OPINION
PER CURIAM.
The Director of the Office of Lawyers Professional Responsibility (the Director) petitioned this court for disciplinary action against respondent Paul Roland Rambow. After finding that Rambow committed multiple acts of misconduct, including misappropriation of client funds, a referee recommended that Rambow be disbarred. The sole issue before us is the appropriate disciplinary sanction to impose. We conclude that the appropriate sanction is disbarment.
I.
On May 16, 2014, the Director filed a petition for disciplinary action against Rambow. After Rambow filed an answer, we appointed a referee, who held an evi-dentiary hearing on this matter.
The ref
eree issued findings of fact, conclusions of law, and a recommendation of disbarment,
Because neither party ordered a transcript, the referee’s findings of fact and conclusions of law are conclusive.
See
Rule 14(e), RLPR;
In re Hummel,
839 N.W.2d 78, 81 (Minn.2013). The referee’s findings describe in detail the - extensive misconduct committed by Rambow. We summarize the most pertinent findings of misconduct below.
Misappropriation
Rambow misappropriated a total of $1,393.08 of client funds in' two matters. In the N.O. matter in 2012 and 2013, Ram-bow misappropriated $871.08 from five reimbursement checks, issued by N.O.’s insurer, which were intended to pay for N.O.’s medical treatment. Rambow received these funds, but he never ■ paid N.O.’s medical providers. In the K.W. matter in 2009, Rambow misappropriated $522 of client funds that were intended
to pay a mediator fee. Rambow never paid the mediator.
Check Forgery
In two matters, Ramhow forged (or allowed his staff to forge) endorsements and signatures on clients’ settlement checks and medical reimbursément checks. He then deposited the funds into his trust account. ,
Trust Account Violations and Improper Billing
Rambow negligently misappropriated funds in his trust account involving at least 36 client matters, resulting in shortages (i.e., the trust account balance fell below the sum of client balances) between $313.81 and $12,303;74. Several shortages occurred between 2006 and 2009, including a continuous period of. shortage for more than 14 months, from August 5, 2008 through October 26, 2009. In addition, Rambow failed to maintain client subsidiary ledgers and checkbook registers, perform required reconciliations with bank records, properly identify deposits and checks, and, record checks as they were issued. An audit disclosed , that Rambow’s trust account .records did not match bank documents. And multiple checks were either listed incorrectly in the check register, or not listed at all. Between January 1, 2006 and July 29, 2008, Rambow “consistently held funds in his trust account which were not attributed to anyone and not accounted for in [his] records.” Rambow distributed funds held on behalf of certain clients .without authorization,., failed, to make authorized distributions promptly on behalf of other clients, and failed to provide requested accountings. Finally, in at least five matters, Rambow overbilled his clients for costs.
Failures to Cooperate and Misrepresentations
, ,
■ Rambow failed to cooperate with ethics investigations by the Director and by the Fourth District Ethics Committee (DEC). He failed to respond to several requests to provide information and to produce documents. In addition, Rambow made several misrepresentations during the ethics inves
tigation, including false statements to the DEC investigator regarding his misconduct and false statements to the Director regarding the unauthorized practice of law.
Violations of Court Orders and, Civil Contempt
During divorce proceedings with his former wife, T.M., Rambow violated court orders and was held in civil contempt. The divorce judgment and decree ordered Rambow to pay T.M. a property settlement of $615,000, in addition to monthly spousal maintenance and child support payments. Rambow violated the judgment and decree and multiple subsequent court orders when he failed to make timely payments, failed to comply with court-ordered drug testing,
failed to cooperate with T.M. regarding property settlements, and hindered the sale of property. Ram-bow was held in civil contempt multiple times between 2007 and 2012 for failure to follow court orders. In February 2015, Rambow was incarcerated as a result of the execution of another civil contempt order in his divorce matter.
In a personal injury matter for client H.R., Rambow violated a court order compelling discovery, which resulted in the dismissal of the case. Specifically, the district court granted a motion to compel and ordered Rambow to produce the requested discovery by a certain date. The district court dismissed the case without prejudice because Rambow failed to produce the discovery by that date and “could not explain his failure to comply.”
Other Misconduct
In at least nine client matters, Rambow failed to communicate adequately with clients, to act diligently, and to forward client files promptly after the termination of his representation. In three matters, Rambow took unauthorized actions on behalf of former clients after his representation was terminated. These unauthorized actions included disbursing clients’ funds to third parties and requesting medical records. In two matters, Rambow released confidential client information to third parties. In one matter, Rambow engaged in a conflict of interest by submitting an affidavit to a Medical Review Board that supported an adverse party and disparaged his client. In addition, Rambow engaged in the unauthorized practice of law during a period in which he was suspended for failing to pay his annual lawyer registration fee, and during another period in which he was placed on involuntary restricted status for failing to comply with OLE obligations.
The referee concluded that Rambow violated Minnesota Rules of Professional Conduct (MRPC) 1.15(a)-(b),
1.15(c)(3)-(4),
1.15(h),
1.16(d),
1.3,
1.4(a)-(b),
1.5(a),
I.6(a),
1.7(a)(2),
3.2,
3.3(a)(1),
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OPINION
PER CURIAM.
The Director of the Office of Lawyers Professional Responsibility (the Director) petitioned this court for disciplinary action against respondent Paul Roland Rambow. After finding that Rambow committed multiple acts of misconduct, including misappropriation of client funds, a referee recommended that Rambow be disbarred. The sole issue before us is the appropriate disciplinary sanction to impose. We conclude that the appropriate sanction is disbarment.
I.
On May 16, 2014, the Director filed a petition for disciplinary action against Rambow. After Rambow filed an answer, we appointed a referee, who held an evi-dentiary hearing on this matter.
The ref
eree issued findings of fact, conclusions of law, and a recommendation of disbarment,
Because neither party ordered a transcript, the referee’s findings of fact and conclusions of law are conclusive.
See
Rule 14(e), RLPR;
In re Hummel,
839 N.W.2d 78, 81 (Minn.2013). The referee’s findings describe in detail the - extensive misconduct committed by Rambow. We summarize the most pertinent findings of misconduct below.
Misappropriation
Rambow misappropriated a total of $1,393.08 of client funds in' two matters. In the N.O. matter in 2012 and 2013, Ram-bow misappropriated $871.08 from five reimbursement checks, issued by N.O.’s insurer, which were intended to pay for N.O.’s medical treatment. Rambow received these funds, but he never ■ paid N.O.’s medical providers. In the K.W. matter in 2009, Rambow misappropriated $522 of client funds that were intended
to pay a mediator fee. Rambow never paid the mediator.
Check Forgery
In two matters, Ramhow forged (or allowed his staff to forge) endorsements and signatures on clients’ settlement checks and medical reimbursément checks. He then deposited the funds into his trust account. ,
Trust Account Violations and Improper Billing
Rambow negligently misappropriated funds in his trust account involving at least 36 client matters, resulting in shortages (i.e., the trust account balance fell below the sum of client balances) between $313.81 and $12,303;74. Several shortages occurred between 2006 and 2009, including a continuous period of. shortage for more than 14 months, from August 5, 2008 through October 26, 2009. In addition, Rambow failed to maintain client subsidiary ledgers and checkbook registers, perform required reconciliations with bank records, properly identify deposits and checks, and, record checks as they were issued. An audit disclosed , that Rambow’s trust account .records did not match bank documents. And multiple checks were either listed incorrectly in the check register, or not listed at all. Between January 1, 2006 and July 29, 2008, Rambow “consistently held funds in his trust account which were not attributed to anyone and not accounted for in [his] records.” Rambow distributed funds held on behalf of certain clients .without authorization,., failed, to make authorized distributions promptly on behalf of other clients, and failed to provide requested accountings. Finally, in at least five matters, Rambow overbilled his clients for costs.
Failures to Cooperate and Misrepresentations
, ,
■ Rambow failed to cooperate with ethics investigations by the Director and by the Fourth District Ethics Committee (DEC). He failed to respond to several requests to provide information and to produce documents. In addition, Rambow made several misrepresentations during the ethics inves
tigation, including false statements to the DEC investigator regarding his misconduct and false statements to the Director regarding the unauthorized practice of law.
Violations of Court Orders and, Civil Contempt
During divorce proceedings with his former wife, T.M., Rambow violated court orders and was held in civil contempt. The divorce judgment and decree ordered Rambow to pay T.M. a property settlement of $615,000, in addition to monthly spousal maintenance and child support payments. Rambow violated the judgment and decree and multiple subsequent court orders when he failed to make timely payments, failed to comply with court-ordered drug testing,
failed to cooperate with T.M. regarding property settlements, and hindered the sale of property. Ram-bow was held in civil contempt multiple times between 2007 and 2012 for failure to follow court orders. In February 2015, Rambow was incarcerated as a result of the execution of another civil contempt order in his divorce matter.
In a personal injury matter for client H.R., Rambow violated a court order compelling discovery, which resulted in the dismissal of the case. Specifically, the district court granted a motion to compel and ordered Rambow to produce the requested discovery by a certain date. The district court dismissed the case without prejudice because Rambow failed to produce the discovery by that date and “could not explain his failure to comply.”
Other Misconduct
In at least nine client matters, Rambow failed to communicate adequately with clients, to act diligently, and to forward client files promptly after the termination of his representation. In three matters, Rambow took unauthorized actions on behalf of former clients after his representation was terminated. These unauthorized actions included disbursing clients’ funds to third parties and requesting medical records. In two matters, Rambow released confidential client information to third parties. In one matter, Rambow engaged in a conflict of interest by submitting an affidavit to a Medical Review Board that supported an adverse party and disparaged his client. In addition, Rambow engaged in the unauthorized practice of law during a period in which he was suspended for failing to pay his annual lawyer registration fee, and during another period in which he was placed on involuntary restricted status for failing to comply with OLE obligations.
The referee concluded that Rambow violated Minnesota Rules of Professional Conduct (MRPC) 1.15(a)-(b),
1.15(c)(3)-(4),
1.15(h),
1.16(d),
1.3,
1.4(a)-(b),
1.5(a),
I.6(a),
1.7(a)(2),
3.2,
3.3(a)(1),
3.4(c),
4.1,
5.3(a)-(c),
5.5(a),
8.1(a)-(b),
8.4(c)-(d),
and Rule 25, RLPR.
The referee found several aggravating factors, including Rainbow's lack of remorse or recognition of wrongful conduct and his significant legal experience of nearly 30 years in the practice of law. The referee found that no mitigating factors were present.
II.
Because the referee’s findings of fact and conclusions of law are conclusive,
see
Rule 14(e), RLPR, the sole issue before us is the appropriate discipline to .impose. Consistent with the referee’s recommendation, the Director argues that Rambow should be disbarred. Rambow did not file a brief in this' proceeding, although he appeared at the oral argument.
Although we afford “great weight” to the referee’s recommendation, we have the ultimate responsibility for determining the appropriate disciplinary sanction.
In re Harrigan,
841 N.W.2d 624, 628 (Minn.2014). The purpose of disciplinary sanctions, is “not to punish the •attorney but rather to protect the public, to protect the judicial system, and to deter future misconduct.”
Id.
(quoting
In re Rebeau,
787 N.W.2d 168, 173 (Minn.2010)). When determining the appropriate discipline, we are guided by four factors: “(1) the nature of the misconduct; (2) the cumulative, weight of the disciplinary violations; (3) the harm to the public; and (4) the harm to the legal profession.”
Id.
at 628-29 (quoting
In re Fru,
829 N.W.2d 379, 388 (Minn.2013)). We also consider any aggravating or mitigating factors.
Id.
at 629. Although we consider similar cases for guidance, the discipline we impose is “tailored to the specific facts of each case.”
Id.
Herd, based on the' intentional misappropriation of client funds alone, our precedent supports the sanction of disbarment. Misappropriation occurs when client funds “are not kept in trust and are used for a purpose other than one specified by the client.”
Harrigan,
841 N.W.2d at 629 (quoting
In re Brooks,
696 N.W.2d 84, 88 (Minn.2005)). The presumptive discipline for intentional misappropriation of client funds is disbarment, unless there is clear and convincing evidence of substantial mitigating factors.
Id.
at 629;
In re Hummel,
839 N.W.2d 78, 81 (Minn.2013);
In re Jones,
834 N.W.2d 671, 681 (Minn.2013). The referee found that no mitigating factors were present.
We have ordered disbarment even when the amount of misappropriation was relatively small. For example, we disbarred an attorney for misappropriating $1,000, forging a client’s endorsement on a settlement check, failing to cooperate with the Director, and neglecting client matters.
In re Swokowski,
796 N.W.2d 317, 319-26 (Minn.2011). We also have disbarred an attorney for misappropriating $2,000, neglecting client matters, mismanaging his trust account, failing to appear at hearings, violating a court order, and failing to coop- , erate during the disciplinary investigation.
In re De Rycke,
707 N.W.2d 370, 374-76 (Minn.2006). And we have disbarred an attorney for misappropriating $4,000, charging clients for services that were not performed, forging a client’s name on a settlement check,' and making misrepresentations to the Director and 'the DEC.
In re Randall,
562 N.W.2d 679, 683 (Minn.1997).
Repeated violations of court orders may be an independent ground for disbarment.
In re Moe,
851 N.W.2d 868, 872 (Minn.2014) (“Moe failed to respond promptly to discovery requests and comply with court orders. Such repeated failure to comply with court orders is itself a ground for disbarment.”). Noncooperation with the disciplinary process, when it exists in connection with other misconduct, “increases the severity of the disciplinary sanction.”
In re Nelson,
733 N.W.2d 458, 464 (Minn.2007). Moreover, based on the variety and multitude of Rainbow's misconduct, viewed as a whole, the cumulative weight of Rambow’s misconduct supports a severe sanction.
See In re Oberhauser,
679 N.W.2d 153, 160 (Minn.2004) (“[T]he cumulative weight and severity of multiple disciplinary rule violations may compel severe discipline even when a single act standing alone would not have warranted such discipline.”).
Next, we consider the harm to the public and the legal profession, including “the number of clients harmed [and] the extent of the clients’ injuries.”
In re Coleman,
793 N.W.2d 296, 308 (Minn.2011) (quoting
Randall,
562 N.W.2d at 683). Rambow’s extensive misconduct resulted in -significant harm to clients, the public, and the legal profession. At least 23 client matters were involved in this disciplinary action, and each of these clients was harmed by Rambow’s misconduct. For example, in the H.R. matter, which involved a child’s injury from a dog bite, Rambow violated the court’s order to produce discovery responses and “could not explain his failure to comply.” The district court dismissed the case “due to [Rambow’s] failure to prosecute the matter.” Similarly, Ram-bow’s misconduct in the W.S. matter, which included failing to appear for depositions and making a misrepresentation to an arbitrator, contributed to a dismissal. In another personal injury matter, Ram-bow referred his client, M.P., ,to a doctor, J.B. After M.P. became “dismayed” with J.B. and filed a complaint, Rambow submitted to a Medical Review Board an affidavit in support of the doctor that disparaged his client, M.P.
In addition, several of Rambow’s personal injury clients faced significant unpaid medical bills. For example, after Rambow received medical reimbursement checks totaling $4,117.24 from L.S.’s insurer, Ram-bow (or someone at his direction) endorsed and deposited the funds into Rambow’s trust account without L.S.’s knowledge or authority. Although Rambow’s staff claimed that the checks were used to pay L.S.’s medical bill, no such payment was made. Because the insurance proceeds were not used to pay the medical bill, L.S. became personally responsible for paying the expense. Similarly, in the N.O. matter, Rambow or. his staff forged the endorsements on medical reimbursement checks from N.O.’s insurer. Rambow then misappropriated the funds from the checks, which were intended, to pay for N.O.’s medical treatment.
Also, two aggravating factors are present: Rambow’s lack of any remorse or recognition .of his wrongful conduct and his significant legal experience comprising nearly 30 years of practice.
See Harri-gan,
841 N.W.2d at 630 (stating that “sub
stantial experience as a lawyer” and “failure] to recognize the wrongful nature of [the] misconduct” are aggravating factors);
In
re
Rebeau,
787 N.W.2d 168, 176 (Minn.2010) (“[L]ack of remorse also constitutes an aggravating circumstance”). Rambow did not allege and prove any mitigating factors.
See Hummel,
889 N.W.2d at 82 (“The attorney against whom discipline is sought bears the burden to allege and prove mitigating circumstances.”).
In light of the nature and cumulative weight of Rambow’s misconduct; the significant harm he caused to his clients, the public, and the legal profession; the aggravating factors addressed above; and the absence of any mitigating factors, the appropriate sanction is disbarment.
.Accordingly, we order that:
1. Respondent Paul Roland Rambow is disbarred from the practice of law in the State of Minnesota, effective upon the date of filing of this opinion.
2. Rambow shall comply with Rule 26, RLPR (requiring notice of disbarment to clients, opposing counsel, and tribunals).
3. Rambow shall pay $900 in costs pursuant to Rule 24, RLPR.