United States v. Lynn Boyd Stites

56 F.3d 1020, 1995 WL 317661
CourtCourt of Appeals for the Ninth Circuit
DecidedAugust 2, 1995
Docket94-50123
StatusPublished
Cited by21 cases

This text of 56 F.3d 1020 (United States v. Lynn Boyd Stites) is published on Counsel Stack Legal Research, covering Court of Appeals for the Ninth Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
United States v. Lynn Boyd Stites, 56 F.3d 1020, 1995 WL 317661 (9th Cir. 1995).

Opinion

NOONAN, Circuit Judge:

Lynn Boyd Stites appeals his conviction of violation of 18 U.S.C. § 1962(c) (RICO) and of twelve violations of 18 U.S.C. § 1341 (mail fraud). His principal issues on appeal are challenges to the disqualification of two lawyers he wanted to represent him. Holding that the district court properly disqualified the lawyers, we affirm his conviction. On one aspect of his sentencing, we remand for resentencing.

FACTS

From the perspective of the government, it was established at trial that Stites had been the mastermind of a massive set of breaches of professional responsibility and of the criminal law, the more heinous because Stites was a lawyer and at least twelve other lawyers were his principal confederates in carrying out the fraud. The mentality that sees law as a business was here taken to a reduetio ad absurdum — litigation was unconscionably churned to make money for the lawyers. The essence of Stites’s scheme, repeated over and over again, was for Stites to control both sides of suits in which insurance companies were paying for counsel, and to assure that the plaintiffs’ lawyers would not settle until the insurance companies would no longer pay the costs of defendants’ counsel. Stites’s network of lawyers was known as “the Alliance.” According to the jury verdict in this case, Stites’s scams extracted at least $50 million from the insurers in the period 1984 to 1987.

PROCEEDINGS

Stites and his confederates were indicted by a grand jury. Some of the defendants pleaded guilty; others went to trial and were found guilty with their convictions being affirmed on direct appeal by our memorandum disposition of June 15, 1994. Stites himself had fled the state while he was being investigated and before he was indicted. He was not present when his codefendants were arraigned, pleaded guilty or went to trial in 1991. In 1993 he was apprehended in Illinois and returned to California for trial. The interaction with Stites’s trial of two lawyers, Brooks and Mesereau, present at the proceedings involving the codefendants, creates the principal issues on appeal.

Brooks. Among those who pleaded guilty was Cheryl Dark, Stites’s sister. She was not herself a lawyer but was inserted into at least two law firms by Stites to supervise billings connected with his fraud. She entered a plea bargain, a condition of which was that she testify against her brother, and pleaded guilty to one count of mail fraud.

Cheryl Dark was represented in these proceedings by Juanita R. Brooks, a San Diego attorney. During the period Stites was under criminal investigation before the indictment, Brooks had represented Stites. When he fled the jurisdiction, Brooks dropped him and took up instead the representation of *1023 Cheryl Dark. Brooks advised Dark on the plea bargain. She also acted for her at sentencing in 1991 before Judge Judith Keep. The brief for Stites on this appeal conveniently summarizes what Brooks told the court. Her argument mitigated Dark’s culpability by magnifying Stites’s, so that Stites appeared as “a wicked person, fully responsible for [Dark’s] crime. Among other things, Ms. Brooks called Appellant ‘the mastermind,’ ‘a thief and a fraud,’ ‘a cheap eon artist,’ and ‘one of the biggest cons this system has ever seen.’ ” Stites, Brooks told the court, had “ruined her [Dark’s] life.” Brooks also told Judge Keep that she would not “dispute the probation officer’s characterization of the fraud in this case as being massive.” She added for good measure that “as an officer of the court and attorney myself, it makes me angry to see that people are* able to so pervert our system of justice.”

In connection with the sentencing, Brooks submitted to Judge Keep a psychiatric report on Dark’s relation to her brother and a report on the psychiatric therapy Dark was undergoing. The psychiatrist noted Stites’s psychological abuse of his sister and analogized it to the pattern seen in battering relationships. Dark was reported to have had “a lifelong symbiotic relationship” of dependence on her “sociopathic” brother.

Brooks won a light sentence for Dark. Two years later, when Stites went to trial, he chose Brooks as his counsel. Judge Keep and the government objected to this choice. Judge Keep noted that Fed.R.Crim.P. 44(c) requires the court promptly to inquire into representation by the same counsel of two defendants jointly charged with a crime. Dark and Stites, although tried at different times, were jointly charged. The Rule provides: “Unless it appears that there is good cause to believe no conflict of interest is likely to arise, the court shall take such measures as may be appropriate to protect each defendant’s right to counsel.” Judge Keep scheduled a hearing to explore the possibility of conflict.

Used as he was to manipulating lawyers, used as he was to treating law as a business and legal skills as commodities to be bought and sold, Stites was apparently unaware of the impropriety of hiring a lawyer to tell the court a different story from the one she had previously told. He thought of his lawyer as a hired gun, a mouthpiece for him, willing, if paid, to say what he needed for his defense.

Represented by separate counsel at the hearing, Dark waived her attorney-client privileges as to her communications with Brooks. Stites heard what Brooks had said about him in the earlier argument to Judge Keep, but continued to insist that he wanted Brooks as his lawyer. Judge Keep expressed doubt about the voluntariness of Dark’s waiver. Brooks said that she would meet that problem by not cross-examining Dark if Dark testified at Stites’s trial. Co-counsel would do the cross-examination; “a Chinese wall” would prevent any communication from Brooks to her cross-examiner divulging Dark’s confidences as a client. Brooks argued that she had worked for Stites since 1988 (with the relationship being in abeyance when Stites was “not before the court”); that she was familiar with the facts of the complex case; and that Stites, conscious of all that Brooks had said of him to the court, was himself an intelligent lawyer intelligently preferring her now as his counsel.

Judge Keep found, first, that Dark was competent in general, but that “a lifetime pathology” in relation to her brother could not be “changed by a year of psychotherapy”; the sister was still submissively dependent on the brother; she was not capable of knowingly and intelligently waiving her attorney-client privilege (ER 125). Judge Keep further found that she could not be sure that a Chinese wall between Brooks and her cocounsel would not “crumble” under the stresses of the trial. Consequently, she found Brooks bound by her obligations to Dark, and that therefore an “actual conflict” prevented Brooks from representing Stites.

Judge Keep also took note of Brooks’s claim that Brooks had represented Stites since 1988 and observed that if this relation *1024 ship had been made known to her at the time of Dark’s plea she would have wanted to be sure then that Dark had independent counsel. Brooks had not made it known.

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Cite This Page — Counsel Stack

Bluebook (online)
56 F.3d 1020, 1995 WL 317661, Counsel Stack Legal Research, https://law.counselstack.com/opinion/united-states-v-lynn-boyd-stites-ca9-1995.