State Ex Rel. Bryant v. Ellis

724 P.2d 811, 301 Or. 633
CourtOregon Supreme Court
DecidedSeptember 3, 1986
DocketA8405-03151; SC S31944
StatusPublished
Cited by12 cases

This text of 724 P.2d 811 (State Ex Rel. Bryant v. Ellis) is published on Counsel Stack Legal Research, covering Oregon Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
State Ex Rel. Bryant v. Ellis, 724 P.2d 811, 301 Or. 633 (Or. 1986).

Opinion

*635 LINDE, J.

The issue in this proceeding is whether a circuit court has authority to disqualify an attorney for one or more of the litigants from appearing in a civil case and to enjoin attorneys from other conduct pertaining to the case. 1 Relator, one of several defendants in an action in the Circuit Court for Multnomah County, moved for an order disqualifying first a law firm, Diamond & Sylvester, and later another lawyer, Steven J. Cannata, from representing the other defendants in the action, alleging conflicts of interest. Diamond & Sylvester voluntarily withdrew as attorney of record. The defendant circuit judge denied relator’s motion without reaching the merits, holding that the requested relief was beyond the authority of an Oregon circuit court.

Relator sought and we allowed an alternative writ of mandamus to examine that question. We hold that circuit courts do have authority to restrain lawyers from prejudicially improper acts of legal representation, although those courts are not charged with enforcing the Code of Professional Responsibility.

Because the merits are not at issue here, we only summarize the nature of relator’s claim. Relator is the managing general partner of a number of partnerships created for the purpose of developing and marketing California real estate. Diamond & Sylvester, a Seattle law firm, represented one group, the Palmquist partnerships, in the formation of another group, the Sacore partnerships, and along with Can-nata (who is a California lawyer) represent the Palmquist group in later California litigation against the other partnership groups. The Oregon case is a civil action against the several partnerships and named individuals, in which Diamond & Sylvester initially appeared for all defendants. The circuit court permitted Cannata to appear for all defendants other than David Bryant, the present relator. Cannata’s position on behalf of his clients was that only Bryant individually was liable for the claim asserted in the Oregon action. Bryant then moved to disqualify Cannata and Sylvester & *636 Diamond for conflict of interest and to enjoin them from advising or assisting in the litigation, the motion that the circuit court denied for lack of authority.

Outside of Oregon, the courts’ authority to disqualify an attorney from appearing for a party in a case before the court has long been recognized and frequently exercised. 2 The premises and the criteria for doing so, however, leave room for some disagreement. See, e.g., Lindgren, Toward A New Standard of Attorney Disqualification, 1982 Am B Found Research J 419. Federal courts presumably entertain motions to disqualify attorneys as a function ancillary to the court’s general control over a case before it, not as an exercise of general equitable or supervisory jurisdiction over the relations between attorneys and clients. In deciding such motions, they often draw on the American Bar Association’s Code of Professional Responsibility, regardless whether these have been formally adopted as binding rules. See Note, Attorney Disqualification for a Conflict of Interest in Federal Civil Litigation: A Confusing Body of Law in Need of Organization, 30 Vill L Rev 465 (1985). The situation in a state court differs insofar as the court does have general equitable jurisdiction independent of some other action and as the disciplinary rules may have the force of law.

Disciplinary rules approved by this court have the status of law in Oregon. ORS 9.490. The enforcement of those rules by means of imposing disciplinary sanctions is in the jurisdiction of the professional boards created by the Oregon State Bar Rules of Procedure and ultimately of this court. It does not involve the state’s other courts. Brown v. Oregon State Bar, 293 Or 446, 451-52, 648 P2d 1289 (1982). This, of course, does not mean that conduct proscribed by a rule of professional conduct, such as one of the Disciplinary Rules, may not also violate a civil obligation of a member of the profession to another person. On the contrary, such rules ordinarily are designed to protect clients, patients, or other persons against the consequences of a misplaced trust in the professional’s sense of responsibility and probity. Thus circuit *637 courts have jurisdiction to try damage claims for professional negligence notwithstanding that enforcement of the professional rule against neglecting or acting incompetently in a legal matter, DR 6-101, is in the exclusive jurisdiction of the disciplinary tribunals and this court. In Bob Godfrey Pontiac v. Roloff, 291 Or 318, 630 P2d 840 (1981), plaintiffs sued attorneys for damages for making intentionally false claims against plaintiff in another action, contrary to ORS 9.460(4). 3 This court affirmed a summary judgment for defendants on the merits, without any suggestion that a damage action for the alleged violation of a professional standard was beyond the circuit court’s jurisdiction. 4 We know no reason why the circuit courts’ jurisdiction should not extend beyond damage actions to include equitable remedies, for instance to an accounting for trust funds when the lawyer’s alleged misconduct violates DR 9-101. Indeed, it is doubtful what other court would have original jurisdiction to give injunctive relief, if not the circuit court.

Seen in this light, the question is not really the circuit court’s authority to entertain a claim that the claimant’s lawyer or former lawyer has breached or is about to breach a fiduciary or other professional obligation to the claimant but rather what standards apply. In Duke v. Franklin, 177 Or 297, 305, 162 P2d 141 (1945), which was not called to the trial court’s attention, the Multnomah County circuit court and this court considered and rejected a party’s demand to disqualify the opposing party’s attorney without expressing any doubt that such an order would be within the circuit court’s authority in a proper case. See also Home Mortgage Co. v. Sitka *638 Co., 148 Or 502, 540, 36 P2d 1038 (1934). The court’s authority does not necessarily rest on its jurisdiction over some other pending case; a claim for equitable relief may arise from a lawyer’s prejudicially improper acts outside any litigation as well as in a pending action.

We recently considered the role of professional standards in civil rather than disciplinary proceedings in Humphers v. First Interstate Bank, 298 Or 706, 696 P2d 527 (1985). That was an action for damages against a physician who had disclosed confidential information about the identity of a past patient. We held that a contractual duty to keep the information confidential might exist because a defendant “may have promised confidentiality expressly or by factual implication,” but in Humphers

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Bluebook (online)
724 P.2d 811, 301 Or. 633, Counsel Stack Legal Research, https://law.counselstack.com/opinion/state-ex-rel-bryant-v-ellis-or-1986.