Security General Life Insurance v. Superior Court

718 P.2d 985, 149 Ariz. 332, 1986 Ariz. LEXIS 178
CourtArizona Supreme Court
DecidedJanuary 24, 1986
Docket18453-SA
StatusPublished
Cited by40 cases

This text of 718 P.2d 985 (Security General Life Insurance v. Superior Court) is published on Counsel Stack Legal Research, covering Arizona Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Security General Life Insurance v. Superior Court, 718 P.2d 985, 149 Ariz. 332, 1986 Ariz. LEXIS 178 (Ark. 1986).

Opinion

FELDMAN, Justice

By this special action petitioner challenges a trial judge’s order disqualifying its chosen counsel and his law firm from representation. The order was issued on the motion of an adverse party which claimed it intended to call petitioner’s counsel as a witness at the trial.

*333 FACTS

Petitioner (Security General) issued two policies providing hospitalization coverage to respondent (Tallent). Tallent’s wife was hospitalized prior to her death and Tallent presented a claim for the hospital bills incurred. Security General interpreted its policy as providing lesser coverage and refused to pay certain bills. Tallent brought an action seeking damages for Security General’s alleged breach of contract, bad faith failure to pay the claims, fraud and racketeering. Security General filed its answer in August 1984, appearing by Ms. Suzanne Kinney of the Jones, Skelton & Hochuli law firm. Ms. Kinney remained as the lawyer responsible for the Security General file until she left the law firm in July of 1985. At that time, Security General asked the firm to assign Mr. J. Michael Low to the case. Before joining the firm in June of 1985 Mr. Low had at different times served as Director of both the Departments of Insurance and Administration of the State of Arizona.

Before Low’s assignment as counsel for Security General Tallent had indicated his intention to call a Mr. Zielinski, an employee of the Department of Insurance, to testify as an expert witness with respect to those records of the Department which Tal-lent planned to offer in evidence at the trial.

Tallent’s case was scheduled for trial in February of 1986. On September 19, 1985, shortly after Mr. Low appeared as counsel, Tallent filed a motion to disqualify both Low and the Jones firm from representation of Security General. It was alleged that Low was needed to testify about the insurance department’s investigations into various Security General practices. These investigations had been made by the Department during Low’s tenure as Director. Tallent also claimed that it would be harmful to Security General for Mr. Low to continue as its advocate in the case. We give no credence to the latter argument. It is Security General’s privilege to decide whether retaining Mr. Low is to its benefit without seeking Tallent’s advice on the matter.

Tallent also alleged that Mr. Low was a necessary (“number one”) expert witness and that it was unaware of any other person “that would be able to testify in the same substance as J. Michael Low.” Tal-lent did not specify what expert testimony Low might offer that was unobtainable elsewhere. He gave no reason for moving to disqualify the entire Jones law firm. No allegation was made in the trial court and none is made here that either Mr. Low or the Jones firm had a conflict of interest or that Low’s former position had given him any specific or confidential knowledge of Tallent’s claim. Low’s affidavit in the trial court avers that although he had signed orders relating to Security General while he was Director of the Department of Insurance, he had no personal knowledge of any allegation relating to the conduct of that company. He avers that other individuals within the department had carried on the investigations of Security General and that he had merely signed orders presented to him by his staff. The motion for disqualification was argued to the respondent trial judge and granted without explanation, thus disqualifying both Mr. Low and the Jones law firm from representation of Security General.

JURISDICTION

Security General filed this Special Action (see Rule 4, R.Proc.Spec.Act., 17A A.R.S.) alleging that the trial judge abused his discretion by granting the motion to disqualify. In Arizona relief formerly granted by the writs of prohibition, mandamus or certiorari is now granted through special action proceedings. See id., Rule 1.

The disqualification order is not a final order and is therefore not appealable. See Matter of Appeal in Pima County Juvenile Action No. S-993, 135 Ariz. 278, 280, 660 P.2d 1205, 1207 (1982); A.R.S. § 12-2102; Rules 1 and 2(d), Ariz.R.Civ.App. Proc., 17A A.R.S. Because it appears that the trial judge did abuse his discretion or exceed his authority, and there is no plain, *334 speedy and adequate remedy available by appeal, we have accepted jurisdiction pursuant to Rules 1(a) and 3(c) R.Proc.Spec. Act. and Ariz. Const. art. 6, § 5(1).

THE PROPRIETY OF THE DISQUALIFICATION ORDER

We must first dispose of two issues that appear not to have been raised before the respondent trial judge. The motion made in the trial court was based solely upon the provisions of Ethical Rule 3.7, part of Rule 42, Rules of the Supreme Court, 17A A.R.S., adopted by order of the Supreme Court dated September 7, 1984 and effective February 1, 1985. Tallent now argues that the order of disqualification can also be supported under Ethical Rules 1.11 and 1.12. Even if these rules had been raised in support of respondent’s position in the trial court, we believe neither one is applicable to the case before us.

Ethical Rule 1.11 provides for disqualification when the lawyer undertakes to “represent a private client in connection with a matter in which the lawyer participated personally and substantially as a public officer or employee____” This rule is intended to prevent conflicts of interest that arise in the “revolving door” between government and private practice. G. HAZARD and W. HODES, THE LAW OF LAWYERING: HANDBOOK ON THE MODEL RULES OF PROFESSIONAL CONDUCT 205 (1985). It is usually applicable in the situation in which the agency is a party to the action or in which confidential agency information will be used for the benefit of the private client and to discourage government attorneys from acting in a fashion which helps to secure them private employment. Id. at 206-209; see generally, Morgan, Appropriate Limits on Participation by a Former Agency Official in Matters Before an Agency, 1980 DUKE L.J. 1. None of these policies is implicated in the present case. However, as a threshold, in order for the judge to consider disqualification the rule requires a showing of both “substantial” and “personal” participation. Matters involving Security General were before Low’s department during his term as director, but there is no evidence that he ever “participated personally and substantially” in them. The level of involvement required to trigger consideration of the rule is that at the least Low must have been aware of the details of the investigation and have had some hand in its resolution and day to day progress. A “matter” is the same lawsuit or litigation, while “substantial responsibility” requires the official to become personally involved to a material degree in the investigative or deliberative process regarding the transactions in question. ABA Formal Opinion 342 (1975); G. HAZARD and W. HODES at 206 (ER 1.11 incorporated formal opinion 342). On the contrary, the evidence shows that Low did no more than sign orders put before him by his staff.

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Bluebook (online)
718 P.2d 985, 149 Ariz. 332, 1986 Ariz. LEXIS 178, Counsel Stack Legal Research, https://law.counselstack.com/opinion/security-general-life-insurance-v-superior-court-ariz-1986.