In Re Pelkey

962 A.2d 268, 2008 WL 5330071
CourtDistrict of Columbia Court of Appeals
DecidedDecember 23, 2008
Docket06-BG-893
StatusPublished
Cited by21 cases

This text of 962 A.2d 268 (In Re Pelkey) is published on Counsel Stack Legal Research, covering District of Columbia Court of Appeals primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In Re Pelkey, 962 A.2d 268, 2008 WL 5330071 (D.C. 2008).

Opinion

REID, Associate Judge:

The Board on Professional Responsibility (“the Board”) has recommended that respondent Bruce A. Pelkey be disbarred; that he be ordered to pay restitution to the Client’s Security Fund with interest at a six percent rate; and that he be required to satisfy all outstanding judgments and orders against him in favor of complainant Linda Cavalli. The Board recommended disbarment based on its conclusion that Mr. Pelkey violated multiple provisions of the District of Columbia Rules of Professional Conduct. Mr. Pelkey challenges the Board’s report and recommendation.

We conclude that Bar Counsel presented clear and convincing evidence that Mr. Pelkey violated the Rules of Professional Conduct, including Rules 8.4(b) (concerning criminal conduct “that reflects adversely on the lawyer’s honesty, [or] trustworthiness .... ”), 8.4(c) (relating to dishonest, fraudulent and deceitful conduct); 8.4(d) (pertaining to “conduct that seriously interferes with the administration of justice”); and 3.1, 3.2(a), 3.3(a)(1), and 4.4(a) *271 (relating to frivolous legal proceedings, proceedings that “would serve solely to harass” another, “false statement^] of fact or law [made] to a tribunal,” and use of “means that have no substantial purpose other than to ... delay, or burden a third person”). We also hold, in agreement with the Board, that, on this record, disbarment is the appropriate sanction for Mr. Pel-key’s misconduct, and that his reinstatement should be conditioned upon his making full restitution to the Clients’ Security Fund with interest, and his satisfaction of all judgments against him and in favor of Ms. Cavalli or related business entities.

FACTUAL SUMMARY

The record before us, which includes factual findings made by the Hearing Committee and affirmed by the Board, shows that Mr. Pelkey, an attorney admitted to the District of Columbia Bar on April 3, 1995, practiced law in Arizona after being admitted in that jurisdiction in 1982. 1 Eventually, he moved to Virginia and accepted a post as a professor of law at Regent University. He also gave lectures in the Soviet Union, and he established an international consulting group. Ms. Cavalli specialized in international economic development 2 and worked as an investment banker in California before moving to Virginia. For a short period of time, she joined an entity in which a former United States Congressman, Mark Siljander, was involved and which was designed to encourage investment in the United States by foreign investors.

Mr. Siljander introduced Ms. Cavalli to Mr. Pelkey in June 1996. That was the beginning of a personal relationship and a mutual interest and collaboration in international business ventures, particularly through a program operated by the United States Immigration and Naturalization Service (“INS”). Mr. Pelkey’s role emerged as that of attorney and legal counsel for the ventures (his duties involved drafting incorporation documents and contracts), and Ms. Cavalli used her expertise and experience to generate proposals for immigrant investors, as well as to prepare business plans and marketing documents. She also developed investment opportunities for funds resulting from work with overseas investors. Consulting or investment entities established by Mr. Pelkey and by Ms. Cavalli played a role in the Pelkey/Cavalli business ventures. These included Consulting Group International (“CGI”) and Trading Partners International (“TPI”), both owned by Mr. Pelkey; and Signet Services Group (“Signet”) and Tourism Support Services (“TSS”), both belonging to Ms. Cavalli. Two other entities, one of which became a subject of dispute between Ms. Cavalli and Mr. Pelkey, were Trading Partners International of California (“TPIC”) and American Opportunity International Services (“AOIS”).

Between 1996 and 1998, Mr. Pelkey and Ms. Cavalli not only planned certain business ventures, but also established them and realized income from those ventures, particularly through a proposal (prepared by Ms. Cavalli) for an export trading Regional Center under INS’s Immigrant Investor Pilot Program (also known as the U.S. Investor Visa Program). Business plans were developed, primarily by Ms. Cavalli, for an African project under the Investor Pilot Program, with M. Tshiamala Kadala Mianda of the Democratic Republic *272 of the Congo; and for an investment project with the Russian Fund Vostock for which both Mr. Pelkey and Ms. Cavalli served as the contacts. Ms. Cavalli advanced approximately $82,000 of her own personal funds to help cover the costs of the ventures. The Hearing Committee and the Board determined that Mr. Pelkey had provided legal services to the Pel-key/Cavalli business entities. As the Board stated: “Although the Committee does not specify the business entities, the record supports a finding that [Mr. Pel-key] provided legal advice, at a minimum, for Trading Partners International of California (made up of entities owned by Respondent and Cavalli) and [AOIS] (jointly created by Respondent and Cavalli).”

In April 1997, Ms. Cavalli submitted a proposal to INS for the establishment of TPIC as a Regional Center under the Immigrant Investor Pilot Program; the proposal stated that “TPIC is wholly owned by its two members, [TPI], a subsidiary of [CGI], and [Signet].” INS sent Ms. Cavalli a letter in August 1997, approving the proposal and designating TPIC as a Regional Center under the Immigrant Investor Pilot Program. A related contract with Mr. Tshiamala and his California export trading company, Somico LLC, was executed in February 1998, resulting in $177,500 in fees for the Cavalli/Pelkey African investor business venture. In addition, Mr. Pelkey and Ms. Cavalli traveled to Russia in 1997 to solicit business from Fund Vostock, and a contract with that Fund was executed in October 1997. Fund Vostock made a $50,000 investment with TPIC in November 1997, and another $50,000 investment in 1998.

The factual bases for many of Bar Counsel’s charges against Mr. Pelkey took place after the relationship between Ms. Cavalli and Mr. Pelkey crumbled. 3 Ms. Cavalli returned to California in August 1998, and she learned, around 1999, that neither her name nor Signet’s name appeared in the TPIC legal documents that Mr. Pelkey drafted and filed, that he in fact had listed only his name and those of his entities, CGI and TPI, as the owners and managers of TPIC. By around April 2000, the Caval-li/Pelkey business relationship had deteriorated substantially and Ms. Cavalli and Mr. Pelkey were locked in bitter litigation in the District of Columbia Superior Court, filed by Ms. Cavalli in May 2000, and in California Superior Court, lodged by Mr. Pelkey in August 2000. A heated, fractious, and bitter dispute erupted concerning an Arbitration Agreement signed by both which was designed to resolve the litigation in the District of Columbia and the California courts.

Mr. Pelkey and Ms. Cavalli disagreed over whether Ms. Cavalli was a business partner (Ms. Cavalli’s position) or a consultant (Mr. Pedce/s position). Ms. Cavalli insisted that Mr. Pelkey had agreed to take responsibility for forming TPIC as an entity wholly owned by TPI (Mr. Pelkey’s entity) and Signet (Ms. Cavalli’s entity), with Mr. Pelkey as a “Managing Partner” and Ms.

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Bluebook (online)
962 A.2d 268, 2008 WL 5330071, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-pelkey-dc-2008.