In Re Complaint as to the Conduct of Weidner

801 P.2d 828, 310 Or. 757, 1990 Ore. LEXIS 358
CourtOregon Supreme Court
DecidedNovember 26, 1990
DocketOSB 86-138; SC S36671
StatusPublished
Cited by24 cases

This text of 801 P.2d 828 (In Re Complaint as to the Conduct of Weidner) is published on Counsel Stack Legal Research, covering Oregon Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In Re Complaint as to the Conduct of Weidner, 801 P.2d 828, 310 Or. 757, 1990 Ore. LEXIS 358 (Or. 1990).

Opinion

*759 PER CURIAM

In this lawyer discipline case, we determine de novo whether accused violated (1) two disciplinary rules prohibiting conduct involving dishonesty, fraud, deceit or misrepresentation, and knowingly making a false statement of law or fact, and (2) four disciplinary rules regulating conflicts of interest between a lawyer and a client or among multiple clients of the same lawyer. 1

Because the dishonesty or deception charges are not supported by evidence of any knowingly false statement, dishonesty, fraud, deceit, or misrepresentation, we dismiss them, as did the Trial Panel. We also hold that the conflict of interest disciplinary rules depend on the existence of a lawyer-client relationship. Because we are not convinced by the evidence that such a relationship existed between accused and those alleged to have considered themselves his clients in the relevant transactions, we dismiss the conflict of interest charges.

FACTS

Accused joined Mr. and Mrs. Hartley, Ron Claxton, who was a relative of the Hartley’s, and James Sanders to form a trucking-related business corporation. The Hartleys, Claxton, Sanders and accused each received equal shares. During the relevant period, the business was known as Container Transfer Service and also as Marine Transport Company (MTC). Accused served as a corporate officer and performed the company’s legal work.

Before events significant to this case occurred, accused was acquainted with George Miljus. Accused once was Miljus’ tenant; both were former Portland firefighters. Miljus knew accused was a lawyer but had never employed him as such. Accused knew that Miljus was interested in making secured loans and had lent money to another trucking business.

When a cash-flow problem developed at MTC, accused contacted Miljus seeking a loan to MTC. Miljus knew, *760 at this point, that accused was an officer and a shareholder in MTC.

The transactions giving rise to the Bar’s charges were three-sided. MTC sought a loan from Miljus. As part of the security for repayment, MTC offered mortgages on some of its individual shareholders’ separate interests in certain real properties. MTC paid these shareholders’ fees for using their properties as security.

Miljus dictated terms and preconditions to be met before he would loan MTC the funds. Accused performed the tasks required to meet those terms and preconditions. Miljus required that his security be documented. When accused prepared the real property mortgages as part of the loan transactions, he used a legal stationer’s preprinted form that provided, among other things, that “mortgagor covenants * * * that he is lawfully seized in fee simple of said premises and has a valid, unencumbered title thereto.” The mortgagors did not, however, hold clear titles.

As required by Miljus, accused provided Miljus with title company lot book reports showing the condition of title of the Hartley and Claxton properties, and the tax assessor’s appraisal values for them. Miljus reviewed these documents to determine whether the equity values of the properties offered as security, after deducting encumbrances shown in the lot book reports, exceeded by 20 to 25 percent the amount that he was to loan. Bar counsel stipulated that lot book reports were provided to Miljus, that the reports showed the condition of title of the properties, and that the reports were provided before mortgages were executed to secure repayment of the loans. Miljus also personally visited the properties to view the nature and condition of improvements.

Several loan transactions were entered into over a fourteen-month period. Original loan notes drawing 20 percent interest, executed in 1979 and in July of 1980, were replaced with 24-percent interest notes in December of 1980 and January of 1981, when Miljus agreed to renewal of the loans and refinancing of the principal balances then overdue. Miljus dictated both the 20-percent and the 24-percent interest rates.

Although accused had signed some of the prior notes *761 as Miljus required, individually promising to repay them if MTC defaulted, he did not co-sign the renewal notes, and no one requested that he do so. Miljus testified that, at the time the replacement notes were signed, he was aware that accused had not signed the new notes. There is no evidence of whether the Hartleys knew that accused had not signed the renewal notes; Claxton was not concerned that accused did not sign them.

One part of the renewal and replacement security arrangement involved adding property on Columbia Boulevard offered by Claxton as further security. Accused notarized Claxton’s signature executing a mortgage on that property for Claxton, and also “by power of attorney” for Vicki Hansen, who claimed an interest in that property. The Bar and accused disagree as to whether Vicki Hansen’s power of attorney, authorizing Claxton to sign for her, was displayed by Claxton to accused at the time accused notarized the Columbia Boulevard mortgages.

When MTC did not repay the 24 percent notes, Miljus hired a lawyer to recover from the loans’ security and from accused’s professional liability insurance. A 1983 court decision held that Vicki Hansen’s interest in the Columbia Boulevard property could not have been encumbered by Claxton because no valid power of attorney existed. Miljus received one of Hartley’s properties in part payment but found the equities in the other Hartley and Claxton parcels not worth pursuing.

THE BAR’S CHARGES

DR 1-102, in the form in effect at the relevant time, provided in part:

“(A) A lawyer shall not:
«* * * * *
“(4) Engage in conduct involving dishonesty, fraud, deceit, or misrepresentation.” (Emphasis added.)

DR 7-102 provided in part:

“(A) In his representation of a client, a lawyer shall not:
U* * * * *
“(5) Knowingly make a false statement of law or fact.” (Emphasis added.)

*762 A. Dishonesty and Deception 2

The Bar charged deception and dishonesty based on three theories: misrepresentation as to condition of title of each parcel by words preprinted on the stationer’s mortgage form; misrepresention that Claxton held an interest in the Columbia Boulevard property and had authority to sign for Vicki Hansen, accomplished by notarizing Claxton’s signature for Vicki Hansen “by power of attorney”; and tender of the Columbia Boulevard mortgage to Miljus “when accused had no reason to believe” that Claxton was authorized to sign on Hansen’s behalf.

In briefing and argument, the Bar also claimed that accused’s failure personally to sign any of the 24-percent replacement notes violated the deception or dishonesty disciplinary rules.

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Bluebook (online)
801 P.2d 828, 310 Or. 757, 1990 Ore. LEXIS 358, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-complaint-as-to-the-conduct-of-weidner-or-1990.