Watering II, LLC v. Speed Channel, Inc.

CourtVermont Superior Court
DecidedAugust 5, 2005
Docket182
StatusPublished

This text of Watering II, LLC v. Speed Channel, Inc. (Watering II, LLC v. Speed Channel, Inc.) is published on Counsel Stack Legal Research, covering Vermont Superior Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Watering II, LLC v. Speed Channel, Inc., (Vt. Ct. App. 2005).

Opinion

Watering II LLC v. Speed Channel, Inc., No. 182-6-03 Bncv (Carroll, J., Aug. 5, 2005)

[The text of this Vermont trial court opinion is unofficial. It has been reformatted from the original. The accuracy of the text and the accompanying data included in the Vermont trial court opinion database is not guaranteed.]

STATE OF VERMONT BENNINGTON SUPERIOR COURT BENNINGTON COUNTY, SS. DOCKET NO. 182-6-03Bncv

WATERING II, LLC and HMN HOLDINGS, LLC, in its own capacity and derivatively on behalf of ECLASSICS.COM, LLC, Plaintiffs

V.

SPEED CHANNEL, INC. Defendant

ORDER ON DEFENDANT SPEED CHANNEL INC.’S MOTION TO DISQUALIFY PLAINTIFFS’ COUNSEL

On June 6, the Court convened a hearing and heard oral argument on Defendant’s Motion

to Disqualify Plaintiffs’ Counsel. The parties were present along with counsel. Defendant asks

the Court to order that Plaintiffs’ attorneys, including Dorsey & Whitney LLP, Arnold & Porter

LLP and James B. Swire, Esq., are disqualified from representing Plaintiffs, due to a conflict of

interest.

Background

The facts material to this motion are not in dispute. Plaintiffs and Defendant were

involved in a joint venture established in April 2000, which produced the eClassics Limited

Liability Company Agreement. The venture involved the production of media and entertainment

relating to classic cars. Other parties were involved in the project who are not parties to this

1 action. The instant lawsuit arises out of Plaintiffs’ claim that Defendant, beginning in February

2001 or thereabouts, breached its obligations under the parties’ agreement. This case was filed

in June 2003 and Attorney Swire was admitted pro hac vice by this Court on June 20, 2003. It

was the first motion granted by the Court in this case.

At the time of the creation of the joint venture, Attorney James Swire, who was affiliated

with the law firm of Dorsey & Whitney, was hired to provide legal assistance and advice to

eClassics, the joint venture. At the time of the formation of the joint venture agreement, all

parties to the agreement were represented by their own counsel. Swire was hired to provide

counsel to eClassics about issues relating to the venture, such as its business plan and tax

implications. He also introduced eClassics to certain investment houses. In January 2005, Swire

left Dorsey & Whitney and joined Arnold & Porter.

When the alleged breach of the eClassics agreement by Speed occurred, the parties

immediately squared off. In September 2001, Swire notified Speed’s counsel via letter that he

was representing Plaintiffs in the recent dispute. He again notified Speed’s attorneys in

November 2001 that he was involved in the breach of contract dispute, representing Plaintiffs.

Defendant argues that Attorney Swire and both firms he has recently worked with should

be ordered to withdraw from representing Plaintiffs in this matter because Swire and Dorsey &

Whitney provided legal advice to Speed, as part of the joint venture, and that their representation

of Plaintiffs in a claim against Speed, without Speed’s consent, violates Vermont Rule of

Professional Conduct 1.9. Defendant further asserts that Arnold & Porter should also be

disqualified because Attorney Swire’s knowledge is imputed to that firm.

Plaintiffs object to the motion, arguing that (1) Swire never represented Speed; (2) the

2 work performed for eClassics, which included Speed, does not substantially relate to the issues in

this case; (3) Neither Swire, nor his law firms, have obtained any confidential information

relevant to the pending suit during its representation of eClassics; and (4) Speed has waived the

conflict if one is found to exist. The Court will address only the first of Plaintiffs’ arguments,

because it will resolve the motion.

Discussion

In resolving this disqualification issue, the Court must keep in mind that “‘a client whose

attorney is disqualified may suffer the loss of time and money in finding new counsel,’ and lose

the benefit of counsel’s familiarity with the case.” Stowell v. Bennett, 169 Vt. 630, 632 [citing

Bergeron v. Mackler, 623 A.2d 489, 493 (Conn. 1993)].

The Vermont Rules of Professional Conduct discuss disqualification, due to the conflict

of interest stemming from prior representation of a client. Vermont Rule of Professional

Conduct 1.9(a) provides that:

A lawyer who has formerly represented a client in a matter shall not thereafter represent another person in the same or a substantially related matter in which that person’s interests are materially adverse to the interests of the former client unless the former client consents after consultation.

The Court’s first determination in resolving the recusal issue is whether Speed is in fact a

former client of Attorney Swire and Dorsey & Whitney. Because Attorney Swire was hired to

represent a joint venture, of which Speed was a constituent, the Court must look further.

Vermont Rule of Professional Conduct 1.13 provides that:

(a) A lawyer employed or retained by an organization represents the organization acting through its duly authorized constituents......

(d) In dealing with an organization’s directors, officers, employees, members, shareholders or other constituents, a lawyer shall explain the identify of the client

3 when it is apparent that the organization’s interests are adverse to those of the constituents with whom the lawyer is dealing......

The Reporter’s Notes to this section further explain that while employees of the

organization itself enjoy an attorney/client relationship with the organization’s counsel, “(t)his

does not mean, however, that constituents of an organizational client are the clients of the

lawyer.” Reporter’s Notes, Rule 1.13, p. 648. In fact, if the organization’s counsel is aware of

wrongdoing by one of the organization’s constituents, “it may be reasonably necessary for the

lawyer to refer the matter to the organization’s highest authority. Ordinarily, that is the board of

directors or similar governing body.” Id.

The above makes clear that, although Attorney Swire provided legal counsel to the joint

venture, eClassics, Swire and Speed individually did not enjoy an attorney/client relationship. In

fact, the Rules speak to the contrary, requiring an attorney in Swire’s position at the time to

report to authorities of the joint venture if he had believed Speed was committing any

wrongdoing. If one were to presume that an attorney/client relationship existed between Swire

and Speed, Swire would not have been able to fulfill his duties under Rule 1.13 because he

would have been required to keep communications between Speed and himself confidential, thus

rendering his representation of the joint venture meaningless. In addition, good policy would not

require an attorney who has extensively represented an organization over a period of time to be

disqualified from representing that organization in litigation in the event one of its participants

acted injuriously to the corporation.

In Croce v. Superior Court In and For City and County of San Francisco, 68 P.2d 369

(Cal.App.2d 1937), the Court answered the question:

(W)hether an attorney who has represented several clients associated in a business

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Related

Croce v. Superior Court
68 P.2d 369 (California Court of Appeal, 1937)
Stowell v. Bennett
739 A.2d 1210 (Supreme Court of Vermont, 1999)
Omansky v. 64 N. Moore Associates
269 A.D.2d 336 (Appellate Division of the Supreme Court of New York, 2000)
Bergeron v. Mackler
623 A.2d 489 (Supreme Court of Connecticut, 1993)

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