The action which gives rise to these consolidated interlocutory appeals 1 was instituted in 1969 by Joseph A. Yablon-ski and other members of the United Mine Workers of America 2 against its president, W. A. Boyle, and two other officers, George J. Titler and John Owens, for alleged violation of their fiduciary duties to the UMWA and its members. On two prior occasions we considered motions to disqualify UMWA’s counsel in the action and held that neither the UMWA’s retained counsel nor its house counsel could be permitted to represent its interests in the controversy because of their previous and continuing affiliations with the defendant officials in this and other UMWA litigation. 3 Since those decisions, the leadership of the UMWA has changed and the issue of representation is again before this court.
Our previous opinions delineate the legal principles which govern this issue. However, in view of the different con
I
Yablonski and other UMWA members brought suit under Section 501(b) of the Labor-Management Reporting and Disclosure Act of 1959 4 for damages and for an accounting and restitution of UMWA funds allegedly misappropriated and misspent by the defendant officers. The UMWA was also made a party-defendant and was represented originally by retained counsel who simultaneously represented Boyle in other cases in which he was charged with misconduct in office. We reversed the District Court’s refusal to disqualify the UMWA’s retained counsel because of the potential conflict of interest we found present. 5
After remand to the District Court, the UMWA’s general counsel and his staff entered their appearance on behalf of the UMWA. Plaintiffs’ motion to disqualify these attorneys as well was denied by the District Court. We held that the UMWA’s general counsel and his associates were similarly precluded from representing the UMWA because of their close association with and representation of individual defendants in other litigation. 6 In response to these decisions, the UMWA engaged counsel who are unaffiliated with any other party to the action.
Yablonski was murdered in December 1969. Of the plaintiffs, only Yablonski had requested the UMWA to sue the officers before he instituted the derivative suit as required by Section 501(b). 7 For this reason, the individual defendants and the UMWA moved to dismiss the action on the ground that the remaining plaintiffs, by failing to comply with Section 501(b), lacked standing to maintain the action. The instant interlocutory appeals were granted to review the District Court’s denial of these motions to dismiss. 8
Subsequent to the filing of UMWA’s brief on appeal, new UMWA elections were held
9
and a slate of officers led by Arnold Miller replaced the incumbents.
At a status call', the District Court was informed of UMWA’s wish to realign as party-plaintiff in the action and to be represented by its general counsel. Independent counsel contended that representation of UMWA by the general counsel’s staff would entail the same difficulty presented in the earlier appeals because of their earlier appearance on behalf of Trbovich and Patrick. The District Court concluded that since an interlocutory appeal brought by the UMWA was pending, motions for leave to realign the UMWA as plaintiff and for leave of Yablonski’s staff to appear on the UMWA’s behalf should be directed to this court.
In response to the District Court’s ruling, the present motions were filed. The UMWA seeks (1) leave to withdraw the appeal it brought; (2) to intervene as appellee in the appeal brought by the officer-defendants; (3) leave for its new general counsel and staff to appear on its behalf; and (4) to dismiss the appeal brought by the officer-defendants as moot in view of the UMWA’s presence as plaintiff-appellee.
II
We consider first the UMWA’s motion for leave of its general and associate counsel to represent the UMWA in this litigation. The officer-appellants contend that only objective counsel-— counsel without bias toward either the plaintiffs or the defendant officers — can satisfy the standards established by our earlier decisions in this case. 10 As the UMWA emphasizes, however, our earlier decisions, concerned situations wherein the UMWA had selected as its counsel close affiliates of the very officers who were the targets of derivative actions charging breach of their fiduciary duties to the UMWA and its members. 11 We deemed “critical” the fact that counsel in each case were representing or had “represented to some extent union officers who are accused of wrongdoing in this case.” 12 What primarily concerned us was the strong possibility of a conflict of interest created by those affiliations, 13 and it was in that context that we imposed on the UMWA the requirement of retaining “unquestionably independent counsel”: 14
Where, as here, union officials are charged with breach of fiduciary duty, the organization is entitled to an evaluation and representation of its institutional interests by independent counsel, unencumbered by potentially conflicting obligations to any defendant officer. 15
It is essential to emphasize, however, as we did in our first opinion, that “separate counsel is required
only
in a situation where there is a potential conflict between the interests of the union and those of its officers.”
18
Our previous decisions were not intended to bar the UMWA from being represented by counsel of its own choice if that representation does not generate the possibility of discordant obligations.
19
We perceive
Counsel’s former clients, Trbovich and Patrick, together with other UMWA members, initiated this litigation as a derivative action for the benefit of the UMWA, not for the benefit of themselves individually. The UMWA possesses exclusively the financial interest at stake because any recovery in the action belongs to it. Thus, although under its former leadership the UMWA was aligned as a defendant in the controversy, the litigation since its commencement has in reality been its own.
The UMWA now seeks to reverse its stance and to align itself as plaintiff-appellee. We see no reason whatever to doubt that in view of the change occasioned by the recent UMWA elections, the UMWA’s position will in fact remain consistent with that which the original plaintiff-appellees have assumed from the beginning. 20 Since the two positions coincide, counsel will undoubtedly be able to represent the UMWA without impinging on interests or confidences of their former clients. 21
Furthermore, unlike the officer clients of the counsel we earlier disqualified, Trbovich and Patrick have never been accused of misconduct in union matters. Consequently, the risk of conflict which existed in the earlier cases — where counsel may have been duty bound to shield the officers to the detriment of the UMWA whose interests they were also obligated to protect — simply does not exist in the circumstances presented here.
Because we find no potential conflict of interest in the representation of the UMWA by its present general counsel in this litigation, 22 there is no ground for a denial of UMWA’s request. Permitting the UMWA to select its own counsel in this matter, where no likelihood of conflict is apparent, advances the policy of the LMRDA to accord unions as much independence as possible in Section 501(b) actions. 23 We accordingly grant the motion by appellant UMWA for leave of its general counsel and his staff to appear on its behalf.
Ill
The District Court declined to rule on the UMWA’s motion to realign from party-defendant to party-plaintiff because these appeals were pending. The UMWA now moves this court for leave to withdraw its own appeal, to intervene in the appeal brought by the in-
At the commencement of this litigation, the UMWA, under the former regime, chose to assume a defensive role. Since that time, by virtue of the elections held earlier this year, the leadership of the UMWA has changed and the newly elected officers now wish the UMWA to assume prosecution of the cause. 24 The UMWA has taken this position in the belief that the action can legally be continued in the District Court by the surviving plaintiffs and that, in the alternative, the UMWA itself may assume the litigation as party-plaintiff, thereby mooting the only issue which these appeals seek to review.
Clearly, the UMWA, like any labor organization, “has an interest in formulating its own policies, making its own decisions,' and conducting its own affairs.” 25 It “is free to say which side of a controversy involving a legitimate institutional interest it will take” 26 because the UMWA, like a corporation in a shareholder’s derivative action, 27 retains the primary interest in the litigation. The mere fact that individual members have initiated the action does not prohibit the UMWA from reversing its position and taking the offensive in its prosecution. 28
Although this decision is clearly within the newly-elected officers’ authority, 29 the officer-appellants would have us compel the UMWA to maintain a defensive role. It simply is not the court’s function to make that decision for the UMWA. 30 No less in the prosecution of litigation than in the pursuit of other affairs is a union at liberty to shape its own destiny within the boundaries set by law. Moreover, in conditioning the availability of a derivative action under Section 501 on the refusal of a union to bring the action itself, 31 Congress expressed its preference that the union prosecute a claim for breach of fiduciary duty against union officials. Allowing the UMWA to assume the prosecution of this cause would further that legislative preference. Since UMWA’s present position is to prosecute vigorously the action brought for its benefit, it must be accorded that right. 32
Absent the potential for a conflict of interest or a showing of bad faith in the Union’s effort to withdraw its appeal and to realign as party-
So ordered.
Notes
. Petitions for allowance of the appeals under 28 U.S.C. § 1292(b) (1970) were granted on June 26, 1972, in No. 72-1747, and on June 28, 1972, in No. 72-1748. On September 22, 1972, the appeals were consolidated for all purposes. .
. Hereinafter referred to as “the UMWA.”
. Yablonski v. UMW,
. 29 U.S.C. § 501(b) (1970) (hereinafter referred to as “the LMRDA”). Section 501(b) provides:
When any officer, agent, shop steward, or representative of any labor organization is alleged to have violated the duties declared in subsection (a) of this section and the labor organization or its governing board or officers refuse or fail to sue or recover damages or secure an accounting or other appropriate relief within a reasonable time after being requested to do so by any member of the labor organization, such member may sue such officer, agent, shop steward, or representative in any district court of the United States or in any State court of competent jurisdiction to recover damages or secure an accounting or other appropriate relief for the benefit of the labor organization. No such proceeding shall be brought except upon leave of the court obtained upon verified application and for good cause shown, which application may be made ex parte. The trial judge may allow a reasonable part of the recovery in any action under this subsection to pay the fees' of counsel prosecuting the suit at the instance of the member of the labor organization and to compensate such member for any expenses necessarily paid or incurred by him in connection with the litigation.
. Yablonski v. UMW,
. Yablonski v. UMW,
. Note 4 supra.
. As certified by the District Court, the issue on appeal is:
Does a lawsuit validly instituted against officers of a union by a member thereof, after making request upon the union to sue as required by 29 U.S.C. § 501(b), and which lawsuit is later joined by other union members who did not make such a request, survive the death of the union member who did make the request?
. The elections were ordered by the District Court in Hodgson v. UMW,
. Note 3 supra.
. In Yablonski v. UMW,
. Yablonski v. UMW,
.
Id.;
Yablonski v. UMW,
.
.
Id.;
(emphasis added, footnote omitted),
quoting
International Bhd. of Teamsters v. Hoffa,
. Thus, we noted in Yablonski v. UMW,
It is undeniable that the regular UMWA counsel have undertaken the representation of Boyle individually in many facets of his activities as a UMWA official, as a Trustee of the Fund, as a Director of the Bank owned 74% by the union. With strict fidelity to this client, such counsel could not undertake action on behalf of another client which would undermine his position personally. Yet, in this particular litigation, counsel for the UMWA should be diligent in analyzing objectively the true interests of the UMWA as an institution without being hindered by allegiance to any individual concerned.
Id.
at 256,
This same kind of conflict concerned the court in Milone v. English,
[Cjounsel who are chosen by and represent officers charged with the misconduct, and who also represent the union, are not able to guide the litigation in the best interest of the union because of the conflict in counsel’s loyalties.
Id.
at 210,
. In concluding that “Appellants’ complaint in the instant casg alleges a state of affairs existing within the leadership of the UMWA of the magnitude of that which the House Report condemned,” we analyzed Congress’ intent:
29 U.S.C. § 401 (1964) sets forth the congressional declaration of findings, purposes and policy of the LMRDA, including inter alia the statement that ‘in order to accomplish the objective of a free flow of commerce it is essential that labor organizations, employers, and their officials adhere to the highest standards of responsibility and ethical conduct in administering the affairs of their organizations • * *.’ The legislative history of the Act makes plain that a major congressional objective was to provide union members, as well as the Government in the public interest, with a variety of means to ensure that officials of labor organizations perform the duties in accordance with fiduciary standards. .
.
Id.
at 254,
Maintaining the independence of professional judgment required of a lawyer precludes his acceptance or continuation of employment that will adversely affect his judgment on behalf of or dilute his loyalty to a client. This problem arises whenever a lawyer is asked to represent two or more clients who may have differing interests, whether such interests be conflicting, inconsistent, diverse, or otherwise discordant.
ABA Code of Professional Responsibility and Canons of Judicial Ethics, EC 5-14 (1971) (footnotes omitted).
Clearly, the converse is true that there is no proscription where the interest subsequently represented by the attorney is not in fact adverse to the particular interest in connection with which he was previously employed.
Annot.,
. As we emphasized in our second opinion, ‘[t]he public interest requires that the validity of appellants’ charges against the UMWA management of breach of its fiduciary responsibilities be determined in a context which is as free as possible from
.
See
Brennan v. UMW,
. As we illustrated in note 18 supra, the ABA Code of Professional Responsibility precludes counsel only from representing differing interests.
. In Brennan v. UMW,
.
See
Calhoon v. Harvey,
. As we concluded in Part II, we see no reason to question the sincerity of this assertion.
. International Bhd. of Teamsters v. Hoffa,
. International Bhd. of Teamsters v. Hoffa, 52 CCH LAB. CAS. ¶ 16,634 at 23,516, 23,518 (D.D.C.1965),
quoted in
Yablonski v. UMW,
. We recognized the analogy between a Section 501(b) action and a shareholder’s derivative action in our first opinion in this case.
.
See
In re Penn Central Securities Litigation,
. See International Bhd. of Teamsters v. Hoffa, 52 CCH LAB. CAS. ¶ 16,634 at 23,516, 23,518 (D.D.C.1965).
. Yablonski v. UMW,
. 29 U.S.C. § 501(b).
. This is all the more apparent in light of International Bhd. of Teamsters v. Hoffa,
It should be noted that we foresaw the possibility in the second appeal in this case that the UMWA would want to take an active role in this action.
.
See
International Bhd. of Teamsters v. Hoffa,
. Independent counsel suggest that realignment of the UMWA as party-plaintiff may be barred by the staute of limitations. We reject this proposition in view of the clear weight of authority to the contrary.
See
Annot.,
. In view of the realignment of the UMWA as party-plaintiff, and with particular regard to the withdrawal by the UMWA’s house counsel of their appearance on behalf of the plaintiff-appellees and counsel’s current representation of the UMWA in the action, it is our understanding that the plaintiff-appellees will move the District Court for leave to be dropped as party-plaintiffs.
See
Lazar v. Merchants’ Nat’l Properties, Inc.,
.
