Committee on Judicial Ethics Teleconference Thursday, January 15, 2015



Similar documents
SEATTLE INTELLECTUAL PROPERTY AMERICAN INN OF COURT ETHICS MAY 21, 2015

TENNESSEE ASSOCIATION OF CRIMINAL DEFENSE LAWYERS ANNUAL DUI TRAINING 2010 TUNICA, MISSISSIPPI - OCTOBER 21-22, 2010

Discovery Ethics Course Plan

Inquiry Concerning A Florida Lawyer

Attorney Grievance Commission of Maryland v. Sandra Lynn Reno, Misc. Docket AG No. 5, September Term, 2013

Tuesday 18th November, 2008.

California Judges Association OPINION NO. 56. (Issued: August 29, 2006)

Complying with the FCPA- An Exploration of Ethical Issues Raised by Recent Cases Are the Professional Conduct Rules Any Different?

BEFORE THE DISCIPLINARY BOARD OF THE SUPREME COURT OF PENNSYLVANIA

LAWYER TO LAWYER MENTORING PROGRAM WORKSHEET Q INTRODUCTION TO REPORTING LAWYER MISCONDUCT OR UNFITNESS

INTEGRATED BAR OF THE PHILIPPINES COMMISSION ON BAR DISCIPLINE GUIDELINES FOR IMPOSING LAWYER SANCTIONS A. PURPOSE AND NATURE OF SANCTIONS

Central LHIN Governance Manual. Title: Whistleblower Policy Policy Number: GP-003

Special Consideration for Board Attorneys. Federation of State Medical Boards-Board Attorney Workshop November 12, 2015

Case 2:11-cr HGB-ALC Document 104 Filed 12/09/11 Page 1 of 7 UNITED STATES DISTRICT COURT EASTERN DISTRICT OF LOUISIANA VERSUS NO:

Model Code of Conduct for Judicial Employees in the State of Nevada

INTRODUCTION TO LEGAL AID AND RELATED ETHICAL ISSUES I N N S O F C O U R T P U P I L A G E G R O U P 3 P R E S E N T A T I O N

Conviction Integrity Unit Best Practices October 15, 2015

Attorneys convicted of crimes.

HP0868, LD 1187, item 1, 123rd Maine State Legislature An Act To Recoup Health Care Funds through the Maine False Claims Act

SYLLABUS. In the Matter of Philip V. Toronto, an Attorney at Law (D-95-96)

SUPREME COURT OF WISCONSIN

Deficit Reduction Act of Employee Education About False Claims Recovery

People v. J. Bryan Larson. 13PDJ031. October 18, 2013.

IN THE UNITED STATES COURT OF APPEALS FOR THE ELEVENTH CIRCUIT. No Non-Argument Calendar. D.C. Docket No. 3:11-cr RBD-JBT-1.

Advisory Committee on Professional Ethics. Appointed by the Supreme Court of New Jersey

The N.C. State Bar v. Wood NO. COA (Filed 1 February 2011) 1. Attorneys disciplinary action convicted of criminal offense

READING SCHOOL DISTRICT

SUBJECT: Department Policy Concerning Charging Criminal Offenses, Disposition of Charges, and Sentencing

ETHICAL ISSUES IN THE EMPLOYMENT CONTEXT

101 UNBUNDLED LEGAL SERVICES

requires the legal knowledge, skill, thoroughness and preparation reasonably necessary for the representation.

CODE OF CONDUCT FOR PROBATION OFFICERS

SUPREME COURT OF WISCONSIN

Legal and Judicial Ethics for Criminal Practice in US Afghan Defense Lawyers Program Public Private Partnership for Justice Reform in Afghanistan

Peter Tom, Justice Presiding, Angela M. Mazzarelli Eugene Nardelli Luis A. Gonzalez Bernard J. Malone, Jr., Justices.

How To Find Out If A Student Has Violated The Honor Code

BEFORE THE OFFICE OF ADMINISTRATIVE HEARINGS STATE OF OREGON for the DEPARTMENT OF CONSUMER AND BUSINESS SERVICES INSURANCE DIVISION ) ) ) ) )

[Cite as Cincinnati Bar Assn. v. Nienaber (1997), 80 Ohio St.3d 534.] Attorneys at law Misconduct Indefinite suspension Making affirmative

DEALING WITH DIFFICULT ATTORNEYS (Attorney Grievance Committee) 2014 New York State Magistrates Association Conference Syracuse, New York

AN ACT PROFESSIONS AND OCCUPATIONS

American Board of Professional Liability Attorneys *ABA Accredited Organization

*Rule 1.4(a) *Rule 1.16(a) *Rule 1.16(a)(2) *Rule 1.16(b) *Rule 3.3 *DR7-102(A)(4) *DR7-102(A)(6)

A PRIMER: WHAT STATE DEFENDERS MUST KNOW ABOUT FEDERAL LAW. Wendy Holton Attorney, Helena, Montana

Oregon Code of Professional Responsibility

Ethical Considerations for Tribal Lawyers and Judges

MERCER COUNTY BAR ASSOCIATION XTREME CLE. 2.0 NJ CLE Credits. Charles Centinaro, Esq., Director of Attorney Ethics

UNITED STATES DISTRICT COURT WESTERN DISTRICT OF MICHIGAN STANDARDS FOR CIVILITY IN PROFESSIONAL CONDUCT PREAMBLE

FALSE CLAIMS ACT STATUTORY LANGUAGE

Legal Ethics in International Practice. Andrew Melsheimer Thompson & Knight LLP

OVERVIEW OF BAR DISCIPLINE DIVERSION PROGRAMS (Prepared May 23, 2007) 1

UNITED STATES DISTRICT COURT FOR THE MIDDLE DISTRICT OF TENNESSEE DIVISION. UNITED STATES OF AMERICA ) ) ) v. ) No. ) (Judge ) ) )

APPLICATION TO THE SACRAMENTO COUNTY BAR/ INDIGENT DEFENSE PANEL (IDP)

Subchapter Criminal Procedure in District Court

THE PHILADELPHIA BAR ASSOCIATION PROFESSIONAL GUIDANCE COMMITTEE Opinion (March 2009)

AMERICAN BAR ASSOCIATION STANDARDS FOR IMPOSING LAWYER SANCTIONS

ETHICS OPINION

MANDATORY REPORTING LAWS & RULES

Compliance Plan False Claims Act & Whistleblower Provisions Purpose/Policy/Procedures

ANTI-FRAUD POLICY Adopted August 13, 2015

PENNSYLVANIA BAR ASSOCIATION LEGAL ETHICS AND PROFESSIONAL RESPONSIBILITY COMMITTEE PHILADELPHIA BAR ASSOCIATION PROFESSIONAL GUIDANCE COMMITTEE

ETHICAL USE OF EVIDENCE DERIVED FROM MULTIPLE SOCIAL MEDIA OUTLETS

KANE COUNTY DRUG REHABILITATION COURT COURT RULES AND PROCEDURES

YMCA of High Point Whistleblower Policy and Procedure

General District Courts

HEALTH OCCUPATIONS TITLE 19. SOCIAL WORKERS SUBTITLE 3. LICENSING

NEW MEXICO BOARD OF LEGAL SPECIALIZATION AN AGENCY OF THE SUPREME COURT OF NEW MEXICO STANDARDS FOR LEGAL SPECIALIZATION WORKERS COMPENSATION LAW

BEFORE THE DISCIPLINARY BOARD OF THE SUPREME COURT OF PENNSYLVANIA

FORMAL OPINION NO Government Lawyer Employment Negotiations

ARTICLE 36: KANE COUNTY DRUG REHABILITATION COURT RULES AND PROCEDURES

Office of Lawyers Professional Responsibility

LAS VEGAS MUNICIPAL CODE Created--Purpose Definitions Director.

Fiscal Policies and Procedures Fraud, Waste & Abuse

What to Do When Your Witness Testimony Doesn t Match His or Her Declaration

Litigation Update by Fred P. Parker III and Brad Gilbert

THE COUNTY OF MONTGOMERY POLICIES AND PROCEDURES FALSE CLAIMS AND WHISTLEBLOWER PROTECTIONS

SUPREME COURT OF LOUISIANA NO. 11-B-1631 IN RE: MAZEN YOUNES ABDALLAH ATTORNEY DISCIPLINARY PROCEEDINGS

GUILTY PLEA and PLEA AGREEMENT United States Attorney Northern District of Georgia

UNITED STATES DISTRICT COURT DISTRICT OF MINNESOTA Criminal No.:

AGENDA FOR RULES COMMITTEE MEETING. October 9, 2015 (Friday)

18 U.S.C General rules for civil forfeiture proceedings

BANKRUPTCY AND DEBTOR-CREDITOR LAW SPECIALIZATION ADVISORY BOARD STANDARDS AND PROCEDURES FOR CERTIFICATION, RECERTIFICATION AND DECERTIFICATION

SLIP OPINION NO OHIO-2073 DISCIPLINARY COUNSEL

IMPORTANT INFORMATION ABOUT BANKRUPTCY ASSISTANCE SERVICES FROM AN ATTORNEY OR BANKRUPTCY PETITION PREPARER.

Corporate Counsel Beware: Limits Of 'No Contact Rule'

In the Matter of the Reinstatement Petition of Irving A. August, P-10296, Petitioner/Appellant. ADB Decided December 22, 1989 BOARD OPINION

BEFORE THE BOARD OF COMMISSIONERS ON GRIEVANCES AND DISCIPLINE OF THE SUPREME COURT OF OHIO. /rxy. OVERVIEW

MISSOURI S LAWYER DISCIPLINE SYSTEM

Ethical Considerations in Dealing with Expert Witnesses. Thomas M. Fitzpatrick

STATE OF MINNESOTA IN SUPREME COURT. AlS-0567 ORDER. The Director of the Office of Lawyers Professional Responsibility has filed a

A BRIEF DESCRIPTION OF MICHIGAN S ATTORNEY DISCIPLINE SYSTEM

An Introduction to the Federal Public Defender=s Office and the Federal Court System

STANDARDS FOR ATTORNEY CERTIFICATION OF THE TEXAS BOARD OF LEGAL SPECIALIZATION. The Standards for Attorney Certification are divided into two parts.

THE ASSOCIATION OF THE BAR OF THE CITY OF NEW YORK COMMITTEE ON PROFESSIONAL ETHICS

Chapter 9. Actions Related to Criminal Offenses and/or the Submission of Fraudulent Documentation

Case5:09-cr JF Document64 Filed05/13/10 Page1 of 6

Whistleblower Act, 2006 Act 720

51ST LEGISLATURE - STATE OF NEW MEXICO - FIRST SESSION, 2013

IN THE COURT OF APPEALS STATE OF ARIZONA DIVISION TWO ) ) ) ) ) ) ) ) ) ) Appellant, Appellee. APPEAL FROM THE SUPERIOR COURT OF PIMA COUNTY

News Release. For Immediate Release PUBLIC REPRIMAND ISSUED TO SENIOR JUDGE EDWARD W. BEARSE

Transcription:

Committee on Judicial Ethics Teleconference Thursday, January 15, 2015 Members present via teleconference: Judge Christine E. Keller, Chair, Judge Barbara M. Quinn, Professor Sarah F. Russell, Judge Angela C. Robinson and Judge Thomas J. Corradino, Alternate. Staff present: Attorney Martin R. Libbin, Secretary and Attorney Viviana L. Livesay, Assistant Secretary. MINUTES I. With the above noted Committee members present, Judge Keller called the meeting to order at 9:32 a.m. Although publicly noticed, no members of the public were in attendance. II. III. The Committee members present, (with the exception of Judge Corradino who abstained), approved the minutes of the December 18, 2014 meeting. The Committee discussed Informal JE 2015-01. The issue presented in this inquiry is as follows: What is the nature of a Judicial Official s obligation when a Judicial Official receives information that an attorney may have committed a violation of the Rules of Professional Conduct? The attorney reported the following scenario to a Judicial Official in the course of a judicial pretrial hearing and in the presence of opposing counsel: A client informed his/her attorney about criminal drug activity in the client s home. The client informed the attorney that evidence of the drug activity was in the client s home and had been there continuously for approximately one year. Upon hearing this information, the attorney immediately instructed the client to get rid of all evidence in the home related to the drug activity and to clean out any evidence of drug activity, including the drugs, from an automobile used by the client s spouse, based on the attorney s understanding that there may have been drugrelated evidence in the vehicle. It appears that the Judicial Official lacks any first-hand knowledge of the circumstances of the suspected criminal activity. There was no indication, under the facts presented, that the attorney was aware of any pending case or criminal investigation related to the drug activity.

Rule 1.2 of the Code of Judicial Conduct states that a judge shall act at all times in a manner that promotes public confidence in the impartiality of the judiciary, and shall avoid impropriety and the appearance of impropriety. The test for appearance of impropriety is whether the conduct would create in reasonable minds a perception that the judge violated this Code or engaged in other conduct that reflects adversely on the judge s honesty, impartiality, temperament, or fitness to serve as a judge. Subsection (b) of Rule 2.15 of the Code of Judicial Conduct states as follows: (b) A judge having knowledge that a lawyer has committed a violation of the Rules of Professional Conduct that raises a substantial question regarding the lawyer s honesty, trustworthiness, or fitness as a lawyer in other respects shall take appropriate action including informing the appropriate authority. Subsection (d) of Rule 2.15 provides: (d) A judge who receives information indicating a substantial likelihood that a lawyer has committed a violation of the Rules of Professional Conduct shall take appropriate action. Comment (1) to Rule 2.15 explains that subsection (b) impose[s] an obligation on the judge to report to the appropriate disciplinary authority the known misconduct of a lawyer that raises a substantial question regarding the honesty, trustworthiness, or fitness of that lawyer. The Comment states further: Ignoring or denying known misconduct among members of the legal profession undermines a judge s responsibility to participate in efforts to ensure public respect for the justice system. This Rule limits the reporting obligation to those offenses that an independent judiciary must vigorously endeavor to prevent. Comment (2) to Rule 2.15 explains that [a] judge who does not have actual knowledge that another judge or a lawyer may have committed misconduct, but receives information indicating a substantial likelihood of such misconduct, is required to take appropriate action under subsections (c) and (d), except as otherwise provided in subsection (e). Comment (3) to Rule 2.15 provides that actions to be taken in response to information indicating that a lawyer has committed a violation of the Rules of Professional Conduct may include, but are not limited to, communicating directly with the lawyer who may have committed the violation or reporting the suspected violation to the appropriate authority or other agency or body.

Finally, the Terminology section of the Code provides: Knowingly, knowledge, known, and knows mean actual knowledge of the fact in question. A person s knowledge may be inferred from circumstances. Accordingly, subsection (b) of Rule 2.15 applies where the judge has actual knowledge that a lawyer has committed a violation of the Rules of Professional Conduct ( RPC ). In those instances, the judge must report the known misconduct to the appropriate authority if the violation raises a substantial question regarding the lawyer s honesty, trustworthiness, or fitness as a lawyer in other respects. In contrast, subsection (d) applies where the judge has received information indicating a substantial likelihood that the lawyer has committed a violation of the RPC. Thus, this subsection applies where the judge has received information about a lawyer s conduct, but does not have actual knowledge of the conduct. In those circumstances, the judge considers whether there is a substantial likelihood that the lawyer committed a violation of the RPC. If there is a substantial likelihood of a violation, the judge must take appropriate action, which need not necessarily involve a report to the appropriate authority. Rule 1.2 (d) of the RPC states: A lawyer shall not counsel a client to engage, or assist a client, in conduct that the lawyer knows is criminal or fraudulent, but a lawyer may discuss the legal consequences of any proposed course of conduct with a client and may counsel or assist a client to make a good faith effort to determine the validity, scope, meaning or applications of the law. The Commentary to Rule 1.2 of the RPC entitled Criminal, Fraudulent and Prohibited Transactions states that the prohibition in subsection (d): does not preclude the lawyer from giving an honest opinion about the actual consequences that appear likely to result from a client s conduct. Nor does the fact that a client uses advice in a course of action that is criminal or fraudulent of itself make a lawyer a party to the course of action. There is a critical distinction between presenting an analysis of legal aspects of questionable conduct and recommending the means by which a crime or fraud might be committed. When a client s course of action has already begun and is continuing, the lawyer s responsibility is especially delicate. The lawyer is required to avoid assisting the client, for example, by drafting or delivering documents that the lawyer knows are fraudulent or by suggesting how the wrongdoing might be concealed. (Emphasis supplied.)

Rule 3.4 (1) of the RPC states that a lawyer shall not: [u]nlawfully obstruct another party s access to evidence or unlawfully alter, destroy or conceal a document or other material having potential evidentiary value. A lawyer shall not counsel or assist another person to do such act. The Commentary to this rule notes that [a]pplicable law in many jurisdictions makes it an offense to destroy material for the purpose of impairing its availability in a pending proceeding or one whose commencement can be foreseen. Rule 8.4 of the RPC states, in relevant part, that it is professional misconduct for a lawyer to: (1) Violate or attempt to violate the Rules of Professional Conduct, knowingly assist or induce another to do so, or do so through the acts of another; (2) Commit a criminal act that reflects adversely on the lawyer s honesty, trustworthiness or fitness as a lawyer in other respects; (3) Engage in conduct involving dishonesty, fraud, deceit or misrepresentation; (4) Engage in conduct that is prejudicial to the administration of justice; In reaching its decision, the Committee considered New York Judicial Ethics Advisory Opinions 10-36, 10-85, 10-22, 12-180, 13-118 & 14-88 and United States v. Russell, 639 F. Supp. 2d 226 (D. Conn 2007). As discussed above, subsection (b) of Rule 2.15 applies where the judge has actual knowledge of the lawyer s conduct, the conduct violates the RPC, and the violation raises a substantial question regarding the lawyer s honesty, trustworthiness, or fitness as a lawyer in other respects. The Committee concluded that it did not have sufficient information from the facts provided to determine with certainty whether the Judicial Official has actual knowledge of the lawyer s conduct and whether the lawyer s conduct amounted to a violation of the RPC. Thus, the Committee was unable to determine whether subsection (b) of Rule 2.15 applies. However, regardless of whether subsection (b) applies, the Committee concluded that the matter should be reported to the appropriate authority pursuant to subsection (d) of Rule 2.15. Because there is a substantial likelihood that the lawyer committed a violation of the RPC that calls into question the lawyer s honesty, trustworthiness, or fitness as a lawyer in other respects, the Committee determined that the only appropriate action under subsection (d) is to report the matter to the Statewide Grievance Committee. The Committee noted that in circumstances where the alleged misconduct does not call into question the lawyer s honesty,

trustworthiness, or fitness as a lawyer in other respects, the judge need not necessarily report the conduct, but may take less severe appropriate measures. In reaching this conclusion, the Committee considered the approach of New York. Rule 100.3(D)(2) of New York s Rules of Judicial Conduct provides that [a] judge who receives information indicating a substantial likelihood that a lawyer has committed a substantial violation of the Code of Professional Responsibility shall take appropriate action. New York s Advisory Committee on Judicial Ethics has explained that it is ordinarily left to the judge s discretion to determine the appropriate action. However, New York s Committee has concluded that where there is a substantial likelihood of misconduct that clearly calls into question the lawyer s honesty, trustworthiness, or fitness as a lawyer, then the only appropriate action is to report the lawyer to the grievance committee. See New York Judicial Ethics Advisory Opinions 14-88 (noting that there had been several instances where conduct described in an inquiry to this Committee, if true, demonstrated a substantial likelihood of a substantial violation that clearly called into question an attorney s honesty, trustworthiness or fitness as a lawyer and, therefore, at the very least, warranted an investigation by the attorney grievance committee ). The Committee also adopted the position followed in New York that a judge is under no ethical obligation to conduct an investigation to determine how serious or minor any misconduct may be. See New York Judicial Ethics Advisory Opinions 13-118. In addition, the rules governing judicial conduct address a judge s obligations with respect to misconduct by an attorney or judge, and there is no ethical requirement that a judge report criminal activity or other misconduct by litigants or witnesses disclosed in cases before the judge. See New York Judicial Ethics Advisory Opinions 12-180. The Committee noted that knowingly destroying evidence of a crime, or instructing others to do so, may constitute obstruction of justice, evidence tampering, aiding and abetting, or conspiracy, depending on the intent of counsel or the client, and the potential or actual existence of an investigation or proceeding. See Evan Jenness, Ethics and Advocacy Dilemmas Possessing Evidence of a Client s Crime, The Champion (December 2010). In evaluating the attorney s possible misconduct, the Committee considered United States v. Russell, 639 F. Supp. 2d 226 (D. Conn. 2007). In that case, an attorney (Philip D. Russell) was charged with obstruction (18 U.S.C. 1512 (c)(1)) and violating the anti-shredding provision of the Sarbanes-Oxley Act (18 U.S.C. 1519) after he destroyed a laptop containing child pornography that belonged to the choirmaster of his client, a church. In moving to dismiss the indictment, Russell asserted

that he had no reason to believe at the time of his conduct that any official proceeding was either in progress or would ever be instituted. (Unbeknownst to Russell, the FBI had already commenced an investigation into the choirmaster at the time Russell destroyed the computer). The District Court declined to dismiss the indictment, and Russell ultimately pleaded guilty to a charge of misprision of a felony (a federal offense which makes it a crime to fail to report the commission of a felony).1 Based on the facts presented, and after consideration of the materials outlined above, the Committee determined that there is a substantial likelihood that the attorney committed a violation of the RPC that calls into question the attorney s honesty, trustworthiness, or fitness as a lawyer in other respects. Accordingly, the Committee concluded that the appropriate action was to report the lawyer to the Statewide Grievance Committee for further investigation. Once the Judicial Official reports the attorney, the Judicial Official must disqualify him/herself from all cases in which the attorney appears either as a party or an attorney, both during the pendency of the disciplinary matter, and for a period of two years after the disciplinary matter is fully resolved. Remittal is not available unless the attorney waives his/her right to confidentiality both during the disciplinary proceeding and after it is resolved in his/her favor or unless the grievance committee issues a public disciplinary decision. IV. The Committee approved the Regular Meeting Schedule for 2015. V. The meeting adjourned at 9:59 a.m. 1 The Sarbanes-Oxley Act provides that anyone who knowingly alters, destroys, mutilates, conceals, covers up, falsifies, or makes a false entry in any record, document, or tangible object with the intent to impede, obstruct, or influence the investigation or proper administration of any matter within the jurisdiction of any department or agency of the United States shall be guilty of a crime. 18 U.S.C. 1519. Following the United States v. Russell decision, the Second Circuit concluded that the government need not prove a nexus between a defendant s conduct and an official proceeding in order to support a conviction under 1519. United States v. Gray, 642 F.3d 371, 378 (2d Cir. 2011). It should be noted that the U.S. Supreme Court is currently considering the scope of the term tangible object under 1519. See United States v. Yates (No. 13-7451) (considering whether destruction of undersized fish by a commercial fisherman constitutes destruction of a tangible object under 1519).