Pacific Dunlop Holdings, Incorporated, a Delaware Corporation v. Robert F. Barosh, Francis X. Beaudette, Stanley N. Gaines, Defendants-Third Party Plaintiffs-Counterdefendants-Appellees v. Pacific Dunlop Gnb Corporation, a Delaware Corporation, and Gnb Incorporated, a Delaware Corporation, Third Party Defendants-Counterplaintiffs, Appeal of Gardner, Carton & Douglas, Attorneys for Pacific Dunlop Holdings, Incorporated

22 F.3d 113
CourtCourt of Appeals for the Third Circuit
DecidedApril 25, 1994
Docket93-2200
StatusPublished

This text of 22 F.3d 113 (Pacific Dunlop Holdings, Incorporated, a Delaware Corporation v. Robert F. Barosh, Francis X. Beaudette, Stanley N. Gaines, Defendants-Third Party Plaintiffs-Counterdefendants-Appellees v. Pacific Dunlop Gnb Corporation, a Delaware Corporation, and Gnb Incorporated, a Delaware Corporation, Third Party Defendants-Counterplaintiffs, Appeal of Gardner, Carton & Douglas, Attorneys for Pacific Dunlop Holdings, Incorporated) is published on Counsel Stack Legal Research, covering Court of Appeals for the Third Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Pacific Dunlop Holdings, Incorporated, a Delaware Corporation v. Robert F. Barosh, Francis X. Beaudette, Stanley N. Gaines, Defendants-Third Party Plaintiffs-Counterdefendants-Appellees v. Pacific Dunlop Gnb Corporation, a Delaware Corporation, and Gnb Incorporated, a Delaware Corporation, Third Party Defendants-Counterplaintiffs, Appeal of Gardner, Carton & Douglas, Attorneys for Pacific Dunlop Holdings, Incorporated, 22 F.3d 113 (3d Cir. 1994).

Opinion

22 F.3d 113

Fed. Sec. L. Rep. P 98,183, 28 Fed.R.Serv.3d 1050

PACIFIC DUNLOP HOLDINGS, INCORPORATED, a Delaware
corporation, Plaintiff,
v.
Robert F. BAROSH, Francis X. Beaudette, Stanley N. Gaines,
et al., Defendants-Third Party
Plaintiffs-Counterdefendants-Appellees,
v.
PACIFIC DUNLOP GNB CORPORATION, a Delaware corporation, and
GNB Incorporated, a Delaware corporation, Third
Party Defendants-Counterplaintiffs,
Appeal of GARDNER, CARTON & DOUGLAS, attorneys for Plaintiff
Pacific Dunlop Holdings, Incorporated.

Nos. 93-2200, 93-2551.

United States Court of Appeals,
Seventh Circuit.

Argued Jan. 3, 1994.
Decided March 4, 1994.*
Opinion April 25, 1994.
Opinion April 25, 1994.

Peter J. Meyer, Gordon B. Nash, Jr. (argued), Michael J. Koenigsknecht, Daniel J. Sheridan, Deena S. Newlander, Gardner, Carton & Douglas, Chicago, IL, for Pacific Dunlop Holdings, Inc., Pacific Dunlop GNB Corp., GNB, Inc. in No. 93-2200.

Peter J. Meyer, Gordon B. Nash, Jr. (argued), Michael J. Koenigsknecht, Daniel J. Sheridan, Deena S. Newlander, David J. Gilmartin, Thomas More Schippers, Gardner, Carton & Douglas, Chicago, IL, for Pacific Dunlop Holdings, Inc., Pacific Dunlop GNB Corp., GNB, Inc. in No. 93-2551.

Laurence H. Lenz, Jr., Donald E. Egan (argued), Andrew M. Varga, Paul A. Haskins, Katten, Muchin & Zavis, Chicago, IL, for defendants-appellees.

Before POSNER, Chief Judge, ROVNER, Circuit Judge, and MIHM, District Judge**.

MIHM, District Judge.

This is an appeal from the district court's award of $138,015.11 in legal fees and costs to Appellees under Federal Rule of Civil Procedure 11 and 28 U.S.C. Sec. 1927. For the reasons stated below, we reverse.

I. FACTUAL BACKGROUND

In May 1984, the General Services Administration ("GSA") awarded GNB Batteries ("GNB") a three-year contract to supply batteries and related parts to GSA. In early 1987, GSA conducted an audit of the 1984 contract and found that GNB had failed to fully disclose to GSA the discounts GNB had offered to its commercial customers and had failed to grant GSA the equivalent discounts as required by their contract. The audit stated that GSA would conduct a further review of the 1984 contract. GNB received a copy of the GSA audit in July 1987.

In October 1987, Appellant Pacific Dunlop Holdings Inc. ("PDHI"), the Appellees (the "Management Shareholders"), and the other stockholders of GNB entered into a Stock Purchase Agreement and related documents in which PDHI bought stock in GNB. At the time of the transaction the Management Shareholders were the principal operating personnel of GNB Holdings, Inc., which owned GNB. In this stock transaction, PDHI was represented by the law firm of Gardner, Carton & Douglas ("Gardner, Carton").

Until September 1988, Defendant Arthur Richards ("Richards") was the chief operating officer of GNB's Industrial Battery Division. In January 1990, Richards learned through contacts at GNB that a federal grand jury was investigating the GSA audit. At that time, Richards no longer worked for GNB. Richards then contacted GNB's general counsel, Augustus Hipp, who confirmed the federal investigation. Hipp told Richards that Gardner, Carton was representing GNB in the investigation. Thereafter, Richards had some telephone conversations with Gardner, Carton attorneys about the status of the grand jury proceedings.

On January 2, 1991, PDHI, represented by Gardner, Carton, filed a lawsuit against the Management Shareholders alleging that the Management Shareholders had violated Section 10(b) of the Securities Exchange Act of 1934 and SEC Rule 10b-5, had committed fraud, and had breached representations and warranties in connection with the sale of their stock in GNB Holdings, Inc. PDHI claimed that the Management Shareholders had failed to disclose material facts, including the GSA audit of a battery supply contract and various environmental problems at GNB's facilities.

On May 15, 1991, the district court dismissed PDHI's fraud claims concerning the alleged environmental nondisclosures and PDHI's claim for declaratory relief. On June 28, 1991, PDHI filed an amended complaint. While Katten Muchin & Zavis, the Management Shareholders' counsel, was preparing the Management Shareholders' response to the amended complaint, it learned that Richards had spoken with Gardner, Carton during Gardner, Carton's representation of GNB in the grand jury investigation. Richards claimed that he was led to believe that Gardner, Carton was representing him because of his status as a former GNB employee. Richards also claimed that he had disclosed confidential information to Gardner, Carton regarding what he knew about the GSA audit after Gardner, Carton attorneys had assured him that no conflict of interest existed.

Based on Richards's claims regarding conversations with Gardner, Carton attorneys, the Management Shareholders filed a Motion to Disqualify Gardner, Carton on December 17, 1991. In their Motion to Disqualify, the Management Shareholders asserted that Gardner, Carton attorneys would likely be called as witnesses in the trial of the case; that Gardner, Carton had a conflict of interest with PDHI because it had negligently or recklessly failed to uncover the Management Shareholders' alleged fraud prior to the sale; and that Gardner, Carton had previously entered into an implied attorney-client relationship with Richards regarding the GSA contract. In support of these arguments, the Management Shareholders submitted the affidavits of Richards and two other persons involved in the stock transaction.

Upon receiving the Management Shareholders' Motion to Disqualify, PDHI served notices of deposition on Richards and other persons whose affidavits the Management Shareholders had filed with their Motion. Gardner, Carton also filed a motion for expedited discovery. The Motion to Expedite Discovery stated:

[PDHI seeks to] resolve defendants' Motion to Disqualify as soon as possible and ... to proceed with the depositions as soon as possible. Therefore, it requests that the court order discovery to be conducted on an expedited basis.

The district court granted PDHI's Motion to Expedite Discovery. By January 31, 1992, PDHI had completed discovery.

On February 4, 1992 at a status hearing, PDHI informed the district court that, based on the depositions taken of the Management Shareholders' affiants, including Richards, PDHI believed that the Management Shareholders' Motion to Disqualify failed as a matter of law. PDHI supposedly believed that Richards' affidavit and deposition testimony demonstrated that Richards had never provided confidential information to Gardner, Carton and had never sought legal advice from Gardner, Carton and therefore, as a matter of law, no attorney-client relationship existed.

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