Marlowe v. State Bar

405 P.2d 150, 63 Cal. 2d 304, 46 Cal. Rptr. 326, 1965 Cal. LEXIS 186
CourtCalifornia Supreme Court
DecidedSeptember 8, 1965
DocketS. F. No. 22057
StatusPublished
Cited by13 cases

This text of 405 P.2d 150 (Marlowe v. State Bar) is published on Counsel Stack Legal Research, covering California Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Marlowe v. State Bar, 405 P.2d 150, 63 Cal. 2d 304, 46 Cal. Rptr. 326, 1965 Cal. LEXIS 186 (Cal. 1965).

Opinion

THE COURT.

This is a proceeding to review the recommendation of the Board of Governors of the State Bar that petitioner be suspended from the practice of law for six months.

A local administrative committee concluded that petitioner violated his oath and duties as an attorney and committed [306]*306acts involving moral turpitude and dishonesty. It also decided that petitioner wilfully violated rules 4 and 8 of the Rules of Professional Conduct of the State Bar of California. Rule 4 provides that, “A member of the State Bar shall not acquire an interest adverse to a client.” Rule 8 provides that a member, “shall not directly or indirectly purchase property at a . . . judicial sale in . . . [a] proceeding in which such member appears as attorney for a party.” The local committee rendered findings of fact which purported to support these conclusions.

The Board of Governors modified the findings of fact to some extent, but adopted the recommendation of the local committee that petitioner should be suspended from practice for six months.1

We have concluded that petitioner’s conduct warrants discipline, but that on the record before this court six months’ suspension is excessive and that a three months’ suspension is proper.

The record indicates that petitioner has been a member of the State Bar since 1946 and that he has not been subjected to any prior disciplinary proceeding. As to the instant matter, the proceedings disclose that some time prior to January 1958 Mrs. Obelia Williams retained petitioner to recover over $2,000 in past due alimony payments. In January 1958 petitioner caused a writ of execution to issue on real property located at 1637 Chestnut Street in Oakland owned by Mrs. Williams’ ex-husband. On January 30, 1958, the Alameda County marshal levied on the premises. On February 18th petitioner deposited the necessary costs for publication and notice of sale. The committee found that on March 3rd petitioner informed Mrs. Williams of the time and place of the marshal’s sale and that she could bid on the property or give him authorization to do so. Again on March 17th, the day before the sale, he called Mrs. Williams and informed her of her rights at the sale. He further informed her that he could not attend the sale because of a trial the next day. Mrs. Williams indicated she had no interest in the property, but only wanted money in payment of the alimony obligation.

On March 18th the marshal held the sale. Mrs. Williams did not appear. The only persons present were a deputy marshal, petitioner’s wife and his secretary. Mrs. Marlowe asked the marshal if she could bid on the property. He informed [307]*307her she could. Mrs. Marlowe made the only hid, paying the marshal with a check for $50 drawn on the Crocker-Anglo Bank.

That evening Mrs. Marlowe told petitioner she had purchased the property. On April 11, 1958, petitioner informed Mrs. Williams of the purchase and indicated he anticipated redemption by the prior owner. The prior owner, however, did not redeem and in April 1959 petitioner forwarded Mrs. Williams a personal check for $50 as the proceeds from the sale. In September 1959 petitioner obtained a marshal’s deed for the property apparently made out to Mrs. Marlowe.

On November 2, 1959, petitioner and Mrs. Marlowe executed a joint promissory note payable to the Oakland Bank of Commerce in the sum of $2,179.20. The note was secured by a deed of trust on the Chestnut Street property signed by Mrs. Marlowe. In September 1960 petitioner executed another promissory note to the same bank. This note was secured by the pledge of two automobiles and also was a “further advance” on the November 1959 deed of trust. In March 1961 petitioner executed an agreement which consolidated the two prior loans. Finally, in February 1962 petitioner signed an agreement substituting collateral on the consolidated loan. The real estate at Chestnut street, however, apparently continued to serve as security.

Petitioner contends that his conduct is not culpable. He first argues that, because Mrs. Marlowe purchased the property in her name, it became her separate property (see Civ. Code, § 164). He therefore contends that he did not acquire any interest in the property. We cannot adopt this proposition; an attorney cannot hide behind the apron-strings of the community property laws to avoid an obligation to his client.

Petitioner next contends that the evidence demonstrates that he is not subject to discipline because of any improper conduct at the marshal’s sale. He argues that uncontradicted evidence indicates that he did not know Mrs. Marlowe would attend the sale. The evidence, he states, shows that the marshal called his office and said that someone from his office should be at the sale; that he was at trial at the time; that his secretary contacted Mrs. Marlowe, who was formerly petitioner’s secretary, and that Mrs. Marlowe decided she had better go to the sale; that Mrs. Marlowe had no intention of buying the property when she went to the sale, but when she found no one else was there to bid, she bid $50; that this is [308]*308corroborated by the fact that Mrs. Marlowe had to borrow a check from the marshal’s office to make the bid.

Respondent apparently accepts the above stated contention. It sets forth: “To narrow the area of controversy, it may be said that the testimony in this record establishes that the two ladies [Mrs. Marlowe and petitioner’s secretary] attended the sale and Mrs. Marlowe bid on the property without Petitioner’s prior knowledge or assent.” In its view the “crucial question” centers upon “whether on this record the conclusion is reasonably warranted that Petitioner is culpable beause of his conduct after he learned Mrs. Marlowe had purchased the property. ’ ’

Respondent’s position indicates that neither rule 4 nor rule 8 may serve as a basis for discipline against petitioner. If the property was purchased without petitioner’s “knowledge or assent,” we cannot hold that he “wilfully” acquired the property, or that he “wilfully” purchased the property, even in an indirect manner.

The mere fact that petitioner did not violate these rules, however, does not exonerate him. (See rule 1 of Rules of Professional Conduct of the State Bar.) “The commission of any act involving moral turpitude, dishonesty or corruption . . . constitutes a cause for . . . suspension.” (Bus. & Prof. Code, § 6106.) “Moral turpitude, broadly defined, is conduct which is contrary to justice, honesty and good morals.” (Fall v. State Bar (1944) 25 Cal.2d 149, 160 [153 P.2d 1]; Arden v. State Bar (1959) 52 Cal.2d 310, 321 [341 P.2d 6].)

Petitioner’s conduct in his relationship with Mrs. Williams fails to meet the high standards imposed on members of the bar of this state. “ An attorney’s duty of fidelity to his client involves far more than refraining from exercising undue influence. His fiduciary duty is ‘of the very highest character. ’ . . . For this reason all business dealings between an attorney and client whereby the attorney benefits are closely scrutinized for any unfairness on the attorney’s part.” (Magee v. State Bar (1962) 58 Cal.2d 423, 430 [24 Cal.Rptr. 839, 374P.2d 807].)

We should, therefore, closely scrutinize petitioner’s conduct after the judicial sale.

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Bluebook (online)
405 P.2d 150, 63 Cal. 2d 304, 46 Cal. Rptr. 326, 1965 Cal. LEXIS 186, Counsel Stack Legal Research, https://law.counselstack.com/opinion/marlowe-v-state-bar-cal-1965.