In Re Conduct of Barber

904 P.2d 620, 322 Or. 194, 1995 Ore. LEXIS 122
CourtOregon Supreme Court
DecidedOctober 26, 1995
DocketOSB 92-104; SC S41694
StatusPublished
Cited by10 cases

This text of 904 P.2d 620 (In Re Conduct of Barber) 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 Conduct of Barber, 904 P.2d 620, 322 Or. 194, 1995 Ore. LEXIS 122 (Or. 1995).

Opinion

*196 PER CURIAM

In this lawyer disciplinary proceeding, the Oregon State Bar filed a formal complaint against the accused, alleging that he had violated several provisions of the Code of Professional Responsibility and a state statute governing lawyer discipline. A trial panel of the Disciplinary Board ordered that he be suspended from the practice of law for three years. Under ORS 9.536(2) and BR 10.1, review by this court is automatic. We review the record de novo, ORS 9.536(3); BR 10.6, find the accused guilty of all the charges and disbar him.

We find the following facts from the evidence in the record. The accused was admitted to the Bar in 1986. In October 1987, McKeever and Nelson retained the accused to represent them in a personal injury action arising out of a motor vehicle accident. At that time, the accused shared office space and was associated with lawyer Vernon L. Richards. McKeever and Nelson each signed a separate contingent fee agreement stating in part:

“I, (‘Client’) hereby retain the Law Offices of Vernon L. Richards and David John Barber (‘Attorneys’), for injuries and/or damages pertaining to: Automobile accident dated on the 26 day of September, 1987.”

During the summer of 1988, the accused learned that insurance proceeds potentially available to satisfy his clients’ claims might not be adequate to compensate both clients fully for the injuries that they had suffered in the accident. Realizing that his clients would be competing for limited insurance proceeds, the accused informed McKeever and Nelson of the possibility of a conflict of interest arising from his joint representation of them. The accused told McKeever and Nelson that he could not represent one against the other and that they would have to decide between themselves how to divide any insurance proceeds. In September 1988, the accused learned that Nelson’s injuries were more serious and, consequently, that her damages were greater than he previously had thought. However, the accused never disclosed in writing the nature and extent of a likely or actual conflict of interest, nor did he advise his clients to seek independent legal advice to determine whether consent to continued joint representation should be *197 given. The accused continued to represent McKeever and Nelson until they discharged him in October 1988.

Meanwhile, a dispute arose between Richards and the accused concerning, among other things, Richards’ entitlement to share in the anticipated fees from the accused’s representation of McKeever and Nelson. Richards contended that he was entitled to 35 percent of any fees, pursuant to an association agreement between Richards and the accused. On September 7, 1988, the accused sent Richards a letter stating that the accused did not intend to share any fees from the McKeever/Nelson litigation, because McKeever and Nelson were exclusively his clients. Relations between Richards and the accused became increasingly acrimonious. On September 23,1988, Richards locked the accused out of their shared offices. Richards and his wife, who was working for Richards at the time, packed the accused’s belongings and files into boxes and left them on the porch outside the offices for the accused to collect. The accused picked up his belongings and transported them to the law office of John Mclihenny, where the accused resumed his law practice. In Januaiy 1989, Richards filed an action against the accused, alleging breach of their association agreement and conversion.

Two months after McKeever and Nelson discharged the accused as their attorney, the accused filed a complaint against his former clients alleging that they had breached the contingent fee agreements by failing to pay him attorney fees after recovering insurance proceeds, pursuant to a settlement with the insurer of the other motor vehicle involved in the accident. The accused attached copies of the contingent fee agreements, signed by McKeever and Nelson, to his complaint. Those copies had been altered to delete Richards’ name.

In Januaiy 1989, both McKeever and Nelson filed answers to the complaint, alleging that the contingent fee agreements were voidable for failure to comply with ORS 9.400(l)(c), 1 because they lacked a provision allowing the *198 clients to rescind the fee agreements within 24 hours after signing. McKeever and Nelson asserted in their answers that they were electing to void the fee agreements. Shortly thereafter, McKeever’s new lawyer asked the accused to produce an itemization of the time that he had expended on the McKeever case, a copy of the fee agreement and billing, and any supporting documentation. The accused responded that no itemization or supporting documents existed and that he already had produced a billing and the fee agreement.

In February 1989, the accused filed an amended complaint, adding a claim for quantum meruit against McKeever and Nelson. Again, he attached the altered contingent fee agreements. The amount sought by the accused in quantum meruit was the same as that which he claimed for breach of the contingent fee agreements.

McKeever and Nelson filed motions for summary judgment, on the ground that the agreements were unenforceable under ORS 9.400. McKeever’s summary judgment motion also stated that the copies of the contingent fee agreements, attached to the accused’s complaint, had been altered unilaterally to remove Richards’ name. McKeever attached copies of the original contingent fee agreements, which identified both Richards and the accused as her lawyers, to the motion for summary judgment. The accused filed a response to the motion for summary judgment but did not address the issue of the alteration of the lawyers’ names.

In May 1989, McKeever’s lawyer undertook discovery and again requested documentation for the accused’s quantum meruit claim. In response, the accused produced a statement detailing his services and the time spent on McKeever’s case. In July 1989, the trial court entered an *199 order denying McKeever and Nelson’s motions for summary judgment and transferring the case to inactive status

“until such time as either Vernon Richards is adjoined as a party plaintiff or until a final judicial determination is made that Vernon Richards has no interest in either of the claims for relief presented in [the accused’s] amended complaint.”

In March 1991, after Richards and the accused had settled their litigation, the accused moved to join Richards as a plaintiff in his action against McKeever and Nelson and to transfer the case back to active status. The trial court granted both motions.

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Cite This Page — Counsel Stack

Bluebook (online)
904 P.2d 620, 322 Or. 194, 1995 Ore. LEXIS 122, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-conduct-of-barber-or-1995.