440 Mass. 511 | Mass. | 2003
Lead Opinion
The defendant, Equity Residential Properties Trust (Equity), seeks interlocutory review of an order entered
1. Background. The facts, which are not disputed, giving rise to Equity’s motion to disqualify Seyfarth are as follows. In September, 1999, the plaintiffs, former partners of Charles River Park “D” Company (Charles River), filed an action in the Superior Court against Equity, followed by a second action in March, 2000. The two actions, later consolidated, apparently alleged breaches of contracts and breaches of the covenants of good faith and fair dealing arising from the transfer of certain interests in Charles River to a limited partnership.
Shortly after the notices of appeal were filed in the Superior Court, Berthiaume’s law firm, Schnader Goldstein, dissolved. On January 1, 2003, Berthiaume became a member of Seyfarth, working in its Boston office. Before Berthiaume joined the firm, Seyfarth conducted an internal “due diligence” review to identify any possible conflicts of interest between Seyfarth’s existing clients and clients of Berthiaume whom he would continue to represent if (and when) he became a member of Seyfarth. The conflict check revealed that Equity was a current client of Seyfarth with matters unrelated to the Massachusetts contract action pending in offices other than Boston. Sometime before January, 2003, the firm informed Berthiaume of that fact, but also informed him, incorrectly as it turned out, that Equity had consented to Berthiaume’s continued representation of the plaintiffs in the Massachusetts action. Equity, in fact, neither had been informed of, nor had consented to, Berthiaume’s or Seyfarth’s continued representation of the plaintiffs.
When Equity discovered for itself that Berthiaume, now a Seyfarth partner, represented the plaintiffs, by letter dated January 24, 2003, it demanded that Seyfarth withdraw its representation of the plaintiffs. On February 5, 2003, presumably in response to that letter, Seyfarth filed in the Superior Court an “emergency motion for instructions” regarding the “competing demands” of its clients Equity and Charles River. On February 12, 2003, Equity filed a cross motion to disqualify both Berthiaume and Seyfarth from continuing to represent Charles River. The motions were considered by the same judge who had earlier
2. Discussion. We consider first whether the issue of Berthiaume’s disqualification is now moot. After the Superior Court judge issued his decision concerning disqualification, and after Equity had filed its initial brief here, Equity terminated its entire relationship with Seyfarth, a circumstance noted briefly in Equity’s reply brief.
Rule 1.7, by its terms, prohibits a lawyer from representing “a client” whose interests are directly adverse to those of “another client,” unless the lawyer “reasonably believes the representation will not adversely affect the relationship with the other client” and “each client consents after consultation.” Several courts have concluded that if, as here, the lawyer no longer represents a client because the client has, in essence, fired the lawyer, disqualification of the lawyer from continuing
It is important that, in this case, Equity has made no claim that any duty of confidentiality has been violated by Seyfarth, or that it is actually harmed by Berthiaume’s continued representation of the plaintiffs. See Tipton v. Canadian Imperial Bank of Commerce, 872 F.2d 1491, 1498-1499 (11th Cir. 1989) (disqualification not warranted where law firm representing defendant in one action and representing plaintiff in unrelated property matter withdrew from latter action and where no indication that confidential information had been obtained); Hartford Acc. & Indem. Co. v. RJR Nabisco, Inc., supra at 540-
There have been occasions where we have answered a question in a case that is moot because the issue is “one of public importance, where it was fully argued on both sides, where the question was certain, or at least very likely to arise again in similar factual circumstances,” especially where appellate review “could not be obtained before the recurring question would again be moot.” Lockhart v. Attorney Gen., 390 Mass. 780, 783 (1984). But motions to disqualify by their nature are intensely fact specific. See Hartford Acc. & Indem. Co. v. RJR Nabisco, Inc., supra at 541 n.7. Whatever decision we might reach concerning the judge’s decision is unlikely to offer guidance in the future.
We also express no opinion as to the propriety of Berthiaume’s continuing to represent the plaintiffs when he became a partner at Seyfarth, or of Seyfarth’s permitting him to do so. See Wong v. Fong, supra at 607 n.7. We recognize that, “[i]n this day of frequent firm reorganizations and lateral transfers, [a
The petition for interlocutory review is dismissed.
So ordered.
Rule 1.7 of the Massachusetts Rules of Professional Conduct, 426 Mass. 1330 (1998), states:
“(a) A lawyer shall not represent a client if the representation of that client will be directly adverse to another client, unless: (1) the lawyer reasonably believes the representation will not adversely affect the relationship with the other client; and (2) each client consents after consultation.
“(b) A lawyer shall not represent a client if the representation of that client may be materially limited by the lawyer’s responsibilities to another client or to a third person, or by the lawyer’s own interests, unless: (1) the lawyer reasonably believes the representation will not be adversely affected; and (2) the client consents after consultation. When representation of multiple clients in a single matter is undertaken, the consultation shall include explanation of the implications of the common representation and the advantages and risks involved.”
Equity’s petition also requested that the single justice “treat the [pjetition as a renewed motion to disqualify” Berthiaume and Seyfarth.
The record on appeal does not include copies of the complaints, and the precise allegations of the plaintiffs against Equity are not clear. The allegations are, however, irrelevant to our decision.
Rule 10 (a) (1) of the Massachusetts Rules of Appellate Procedure, 435 Mass. 1601 (2001), provides that, within “ten days after receiving from the clerk of the lower court notice of assembly of the record . . . each appellant, including each cross-appellant, shall pay to the clerk of the appellate court the docket fee fixed by law, and the clerk shall thereupon enter the appeal of such appellant or cross-appellant upon the docket.” In this case, the docket in the Superior Court contains no indication that a “notice of assembly of the record” has been forwarded to counsel. See Mass. R. A. P. 9 (d), as appearing in 378 Mass. 935 (1979). Thus, no appeal from the amended judgment in the Superior Court has been entered on the docket of the Appeals Court. Mass. R. A. P. 10 (a) (1). The Superior Court judge thus correctly concluded that he had jurisdiction to rule on the motions.
Equity sought to have both Seyfarth and Berthiaume disqualified; the judge’s ruling applied specifically to Berthiaume.
No affidavit or motion to expand the record on appeal has been filed by Equity. At oral argument, counsel for Equity confirmed that Equity is no longer represented by Seyfarth in any matters, and that all attorney-client relationships between Equity and Seyfarth have been terminated, a fact not challenged by either Seyfarth or the plaintiffs.
For example, in this case Berthiaume did not join Seyfarth until after final judgment had entered in the Superior Court and notices of appeal had been filed, and he did so only after having been erroneously informed that Equity had consented to his continued representation of Charles River. We think it unlikely that a motion to disqualify will arise in these same circumstances in the future.
Concurrence Opinion
(concurring, with whom Spina, J., joins). I agree with the court that the issue of Attorney Mark A. Berthiaume’s disqualification is moot because there is no longer a dual representation that may disqualify him. Even if a conflict of interest resulting in a violation of Mass. R. Prof. C. 1.7, 426 Mass. 1330 (1998), may have existed at one time, it arose only after Equity Residential Properties Trust appealed from the Superior Court judge’s grant of summary judgment and ended when Equity terminated its relationship with the law firm of Seyfarth Shaw, just after the initiation of this interlocutory review and prior to the underlying appeal. On this record, a ruling on whether Berthiaume’s past dual representation required disqualification serves no purpose.
I write separately because the court proceeds to discuss Berthiaume and Seyfarth’s actions, intimating that were it not for the fortuitous events that rendered this issue moot, we would have reviewed the facts of the case and determined whether dual representation was justified in this instance. Important factors would have included whether any duty of confidentiality
Against a backdrop of increasing law firm reorganizations and mergers, lateral transfers, and the rise of large-scale firms that transcend State and national borders, the issue of dual representation is one of multifaceted overtones and novel complexity. The proper interpretation of rule 1.7 in this shifting landscape requires not a decisional law approach, but systematic consideration. At this time, we cannot assume that Berthiaume and Seyfarth’s actions were permissible, nor should we categorically rule out a per se disqualification in such circumstances. Instead, we should engage in a coherent study of the problems of dual representation in the organization of contemporary firms and the interplay between rule 1.7 and motions to disqualify, seeking input from the bar and, in particular, from those firms that such a study is most likely to affect. The proper outcome of such a study should be an addition or amendment to the Massachusetts Rules of Professional Conduct. To the extent that the court suggests that these issues should be dealt with on a case-by-case basis, I do not join in the opinion.