In Re Sofaer

728 A.2d 625, 1999 D.C. App. LEXIS 97, 1999 WL 247741
CourtDistrict of Columbia Court of Appeals
DecidedApril 22, 1999
Docket97-BG-1096
StatusPublished
Cited by10 cases

This text of 728 A.2d 625 (In Re Sofaer) 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 Sofaer, 728 A.2d 625, 1999 D.C. App. LEXIS 97, 1999 WL 247741 (D.C. 1999).

Opinion

FARRELL, Associate Judge:

This case is before us on exceptions to the report and order of the Board on Professional Responsibility (the “Board”) directing Bar Counsel to issue an informal admonition to respondent for having violated Rule 1.11(a) of the District of. Columbia Rules of Professional Conduct. The rule states in relevant part:

A lawyer shall not accept other employment in connection with a matter which is the same as, or substantially related to, a matter in which the lawyer participated personally and substantially as a public officer or employee.

A hearing committee and the Board both concluded that respondent had violated this rule by undertaking to represent the government of Libya in connection with criminal and civil disputes and litigation arising from the 1988 bombing of Pan American Flight 103 over Lockerbie, Scotland, after respondent, while serving as Legal Advisor in the United States Department of State, took part personally and substantially in the government’s investigation of the bombing and in related diplomatic and legal activities.

We sustain the Board’s order and adopt its comprehensive report, which sets forth (and in turn adopts) the hearing com *627 mittee’s findings of fact, 1 correctly explains the elements of a Rule 1.11(a) violation, and demonstrates why Bar Counsel proved by clear and convincing evidence that respondent violated the Rule. We limit ourselves to the following discussion, which presupposes familiarity with the Board’s report, annexed hereto.

1. Respondent argues that in defining the “matter” in which he took part while Legal Advisor as “the legal activities flowing from the government’s efforts to address [the Pan Am 103 bombing],” the Board bundled together activities so diverse in nature as to give him no fair warning of a potential overlap when he accepted the private representation of Libya. We are not persuaded. The activities in question, including diplomatic intervention with an unnamed country, attendance at confidential briefings on the criminal investigation, and overseeing the State Department’s response to civil third-party subpoenas, all centered about a distinct historical event involving specific parties, 2 whether or not all had been identified. As the Board recognized, “The ‘matter’ is not terrorism, or even Libyan terrorism”; rather, “[t]he core of fact at the heart of each piece of legal activity is ... why and how Pan Am 103 blew •up over Lockerbie.” The contours of the bombing and the government’s investigation and related responses to it were defined sharply enough to constitute a “matter” under the Rule.

2. Respondent contends that his work as Legal Advisor concerned the Pan Am 103 bombing in ways that were too marginal, infrequent, or passive to amount to “personal and substantial” participation in the matter. The main feature of the government’s response, he asserts, was the criminal investigation conducted by the Department of Justice, not the Department of State; State’s role (hence respondent’s) consisted largely of a routine response to a third-party subpoena issued by Pan Am 3 in furtherance of its theory that the U.S. government had advance warning of the bombing but failed to act.

Respondent’s discounting of the subpoena as routine depends partly on hindsight: the district court eventually quashed the subpoena. Until then, however, the subpoena had the potential of embroiling the government in the tort litigation, and so respondent’s role in reviewing and approving the memorandum recommending the State Department’s response to the subpoena cannot be considered perfunctory. But his participation went further. After Pan Am voiced its theory of government foreknowledge at a meeting with the Secretary of State which respondent either attended or knew of, respondent’s judgment was sought on whether, or how fully, to inform the Department’s designated witness in the subpoena matter of the meeting, in preparation for his testimony. That action, as Bar Counsel points out, did not become “insubstantial” because the legal judgment was easily arrived at or because the government subsequently concluded that Pan Am’s theory of government complicity was unsupported.

Moreover, respondent’s actions take on added significance when viewed in the context of his participation, as one of a small number of senior State Department officials, in confidential oral and written briefings which periodically included information about the progress of the criminal investigation and related diplomatic actions. The fact that respondent played no role in the investigation itself and was not shown to have recommended or taken action based on the briefings 4 is not critical. As the Board explained, *628 “Respondent was much more than the passive recipient of general agency information. As chief legal officer of the State Department, [he] was kept abreast of the progress of the investigation and the diplomatic efforts in response to the bombing precisely so that he could provide legal advice and perform legal duties concerning the bombing when called upon to do so.”

All told, respondent’s active participation in the Pan Am 103 matter bears no resemblance to the merely peripheral or formal involvement in a matter which the Rule does not encompass. See Opinion No. 84, D.C. Bar Legal Ethics Committee (1980) (interpreting former DR 9-101).

Respondent’s assertion that by emphasizing his receipt of confidential information from the briefings the Board confused Rule 1.11(a) with Rule 1.6 (restricting use of client confidences or secrets) is mistaken. While he is correct that “no one has ever suggested any improper disclosure of confidences by Respondent,” Rule 1.11(a) bars participation in overlapping government and private matters where “it is reasonable to infer counsel may have received information during the first representation that might be useful to the second”; “the ‘actual receipt of ... information,’ ” and hence disclosure of it, is immaterial. Brown v. District of Columbia Bd. of Zoning Adjustment, 486 A.2d 37, 50 (D.C.1984) (en banc) (citations omitted).

3. Rule 1.11(a) prohibits a lawyer from accepting employment in connection with a matter “the same as, or substantially related to,” a matter in which he or she took part as a public officer or employee. The inquiry is a practical one asking whether the two matters substantially overlap. 5 Respondent insists that he stayed clear of that overlap by restricting the terms of his agreement to represent Libya so as to “assum[e] Libya’s culpability for the [Pan Am 103] bombing.” A lawyer may, of course, limit the objectives of a representation with client consent. Rule 1.2(e). But respondent’s retainer agreement exemplifies why, in our view, limiting the private representation rarely will succeed in avoiding the convergence addressed by Rule 1.11(a).

Free access — add to your briefcase to read the full text and ask questions with AI

Related

In Re Barry Downey
162 A.3d 162 (District of Columbia Court of Appeals, 2017)
In Re White
11 A.3d 1226 (District of Columbia Court of Appeals, 2011)
Yourick v. Commonwealth, Department of Transportation, Bureau of Driver Licensing
965 A.2d 341 (Commonwealth Court of Pennsylvania, 2009)
State ex rel. Jefferson County Board of Zoning Appeals v. Wilkes
655 S.E.2d 178 (West Virginia Supreme Court, 2007)
STATE EX REL. JEFFERSON CTY. v. Wilkes
655 S.E.2d 178 (West Virginia Supreme Court, 2007)
In re Nwadike
905 A.2d 221 (District of Columbia Court of Appeals, 2006)
United States v. Philip Morris Inc.
312 F. Supp. 2d 27 (District of Columbia, 2004)
In Re Corizzi
803 A.2d 438 (District of Columbia Court of Appeals, 2002)
Commonwealth v. Strickler
757 A.2d 884 (Supreme Court of Pennsylvania, 2000)

Cite This Page — Counsel Stack

Bluebook (online)
728 A.2d 625, 1999 D.C. App. LEXIS 97, 1999 WL 247741, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-sofaer-dc-1999.