CITIES SERVICE COMPANY, now OXY USA, Inc., Appellee, v. GULF OIL CORPORATION, now Chevron USA, Inc., and GOC Acquisition Corporation, Defendants, D. Richard Funk and John T. Schmidt, Appellants.
No. 87,964.
Supreme Court of Oklahoma.
March 2, 1999.
1999 OK 16
¶ 16 The bar association conceded that its alleged violations of 4.2 and 8.4(d) would stand or fall together. The 4.2 violation was the basis for the 8.4(d) violation. Having found no evidence to support the contention that Butner represented Stillwell‘s interests in opposition to Smith‘s or that Butner had improper contact with another attorney‘s client, no violation of 8.4(d) exists.
¶ 17 At the conclusion of the hearing the bar association requested that Respondent be privately reprimanded and pay the costs associated with the complaint.
¶ 18 The bar association must establish by clear and convincing evidence the charges against a respondent before discipline may be imposed upon an attorney. State ex rel. Oklahoma Bar Ass‘n v. Gasaway, 1991 OK 33, 810 P.2d 826. Having failed to do so, the Complainant‘s request for a private reprimand is denied and in accordance with the Trial Panel‘s decision, the Respondent is Exonerated.
¶ 19 RESPONDENT EXONERATED. APPLICATION FOR ASSESSMENT OF COSTS DENIED.
KAUGER, C.J., SUMMERS, V.C.J., HODGES, LAVENDER, SIMMS, HARGRAVE, OPALA, and WATT, JJ., concur.
ALMA WILSON, J., disqualified.
Randolph L. Jones, Jr., Peter B. Bradford and Bruce W. Freeman of Conner & Winters, Tulsa, Oklahoma, for appellants.
LAVENDER, J.
¶ 1 The threshold and determinative issue in this cause is whether under the facts and circumstances, particular to this case, the appellants have standing to challenge a trial judge‘s bench rulings which [by way of sanction] limited their participation in proceedings then pending before her court. For reasons delineated below, we determine that Richard Funk and John T. Schmidt [lawyers or appellants] do lack standing and dismiss their appeal with prejudice to renewal.
I
FACTS AND PROCEDURAL HISTORY
¶ 2 Appellants represent Gulf Oil Corporation, now Chevron USA, Inc. [Gulf
II
THE STANDING ISSUE
A
ITS COMPONENTS
¶ 3 At a minimum standing is composed of three elements. These components are: (1) a legally protected interest which must have been injured in fact—i.e., an injury which is actual, concrete and not conjectural in nature, (2) a causal nexus between the injury and the complained of conduct, and (3) a likelihood, as opposed to mere speculation, that the injury will be redressed by a favorable decision.4
¶ 4 Aggrieved status is limited to those persons (a) whose pecuniary interest in a protected right is directly and injuriously affected or (b) whose rights in property are either “established or divested” by the trial court‘s rulings.5 The complained of harm must be substantial and immediate as opposed to contingent.6
¶ 5 Finally, assessment of standing is not a decision on the case‘s merits. Rather it is a determination whether the plaintiff is the proper party to seek adjudication of the asserted issue.7
B
ASSESSMENT OF FUNK AND SCHMIDT‘S STANDING
¶ 6 Oklahoma‘s extant jurisprudence recognizes that a party‘s legal counsel has standing, separate from his client, to appeal an order which imposes a monetary sanction
¶ 7 Funk and Schmidt assert that because (1) they possess legally protected property interests in their professional reputations and (2) the trial judge‘s bench rulings impaired those interests, they have standing.9 They also contend that the harm which they have suffered is pecuniary in nature because their representation of Gulf Oil was limited by the sanction orders. Lastly, they allege that the injury to their reputations will hurt their ability to attract business in the future. It is not contended by either lawyer that their licenses were at any time in jeopardy of divestiture or revocation. The appellants have submitted no authority which holds that they have a protected property right to represent a particular client.10
¶ 8 We are mindful that it is incumbent upon a trial judge to manage the proceedings in his or her court in order to assure orderly process to all parties.11 In this regard district courts are indeed entitled to discretion in monitoring their own processes. Sanctions exist to ensure the proper functioning of the legal system and there can be no doubt that they primarily deter and punish. Unquestionably, the trial court‘s interests are not synonymous with the trial lawyers’ interests in every instance and there is potential for conflict and injury—be it justified or unjustified—to the legal practitioner‘s reputation. Nonetheless, it is not necessary today to, and hence we do not, reach the issue whether Funk and Schmidt‘s interests in their professional reputations are legally protectible because there is no reasonable likelihood that the alleged harm would be redressed by a favorable opinion. Hence, the third component of standing is missing.
¶ 9 Assuming for the purpose of analysis that Funk and Schmidt do have a legally protected interest in their professional reputation which was harmed in some way by the imposed non-monetary sanctions, their injuries are not remediable under the circumstances of this case. The imposed sanctions consist primarily of limitations on the two lawyers’ right to participate in certain oral presentations before the jury.12 Both counsel remained at counsel‘s table—assisting their client—throughout the trial. The trial is now concluded.
¶ 10 Assaying standing against the facts disclosed by the record, the lawyers’ appeal is in a form which is not capable of judicial resolution. Standing‘s third component requires there be a reasonable likelihood that the complained of injury will be redressed by a favorable decision.13 The Court can provide no remedy—other than a meaningless declaration—to the lawyers in this appeal. If the sanction orders constitute reversible error, the only possible remedy would be to order a new trial. This relief, if appropriate under the facts disclosed by the record, would be a remedy available to Gulf Oil Company in its own right and not to the appellants who are non-parties in the litigation below. As a personal right Gulf‘s lawyers are not entitled to a new trial solely to vindicate perceived damage to their professional reputations.
¶ 12 If the appellants feel that the trial judge‘s conduct was oppressive, their complaints properly lie with the Court on the Judiciary and not here. The latter tribunal has exclusive jurisdiction to hear causes of that character.14
III
SUMMARY
¶ 13 Without reaching the issue whether the appellants’ interests in their professional reputations are susceptible to protection from the harm, if any, occasioned by Judge Shallcross’ non-monetary sanctions, the appeal is dismissed because the lawyers lack standing to pursue the matter. The Court cannot give them the effectual relief which they seek, i.e., public remediation of a perceived harm to their professional reputations. Hence, the third component of the Toxic Waste standing test cannot be satisfied.
¶ 14 THE APPEAL IS DISMISSED WITH PREJUDICE.
¶ 15 SUMMERS, C.J., HARGRAVE, V.C.J., SIMMS, KAUGER and WATT, JJ., concur.
¶ 16 WILSON, J., concurs in part; dissents in part.
¶ 17 OPALA, J., dissents.
¶ 18 HODGES, J., not voting.
OPALA, J., dissenting.
¶ 1 The court holds today that lawyers have no standing to seek review of non-monetary sanctions. By making unreviewable that courtroom discipline which visits no pecuniary loss, the court gives the trial bench a carte blanche for boundless mid-trial restrictions on a lawyer‘s right of audience.1 I cannot accede to a doctrine which puts a premium on loss of money but utterly discounts the grave harm that is inflicted by means of non-pecuniary fetters on a legal practitioner‘s courtroom liberty to advocate a client‘s cause.
I
BACKGROUND
¶ 2 Funk and Schmidt, attorneys for the defendant in an action, were subjected to mid-trial conduct restrictions after the trial judge had perceived their behavior as violative of certain in limine orders. Funk was precluded from questioning witnesses and participating in closing arguments; Schmidt was initially silenced during his closing argument and then barred from involvement in
II
THE PECUNIARY-LOSS TEST IS A FLAWED STANDARD FOR APPELLATE STANDING
¶ 3 A license to practice law, which creates a constitutionally protected property interest,3 confers upon its bearer a right of audience before courts sitting within the territory of the admitting jurisdiction. A lawyer‘s liberty to advocate his client‘s cause before a court represents the core value of the legal license holder‘s proprietary interest. Where there is a significant infringement upon an advocate‘s courtroom freedom,4 the aggrieved legal practitioner should be accorded standing to appeal even in the absence of attendant pecuniary sanctions.5 Any significant disciplinary in-court restraint 345 clearly (a) impinges on the lawyer‘s duty to deliver untrammeled and independent service of forensic representation and (b) harms the practitioner‘s standing both with the sanctioning court as well as with the client.
¶ 4 Reprimands and gag orders can be far more devastating than monetary sanctions. Loss of livelihood and of professional reputation is to be regarded equally as harmful as pecuniary deficit.6 Given the importance of a lawyer‘s professional reputation and standing, the right to appeal from a decision that visits discipline should not depend on the form of inflicted sanction.7
¶ 5 The standard for standing to appeal should be the same as that applied in cases of contempt arising from litigation-related misconduct. If one can by right secure review of a contempt conviction that results in a sentence which neither imposes a fine nor suspends its remittance, one should with equal ease be able to appeal from imposition of non-pecuniary sanctions.8
¶ 6 Today‘s pecuniary-loss test also is in discord with the appellate standing standards that govern in nisi prius disqualification of a litigant‘s counsel of record. One who is aggrieved by a judicially forced exit of a party‘s chosen counsel—be it the lawyer or her client—may appeal without showing any pe-
tize the norms of courtroom etiquette by precedent-setting jurisprudence that will provide guidance for the bench and bar.11 I would declare that the two aggrieved lawyers must be accorded standing to prosecute the present appeal.
III
THE PREDICTABLE AFTERMATH OF TODAY‘S RULING
¶ 7 Today‘s ruling will have a far-reaching effect and a disastrous fallout. It leaves no shred of constraint on the exercise of nisi prius discretion to impose non-monetary discipline. The trial judge‘s self-generated prudence is now the law‘s sole gauge of the sanction‘s correctness. Destroying a lawyer‘s access to appellate review of non-pecuniary sanctions grants first-instance judges (as well as administrative adjudicators) a veritable license for visiting on forensic advocates unwarranted reprimands, gag orders, and like forms of non-monetary penalty. In short, nisi prius judges (as well as their counterparts in agency decision-making) may now with absolute impunity restrain any legal practitioner‘s in-trial conduct.
IV
SUMMARY
¶ 8 I cannot join today‘s opinion. Its terms are unacceptable to me because they (a) subject the trial bar to an unregulated courthouse judges’ discretion over visiting non-monetary sanctions and (b) abdicate this court‘s constitutional responsibility to concre-
STATE of Oklahoma, ex rel., OKLAHOMA BAR ASSOCIATION, Complainant, v. John R. BLACKBURN, Respondent.
Nos. SCBD 4203, OBAD 1303, OBAD 1269, SCBD 4255.
Supreme Court of Oklahoma.
March 9, 1999.
1999 OK 17
