In Re Charges of Unprofessional Conduct Against N.P.

361 N.W.2d 386, 1985 Minn. LEXIS 967
CourtSupreme Court of Minnesota
DecidedJanuary 25, 1985
DocketC4-84-981, CO-84-1223
StatusPublished
Cited by34 cases

This text of 361 N.W.2d 386 (In Re Charges of Unprofessional Conduct Against N.P.) is published on Counsel Stack Legal Research, covering Supreme Court of Minnesota primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In Re Charges of Unprofessional Conduct Against N.P., 361 N.W.2d 386, 1985 Minn. LEXIS 967 (Mich. 1985).

Opinion

PER CURIAM.

This case involves two petitions by attorney N.P. (petitioner) for a writ of prohibition, writ of mandamus, or other relief, one restraining the Director of the Lawyers Professional Responsibility Board (director) from enforcing Rule 25, Rules on Lawyers Professional Responsibility, and ordering him to dismiss or limit his disciplinary investigation of petitioner and the second ordering the director to revise the charges issued against petitioner and dismiss those based upon DR 1-102, DR 2-203, DR 5-105, and DR 5-106 of the Minnesota Code of Professional Responsibility. These petitions are considered together for purposes of this opinion.

The facts that form the basis of each case are similar and involve legal manuev-ering of a kind that has resulted in unusually protracted judicial proceedings. In *390 July 1979, the director began a disciplinary investigation of petitioner in response to a letter from a Superior, Wisconsin, physician charging that petitioner’s firm has “flagrantly solicited ladies who have had Daikon shields (sic) inserted for birth control over the past ten years and [has] wrought emotional havoc upon them. [Members of the firm] have flagrantly suggested that they could obtain a cash settlement from Robins Drug Company * * 1 This complaint was dismissed on September 28, 1979, with a finding of no unethical conduct. The director subsequently discovered evidence to substantiate the complaint, including evidence that petitioner had allegedly falsified in connection with the original investigation. Accordingly, on May 6, 1980, the director informed petitioner that the matter was to be reopened.

During 1980, 1981, and 1982, successive grand juries conducted detailed investigations of alleged wrongdoings by petitioner, culminating in his February 16, 1982, indictment in federal district court for mail fraud. Shortly thereafter, the director dismissed two additional complaints involving petitioner’s activities: on April 6, 1982, a complaint alleging that petitioner had refused to turn over the contents of a client file to a successor attorney and on June 3, 1982, a complaint alleging that petitioner had refused to turn over a client file after representation. Both dismissals were limited to the specific complaints and are unrelated to the matter currently at issue.

Following petitioner’s indictment, the director stayed investigation of the original complaint, primarily to avoid duplicating the trial court’s efforts and to conserve the limited resources of his office. Petitioner was tried before a jury in federal district court and, on November 20, 1982, was acquitted of all charges.

The director then requested access to trial exhibits that he believed would aid his disciplinary investigation, but neither petitioner nor the government would produce them without court order. Consequently, in January 1983, the director filed with the federal district court a motion for release of exhibits, including those presented to the grand jury. Following objections by petitioner, the director amended his motion, withdrawing his request for grand jury exhibits. In his amended motion, the director cited petitioner’s failure to voluntarily provide the exhibits pursuant to Rule 25, which requires that an attorney subject to a disciplinary investigation or proceeding cooperate with the director by complying with reasonable requests.

As a result of the director’s action, petitioner, on June 13, 1983, moved for an order in Hennepin County District Court declaring Rule 25 unconstitutional and enjoining the director from enforcing it. The district court issued an order to show cause why the requested relief should not be granted. In response, the director petitioned this court for a writ of prohibition, claiming the district court lacked jurisdiction. On July 12, 1983, we issued a writ directing the district court to suspend or dismiss any further action in N.P. v. Hoover, No. C9-83-870 (Minn. July 12, 1983).

On June 20, 1982, while his action was still pending in Hennepin County District Court, petitioner filed a motion in federal district court likewise requesting an order declaring Rule 25 unconstitutional and enjoining its enforcement. The federal court issued an order, filed on September 19, 1983, refusing at that time to rule on the constitutionality of Rule 25 but ordering that the requested exhibits from petitioner’s mail fraud trial be turned over to the director, provided the director obtained waivers of confidentiality from individuals whose medical records were included in the exhibits. Application of the Director of Lawyers Professional Responsibility re: N.P. v. United States of America, Cr. No. 3-82-32 (D.Minn. Sept. 19, 1983).

*391 After receipt of the trial exhibits, the director continued his investigation and, on May 8, 1984, issued the following charges against petitioner:

Charge [No. 1]
Respondent’s solicitation of cases and payment of referral fees violated the disciplinary rules, including but not limited to, DR 2-103(A)(2) and DR 3-102(A), Minnesota Code of Professional Responsibility (MCPR). Respondent’s altering of law firm records to hide the payment of referral fees and respondent’s directions to [an associate attorney] were attempts to subvert the disciplinary investigation and violated the disciplinary rules, including but not limited to, DR 1-102(A)(2), DR 1-102(A)(4), DR 1-102(A)(5) and DR 1-102(A)(6), MCPR.
⅜ ⅛ sf: ⅝ ⅜! ⅜
Charge [No. 2]
Respondent’s payment of monies to [an insurance investigator] while [the investigator] was an Aetna adjuster and negotiating Daikon Shield claims, undermined [the investigator’s] loyalty to Aetna. Respondent’s receipt of confidential information from [the investigator] to enhance his clients’ cases subverted the adversary system. Respondent created serious conflicts of interest for [the investigator] and took advantage of them to the detriment of respondent’s clients, Aetna, A.H. Robins, and the legal system. Respondent’s conduct violated the disciplinary rules, including but not necessarily limited to DR 1-102(A)(2), DR 1-102(A)(5), DR 1-102(A)(6), DR 5-101, DR 5-105 and Canon 9, MCPR.
* * * * * ⅝:
Respondent’s failure to disclose to his clients his employment of [the investigator], breached his fiduciary duty to his clients. His settlement of Daikon Shield claims with [the investigator], or [the investigator’s] co-workers, jeopardized the settlements with Aetna due to [the investigator’s] role in their settlement. His conduct violated the disciplinary rules, including but not limited to DR 1-102(A)(5), DR 1-102(A)(6) and DR 7-101(A), MCPR.
* * He * * *
Charge [No. 3]
Respondent’s failure to communicate with his clients and failure to obtain his clients’ consents for settlement, some of which were settled in block settlements, violated the disciplinary rules, including but not limited to DR 1-102(A)(6), DR 5-105(B), DR 5-106 and DR 7-101, MCPR.
Charge [No. 4]

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Bluebook (online)
361 N.W.2d 386, 1985 Minn. LEXIS 967, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-charges-of-unprofessional-conduct-against-np-minn-1985.