Johnston v. Casey, No. 557021 (Apr. 25, 2002)

2002 Conn. Super. Ct. 5382, 32 Conn. L. Rptr. 74
CourtConnecticut Superior Court
DecidedApril 25, 2002
DocketNo. 557021
StatusUnpublished

This text of 2002 Conn. Super. Ct. 5382 (Johnston v. Casey, No. 557021 (Apr. 25, 2002)) is published on Counsel Stack Legal Research, covering Connecticut Superior Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Johnston v. Casey, No. 557021 (Apr. 25, 2002), 2002 Conn. Super. Ct. 5382, 32 Conn. L. Rptr. 74 (Colo. Ct. App. 2002).

Opinion

[EDITOR'S NOTE: This case is unpublished as indicated by the issuing court.]

MEMORANDUM OF DECISION ON MOTION TO DISQUALIFY
This is a motion to disqualify the law firm representing the defendant estate and estate fiduciary in a suit against the estate by the plaintiff caretaker of the decedent during his final years. In the first count, the suit claims that the daughter of the decedent who is the estate fiduciary is wrongfully preventing the plaintiff from receiving certain property and money rightfully belonging to her as a result of certain written and verbal agreements of the decedent made with the plaintiff.

The second count, relying on the same factual assertions as the first count, claims the estate fiduciary is interfering with the contractual or financial expectancies of the plaintiff. The final count lies in conversion and claims that the estate fiduciary "has intentionally dispossessed the plaintiff' of the property listed in the first count.

The estate is represented by a long established New London law firm. The motion to disqualify that firm is based on two grounds: (1) the plaintiff represents she intends to call an attorney (in decision he will be referred to as "the attorney") from the firm "since she reasonably believes his testimony is relevant and necessary to a proper determination of the pending suit"; and (2) the attorney's representation of the estate fiduciary in the pending matter is adverse to the interest CT Page 5383 of the decedent on a matter substantially related to the present controversy.

What are the grounds for disqualification advanced by the plaintiff? The plaintiffs brief refers first to Rule 3.7(a) of the Rules. That provision states a lawyer shall not act as an "advocate at a trial" in which he or she is likely to be a necessary witness except where one of three exceptions apply. Any direct problem presented by subsection (a) is avoided by the fact that counsel appearing in court for the defendant estate has represented that the attorney in his firm who will be called as a witness will not be representing the estate in court proceedings. This will avoid the obvious problems presented by a lawyer calling him or herself as a witness before the trier of fact when the same lawyer is presenting the client's case. But this does not answer the request for disqualification made here since, if subsection (b) of § 3.7 of the Rules of Professional Conduct (Rules) applies, the whole firm would be disqualified under Rule 1.10(a).

The issue raised is more exactly presented by subsection (b) of Rule 3.7 which says:

"(b) A lawyer may act as advocate in a trial in which another lawyer in the lawyer's firm is likely to be called as a witness unless precluded from doing so by Rule 1.7 or Rule 1.9."

Before discussing these just-mentioned rules specifically, certain general comments are in order as they relate to disqualification in a situation such as this and the genesis of Rule 3.7. The plaintiff in her brief refers to State v. Rapuano, 192 Conn. 228 (1984), for the general proposition that "whenever counsel for a client reasonably foresees that he will be called as a witness to testify on a material matter, the proper action is for that attorney to withdraw from the case." Id., p. 231. If that were the flat rule and it was read in conjunction with Rule 1.10(a), disqualification would, in fact, be appropriate here. But the case cited relied on Jennings Co. v. DiGenova, 107 Conn. 491 (1928);Rapuano was a 1984 case and the present Rules were adopted in 1986.Connecticut Practice, Vol. 1, Horton Knox make the following observation in their comments to Rule 3.7(b) at page 78:

"Rule 3.7(b) is a significant and important change. Under the Code, if one member of a firm had to testify, all members of the firm were disqualified. Fletcher v. Plotnick, 12 Conn. L. Trib. No. 19, p. 23 (1986). Rule 3.7(b) eliminates the blanket imputed disqualification which previously existed under the CT Page 5384 Code. The holding in Erwin M. Jennings Co. v. DiGenova, 107 Conn. 491, 141 A. 866 (1928), that the giving of material testimony by the trial attorney's partner violated the Code, should no longer result under this Rule. It is no longer mandatory for a lawyer, upon discovering she must testify on behalf of a client, to seek the services of another attorney and withdraw from the case. If either the lawyer-advocate or the lawyer-witness (both of the same law firm) has a conflict of interest pursuant to Rule 1.7 (General Conflict) or Rule 1.9 (Former Client) the lawyer-advocate may be precluded from the representation under Rule 1.10. However, absent those specific conflict situations, even if a lawyer called to testify, another lawyer from the firm may now try the case."

(1)
The court will first examine Rule 1.9 to determine whether under that rule disqualification is necessary. That rule reads as follows:

"Rule 1.9 Conflict of Interest: Former Client

A lawyer who has formerly represented a client in a matter shall not thereafter:

(1) Represent another person in the same or a substantially related matter in which that person's interest are material adverse to the interests of the former client unless the former client consents after consultation; or

(2) Use information relating to the representation to the disadvantage of the former client except as Rule 1.6 would permit with respect to a client or when the information has became generally known."

In deciding on the appropriate application of Rule 1.9, it is necessary to understand its purpose. An important purpose of the Rule is to maintain public confidence in the legal system. It is obvious that such confidence is damaged when lawyers appear to use prior relationships with clients to that client's disadvantage. Rule 1.9 has been described then as "a prophylactic rule to prevent even the potential that a former client's confidences and secrets may be used against . . . the client,"In re Conn. Derivatives Antitrust Litigation, 748 F.2d 157, 162 (CA 3, CT Page 5385 1984); see also Brennan's Inc. v. Brennan's Restaurants, Inc.,590 F.2d 168, 172 (CA 5, 1979); Prisco v. Westgate Entertainment,799 F. Sup. 266, 270 (D. Conn. 1992).

Under Rule 1.9, the plaintiff moving to disqualify has three burdens to meet: (1) she and the attorney who may testify had a prior client attorney relationship; (2) the interests of that attorney's and his firm's current client are adverse to the plaintiff; and (3) the matters involved in the instant case are substantially related to the matters for which DBH previously represented the plaintiff. See Koch v. KochIndustries, 798 F. Sup. 1525, 1532 (D. Kan., 1992); Evans v. ArtekSystems Corp., 715 F.2d 788, 791 (CA 2, 1983); Prisco v. WestgateEntertainment, Inc., supra, p. 269.

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Bluebook (online)
2002 Conn. Super. Ct. 5382, 32 Conn. L. Rptr. 74, Counsel Stack Legal Research, https://law.counselstack.com/opinion/johnston-v-casey-no-557021-apr-25-2002-connsuperct-2002.