Klein v. Bristol Hospital

915 A.2d 942, 50 Conn. Supp. 160, 2006 Conn. Super. LEXIS 3897
CourtConnecticut Superior Court
DecidedOctober 12, 2006
DocketFile Nos. X09-CV-04-0833536S, X09-CV-04-0830894S
StatusPublished
Cited by1 cases

This text of 915 A.2d 942 (Klein v. Bristol Hospital) 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
Klein v. Bristol Hospital, 915 A.2d 942, 50 Conn. Supp. 160, 2006 Conn. Super. LEXIS 3897 (Colo. Ct. App. 2006).

Opinion

SHORTALL, J.

In these two medical malpractice cases, motions to disqualify the law firm representing the plaintiffs have been filed. An evidentiary hearing that consumed the equivalent of two and one-half days revealed that there are no genuine disputes among the parties as to the material facts, just different emphases and interpretations of those facts as they relate to the established law on disqualification of attorneys from representations adverse to their former clients. The court has concluded that the motions to disqualify should be denied.

[162]*162I

Attorney Paul Edwards practiced law with the firm of Danaher, Lagnese and Neal (Danaher firm) for thirteen years, from 1993 to May, 2006, when he left to become a partner in the firm of Stratton Faxon (Stratton firm). The Danaher firm specializes in the defense of medical malpractice cases, the Stratton firm in their prosecution. Edwards’ practice while with the Danaher firm was almost exclusively the defense of such cases. It appears from the evidence that his practice with the Stratton firm will be heavily if not exclusively in representing plaintiffs in the same kind of cases.1

The first matter, Klein v. Bristol Hospital, (Docket No. X09-CV-04-0833536S), is one in which the Danaher firm, but not Edwards, has represented codefendants Suzanne Miller, a physician, and Central Connecticut Obstetrics and Gynecology (Central), since its inception. The Stratton firm has represented the named plaintiff, Juliana Klein, and coplaintiff, Barbara Klein, during that same period and continues to do so. Edwards is not and will not be involved in the prosecution of that lawsuit, but a motion to disqualify the Stratton firm has been filed on behalf of Physicians for Women’s Health (Physicians), a Connecticut limited liability company [163]*163of which Central is a constituent unit, based on Edwards’ prior representation of other doctors who are members of Physicians.

The second matter, Cwikla v. Bloom, (Docket No. X09-CV-04-0830894S), has never been defended by the Danaher firm; rather, the named defendant, G. Peter Bloom, a physician, and codefendant Connecticut Surgical Group (Surgical), of which Bloom is a member, have been and are represented by attorney Augustus R. Southworth III of Carmody and Torrance (Carmody firm), who specializes in the defense of such cases. The Stratton firm has represented the plaintiff since the inception of the case, and Edwards has now been assigned to handle that matter. While at the Danaher firm, he represented four physicians who were and are members of Central. In three of those cases Central was a defendant as well, its alleged liability based on the claimed negligence of its member physicians; so, Edwards represented Central as well as the individual physicians in those cases. For that reason, the defendants in Cwikla have moved to disqualify not only Edwards but also the Stratton firm.

Additional relevant facts will be set forth as necessary in a more detailed discussion of each of these cases.

II

Because the defendants seek to disqualify the Stratton firm, the principal ethical provision implicated is rule 1.10 (b) of the Rules of Professional Conduct, which provides: “When a lawyer becomes associated with a firm, the firm may not knowingly represent a person in the same or a substantially related matter in which that lawyer, or a firm with which the lawyer was associated, had previously represented a client whose interests are materially adverse to that person and about [164]*164whom the lawyer had acquired information protected by Rules 1.6 and 1.9 (2) that is material to the matter.”2

It is clear from rule 1.10 (b) that not all representation adverse to a migrating lawyer’s former clients is forbidden to his new firm. Rather, the lawyer’s new firm may not represent a client in the same or a substantially related matter in which its new lawyer, or a firm with which he was previously associated, had represented a person whose interests are materially adverse to the new firm’s client, and in which the new lawyer had acquired confidential information about his former client which is material to the new matter.

The Connecticut Supreme Court has succinctly stated the rationale for requiring disqualification in certain cases involving a lawyer’s former clients and established a balancing test for the court to apply in considering such a motion: “Disqualification of counsel is a remedy that serves to enforce the lawyer’s duty of absolute fidelity and to guard against the danger of inadvertent use of confidential information. ... In disqualification matters, however, we must be solicitous of a client’s right freely to choose his counsel . . . mindful of the fact that a client whose attorney is disqualified may suffer the loss of time and money in finding new counsel and may lose the benefit of its longtime counsel's specialized knowledge of its operations. . . . The competing interests at stake in the motion to disqualify, therefore, are: (1) the defendant’s interest in protecting confidential information; (2) the [165]*165plaintiffs’ interest in freely selecting counsel of their choice; and (3) the public’s interest in the scrupulous administration of justice.” (Citations omitted; internal quotation marks omitted.) Bergeron v. Mackler, 225 Conn. 391, 397-98, 623 A.2d 489 (1993).

In so doing the court has allied itself with the majority view of the core interest at stake in rules 1.9 and 1.10, the protection of confidential information gained from a former client by the attorney and at risk of disclosure in his subsequent adverse representation. See 1 G. Hazard & W. Hodes, The Law of Lawyering (3d Ed. 2001 & 2005-1 Sup.) § 13.5, p. 13-13.3

Sometimes the risk of disclosure of confidential information is clear, as when the new firm seeks to represent a client with interests adverse to its new lawyer’s former client in the same legal dispute. Also, when “the relationship between the issues in the prior and present cases is patently clear or when the issues are identical or essentially the same”; (internal quotation marks omitted); Bergeron v. Mackler, supra, 225 Conn. 399; the cases will be found to be “substantially related,” and “the receipt of confidential information that would potentially disadvantage a former client is presumed.” Id.4

Even where the matters are not “substantially related” in this sense, i.e., where the issues are not “identical or essentially the same,” matters may be [166]*166found to be “substantially related” if there is a “substantial risk that confidential factual information as would normally have been obtained in the prior representation would materially advance the client’s position in the subsequent matter.” Model Rules of Professional Conduct 1.9, comment (3), 68 Conn. L.J., No. 4, p. 38B (July 25, 2006), effective January 1, 2007.

There are, thus, three questions to ask: What was the actual scope of the migrating lawyer’s prior representation? What confidential information would he “normally” have obtained in the course of that representation? Will the confidential information presumed to have been acquired give the new firm and its client an advantage over the prior client?

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Cite This Page — Counsel Stack

Bluebook (online)
915 A.2d 942, 50 Conn. Supp. 160, 2006 Conn. Super. LEXIS 3897, Counsel Stack Legal Research, https://law.counselstack.com/opinion/klein-v-bristol-hospital-connsuperct-2006.