The right to counsel, safeguarded by the constitutional guarantee of due process of law, includes the right to choose the lawyer who will provide that representation. The defendants in each of these cases employed the brother-in-law of the judge before whom the case was pending. That judge then assigned the case to another judge, who found that in each case, the defendant had engaged the judge’s relative as a strategem in order to disqualify the judge and that the employment was a sham. We hold that the judge to whom each case was initially assigned was required to disqualify himself as soon as he became aware that his brother-in-law had been enrolled as counsel. He, therefore, should not have taken any further action in either case, and the reassignment order was improper. Accordingly, we remand the cases for reassignment in an appropriate manner.
, Because the motion to disqualify the lawyer will be pending on remand, and because it has been fully briefed, we address the merits to provide guidance to the district judge. We consider a litigant’s right to be represented by counsel of his choice, the lawyer’s professional obligation expressed in the Code of Professional Responsibility, and the need to preserve the integrity and efficiency of the judicial system. We conclude that, if the district court should find in either case that the sole or primary motive for retaining the relative of the original judge was to disqualify that judge, the lawyer must be disqualified.
I. Facts
A. No. 82-2330, McCain v. Texas Power & Light Co.
In 1975, Tilmon McCuin filed a class action in the Sherman Division of the Eastern District of Texas, alleging that Texas Power discriminates against black employees. The case was automatically assigned to Chief Judge William Wayne Justice, who at that time was the only judge in the Eastern District assigned to the Sherman Division. The Eastern District has several other divisions: Beaumont, Tyler, Marshall, Paris,
The case proceeded slowly. In 1978, the plaintiffs filed their sixth amended complaint alleging for the first time that Texas Power’s employment practices also discriminate against females. At this stage, the Equal Employment Opportunity Commission was permitted to intervene. The plaintiffs had moved for class certification in 1975, but no certification hearing was held until 1980, by which time a considerable amount of discovery had taken place. Chief Judge Justice granted the motion to certify a class of plaintiffs in September, 1981.
Two months later, in November 1981, more than six years after suit had been filed, Texas Power requested that the Clerk add as co-counsel an additional lawyer, J. Mike Rowan, who is the brother of Chief Judge Justice’s wife. The plaintiffs then moved to disqualify Mr. Rowan as counsel and for the “limited recusal” of Chief Judge Justice for the purpose of ruling on its motion. Chief Judge Justice signed an order assigning the entire case to Judge Robert Parker “for such action as may be required.”
The local rules contain no provision for reassignment of cases if a judge is disqualified. Two judges, including Judge Parker, sit in the Beaumont Division. Chief Judge Justice and Judge William M. Steger are now, and were in 1981, assigned to both the Tyler and Sherman Divisions.
After a hearing, Judge Parker found that Texas Power had “intentionally created a conflict under the [disqualification] statute, and now seeks to benefit from the statute’s protection.”
He then concluded: “A litigant should not be permitted to utilize a disqualification issue as part of his trial strategy.” Id. (quoting Potashnick v. Port City Construction Co.,
Texas Power challenges these findings of fact as clearly erroneous. See Fed.R.Civ.P. 52(a). Because we conclude that Chief Judge Justice should have taken no action
B. No. 83-2115, Dow v. City of Tyler
Dow and 18 other plaintiffs each filed separate suits against the City of Tyler on February 23, 1982. Each suit alleged that the city had violated the plaintiff’s civil rights during a lengthy undercover drug operation carried out in 1978 and 1979. All of the suits were filed in the Tyler Division. The cases were, in accordance with local rule, assigned by random draw. Twelve were assigned to Chief Judge Justice and seven were assigned to Judge Steger.
Represented by attorney Charles H. Clark, the City filed its answer in all 19 cases on March 9, 1982. Two weeks later the City associated Rowan as additional counsel in all of the cases. The City later filed a motion to consolidate all of the cases with the first case filed. Because the first of the 19 suits had been assigned to Judge Steger, all of the cases would be heard in his court if the motion were granted. Unlike many other districts, however, the Eastern District has no rule that provides for the assignment of all related cases to a single judge. The plaintiffs opposed the consolidation motion and it has not yet been decided. The plaintiffs filed a motion to disqualify Rowan and Chief Judge Justice referred all of the cases assigned to him to Judge Parker “for such action as may be required.” After holding an evidentiary hearing, Judge Parker granted the motion for the same reasons he gave in McCuin.
II. Judicial Disqualification
Before Congress amended the judicial disqualification statute in 1974, a judge’s kinship to a lawyer appearing before him did not automatically require the judge’s recusal.
The legislative history of the amendment to § 455 indicates that Congress’ purpose was to adopt a categorical rule that would be self-enforcing.
Even if, however, Rowan had not actually participated in pretrial discovery, we would be constrained to hold that he began participating in the case when he enrolled as counsel of record. The judge may not wait to see what part the lawyer-relative will play. It would defeat the bright-line purpose of the statute for a judge to continue to preside over a case in which one of his relatives is counsel of record until the moment when that lawyer chooses to change his role from passive to active participation, putting the case under a Damoclean sword that will fall whenever the judge’s relative chooses to cut the hair by emerging from passivity.
This conclusion is reinforced by another section of the statute requiring the judge’s disqualification when a relative has an interest in the case that “could be substantially affected by [its] outcome.” 28 U.S.C. § 455(b)(5)(iii). A fortiori, counsel of record in a case must have such an interest, else why would he enroll? We have held that, when a partner in a law firm that is counsel in a case is related to a judge within the third degree, the partner automatically has an interest that could be substantially affected by the outcome of the proceedings. Potashnick,
In Dow, the City of Tyler argues that, because Rowan’s enrollment as counsel automatically disqualified Chief Judge Justice, he had no alternative but to recuse himself and allow the case to be reallotted in accordance with local practice. Accordingly, the City argues, his order referring the case to Judge Parker should be set aside. Texas Power does not make that argument in its McCuin brief. It did, however, argue in the district court that “the only orders [sic] which [Chief Judge] Justice may properly enter in this case is an order of recusal reassigning this case to another trial judge.” We consider the issue in both cases because disqualification cannot be waived, the issue is solely one of law,
The business of a court having more than one judge is divided among the judges
We, therefore, must vacate Chief Judge Justice’s order assigning the cases to Judge Parker and remand the cases to the district court. Because Chief Judge Justice is disqualified to conduct any further proceedings in both of the cases, they shall be reallotted in accordance with local practice, if one exists; if not, they shall be referred to the senior active judge of the district as Acting Chief Judge for reallotment.
Because the merits of the cases have been fully briefed and because no other courts have broken this ground to guide the district judge on remand, we set forth the controlling principles.
III. Is Judge-Shopping Reprobated?
Forum-shopping is sanctioned by our judicial system. It is as American as the Constitution, peremptory challenges to jurors, and our dual system of state and federal courts. The extension in Article III of federal judicial power to “controversies between citizens of different states,” implemented by statute continuously since 1789,
The existence of these choices not only permits but indeed invites counsel in an adversary system, seeking to serve his client’s interests, to select the forum that he considers most receptive to his cause. The motive of the suitor in making this choice is ordinarily of no moment: a court may be selected because its docket moves rapidly, its discovery procedures are liberal, its jurors are generous, the rules of law applied are more favorable, or the judge who pre
Even in a particular forum, other tactical measures are available to determine who will be the trier of fact. For most causes of action, the plaintiff in a federal court may seek either a jury trial or a bench trial.
In a perfect judicial system forum-shopping would be paradoxical. The same results would obtain in every forum and after every type of trial. But the actual litigation process is not a laboratory in which the same result is obtained after every test. In some situations, such as when a statute of limitations is involved, the choice of forum may determine the rule of law that will be applied. Even when legal rules are identical, justice can be obtained only through human beings, and neither judges nor jurors are fungible. In recognition both of this and of the nature of the adversary, client-serving process, we tolerate a certain amount of manipulation without inquiry into motive.
Some states expressly permit judge-shopping, allowing the parties peremptory challenges to the judge.
Litigants do have a right to be represented by counsel and this ordinarily implies a right to lawyers of their choice.
Subject to these general limitations, the right to counsel in criminal cases is expressly guaranteed by the sixth amendment; the right to counsel in civil cases is no less fundamental and springs from both statutory authority and from the constitutional right to due process of law.
The right to counsel of one’s choice may be overridden when “compelling reasons exist.”
Thus, in a case cited by the Court in Holloway, the Second Circuit affirmed the conviction of a defendant who sought a delay to obtain new counsel when his lawyer became disabled. The court refused to reverse the conviction because the defendant had had a month’s notice of the problem, his lawyer was available for consultation with a new lawyer, and the defense was uncomplicated. United States v. Dardi,
When a lawyer enrolls to represent two defendants in a criminal case, the district judge must personally inform both clients of the possibility of a conflict of interest and, even if an actual conflict is not apparent, ascertain whether there is a possibility that a conflict will develop and whether the effective and fair administration of justice would be adversely affected by continued joint representation.
Similar needs for effective administration exist in civil cases. If a party who is offended by a judge’s ruling could disqualify the judge by employing new counsel after the case had been pending before that judge for years, he could force on other litigants and the courts the penalty of starting over before a new judge. Both effective judicial administration and economy of litigation costs require that a case be assigned as soon as possible after it is filed to a single judge who will become fully familiar with the issues and exercise effective
The drafters of § 455 warned that “each judge must be alert to avoid the possibility that those who would [seek his disqualification] are in fact seeking to avoid the consequences of his expected adverse decision.”
IV. The Attorney’s Duty Under the Code of Professional Responsibility: Canon 9
The needs of judicial administration are not our sole consideration. Lawyers are members of a learned profession asserting high ethical standards. The lawyer’s exclusive right to practice is afforded because of the ethical standards of the profession as well as its members’ technical knowledge and specialized skill. An ethical code is not a garment that lawyers may don and doff at pleasure. A lawyer must qualify to practice by satisfying an examining committee of his good moral character and by passing an examination that includes testing for knowledge of ethical precepts as well as substantive rules. Lawyers are not permitted to do everything for a client that he would stoop to do himself had he but their knowledge. A lawyer must not make “any statement or suggestion ... that he can or would circumvent” procedures by which legal matters can be presented in an impartial manner.
Canon 4 of the Code of Professional Responsibility deals with confidentiality of information gained from clients and conflicts of interest; Canon 5 deals with the lawyer’s duty of loyalty to the client. Considering these as strictures on a lawyer’s conduct
Other ethical precepts also limit the lawyer’s conduct. Canon 9 of the Code of Professional Responsibility provides: “A Lawyer Should Avoid Even the Appearance of Professional Impropriety.” The purpose of this injunction is to preserve public confidence in the bar and in the legal process.
A lawyer’s acceptance of employment solely or primarily for the purpose of disqualifying a judge creates the impression that, for a fee, the lawyer is available for sheer manipulation of the judicial system. It thus creates the appearance of professional impropriety. Moreover, sanctioning such conduct brings the judicial system itself into disrepute. To tolerate such gamesmanship would tarnish the concept of impartial justice. To permit a litigant to blackball a judge merely by invoking a talismanic “right to counsel of my choice” would contribute to skepticism about and-mistrust of our judicial system.
“[Jjudges do not choose their cases, and litigants do not choose their judges. We all operate on a blind draw system. Sometimes, both litigants and judges are disappointed by the luck of the draw. But the possibility of such disappointment is a risk judges and litigants alike must assume....”
We recognize that a litigant’s motives for selecting a lawyer are not ordinarily subject to judicial scrutiny and that, by permitting inquiry into these motives, we open the door to a host of problems. But a contrary ruling would permit unscrupulous litigants and lawyers to thwart our system of judicial administration. Hence, we make no attempt to predict all the problems that may arise or to provide a compendium of answers. The general rule of law is clear: a lawyer may not enter a case for the primary purpose of forcing the presiding judge’s recusal.
We REMAND both cases to the district court for reassignment. In the interests of judicial economy, both cases should be assigned to a single judge. That judge shall rule on the motions to disqualify Mr. Rowan in accordance with the principles we have set forth. If the motion is denied, the district judge shall either continue with the assignment or reassign the cases to another nondisqualified judge, as efficient administration and the business of the court require. If Mr. Rowan is disqualified in either case, the judge may determine whether that case should be reassigned to Chief Judge Justice.
REMANDED.
Notes
. The two cases were consolidated for argument because of the similarity of the issues. The district court opinion in McCuin is reported at
. “The fact that the plaintiffs may well be guilty of forum shopping themselves, in filing their lawsuit in the Sherman Division to guarantee that Judge Justice would preside, offers no support to the Defendant in the present matter.”
. See, e.g., Ex Parte McCardle,
. 28 U.S.C. § 455 (1970), amended, Act of Dec. 5, 1974, Pub.L. No. 93-512, § 1, 88 Stat. 1609 (codified as amended at 28 U.S.C. § 455 (Í976 & Supp. V 1981)). The 1978 amendment simply deleted the words “referee in bankruptcy” from subsections (a) and (e) of the statute.
. H.R.Rep. No. 1453, 93d Cong., 1st Sess.(1973), reprinted in 1974 U.S.Code Cong. & Ad.News 6351, 6352. [hereinafter cited as House Report].
. The statute provides:
(b) [a judge] shall also disqualify himself in the following circumstances
(5) he or his spouse, or a person within the third degree of relationship to either of them, or the spouse of such a person:
(ii) Is acting as a lawyer in the proceeding;
(iii) Is known by the judge to have an interest that could be substantially affected by the outcome of the proceeding.
28 U.S.C. § 455(b) (1976).
. Davis v. Board of School Commissioners,
. 28 U.S.C. § 455(e). The Judicial Conference had disapproved this subsection and recommended that waiver be permitted, stating:
The provision of the Code, Canon 3D, permitting a remittal of disqualification by agreement of the parties and their attorneys in circumstances where “the judge’s relationship is immaterial____” may in a particular
case be advantageous to the litigants and in the best interests of the administration of justice.
Report of the Joint Committee on the Code of Judicial Conduct-, reprinted in House Report, supra note 5, at-, and in 1974 U.S.Code Cong. & Ad.News 6351, 6361.
The drafters explained their rejection of the Conference’s recommendation:
Thus ... a kinship within the third degree cannot be waived under the provision of this bill. While the ABA canon on disqualification would permit waiver in th[is] instance[ ], the committee believes that confidence in the impartiality of federal judges is enhanced by a more strict treatment of waiver. There are approximately 667 federal judges, active and retired. The statutes contain ample authority for chief judges to assign other judges to replace ... a ... judge who becomes disqualified.
House Report, supra note 5, at-, reprinted in 1974 U.S.Code Cong. & Ad.News 6351, 6357.
. See generally City of Waco v. Bridges,
. 28 U.S.C. § 136(e) (1976).
. In In re Continental Investment Corp.,
. 28 U.S.C. § 1332 (1976). See Act of Sept. 24, 1789, 1 Stat. 73. The jurisdiction was restricted to cases in which the matter in dispute exceeded five hundred dollars and was concurrently within the jurisdiction of a state court.
. 28 U.S.C. § 1441 (1976).
. See Maine v. Thiboutot,
. 28 U.S.C. § 1391 (1976).
. Fed.R.Civ.P. 38.
. See, e.g., Singer v. United States,
. See, e.g., Ariz.R.Civ.P. 42(f) (each side may strike one judge peremptorily); Cal.Code Civ.P. § 170.6 (same).
. H.R. 1648, 97th Cong., 1st Sess., _ Cong.Rec--(1981). The bill was referred to the House Judiciary Committee Subcommittee on Courts, Civil Liberties, and the Administration of Justice, which took no action on the proposal. An identical bill is pending before the same Subcommittee. H.R. 3125, 98th Cong., 1st Sess., _ Cong.Rec. _ (1983).
. House Report, supra note 5, at_, reprinted in 1974 U.S.Cong. & Ad.News 6351, 6355.
. Potashnick,
. Model Code of Professional Responsibility Canon 5; id. DR 5-105(A).
. Id. Canon 4; id. DR 4-101(B).
. Bottaro v. Hatton Assocs.,
. Bottaro,
. Waterbury Garment Corp. v. Strata Productions, Inc.,
. See, e.g., United States v. Fowler,
. See Fed.R.Crim.P. 44(c) (and notes thereto).
. 28 U.S.C. § 1407 (1976).
. House Report, supra note 5, at_, reprinted in 1974 U.S.Code Cong. & Ad.News 6351, 6355.
. Musicus v. Westinghouse Electric Corp.,
. Model Code of Professional Responsibility EC 9-4; cf. id. DR 9-101(C) (lawyer shall not state or imply that he can influence judge improperly or on irrelevant grounds).
. Ethics committees in several states have held it unethical for a lawyer to accept employment in a case if the lawyer knows that a relative is representing an opponent, acting as prosecutor, or presiding over the action. See Comment, Ethical Concerns of Lawyers who are Related by Kinship or Marriage, 60 Or.L. Rev. 399 (1981). Cf. Texas Ethics Committee Opinion 148 (unethical for lawyer who is member of legislature to accept employment to enable client to obtain mandatory continuance for legislator-counsel), reprinted in 18 Baylor L.Rev. 257-58 (1966).
. See generally Kramer, The Appearance of Impropriety Under Canon 9: A Study of the Federal Judicial Process Applied to Lawyers, 65 Minn.L.Rev. 243, 248-64 (1980).
. See United States v. Hobson,
. United States v. Snyder, 707 F.2d 139, 145 n. 4 (5th Cir. 1983). We deal with the possibility of future improprieties by measures less harsh than disqualification. Id.
. United States v. Kelly,
. See S.J. Groves & Sons v. International Brotherhood of Teamsters Local 627,
