In the Disciplinary Matter Involving Stepovich

386 P.3d 1205, 2016 Alas. LEXIS 136
CourtAlaska Supreme Court
DecidedDecember 16, 2016
Docket7139 S-15945/S-15961
StatusPublished
Cited by3 cases

This text of 386 P.3d 1205 (In the Disciplinary Matter Involving Stepovich) is published on Counsel Stack Legal Research, covering Alaska Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In the Disciplinary Matter Involving Stepovich, 386 P.3d 1205, 2016 Alas. LEXIS 136 (Ala. 2016).

Opinion

OPINION

MAASSEN, Justice.

I. INTRODUCTION

A few months after reinstatement to the Alaska Bar from a two-year suspension, an attorney violated Alaska Rule of Professional Conduct 1.8(c) by drafting a friend’s will that named • him as the contingent beneficiary. *1206 The friend died leaving a considerable estate, but the attorney inherited nothing.

The Bar brought a disciplinary action against the attorney and stipulated that his violation of Rule 1.8(c) was negligent, punishable by public censure. The Bar’s Disciplinary Board, however, found that sanction too lenient in light of the attorney’s prior disciplinary record. The Board recommended that we impose a six-month suspension from practice; it also noted that the misconduct at issue occurred during a year of stayed suspension that had been imposed as part of the earlier discipline.

We conclude that the attorney acted not negligently but knowingly, and after considering relevant aggravating and mitigating factors we impose a 12-month suspension. But because the violation is not the same as or similar to the misconduct for which the attorney was suspended before, we do not also impose the stayed year.

II. FACTS AND PROCEEDINGS

The underlying facts are undisputed; the only issue on appeal is the appropriate sanction for the attorney’s violation of Rule 1.8(e).

A. Facts

Michael Stepovich and a client had been friends for several decades, and when the client was diagnosed with cancer he asked Stepovich to draft his will. Although probate is outside Stepovich’s normal jmaetice areas, he had helped other friends with “very simple” wills, and he agreed to help the client because of their friendship. 1 Stepovich knew that the client “was in bad shape,” though the client kept the specifics of his illness to himself.

Stepovich drafted the will in May 2009. The client had acquired “an estate with assets of more than $800,000” through his work and his real-estate holdings. He was married but had no children. His mother was still living, and he also had a brother and sister with whom he had “problems.” In his will he left each of his siblings their choice of six shot glasses from his collection; he left his mother nothing because she was “taken care of’ as the beneficiary on a six-figure bank account she would receive outside of probate; and he left the remainder of his estate to his wife. The will named the client’s “good friend, Michael Stepovich,” as the sole contingent beneficiary. 2 According to Stepovich, the client convinced him to be the contingent beneficiary even though Stepovich resisted, advising the client to choose someone else and saying that if by chance he inherited he would just give the money away.

Stepovich had helped the client with- other legal matters such as landlord-tenant issues, and he had helped the client’s wife dissolve a prior marriage. He never charged the client or his estate for any of his professional services.

The client died about six weeks after signing his will. Because his wife survived, the contingent beneficiary, Stepovich, received nothing. Probate proceedings were nonetheless contentious, as the client’s mother contested the will. Eventually she and the client’s wife successfully petitioned to remove Stepovich as the personal representative of the estate. The court enforced a settlement agreement in 2012, ending the probate proceedings.

B. Proceedings

The Alaska Bar Association filed a petition for formal hearing in December 2013, alleging that Stepovich had violated the conflict of interest provision, Alaska Rule of Professional Conduct 1.8, “when he prepared [the client’s] [w]ill and named himself the sole contingent beneficiary who could potentially inherit a substantial estate.” 3 In July 2014 Bar Counsel and Stepovich entered a Stipulation for Discipline by Consent, agreeing that he violated Rule 1.8(c) and did so negli *1207 gently. The recommended sanction for such a violation, according to the American Bar Association’s Standards for Imposing Lawyer Sanctions (the ABA Standards), is public censure. 4

Stepovich had been disciplined before; during his 32 years of practice leading up to the matter at issue here he received sanctions for three separate incidents of misconduct. On December 22, 2008, about six months before he drafted the client’s will, he had been reinstated to active status following a three-year suspension of his license with one year stayed. 5 In ‘that matter, the Disciplinary Board 6 concluded that Stepovich violated Alaska Rule of Professional Conduct 1.15(a) and (b) by knowingly misappropriating client funds, a violation the Board believed “was more extensive and more longstanding than the stipulation [for discipline] made clear.”

Bar Counsel presented the parties’ stipulation in the present matter to the Disciplinary Board in September 2014, but the Board rejected it. The Board “determined that, given the ... previous misconduct, and the nature of the misconduct in this case, ... the proposed discipline [of public censure] is too lenient. Of particular concern to the [B]oard [was] the degree to which the mental state in this . matter involved negligence versus knowledge.”

The matter was referred to an Area Hearing Committee (Committee) for development of the record. 7 The Committee heard testimony on the sanction in January 2015’ and issued written findings and conclusions. It found Stepovich grossly negligent, a mental state it acknowledged is not found in the ABA Standards; the Committee explained that “[n]aming one[self] as a contingent devi-see in a client’s will is an obvious conflict of interest that should have been recognized as a problem even absent specific knowledge- of Rule 1.8(c).” But the Committee concluded that Stepovich’s stayed year of suspension from the earlier discipline matter.should not be imposed, reasoning that the “same or similar” conduct that would trigger its imposition referred only to new trust fund violations. The Committee recommended that Stepovich be publicly censured.

The Disciplinary Board conducted another hearing and again found public censure too lenient; it concluded that the appropriate sanction was a six-month suspension.

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Bluebook (online)
386 P.3d 1205, 2016 Alas. LEXIS 136, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-the-disciplinary-matter-involving-stepovich-alaska-2016.