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Opinion 246
A Lawyer’s Obligation to Report Another Lawyer’s Misconduct
A lawyer suing another lawyer for malpractice on behalf of a client is
required by Rule 8.3 to report to bar disciplinary authorities the conduct
that is the subject of the malpractice action, if she has sufficient knowledge
of the pertinent facts, if her knowledge is not protected as a client
confidence or secret, and if the conduct of the other lawyer both constitutes
a violation of an ethical rule and raises a substantial question as to
the lawyer’s honesty, trustworthiness or fitness in other respects.
Where a lawyer learns of another lawyer’s misconduct
in the course of representing her client, and the information about the
misconduct constitutes a confidence or secret within the meaning of Rule
1.6, that Rule prohibits her reporting it without the client’s consent.
If, after having been made fully aware of any possible adverse consequences
for his ultimate recovery, the client does consent, then neither Rule
1.6 nor Rule 1.3(b)(2) bars reporting. On the facts of this case, the
Committee is unable to conclude that the misconduct at issue (failure
to comply with the statute of limitations and representation of conflicting
interests) gives rise to an obligation under Rule 8.3 to report.
Applicable Rules
- Rule 1.3(b)(2) (Diligence and Zeal)
- Rule 1.6 (Confidentiality of Information)
- Rule 8.3 (Reporting Professional Misconduct)
Inquiry
The inquirer represents a client in his malpractice claim against
another D.C. lawyer, arising out of the latter’s representation of him
in connection with a 1990 automobile accident. The malpractice claim is
based on the lawyer’s failure to file suit within the applicable two-year
limitations period, and also on a putative conflict of interest in the
lawyer’s simultaneous representation in the same matter of certain members
of the client’s immediate family. The inquirer wishes to know whether
the conduct that is the subject of the malpractice action gives rise to
an obligation on her part under Rule 8.3 to report the lawyer to bar disciplinary
authorities in the District. The inquirer expresses some concern that
subjecting the other lawyer to disciplinary prosecution could limit his
ability to pay any judgment that may ultimately be obtained against him
in the malpractice action. On the facts presented, we cannot conclude
that the inquirer has an obligation to report under Rule 8.3.
Procedural History
The Committee originally approved an opinion in response to this inquiry
in April 1994. Subsequently, Bar Counsel raised certain questions relating
to the interaction of Rules 8.3 and 1.6, particularly with respect to
what information should be regarded as “secret” under Rule 1.6(b).
After further deliberation, the Committee has concluded that its initial
resolution of the apparent conflict between the two Rules in question
is compelled by their language. Accordingly, notwithstanding the legitimate
policy concerns raised by Bar Counsel, we are constrained to reaffirm
the conclusions of the earlier opinion. This revised opinion elaborates
further on the issues raised by Bar Counsel.
Discussion
A lawyer’s obligation to report misconduct by another lawyer arises under
Rule 8.3(a) when the lawyer “h[as] knowledge that another lawyer
has committed a violation of the Rules of Professional Conduct that raises
a substantial question as to that lawyer’s honesty, trustworthiness, or
fitness as a lawyer in other respects. . . .” If the Rule applies,
then failure to report would itself be an ethical violation.
A 1992 opinion of the New York State Bar Association’s
Committee on Professional Ethics, Opinion No. 635 (“New York State
Bar Opinion”), outlines the following four step process for determining
whether mandatory reporting is required, which we adopt.
1. Knowledge
Consistent with the interpretation given the reporting requirement in
other jurisdictions, we believe Rule 8.3(a) should be read to require
a lawyer to report misconduct only if she has a clear belief that misconduct
has occurred, and possesses actual knowledge of the pertinent facts.
Although absolute certainty is not required, see Rotunda,
The Lawyer’s Duty to Report Another Lawyer’s Unethical Violations
in the Wake of Himmel, 1988 Ill. L. Rev. 977, 986, a “mere suspicion”
that misconduct has occurred does not give rise to an obligation to
report.
New York State Bar Opinion, id. at 4.
See also New York City Ethics Opinion 1990-3; Alabama Ethics Opinion
85-95; Arizona Opinion 90-13; Nebraska Opinion 89-4; Williamson v. Council
of North Carolina Bar, 46 N.C. App. 824, 266 S.E.2d 391 (1980). See
also Doe v. Federal Grievance Committee, 847 F.2d 57 (2d Cir. 1988).1
2. Client Confidences or Secrets
Next, the lawyer must consider whether the knowledge of misconduct
she possesses is a client “confidence” or “secret”
as those terms are defined in Rule 1.6.2
If information is protected by Rule 1.6, it is specifically exempted
from the mandatory reporting requirement of Rule 8.3(a). See Rule 8.3(c).3
We believe the exemption in Rule 8.3(c), read together with Rule 1.6
itself, means that a lawyer may not report misconduct where this would
entail a disclosure of information protected by Rule 1.6.4
Rule 1.3(b)(2) may also preclude reporting if it would “prejudice”
or “damage” the client, even if the client does not object.5
Under Rule 1.6, information gained by a lawyer
“in the professional relationship,” even if not privileged,
may be protected as a “secret,” in which case it may not be
disclosed without the client’s consent. See note 2, supra. Comment [6]
of Rule 1.6 confirms that the Rule’s protection extends “not merely
to matters communicated in confidence by the client (i.e., confidences)
but also to all information gained in the course of the professional
relationship that the client has requested be held inviolate, or the
disclosure of which would be embarrassing or would be likely to be detrimental
to the client (i.e., secrets).” Comment [6] goes on to explain:
This ethical precept, unlike the evidentiary privilege,
exists without regard to the nature or source of the information or
the fact that others share the knowledge. It reflects not only the
principles underlying the attorney-client privilege, but the lawyer’s
duty of loyalty to the client. [Emphasis added.]
In the instant case, because the information
about the other lawyer’s failure to file within the limitations period
and his possible conflict of interest came to the lawyer “in the
course of the professional relationship,” it falls within the definition
of a “secret” under Rule 1.6 either if the client requests
that it be “held inviolate” or if its disclosure would be
“likely to be detrimental to the client.” As Comment [6] makes
clear, the information does not lose its protected status as a “secret”
simply because “others share the knowledge.”
Even if it could be argued that the client’s
direction to disclose the information in public court filings removes
it from the Rule’s definition of information “that the client has
requested be held inviolate,” the information still may be entitled
to protection as a client “secret” if its disclosure would
be “detrimental to the client,” without regard to its already
having been made public. Thus, if reporting the other lawyer’s misconduct
to disciplinary authorities may lessen the client’s ultimate chances
of recovery, the lawyer may be constrained by Rule 1.6 from doing so.
We have considered an argument that the client
waived any expectation of confidentiality under Rule 1.6 respecting
the other lawyer’s misconduct when he authorized his lawyer to file
a lawsuit about it, because he had in effect consented to disclosure,
at least to the extent that the facts had been made a matter of public
record in the court filings. See Rule 1.6(d)(1). We believe, however,
that the mere fact that certain information has in this fashion been
made a matter of public record by the lawyer at the client’s direction
does not permit the lawyer to disregard altogether her confidentiality
obligations to the client under Rule 1.6 where disclosure in another
forum is at issue. In a word, we believe that a client’s consent to
disclosure under Rule 1.6(d) may be a limited one, and that the client
retains the option, even where information has been disclosed for one
purpose at his own direction, to limit whether and to what extent his
lawyer otherwise discloses it.6
This construction of Rule 1.6 is confirmed by Comment [6], which points
out that the Rule reflects “not only the principles underlying
the attorney-client privilege, but the lawyer’s duty of loyalty to the
client.” Thus, even if the client has authorized the lawyer to
file a lawsuit charging another lawyer with malpractice, this does not
mean that the client cannot expect the lawyer to keep the matter confidential
for other purposes.
In the instant context, our conclusion respecting
the interaction of Rules 1.6 and 8.3 means that a client may ask his
lawyer not to file a misconduct charge with disciplinary authorities
where doing so would require the lawyer to disclose information gained
in the professional relationship, even though he has previously authorized
the lawyer to file a malpractice action based on that same conduct,
and the lawyer has done so. Under these circumstances, the lawyer is
under no obligation under Rule 8.3(a) to report the other lawyer and
indeed would be precluded from doing so by Rule 1.6.7 Of course, if the client consents to
disclosure, Rule 1.6 would pose no bar to reporting. And, in this regard,
we note that the commentary to Rule 8.3 states that a lawyer should
“encourage” a client to consent to disclosure, unless this
would “substantially prejudice” the client’s interests. See
also Rule 1.3(b)(2), note 5 supra. Accordingly, before seeking the client’s
consent, the lawyer has an obligation to disclose to the client her
concerns about the effect reporting may have on his chances of ultimate
recovery. The possibility that reporting would prejudice the client’s
case should be brought to his attention in seeking his consent to disclosure.
If the client does consent, after having been made fully aware of the
possible adverse consequences for his ultimate recovery, neither Rule
1.6 nor Rule 1.3(b)(2) bars reporting under Rule 8.3(a).
3. Violation of a Disciplinary Rule
Once the lawyer has concluded that she “knows” the relevant
facts, and that her reporting will not require disclosure of information
protected by Rule 1.6, she must satisfy herself that the conduct in
question rises to the level of a disciplinary violation. Here, for example,
the inquirer must believe that the other lawyer engaged in conduct clearly
violative of her ethical obligation to represent a client competently
and diligently, as required by Rules 1.1 and 1.3. Willful or unexcused
failure to file within the applicable limitations period may well constitute
a basis for sanctioning a lawyer for incompetence or neglect, or for
prejudicing the client during the course of the professional relationship.
So may representation without regard to or in spite of conflicts of
interest among her clients. On the other hand, conduct that is merely
negligent may not involve an ethical violation, particularly if there
are circumstances that would excuse or explain the negligence. If the
inquirer has doubts as to whether a disciplinary rule has been violated
by the other lawyer, apart from the alleged malpractice claim, she probably
does not have the requisite degree of certainty to activate her own
ethical obligation to report under Rule 8.3(a).
4. Substantial Question as to Honesty, Trustworthiness or Fitness
to Practice Law
Finally, even if a lawyer concludes that she has the requisite knowledge
of another lawyer’s clear violation of the Disciplinary Rules, and that
she may reveal that knowledge without violating Rule 1.6, she is required
by Rule 8.3(a) to do so only if the violation “raises a substantial
question as to that lawyer’s honesty, trustworthiness or fitness as
a lawyer in other respects. . . .” This “significant limitation”
on the reporting requirement means that “not all violations of
the disciplinary rules must be reported, only the most serious ones.”
New York State Bar Opinion, supra at 8. The commentary to the Rule further
explicates the basis for this limitation:
If a lawyer were obliged to
report every violation of the rules, the failure to report any violation
would itself be a professional offense. Such a requirement existed in
many jurisdictions but proved to be unenforceable. This Rule limits
the reporting obligation to those offenses that a self-regulating profession
must vigorously endeavor to prevent. A measure of judgment is, therefore,
required in complying with the provisions of this Rule. The term “substantial”
refers to the seriousness of the possible offense and not the quantum
of evidence of which the lawyer is aware.
Whether a particular violation of the disciplinary
rules meets the “substantial question” test must be determined
on a case-by-case basis, using “a measure of judgment” rather
than a clear litmus test. Advisory opinions from other jurisdictions
are somewhat helpful in this regard but suggest no bright line test.
Compare Arizona Op. 87-26 (failure to file tax returns should have been
reported), Alabama Op. 90-97 (same for misappropriation of escrow funds),
and New Mexico Op. 1988-8 (same for attempt to bribe witnesses) with
Illinois Op. 90-36 (threats to bring criminal charges to gain advantage
in a civil suit need not be reported), Virginia Op. 962 (1987) (same
for attempt to persuade clients to change wills to detriment of Society
for the Prevention of Cruelty to Animals), and Pennsylvania Opinion
88-225 (same for failure to comply with statute of limitations).
It would seem reasonable to conclude that a
one-time negligent failure to comply with a limitation period, without
more, would not evidence a lack of fitness to practice law. Similarly,
simultaneous representation of several family members with arguably
conflicting interests in a personal injury context would not seem on
its face necessarily to present a clear and serious violation of the
disciplinary rules. In the end, however, it is for the inquiring lawyer
to determine, in light of all the facts of the situation as she knows
them, whether in her judgment a particular disciplinary violation raises
a “substantial question” about another lawyer’s fitness, so
as to trigger her own ethical obligation to report it. It is and should
be a solemn and unenviable task.
We note that the mere filing of the malpractice
lawsuit does not relieve the inquirer from any independent obligation
she may have under Rule 8.3(a) to report the conduct at issue to bar
disciplinary authorities. This obligation is not satisfied by whatever
public notice may be implied from filing suit in court. On the other
hand, as noted previously, the fact that the lawyer has filed a lawsuit
over another lawyer’s misconduct does not relieve her of her obligations
to keep client confidences under Rule 1.6, and in these circumstances
the client’s wishes still control.
Conclusion
On the facts outlined in the instant inquiry, we cannot determine
conclusively whether all or indeed any of the four elements necessary
to trigger the reporting requirement under Rule 8.3(a) are present in
this case. The inquirer must herself decide, based upon the guidance herein
provided, whether she has sufficient knowledge of the other lawyer’s misconduct,
whether that knowledge may be disclosed consistent with Rule 1.6 and Rule
1.3(b)(2), and whether the conduct at issue in the malpractice action
also constitutes a clear violation of the ethics rules. Finally, assuming
the inquirer concludes that a violation of the Rules has occurred, she
must also decide whether the violation is sufficiently serious as to raise
a substantial question about the other lawyer’s fitness to practice law.
We stress that Rule 8.3(a) deals only with situations
in which a lawyer is obligated to report another lawyer’s misconduct,
so that her failure to report will itself violate the Rules of Professional
Conduct and subject her to disciplinary action. The Rule neither limits
the circumstances in which a lawyer is permitted to make such a report
(except where Rule 1.6 precludes disclosure), nor defines those situations
in which reporting might be appropriate if not mandatory. In this regard,
the New York State Bar Opinion, supra at 4, notes:
A lawyer is always free to report evidence of what might constitute
improper conduct by another attorney, subject to the obligations to protect
client confidences and secrets. The lawyer need not have actual proof
of misconduct; a good faith belief or suspicion that misconduct has been
committed is a sufficient basis for making a report.
It should go without saying, of course,
that it would be improper for a lawyer to make a report of misconduct
and subject another lawyer to investigation without having a reasonable
basis for doing so, or solely to gain a tactical advantage in a matter.
See D.C. Bar Op. 220 (1991) (threats to file disciplinary charges solely
to gain advantage in a civil matter violate Rule 8.4(g)). The inquirer
did not ask the Committee’s views about whether or not it would be permissible
or appropriate in these circumstances for her to report the other lawyer’s
conduct, and we express none.
Inquiry No. 92-6-15
Adopted: April 19, 1994
Revised: October 18, 1994
- Doe, the Court of Appeals, in analyzing
the analogous disclosure obligation under Rule 3.3(b) to reveal fraud
to a tribunal, stated that a lawyer must disclose information he “reasonably
knows to be a fact” and which “clearly establishes”
the existence of a fraud. The court stated that “proof beyond
a moral certainty” is not required, but that a lawyer “must
clearly know, rather than suspect, that a fraud on the court has been
committed before he brings this knowledge to the court’s attention.”
847 F.2d at 62.
- 1.6 defines client “confidences”
and “secrets” as follows:
“Confidence” refers to information protected
by the attorney-client privilege under applicable law, and “secret”
refers to other information gained in the professional relationship
that the client has requested be held inviolate, or the disclosure
of which would be embarrassing, or would be likely to be detrimental,
to the client.
- 8.3(c) provides:
This rule does not require disclosure of information otherwise
protected by Rule 1.6.
- conclusion respecting the interaction
of Rules 1.6 and 8.3(a) has been reached in several other jurisdictions.
See, e.g., In re Ethics Advisory Panel Opinion No. 92-1, 627 A.2d
317 (R.I. 1993) (lawyer prohibited by Rule 1.6 from reporting fact
that client’s former lawyer had embezzled and subsequently repaid
a substantial amount of his client’s money); Ariz. Bar Ass’n
Ethics Op. No. 90-13 (1990) (information about a client’s rape
by another lawyer may not be disclosed in the face of the client’s
explicit instruction not to report); Md. State Bar Ass’n Comm.
on Ethics, Op. No. 89-46 (1989) (client instruction not to report breach
of fiduciary duty precludes reporting); Conn. Bar Ass’n Comm.
on Professional Ethics, Informal Op. 89-14 (1989) (in-house corporate
lawyer may not disclose other corporate lawyer’s misconduct if
disclosure could be adverse to corporation’s interests); Wis.
State Bar Comm. on Professional Ethics, Formal Op. E-89-12, (1989) (disclosure
prohibited if it would entail revelation of any client information,
whether or not it would prejudice client). But see In re Himmel, 533
N.E.2d 70 (Ill. 1989) (lawyer’s failure to report another lawyer’s
embezzlement of client funds was grounds for suspension even though
his knowledge of the embezzlement may have been protected as a client
“secret”; reporting rule exempted only “privileged
information”); Md. State Bar Ass’n Comm. on Ethics, Op.
No. 89-36 (Feb. 14, 1989) (lawyer representing other lawyers must report
their misconduct if he has actual knowledge thereof which has already
been revealed to a court and, therefore, is a matter of public record);
Philadelphia Bar Ass’n Professional Guidance Comm., Op. 83-23
(1988), (lawyer who receives communication directly from another party
to a pending litigation alleging unethical conduct by that party’s
lawyer must report the information to the disciplinary board of the
Pennsylvania Supreme Court. Confidentiality does not apply, as the information
came from another party to the litigation, not from the lawyer’s
client.).
- 1.3(b) states:
A lawyer shall not intentionally: . . . (2) prejudice or damage
a client during the course of the professional relationship.
- recognize that there is some support
in the case law for an argument that a client waives his right to assert
attorney/client privilege to the limited extent that specific facts
are disclosed in public pleadings, filed by his lawyer at his direction.
See, e.g., Industrial Clearinghouse, Inc. v. Browning Mfg. Div. of Emerson
Elec. Corp., 953 F.2d 1004 (5th Cir. 1992). However, we do not believe
the case law interpreting the attorney/client privilege controls an
attorney’s ethical obligation to report another lawyer to disciplinary
authorities against her client’s wishes, since, as is made clear
by Comment [6] to Rule 1.6, the protection afforded a client’s
confidences by Rule 1.6 is broader than that accorded by the evidentiary
privilege, and “reflects not only the principles underlying the
attorney-client privilege, but the lawyer’s duty of loyalty to
the client.”
- express no views on the desirability
of this outcome as a matter of policy, although we appreciate the concerns
expressed by Bar Counsel noted earlier in this opinion. See Procedural
History, supra at 62. These same concerns were expressed by the Rhode
Island Supreme Court in In re Ethics Advisory Panel Opinion No. 91-1,
supra, 627 A.2d at 323 (allowing Rule 1.6 to “trump” the
obligation to report misconduct represents “a failure of the legal
profession to regulate itself effectively,” and “fuels the
perception that . . . the legal profession is engaged in a coverup of
attorney misconduct.”). See also Olsson, Reporting Peer Misconduct:
Lip Service to Ethical Standards Is Not Enough, 31 Ariz. L. Rev. 657,
675 (1989). We are aware that some jurisdictions have promulgated a
confidentiality rule that allows disclosure in a broader set of circumstances
than is permitted under the District of Columbia’s version of
Rule 1.6. See 2 Hazard & Hodes, The Law of Lawyering, §§
AP4:103-AP4:105 at 1259-1266. However, given the broad protection afforded
client confidences under the District’s Rule 1.6, we feel constrained
here to conclude as we do. The same result would appear to obtain under
the ABA Model Rules, notwithstanding the different wording of Model
Rule 1.6.
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