In re the Discipline of an Attorney

815 N.E.2d 1072, 442 Mass. 660, 2004 Mass. LEXIS 667
CourtMassachusetts Supreme Judicial Court
DecidedOctober 13, 2004
StatusPublished
Cited by18 cases

This text of 815 N.E.2d 1072 (In re the Discipline of an Attorney) is published on Counsel Stack Legal Research, covering Massachusetts Supreme Judicial Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In re the Discipline of an Attorney, 815 N.E.2d 1072, 442 Mass. 660, 2004 Mass. LEXIS 667 (Mass. 2004).

Opinion

Marshall, C.J.

The principal issue in this case is whether an attorney’s conduct that the Board of Bar Overseers (board) concluded neither “flagrantly violated] . . . accepted professional norms” nor “undermine[d] the legitimacy of the judicial process,” Matter of the Discipline of Two Attorneys, 421 Mass. 619, 628, 629 (1996), may be sanctionable conduct “prejudicial to the administration of justice” under SJ.C. Rule 3:07, Canon [661]*6611, DR 1-102 (A) (5), as appearing in 382 Mass. 769 (1981),1 even though the conduct violated no other disciplinary rule. Eleven members of the board voted unanimously that it may not. For the reasons discussed below, we affirm the board’s decision. We also consider whether an attorney may invoke G. L. c. 231, § 59H (commonly referred to as the “antiSLAPP” statute2), to recover attorney’s fees and costs in disciplinary proceedings. We conclude that, in the circumstances of this case, the attorney may not.3

1. Background. The resolution of this case turns on specific facts, which we review in some detail.4 We begin by describing the respondent’s practice and experience.

The respondent has been a member of the Massachusetts bar for over thirty years. He maintains a national practice defending gas and electric utility companies in tort litigation. The respondent has never been disciplined, either in Massachusetts or in any other jurisdiction.

In the early 1980’s, the respondent began representing a gas utility company doing business in Massachusetts (client). He has been the client’s primary outside litigation counsel ever since, handling over one hundred of its cases. In addition to litigating on the client’s behalf, the respondent has advised both the client and its investigators how to respond to claims and [662]*662potential claims resulting from fires or explosions. Among other things, he has helped the client develop and implement protocols for gathering and preserving evidence. The respondent has had and continues to have an interest in protecting the long-term interests of the client.

The respondent’s actions at issue here began in 1995. At that time, the respondent represented the client in litigation as a result of a fire in the basement garage of a home.5 A State trooper assigned by the Commonwealth’s fire marshal’s office to investigate the fire had written a report concerning the source of ignition that was potentially harmful to the client.6 In connection with the litigation, the respondent took part in the trooper’s deposition, the relevant portions of which occurred on two days, three months apart, when the trooper was unrepresented by counsel. During the course of the deposition, the respondent elicited evidence tending to show that the trooper had little specialized training and little understanding of subjects integral to investigating causes of fires or gas explosions, such as the identities of varying chemical compositions, properties, and explosive limits of gasoline, propane, and natural gas, and the items capable of creating sparks sufficient to ignite gasoline. The respondent also elicited testimony that the trooper did not know how to operate scientific instruments used in fire investigations, such as a gas chromatograph, mass spectrometer, split wire anemometer, and piezometer.

During the second day of testimony, the trooper stated to the respondent, “I request that this hearing be postponed. ... I [663]*663object to the form of questioning, I object to the argumentative nature of the questions, and I wish advice of counsel. So I request a postponement.”7 The deposition then adjourned over the respondent’s objection. The respondent testified to the hearing committee that, when he tried to talk to the trooper, the trooper called him a “jerk,” walked out of the room, and called the respondent a highly insulting expletive.

The hearing committee found that, based on the testimony elicited at the trooper’s deposition, the respondent believed that the trooper was “incompetent”8 and “hostile”; he felt the trooper’s incompetence and hostility “might adversely impact” his Ghent’s “long-standing working relationship with the [f]ire [mjarshal’s [ojffice,” “as well as [the client’s] legitimate concerns in other fire and explosion investigations.” The respondent also, in the hearing committee’s words, “thought it would be in [the client’s] best interest to have [the trooper] removed from such investigations.” Additionally, the hearing committee found that the respondent was not concerned about the effect of the trooper’s testimony in the case at hand because he “believed [the trooper’s] credibility at trial would be undercut by effective cross-examination.”

Two days after the trooper suspended his deposition, the respondent contacted the private fire investigator with whom he was working on the case and asked the investigator to forward a complete copy of the trooper’s deposition transcript to the trooper’s supervisor in the fire marshal’s office, with whom the investigator had a long-standing working relationship. On July [664]*66424, 1995, the investigator arranged to meet with the supervisor so he could personally deliver the transcripts. During the meeting, the investigator told the supervisor that the respondent thought the trooper incompetent to investigate fires. The trooper then joined the meeting at his supervisor’s suggestion, whereupon the investigator repeated the respondent’s charge of incompetence.9

We now summarize the history of the disciplinary proceedings resulting from the challenged conduct.

2. Disciplinary proceedings. The only conduct ever challenged by bar counsel is the respondent’s sending of the deposition transcript to the fire marshal’s office. On December 2, 1996, an attorney from the office of bar counsel wrote to the respondent notifying him that he had initiated an investigation into that conduct. The respondent, through counsel, vigorously denied any wrongdoing and requested that the inquiry summarily be closed. Almost three years later, on November 15, 1999, bar counsel filed a petition for discipline against the respondent.10

Bar counsel charged that by forwarding the deposition transcript to the supervisor, the respondent had attempted to “harass or maliciously injure” the trooper and to “intimidate [the trooper] and/or to influence his testimony.” Such conduct, bar counsel charged, violated S.J.C. Rule 3:07, Canon 1, DR 1-102 (A) (5) and DR 1-102 (A) (6), as appearing in 382 Mass. 769 (1981)11; S.J.C Rule 3:07, Canon 7, DR 7-102 (A) (l),12 as [665]*665appearing in 382 Mass. 785 (1981); and S.J.C. Rule 3:07, Canon 7, DR 7-106 (C) (7), as appearing in 382 Mass. 787 (1981).13 On March 20, 2000, the respondent filed an answer denying any misconduct. He claimed that he contacted the fire marshal’s office, not to influence the trooper’s testimony, but to protect his client’s legitimate interests and to protect the general public. The respondent simultaneously moved for an expedited dismissal, which bar counsel opposed. On May 8, 2000, the motion was denied. The respondent’s subsequent motions to dismiss the matter at the initial stages also failed.

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Bluebook (online)
815 N.E.2d 1072, 442 Mass. 660, 2004 Mass. LEXIS 667, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-the-discipline-of-an-attorney-mass-2004.