Matter of Discipline of Perl

407 N.W.2d 678, 1987 Minn. LEXIS 777
CourtSupreme Court of Minnesota
DecidedJune 19, 1987
DocketCX-86-343
StatusPublished
Cited by9 cases

This text of 407 N.W.2d 678 (Matter of Discipline of Perl) is published on Counsel Stack Legal Research, covering Supreme Court of Minnesota primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Matter of Discipline of Perl, 407 N.W.2d 678, 1987 Minn. LEXIS 777 (Mich. 1987).

Opinion

PER CURIAM.

This matter comes before us for the imposition of discipline for respondent’s misconduct in solicitation of clients and in representing clients in personal injury claims while having a conflict of interest. The referee recommends a 1-year suspension retroactive to August 4, 1986. We adopt the recommendation.

On January 31, 1986, the Director of the Office of Lawyers Professional Responsibility served a petition for disciplinary action on respondent alleging six counts of professional misconduct: Payment of referral fees to nonlawyers; solicitation of Dai-kon Shield personal injury claims; conflict of interest in respondent’s relationship with an insurance adjuster; misappropriation of client funds with respect to interest earned in the firm trust account; commingling of funds and inadequate records; and coverup of misconduct and obstruction of the disciplinary investigation.

In answering the petition, respondent denied any wrongdoing, but also, pursuant to Rules 10(b) and 13(b) of the Rules on Lawyers Professional Responsibility, filed a “conditional admission,” under which he offered to admit the charges of misconduct on the condition that the discipline imposed be not more than 1 year’s suspension. On August 1, 1986, after a hearing in this court, we issued an order (two justices dissenting) suspending respondent for 1 year commencing August 4, 1986, with reinstatement dependent on certain terms and conditions. The Director then filed a petition for a rehearing. It appeared that there had been a misunderstanding on the nature of the tendered conditional admission. This court concluded, therefore, that the matter should be thoroughly explored at a full referee’s hearing; and on October 6, 1986, we isshed an order withdrawing and vacating the suspension order and remanding the case to the referee. 1

A hearing was held between November 10, 1986, and December 19, 1986, before retired judge Carroll E. Larson as referee. Judge Larson’s findings of fact and conclusions of law were filed on January 22,1987. Neither side has ordered a transcript of the proceedings, and, therefore, the findings and conclusions are deemed conclusive. Minn.R.Law.Prof.Resp. 14(d).

The referee found that three of the six charges had not been proven by the Director and should be dismissed. From the evidence adduced, including a detailed examination of the books and records by a certified public accountant, the referee found that respondent and his firm had kept proper books and records; and that there had been no mismanagement of the trust account, no misappropriation, and no commingling of client funds. 2 The referee *680 further found that the allegation of a cover-up and obstruction of the disciplinary proceedings were unproven and “without merit.” The referee did find, however, that the first three counts of misconduct had been established by the Director.

On the first count, the referee found that respondent had paid referral fees to non-lawyer employees in violation of DR1-102(A)(2) and DR2-103(B) and (C). 3 On the second count, the referee found respondent, through employees, had solicited clients with Daikon Shield claims in violation of DR1-102(A)(2), DR2-103(B), (C) and (E). 4 On the third count, the referee found that respondent had conflicting interests, in violation of DR5-101(A), in representing Daikon Shield clients against Aetna Insurance Company while at the same time retaining Aetna’s claims adjuster as a paid consultant to evaluate the firm’s FELA cases. The conflict of interest violation, we might note, has been the subject of considerable litigation. 5 Here, the referee found that respondent had ordered consulting fee payments to the adjuster, Willard F. Browne, totaling $42,615; and that during the same period of time, respondent had settled 178 Daikon Shield cases, many if not most of them, through Browne’s efforts. While Browne had been paid substantial FELA consulting fees, the referee found “it was not shown that Browne was paid any amounts by Perl for settling Dal-kon Shield cases” and that “[i]t also does not appear that the clients were prejudiced in these settlements.” As a consequence of Rice v. Perl, 320 N.W.2d 407 (Minn.1982), the trial court further found that Perl has had to repay large sums to clients in forfeiture of his fees earned on the Dai-kon Shield eases.

For the three counts of proven misconduct, the referee recommended a 1-year suspension. In mitigation, the referee noted that the severe fee forfeitures already sustained were both “reparational and admonitory” (quoting Gilchrist v. Perl, 387 N.W.2d 412, 416 (Minn.1986)). The referee noted, too, that 7 years of “relentless” and costly litigation have taken their toll on respondent’s reputation, his law practice, his financial resources, and his health. The referee found that respondent’s prior 35-year unblemished record, his age (61), his civic, professional, religious and charitable contributions, were all factors deserving to be given weight in mitigation. The referee recommended the 1-year suspension be retroactive to August 4, 1986, the date when this court had originally ordered respondent’s suspension to begin, the referee stating that since that date respondent has “completely detached himself from all phases of law practice.” The referee concluded that a 1-year suspension was “a fair and just disposition,” and that the litigation “has been continued to a point of exhaustion and should come to an end.”

*681 The issue before us, then, is what sanction to impose. The referee’s recommendation is entitled to great weight but final responsibility for discipline lies with this court. The referee recommends a 1-year suspension retroactive to August 4, 1986. The Director requests a 1-year suspension from the date of this court’s final order. Respondent proposes several alternative dispositions, the most severe being suspension for 6 months less 1 day retroactive to August 4, 1986.

I.

We have few cases involving payment to nonlawyers for soliciting clients. This practice was first condemned, and condemned severely, in a 1933 case, In re Greathouse, 189 Minn. 51, 248 N.W. 735 (1933). Attorney Greathouse had obtained tips on auto accidents from public garages, former clients, and newspaper reporters, some of whom were paid for the information. Based on these leads, Greathouse would go himself, or send one of his employee-attorneys, to the hospital or other location to find the injured person and solicit their business. This court warned that any such organized solicitation in the future would warrant suspension, but Great-house was given only a reprimand because this kind of misconduct had not previously been considered by this court and because “we should not deal harshly with a lawyer who does only what other lawyers have been doing unmolested.” Id. at 64, 248 N.W. at 740. Five years later, we suspended a lawyer for 3 years (later reduced to about 2 years) for similar organized solicitation. In re McDonald,

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Bluebook (online)
407 N.W.2d 678, 1987 Minn. LEXIS 777, Counsel Stack Legal Research, https://law.counselstack.com/opinion/matter-of-discipline-of-perl-minn-1987.