right is safeguarded when the court protects clients by [456]*456maintaining high ethical standards of attorney professional responsibility.
¶ 107. Cognizant of the interests to be balanced in deciding disqualification motions, we turn to the factors to be considered in determining whether an attorney's current representation is substantially related to the attorney's prior representation.
¶ 108. The assessment of whether the former and current representations are "substantially related" is case-specific and involves a process of factual reconstruction. It requires a court to determine first the likelihood that the lawyer was exposed to confidential information based on the matter of the prior representation. Then the court must assess the likelihood that confidential information will be relevant in the current representation.84
¶ 109. Incidental similarities between the prior and current representations do not support disqualification.85 Relying upon incidental similarities creates a standard that is overly broad and improperly infringes on the rights of persons to obtain counsel of their choosing. "[T]he fact that a lawyer has once served a client does not preclude the lawyer from using generally known information about that client when later representing another client."86
[457]*457¶ 110. Finally, we examine the remaining criterion under SCR 20:1.9, that is, whether the current representation is materially adverse to the former client. Whether an attorney's current representation is materially adverse to a former client is likewise a fact-intensive analysis. 87
¶ 111. The analysis should focus on whether the current representation may cause the former client financial, legal, or some other identifiable harm.88 The court must determine "the degree to which the current representation may actually be harmful to the former client."89
¶ 112. The circuit court in the present case did not examine whether the attorney's current representation was "substantially related" to the prior representation or was "materially adverse" to the former client. Instead, the circuit court relied on an erroneous standard, whether an "appearance of impropriety" resulted from the plaintiffs' attorney's communication with Wayne Foster in the present litigation.
¶ 113. We conclude that the circuit court applied an incorrect standard of law in disqualifying the plain[458]*458tiffs' attorney, namely disqualifying the attorney on the basis of the "appearance of impropriety." Given the paucity of facts in the record relating to the attorney's prior representation of the Foster Group and Wayne Foster, we are unable to determine whether the two representations are substantially related such that the confidences of the Foster Group and Wayne Foster are implicated in this personal injury action or whether the current representation is materially adverse to the former client.
¶ 114. We cannot determine from the record before us whether the circuit court's order disqualifying the plaintiffs' attorney is erroneous when applying the correct standard. Accordingly, we reverse the order of the circuit court disqualifying the plaintiffs' attorney and remand the matter to the circuit court for such further proceedings as the circuit court determines are appropriate to resolve the question presented.
By the Court. — The order of the circuit court is reversed and the cause is remanded.
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Cite This Page — Counsel Stack
2011 WI 36, 797 N.W.2d 789, 333 Wis. 2d 402, 2011 Wisc. LEXIS 326, Counsel Stack Legal Research, https://law.counselstack.com/opinion/foley-ciccantelli-v-bishops-grove-condominium-assn-wis-2011.