HEADFIRST BASEBALL LLC, et al., Plaintiffs, v. Robert ELWOOD, et al., Defendants. Robert Elwood, Counterclaim Plaintiff, v. Brendan V. Sullivan III, and Headfirst Professional Sports Camp, LLC, Counterclaim Defendants.
Civil Action No. 13-536 (RBW)
United States District Court, District of Columbia.
November 22, 2013
993 F. Supp. 2d 199
REGGIE B. WALTON, United States District Judge
Id. at 695. Likewise, in United States v. Schuster, the court balanced the possible outcomes of the court‘s decision to decide which was in the interest of justice. 2002 WL 31098493 at *1 (S.D.N.Y. Sept. 19, 2002). The court noted that would be “of value both to defendant and his family and also to the community for him to obtain productive employment.” Id. On the other hand, continuing the defendant‘s probation would have “no real value as far as law enforcement or any other community interest is concerned.” Id.
In this case, as in Schuster and Harris, requiring Mr. Etheridge to serve his one remaining year of supervised release would leave an obstacle to Mr. Etheridge‘s career and successful reintegration in society, but would have a de minimis (if any) purpose in furthering the sentencing purposes in
III. Conclusion
For the reasons stated above, Defendant Etheridge‘s Motion for Termination of Supervised Release is GRANTED.
SO ORDERED.
Caroline Petro Gately, James Douglas Baldridge, Moxila A. Upadhyaya, Venable LLP, Washington, DC, for Defendants, Counterclaim Plaintiff.
Michael Shobe Sundermeyer, Williams & Connolly LLP, Daniel Sage Ward, Ward & Ward, PLLC, Washington, DC, for Counterclaim Defendants.
MEMORANDUM OPINION
REGGIE B. WALTON, United States District Judge
The plaintiffs, Headfirst Baseball LLC, Headfirst Camps LLC (“the companies“),
I. BACKGROUND
All of the claims and counterclaims in this case arise out of the soured business and personal relationships of Brendan Sullivan III and Robert Elwood. The plaintiff companies, who along with Sullivan have brought this action, provide athletic summer camp programs for several thousand children, First Am. Compl. ¶ 12; Countercl. ¶ 16, and the counterclaim defendant company, Headfirst Professional Sports Camps LLC, “is the official provider of summer [youth] camps for the Washington Nationals, Boston Red Sox, Chicago Cubs and New York Yankees in the District of Columbia, Boston, Chicago, and New York Metropolitan areas,” Countercl. ¶ 24, at which “[c]ampers ages 5-13 enjoy a ‘Major League Experience’ with first-rate coaching, VIP tours and the opportunity to meet a[] [Major League Baseball] player,” Countercl., Exhibit (“Ex.“) E (Screenshot of Headfirst Website) at 4. The plaintiffs’ first amended complaint asserts that Sullivan is the “founder and President of Headfirst,” while Elwood was the “second in command’ of the business under Sullivan.” First Am. Compl. ¶ 13. The plaintiffs allege that it was discovered
The defendants present a markedly different story, alleging that Elwood is a partner who co-owns the “Headfirst Partnership.” Countercl. ¶¶ 6, 22. The counterclaim alleges that the Headfirst companies have been operating under the umbrella of a de-facto partnership—one that Elwood helped develop and in which he has now been wrongfully denied participation. Countercl. ¶¶ 1-2, 34-36. According to the counterclaim, “the Headfirst Partnership was formed” in 2001 when “Elwood and Sullivan began, as co-owners,” managing the “Headfirst business as a whole.” Id. ¶ 22. Elwood further alleges that Sullivan “authorized, was a participant in, and was the architect of the very conduct [Sullivan] now alleges is wrongful.” Id. ¶ 36.
One week after filing their counterclaim, the defendants filed the motion to disqualify Williams & Connolly as plaintiffs’ counsel in this case. The defendants allege that Elwood and Sullivan sought and obtained legal advice from Sullivan‘s father, Brendan V. Sullivan, Jr., and the law firm at which the elder Sullivan is a partner, Williams & Connolly. See Defs.’ Mem. at 3-4; see also Defs.’ Mem., Ex. 1 (Declaration of Robert Elwood (“Elwood July Decl.“)) ¶¶ 9, 20. The defendants allege further that Williams & Connolly “became general counsel to Headfirst,” and that “Elwood and Sullivan also received legal advice from Williams & Connolly on personal issues.” Defs.’ Mem. at 4; see also Defs.’ Mem., Ex. 1 (Elwood July Decl.) ¶ 9. In addition to the elder Sullivan, the defendants represent that Stephen Sorenson, a former Williams & Connolly partner, also provided advice “on a variety of issues, some of which are central to the dispute in this lawsuit.” Defs.’ Mem. at 4; id., Ex. 1 (Elwood July Decl.) ¶¶ 10-18. The plaintiffs oppose the defendants’ motion to disqualify Williams & Connolly.
The plaintiffs also recently filed a motion for leave to file a second amended complaint to include further allegations concerning their tortious interference claim, as well as to add a claim under the Stored Communications Act,
II. STANDARDS OF REVIEW
A. Motion to Disqualify Counsel
Although “[i]t is true of course that disqualification of an attorney is a matter which rests within the sound discretion of the trial court,” it is also true that “[d]isqualification of an attorney is a serious step.” Derrickson v. Derrickson, 541 A.2d 149, 152 & n. 6 (D.C.1988); see also Groper v. Taff, 717 F.2d 1415, 1418 (D.C.Cir.1983). This is because “[d]isqualification may severely affect the monetary interest and reputation of an attorney,” and also “negates a client‘s right to freely choose his counsel.” Derrickson, 541 A.2d at 152 n. 6 (citation omitted).
In addressing a motion to disqualify, a court “must consider two questions in turn: first, whether a violation of an applicable Rule of Professional Conduct has occurred or is occurring, and if so, whether such violation provides sufficient grounds for disqualification.” In re Rail Freight Fuel Surcharge Antitrust Litig., 965 F.Supp.2d 104, 110, 2013 WL 4714334, at *5 (D.D.C.2013) (citation omitted). “Any motion to disqualify faces the extraordinarily high burden articulated by the [Circuit] in Koller v. Richardson-Merrell Inc., 737 F.2d 1038, 1056 (D.C.Cir.1984), vacated on other grounds, 472 U.S. 424 (1985),” in which the Circuit concluded that “unless the attorney‘s conduct will tend to taint the trial and actually have the potential to affect its outcome, disqualification is impermissible.” Cauderlier & Assocs., Inc. v. Zambrana, No. 05-1653, 2006 WL 3445493, at *2 (D.D.C. Oct. 6, 2006). As the Circuit stated:
[D]isqualification is warranted only rarely in cases where there is neither a serious question as to counsel‘s ability to act as a zealous and effective advocate for the client, nor a substantial possibility of an unfair advantage to the current client because of counsel‘s prior representation of the opposing party, or prior responsibility as a government official. Except in cases of truly egregious misconduct likely to infect future proceedings, other means less prejudicial to the client‘s interest than disqualifying the counsel of [his or her] choice are ordinarily available to deal with ethical improprieties by counsel.
Koller, 737 F.2d at 1056 (citations omitted).
B. Motion to Amend
“A party may amend its pleading once as a matter of course” before the adverse party has filed a responsive pleading.
III. LEGAL ANALYSIS
A. The Defendants’ Motion to Disqualify
The defendants ask the Court to disqualify Williams & Connolly as plaintiffs’ counsel in this case on the grounds that the law firm‘s continued involvement would violate three District of Columbia Rules of Professional Conduct:
1. Whether Plaintiffs’ Counsel‘s Representation Violates Rule 1.7
(b) Except as permitted by paragraph (c) below, a lawyer shall not represent a client with respect to a matter if:
(1) That matter involves a specific party or parties and a position to be taken by that client in that matter is adverse to a position taken or to be taken by another client in the same matter even though that client is unrepresented or represented by a different lawyer;
(c) A lawyer may represent a client with respect to a matter in the circumstances described in paragraph (b) above if
(1) Each potentially affected client provides informed consent to such representation after full disclosure of the existence and nature of the possible conflict and the possible adverse consequences of such representation; and
(2) The lawyer reasonably believes that the lawyer will be able to provide competent and diligent representation to each affected client.
The comments to
The difference between Rule 1.7(a) and Rule 1.7(b) is that in the former, the lawyer is representing multiple interests in the same matter, while in the latter, the lawyer is representing a single interest, but a client of the lawyer who is represented by different counsel has an interest adverse to that advanced by the lawyer.
Here, the plaintiffs have provided evidence that Elwood conceded that Williams & Connolly is not currently his counsel, and that he did so prior to the filing of this case. See Pls.’ Opp‘n, Ex. 8 (Dec. 3, 2012 Letter from Stephen P. Sorenson to Robert Elwood Re: Promissory Note to Headfirst Camps, LLC) at 1-2 (bearing Elwood‘s signature following the statement, among others, that “Williams & Connolly LLP does not serve as your counsel in connection with such Promissory Note or for any other matter“). Moreover, the law firm of Venable LLP is currently representing the defendants in this litigation—not Williams & Connolly.
The defendants, however, argue that Williams & Connolly is the general counsel for both the Headfirst Partnership and the Headfirst Professional Sports Camps LLC, and that the law firm is thus prohibited from representing the constituent members or owners of those organizations in any lawsuit against any other members or owners. Defs.’ Mem. at 9-13. To be
Here, the plaintiffs have presented proof that Elwood is not a member of either of the plaintiff companies represented by Williams & Connolly, see Pls.’ Opp‘n, Ex. 23 (Headfirst Baseball, L.L.C. Operating Agreement) at 1 (listing Brendan V. Sullivan, III and Sean C. Flikke as the only two members); see also Countercl. ¶ 10 (stating that Sullivan “purports to be the sole owner of Headfirst Camps“). And while Elwood is a member of Headfirst Professional Sports Camps LLC, see Countercl. ¶ 9, that company is represented by the law firm of Ward & Ward, PLLC, not Williams & Connolly. Finally, although the defendants base their counterclaim and defense on the existence of a Headfirst Partnership of which Robert Elwood is allegedly one of the partners, which the defendants allege was represented by Williams & Connolly, there is no other evidence aside from the defendants’ own assertions that Williams & Connolly ever represented such a partnership. Indeed, these assertions are contested by the plaintiffs. Pls.’ Opp‘n at 29.
Even with the more fully developed factual record in Griva, and even given the undisputed existence of the partnership in that case, the District of Columbia Court of Appeals could not “decide as a matter of law on [that] record whether [the law firm] violated the Code of Professional Responsibility or the Rules of Professional Conduct,” but rather found that “[g]enuine issues of material fact must be resolved at trial before the question whether these were such violations can be answered.” 637 A.2d at 848. The court thus remanded the case to the trial court for further proceedings. The court did note that, “in the event such violations are proved, there is
Unlike Griva, which addressed cross motions for summary judgment, this case is far from having reached that procedural stage. Aside from the lack of evidence concerning the existence of the Headfirst Partnership upon which the defendants’ disqualification argument relies, and whether Williams & Connolly represented that partnership, there are many other issues of fact that remain to be resolved. The scant nature of the existing factual record does not square with the high burden the defendants must satisfy to disqualify the plaintiffs’ counsel of choice. While discovery and further development of the facts in this case might ultimately support a finding of a
2. Whether Plaintiffs’ Counsel‘s Representation Violates Rule 1.9
The defendants argue next that Williams & Connolly formerly represented Elwood concerning matters2 substantially related to this lawsuit, and thus
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 gives informed consent.
(1) “the attorney accused of the violation is a ‘former attorney’ with respect to a party presently before the court,” (2) “the subject matter of the former representation is the same as, or substantially related to, the present matter on which the alleged violation of Rule 1.9 is based,” and (3) “the interests of the former client are adverse to the interests of the party represented by the attorney who is accused of violating Rule 1.9.”
GEO Specialty Chems., Inc. v. Husisian, 951 F.Supp.2d 32, 41, 2013 WL 3216041, at *8 (D.D.C.2013) (citation omitted). The comments to
Matters are “substantially related” for purposes of this rule if they involved the same transaction or legal dispute or if there otherwise is a substantial risk that confidential factual information as would normally have been obtained in the prior representation would materially advance the client‘s position in the subsequent matter.
a. Whether an Attorney-Client Relationship Formerly Existed
An attorney-client relationship is formed when a client and an attorney “explicitly or by their conduct, manifest an intention to create the attorney/client relationship.” In re Ryan, 670 A.2d 375, 379 (D.C.1996) (quotation marks omitted); see also
Here, the defendants state the following about Elwood‘s alleged attorney-client relationship with Williams & Connolly:
- “Stephen Sorenson[, a former partner at Williams & Connolly,] often provided counsel to [Sullivan] and me on business and personal issues.” Defs.’ Mem., Ex. 1 (Elwood July Decl.) ¶ 10.
- “In addition to fatherly advice on a variety of personal issues, [Brendan Sullivan, Jr., the plaintiff‘s father,] has provided legal advice to me on my rights in Headfirst and on personal estate planning issues.” Id., Ex. 1 (Elwood July Decl.) ¶ 20.
Despite Elwood‘s representations, the plaintiffs argue strenuously that there was no attorney-client relationship between Williams & Connolly and Elwood. Pls.’ Opp‘n at 35-42; see also id., Exs. 1 (Declaration of Brendan V. Sullivan III) ¶¶ 36-38 (“Regarding matters in which [Williams & Connolly] represented me or an LLC, I do not believe that [Williams & Connolly] communicated with Elwood without my explicit direction or authorization.“), 2 (Declaration of Stephen P. Sorenson) ¶¶ 5, 10 (“I never represented Elwood in any ca-
Neither party has presented emails or other documentation affirmatively establishing whether an attorney-client relationship between Elwood and Williams & Connolly existed. Moreover, there are no allegations of a formal agreement, payment of attorneys’ fees, or conversations in which either party made explicit statements about the nature of the alleged relationship prior to the December 3, 2012 letter referenced earlier, that was signed by Elwood and wherein Sorenson told Elwood that Williams & Connolly was not his attorney. Instead, the evidence in the record before the Court concerning the existence or non-existence of a former attorney-client relationship consists almost exclusively of declarations made by Elwood, Sullivan, and Williams & Connolly attorneys. And the declarations and their content that support the existence of the relationship provide far less than what other courts have accepted as evidence establishing an attorney-client relationship. Teltschik, 683 F.Supp.2d at 46 (finding that a reasonable jury could conclude that an attorney-client relationship existed where the plaintiff provided the court with evidence of “letters of attorney designation,” third parties addressed legal correspondence intended for the plaintiff to the attorney, and the attorney “received, read, and responded to [the] correspondence“); In re Bernstein, 707 A.2d 371, 375 (D.C.1998) (finding “substantial evidence” of an attorney-client relationship where record showed that an attorney had contacted a third party on behalf of the alleged clients, threatened to sue the company, and the client repeatedly “contact[e]d [the attorney] about the case and” later sent the attorney a discharge letter). The defendants here have failed to present facts sufficient to persuade the Court that an attorney-client relationship ever existed.
b. Whether the Matters are Substantially Related
Even if the Court could find that an attorney-client relationship existed, it is not clear from the existing record that the prior representation and the current litigation are substantially related. “Where any substantial relationship can be shown between the subject matter of a former representation and that of a subsequent adverse representation, the latter will be prohibited.” Derrickson, 541 A.2d at 151 (citation omitted). To determine whether two matters are “substantially related,” courts look to “both the facts and the legal issues involved.” Brown, 486 A.2d at 49. In doing so, courts engage in a three-step analysis. The court must first “make a factual reconstruction of the scope of the prior legal representation.” Id. (citation omitted). Second, “[i]f the factual contexts overlap, the court then has to determine ‘whether it is reasonable to infer that the confidential information allegedly given would have been given to a lawyer representing a client in those [prior] matters.‘” Id. (citation omitted). Third, “if such information apparently was available to counsel in the prior representation, the court has to determine whether it is relevant to the issues raised in the litigation pending against the former client.” Id. (citation omitted).
The relevance to the new representation of the information obtained in
“A former client is not required to reveal the confidential information learned by the lawyer in order to establish a substantial risk that the lawyer has confidential information to use in the subsequent matter,”
As to the factual scope of the prior representation, here the defendants allege that two Williams & Connolly partners, Stephen Sorenson and Brendan V. Sullivan, Jr., provided legal advice concerning the following:
- “[D]ocumenting [Elwood‘s] one-half interest in the Headfirst business, as part of [his] estate planning efforts.” Defs.’ Mem., Ex. 1 (Elwood July Decl.) ¶ 11.
- The formation of Headfirst Professional Sports Camp LLC. Id., Ex. 1 (Elwood July Decl.) ¶ 12.
- “[L]egal strategies for avoiding Ted Sullivan‘s potential claims to a percentage of Headfirst.” Id., Ex. 1 (Elwood July Decl.) ¶ 14.
- “[T]ax implications to [Elwood] of transferring Ted Sullivan‘s interest in Headfirst Baseball LLC to [Elwood].” Id., Ex. 1 (Elwood July Decl.) ¶ 14.
- Advice concerning “whether Ted Sullivan could succeed in claiming a right to proceeds of the [potential] sale” of Headfirst to another compa-
ny. Id., Ex. 1 (Elwood July Decl.) ¶ 16. - “[C]ertain tax practices related to Headfirst employees....” Id., Ex. 1 (Elwood July Decl.) ¶ 18.
- Elwood‘s “rights in Headfirst.” Id., Ex. 1 (Elwood July Decl.) ¶ 20.
- “[P]ersonal estate planning issues.” Id., Ex. 1 (Elwood July Decl.) ¶ 20.
- “[O]btain[ing] ‘key man’ life insurance ... to protect Headfirst in the event of [Elwood‘s] premature death and as part of a succession plan for the business in that event.” Id., Ex. 1 (Elwood July Decl.) ¶ 20.
See also Defs.’ Mem. at 15-16. As support that these events occurred, the defendants present only Elwood‘s July 2013 declaration and two emails. See id., Ex. 1 (Elwood July Decl.), Ex. A (November 2010 Email Correspondence Between Sorenson and Sullivan); Defs.’ Supp. Mem., Ex. A (October 2007 Email Correspondence Between Elwood and Sullivan). Neither email definitively establishes that any Williams & Connolly attorney provided legal representation to Elwood. However, the defendants further allege that “[s]ome statements in” Elwood‘s July 2013 declaration “are based on documents that [he had] personally seen before [he] was wrongfully excluded from the Headfirst business” that Elwood believes to be in the possession of Sullivan, Headfirst, and Williams & Connolly. Defs.’ Reply, Ex. 1 (Declaration of Robert Elwood Dated August 15, 2013 (“Elwood Aug. Decl.“)) ¶ 9.
While the plaintiffs do not concede the existence of an attorney-client relationship between Williams & Connolly and Elwood, they argue that if the law firm did represent him, then the representation was not substantially related to the current lawsuit. Pls.’ Opp‘n at 35-42. In particular, they state that any representation and interaction with Elwood would have been limited to the following situations:
First, [Williams & Connolly] acted as Sullivan‘s scrivener for LLC operating agreements that had been negotiated by Sullivan without [Williams & Connolly‘s] involvement; second, [Williams & Connolly] advised Sullivan in his role as manager of an LLC or Sullivan authorized Elwood to obtain such advice; and third, [Williams & Connolly] advised Sullivan throughout his negotiations with Elwood over Elwood‘s requests for ownership in Baseball LLC or Camps LLC.
Id. at 39-40. Because it is undisputed that any alleged prior representation somehow involved the plaintiff companies in this lawsuit, there is inevitably some level of factual overlap. However, the degree of the overlap depends on the veracity of the statements the parties convey in the various declarations they have submitted to the Court. And, while Elwood states that Williams & Connolly attorneys provided advice to him about his ownership interests in the plaintiff companies, the plaintiffs’ unsurprisingly counter that Williams & Connolly provided him no such advice.
Even assuming there is a sufficient factual overlap to satisfy Brown, 486 A.2d at 49, the Court must still consider the remaining two components of Brown, id.; namely, (1) whether it is reasonable to infer that the confidential information allegedly provided would have been given to a lawyer representing a client in the prior matters, and (2) whether the information obtained in the prior representation is relevant to the issues raised in the new litigation pending against the former client, id. Admittedly, if Williams & Connolly partners advised Elwood in the manner he alleges, see generally Defs.’ Mem., Ex. 1 (Elwood July Decl.), it seems reasonable to infer that he would have provided some
What is not apparent from the existing record or the defendants’ allegations is whether any of the information that Elwood provided to Williams & Connolly was either confidential or would materially advance the plaintiffs’ position in this litigation. When asked to clarify this point during the oral argument on this motion, defense counsel stated that confidential information was undoubtedly provided to Williams & Connolly; that the advantage to the plaintiffs and disadvantage to the defendants are unclear; and that the defendants are unsure what Williams & Connolly might know. These vague allegations are insufficient. Given the lack of evidence, and bearing in mind that the defendants have the heavy burden of persuading the Court that the alleged prior representation is substantially related to the present litigation, Derrickson, 541 A.2d at 151-52, it would be inappropriate on this record to find that
3. Whether Plaintiffs’ Counsel‘s Representation Violates Rule 3.7
Finally, the defendants argue that Williams & Connolly and its attorneys may not “act[] in the dual role of witness and advocate, even if [their] testimony would be on behalf of the client.” Defs.’ Mem. at 16.
(a) A lawyer shall not act as advocate at a trial in which the lawyer is likely to be a necessary witness except where:
(1) The testimony relates to an uncontested issue;
(2) The testimony relates to the nature and value of legal services rendered in the case; or
(3) Disqualification of the lawyer would work substantial hardship on the client.
(b) A lawyer may not act as advocate in a trial in which another lawyer in the lawyer‘s firm is likely to be called as a witness if the other lawyer would be precluded from acting as advocate in the trial by
Rule 1.7 orRule 1.9 ....
However, by the terms of
B. The Plaintiffs’ Motion to Amend
The plaintiffs seek leave of the Court to file a second amended complaint to include additional claims of tortious interference, as well as a claim under the Stored Communications Act, based on Elwood‘s alleged “unauthorized access to a Google account.” Pls.’ Mot. at 2. Specifically, they allege that Elwood accurately guessed the password to a Google account owned by the plaintiff companies and subsequently changed the password. Id. at 2-3. The plaintiffs further allege that Elwood changed the alternate email address for the Google account (i.e., the emergency email address) and the recovery phone number to his own email address and telephone number. Id. at 2-5; see also id., Ex. 2 (Google Account Screenshots). The defendants oppose the motion to amend on the grounds that the proposed “amended complaint does not concern a stored electronic communication.” Defs.’ Opp‘n at 1-2.
The Stored Communications Act (“Act“) provides for a private right of action against
whoever intentionally accesses without authorization a facility through which an electronic communication service is provided ... and thereby obtains, alters, or prevents authorized access to a wire or electronic communication while it is in electronic storage in such system....
any transfer of signs, signals, writing, images, sounds, data, or intelligence of any nature transmitted in whole or in part by a wire, radio, electromagnetic, photoelectronic or photooptical system that affects interstate or foreign commerce ....
The plaintiffs argue that the definition of “electronic communication” encompasses the proposed Second Amended Complaint‘s allegations about “reports about webpages’ visibility for Google searches’ and ‘analysis of web-based sales and conversions.‘” Pls.’ Reply at 2-3 (citing proposed Second Amended Complaint). However, the plain language of the Electronic Communications Privacy Act defines
The defendants do not challenge the filing of the second amended complaint on any other grounds, and so the Court may treat any other arguments that the defendants might make as conceded. See Hopkins v. Women‘s Div., Gen. Bd. of Global Ministries, 284 F.Supp.2d 15, 25 (D.D.C.2003) (Walton, J.), aff‘d, 98 Fed.Appx. 8 (D.C.Cir.2004); cf. Local Civ. R. 7(b) (stating that a court may treat a motion as conceded when an opposition memorandum is not timely filed). Accordingly, the Court will grant the plaintiffs’ motion for leave to file a second amended complaint.
IV. CONCLUSION
For the foregoing reasons, the Court grants the plaintiffs’ motion for leave to file a second amended complaint and denies without prejudice the defendants’ motion to disqualify Williams & Connolly as plaintiffs’ counsel. The Court reiterates that its basis for denying the defendants’ motion to disqualify at this time is the lack of a factual predicate sufficient to warrant taking a step as consequential as disqualification. Should more substantial, later discovered facts point to a different outcome, the defendants may renew their motion.3
SO ORDERED this 22nd day of November, 2013.
REGGIE B. WALTON
United States District Judge
