LawHQ, LLC v. Curtin

CourtDistrict Court, D. Rhode Island
DecidedJanuary 20, 2021
Docket1:20-cv-00033
StatusUnknown

This text of LawHQ, LLC v. Curtin (LawHQ, LLC v. Curtin) is published on Counsel Stack Legal Research, covering District Court, D. Rhode Island primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
LawHQ, LLC v. Curtin, (D.R.I. 2021).

Opinion

IN THE UNITED STATES DISTRICT COURT FOR THE DISTRICT OF RHODE ISLAND

__________________________________________ : LAWHQ, LLC, AND THOMAS ALFORD, : Plaintiffs : : v. : No. 1:20-00033-MSM-PAS : DAVID D. CURTIN, in his official capacity : as Chief Disciplinary Counsel for the : Disciplinary Board of the Supreme Court of : Rhode Island, : Defendant. : __________________________________________:

MEMORANDUM AND ORDER Mary S. McElroy, United States District Judge.

This lawsuit is part of a nationwide litigation effort undertaken by LawHQ, LLC, and its founder, Thomas Alvord. LawHQ is a Utah limited liability corporation practicing law, or at least allowed to practice law, in nearly all 50 states under its trade name “LawHQ.” That trade name is at the core of the dispute before the Court. Rhode Island maintains adherence to Rule 7.5(a) of the Rules of Professional Conduct which prohibits the use of trade names by law firms. It states in relevant part, [a] lawyer shall not use a firm name, letterhead or other professional designation that violates Rule 7.1. A firm name used by a lawyer in private practice shall include the full or last name of one or more principal attorneys actively practicing law on behalf of the law firm except, if otherwise lawful, law firms may use as, or continue to include in, its name the name or names of one or more of its deceased or retired attorneys or of a predecessor firm in a continuing line of succession ….

R.I. Sup. Ct. Rules, Art. V, Rules of Prof. Conduct, Rule 7.5(a). The Rule, if enforced against the plaintiffs, would preclude LawHQ from practicing under its trade name in Rhode Island. The plaintiffs plan to extend their nationwide practice to Rhode Island but maintain that the prospect of enforcement of Rule 7.5 precludes them from doing so. They have therefore sued for injunctive relief against the person who enforces the Rules of Professional Conduct: David D. Curtin, Chief Disciplinary Counsel. Mr. Curtin has brought a Motion to Dismiss (ECF No. 11) pursuant to Fed. R. Civ. P. 12(b)(1). By this Memorandum and Order, and for the reasons below, the Court DENIES that Motion. JURISDICTION AND STANDARD OF REVIEW The plaintiffs claim that Rule 7.5 violates their First Amendment rights by

unconstitutionally restricting their commercial speech. Jurisdiction is therefore appropriate under 28 U.S.C.A. §§ 1331 and 1343(a)(3). The plaintiffs have demonstrated a clear First Amendment interest. In , the Supreme Court held that lawyers and law firms have a protected First Amendment interest in commercial speech. 433 U.S. 350, 383 (1977).1 Here

1 Commercial speech is protected by the First Amendment but is subject to regulation. , 535 U.S. 357, 367 (2002). If the commercial speech “concerns unlawful activity or is misleading” then a regulation can be constitutionally permissible. . If however, “the speech concerns lawful activity and is not misleading,” then the governmental interest must be substantial to survive a constitutional challenge. . (citing , 447 U.S. 557, 566, 65 L. Ed. 2d 341, 100 S. Ct. 2343 (1980)). If the governmental interest is substantial, then the court must determine whether the plaintiffs allege that Rule 7.5(a)2 of the Rhode Island Rules of Professional Conduct is “more extensive than is necessary to serve the state’s claimed interest in preventing misleading advertising” and is therefore unconstitutional on its face, in violation of

the First Amendment to the United States Constitution. (ECF No. 1 ¶13). The defendant, as “the party seeking to uphold a restriction on commercial speech [will carry] the burden of justifying it” when the merits are addressed by the court. 535 U.S. at 373 (citing 507 U.S.761, 770 (1993)) (internal citations omitted) There are two bases asserted by the defendant in the Motion to Dismiss. The first is jurisdictional, invoking the twin justiciability doctrines of “standing” and

regulation “directly advances the governmental interest” and ask, “whether it is not more extensive than is necessary to serve that interest.” . (internal quotations omitted).

2According to the plaintiffs, the idea surrounding Rule 7.5(a) dates to the ABA committee decision to prohibit the use of “trade name[s]” being “used to disguise the practitioner or his partnership” back in the late 1920s. (ECF No. 1 at 3) (quoting 52 ABA Rep. 495, 496 (1928)). This Rule then developed into Canon 33 that stated, when “select[ing the] use of a firm name, no false, misleading, assumed or trade name should be used.” at 4 (quoting , Canon 33 (1937)). Rhode Island, and almost every other state adopted Canon 33. at 5. It was not until , 433 U.S. 350 (1977), in which the Supreme Court ruled “that the First Amendment Protects truthful and non-misleading advertising by lawyers and law firms,” that campaigns began against Model Rule 7.5(a). at 7 (citing , 433 U.S. at 383-84). Following the ABA eliminated many “lawyer-advertising restrictions” and added a comment to Rule 7.5 that explained that a law firm can use a trade name “so long as it is not misleading.” at 8. In 2019, however, the ABA abolished Rule 7.5 in its entirety, and since then almost every state has modified its Model Rules to eliminate the “ban on law-firm trade names.” at 9. 3.

“ripeness,” both elements of the “case or controversy” requirement to federal court jurisdiction arising from Article III of the United States Constitution. 845 F.3d 493, 499 (1st Cir. 2017). The second is Mr. Curtin’s demurrer that

he is not the appropriate person against whom the lawsuit should proceed. THE WANING VIABILITY OF RULE 7.5 While the merits are not before the court,3 and the Motion to Dismiss is purely procedural, a brief discussion of Rule 7.5 is instructive. According to the Complaint, the origin of the Rule was the American Bar Association’s (“ABA”) adopting it in the 1920s to address a fear that trade names would “disguise the practitioner or his partnership.” (ECF No. 1 at 3 (quoting 52 ABA Rep.

495, 496 (1928)). The Rule then supported Canon 33 which barred “false, misleading, assumed or trade name[s].” When “select[ing the] use of a firm name, no false, misleading, assumed or trade name should be used.” at 4 (quoting , Canon 33 (1937)). For many years, Rhode Island omitted the trade name ban from its Rules. R.I. Sup. Ct. Rules, Art. V, Rules of Prof. Conduct, Rule 7.5(a) (2007). A comment to the

rule explained that “a trade name such as the ‘ABC Legal Clinic’” was “acceptable” under the rule “so long as it is not misleading.” The “use of such names to designate law firms,” the comment noted, “has proven a useful means of identification.” In 2015, however, the prohibition was re-adopted and remains in

3 For a discussion of the merits, 230 F. Supp. 2d 1147 (D. Nev. 2002) (finding trade name prohibition for law firms unconstitutional). effect today. Rhode Island Rules of Prof ’l Conduct 7.5(a) & cmt. (2015). In 1983, the ABA eliminated many “lawyer advertising restrictions,” ABA Formal Op. 84-351 (1984), while adding a comment to Rule 7.5 explaining that a law firm may use a

trade name “so long as it is not misleading.” (ECF No. 1, ¶¶26, 27). In 2019, the ABA eliminated Rule 7.5 entirely. ABA Standing Committee on Ethics and Prof’l Responsibility, 1 (2019), http://bit.ly/2NqQp54.

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LawHQ, LLC v. Curtin, Counsel Stack Legal Research, https://law.counselstack.com/opinion/lawhq-llc-v-curtin-rid-2021.