Lowder v. All Star Mills, Inc.

300 S.E.2d 230, 60 N.C. App. 275, 1983 N.C. App. LEXIS 2444
CourtCourt of Appeals of North Carolina
DecidedJanuary 18, 1983
Docket8220SC14
StatusPublished
Cited by21 cases

This text of 300 S.E.2d 230 (Lowder v. All Star Mills, Inc.) is published on Counsel Stack Legal Research, covering Court of Appeals of North Carolina primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Lowder v. All Star Mills, Inc., 300 S.E.2d 230, 60 N.C. App. 275, 1983 N.C. App. LEXIS 2444 (N.C. Ct. App. 1983).

Opinion

WEBB, Judge.

We note at the outset that all the orders from which appeals are taken are interlocutory. We believe the order denying the motion to disqualify the plaintiffs’ attorneys, which is the subject of the appellants’ first assignment of error, and the order authorizing the receivers to settle the tax claims against the corporate defendants, which is the subject of the appellants’ sixth assign *279 ment of error, affect substantial rights which will work injury to the appellants if not corrected before an appeal from a final judgment. These orders are appealable. See Industries, Inc. v. Insurance Co., 296 N.C. 486, 251 S.E. 2d 443 (1979). In our discretion, we shall consider some of the appellants’ other assignments of error.

The appellants first contend it was error to deny their motion to disqualify the plaintiffs’ attorneys. The defendants made a motion on 17 March 1981 to disqualify the plaintiffs’ attorneys on the ground they had a conflict of interest. The record shows that prior to the filing of this action, W. Horace Lowder was convicted in federal court of income tax evasion. Mr. Lowder represented himself at trial and on appeal. He then retained the law firm of Brown, Brown and Brown. R. L. Brown, Jr. and R. L. Brown, III of that firm petitioned for a rehearing and, with the law firm of Arent, Fox, Kintner, Plotkin and Kahn of Washington, D.C., they petitioned the United States Supreme Court for a writ of cer-tiorari. Both petitions were denied. R. L. Brown, III also represented Mr. Lowder in an attempt to have his sentence reduced and in an attempt to let Mr. Lowder serve the sentence in the Stanly County jail. The matters in which Mr. Brown represented Mr. Lowder in his criminal case are now involved in this civil action.

After the Brown firm had completed its representation of W. Horace Lowder, Malcolm Lowder conferred with R. L. Brown, III in regard to the problems of the corporations. Malcolm Lowder became dissatisfied with the manner in which the corporations had been managed and determined to bring this action. Malcolm Lowder retained R. L. Brown, III, who associated the law firm of Moore and Van Allen. Moore and Van Allen signed the complaint as plaintiffs’ attorneys, but the Brown firm will receive a part of any contingent fee received by Moore and Van Allen.

On 24 March 1979, W. Horace Lowder filed a grievance with the North Carolina State Bar against R. L. Brown, III in which he stated that Mr. Brown had represented him on a petition for a writ of certiorari to the United States Supreme Court, that his brother, Malcolm M. Lowder, had stated that he was represented by Mr. Brown in an action to have W. Horace Lowder removed as manager of the corporation, that Mr. Brown had arranged for a *280 Charlotte law firm to represent his brother in a suit to have W. Horace Lowder removed from the management of the corporations, and that Mr. Brown had furnished the Charlotte law firm transcripts of the criminal trial. On 20 July 1979 the Grievance Committee of the North Carolina State Bar notified Mr. Brown “that after investigation and hearing, no probable cause was found” and the complaint was dismissed.

Judge Seay found as to the Brown firm that its representation of W. Horace Lowder “was extremely narrow in scope and necessarily based on matters of public record,” that W. Horace Lowder’s “exchanges of information with the Brown firm were confined to matters of public record or matters not substantially related to the present action,” that the Grievance Committee of the North Carolina State Bar found no probable cause and dismissed the complaint after an investigation and hearing on essentially the same matters that were asserted in the motion, and that the “movant has failed to present this issue in a timely fashion.” Judge Seay found as to Moore and Van Allen that since no confidences were shared between W. Horace Lowder and the Brown firm, none were passed to Moore and Van Allen, that the Brown firm and “Moore and Van Allen do not constitute a ‘firm’ for the purposes of imputing knowledge pursuant to Canon Four of the North Carolina Code of Professional Responsibility,” and that plaintiffs would “suffer considerable prejudice in having their choice of counsel disqualified at this stage of the proceedings.” The court denied the motion to disqualify the plaintiffs’ counsel. The appellants assign error to this ruling.

The Code of Professional Responsibility of the North Carolina State Bar, Appendix VII, of the General Statutes, provides in pertinent part:

Canon 4
A Lawyer Should Preserve the Confidences and Secrets of a Client
* * *
EC4-4 The attorney-client privilege is more limited than the ethical obligation of a lawyer to guard the confidences and secrets of his client. This ethical precept, unlike the eviden-tiary privilege, exists without regard to the nature or source *281 of information or the fact that others share the knowledge.
EC4-5 A lawyer should not use information acquired in the course of the representation of a client to the disadvantage of the client and a lawyer should not use, except with the consent of his client after full disclosure, such information for his own purposes. . . . Care should be exercised by a lawyer to prevent the disclosure of the confidences and secrets of one client to another, and no employment should be accepted that might require such disclosure.
EC4-6 The obligation of a lawyer to preserve the confidences and secrets of his client continues after the termination of his employment ....
* * *
Canon 9
A Lawyer Should Avoid Even the Appearance of Professional Impropriety
* * *
EC9-6 Every lawyer owes a solemn duty to uphold the integrity and honor of his profession . . . and to strive to avoid not only professional impropriety but also the appearance of impropriety.

We can find no precedent in this jurisdiction for the question raised by this assignment of error. In Swenson v. Thibaut, 39 N.C. App. 77, 250 S.E. 2d 279 (1978), cert. denied, 296 N.C. 740, 254 S.E. 2d 181 (1979), this Court held that the plaintiffs’ attorneys should not be disqualified. In that case the plaintiffs’ attorneys had appeared for a corporation which was a nominal defendant in the case then being litigated, but whose actual interests coincided with the interests of the plaintiffs.

There have been cases from other jurisdictions dealing with this question. See, e.g., State of Ark. v. Dean Food Products Co., Inc., 605 F. 2d 380 (1979); Brennan’s, Inc. v. Brennan’s Restaurants, Inc., 590 F. 2d 168 (1979); Akerly v. Red Barn System, Inc., 551 F. 2d 539 (1977); NCK Org’n Ltd. v. Bregman, 542 F. 2d 128 (1976), and Annot., 52 ALR 2d 1243 (1957). We *282

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300 S.E.2d 230, 60 N.C. App. 275, 1983 N.C. App. LEXIS 2444, Counsel Stack Legal Research, https://law.counselstack.com/opinion/lowder-v-all-star-mills-inc-ncctapp-1983.