Lead Opinion
Petitioner Denver A. Youngblood, Jr., seeks a writ of prohibition to prevent the Circuit Court of Morgan County from enforcing its order entered on August 16, 2002, disqualifying Robert C. Stone from serving as his counsel. As grounds for the disqualification, the trial court cited Mr. Stone’s access to allegedly confidential information that was transmitted by the wife of Mr. Young-blood’s co-defendant, Michael Fleece, in a consultation between Mrs. Fleece and a paralegal employed by Mr. Stone. Upon our review of this matter, we determine that the entirety of the factual information related to the crime that was discussed by Mrs. Fleece is separately contained in other statements provided to the police by both Mr. and Mrs. Fleece. Accordingly, we find no basis for disqualification of Mr. Stone and, thus, determine that a writ of prohibition shall issue with regard to enforcement of the trial court’s order disqualifying Mr. Stone from continued representation of Mr. Youngblood.
I. Factual and Procedural Background
On February 27, 2001, eighteen-year-old Jessica Miller died of a heroin overdose. In connection with that death, Petitioner Young-blood and Mr. Fleece were indicted for felony murder, possession with intent to deliver a controlled substance, and delivery of a controlled substance.
Initial counsel appointed to represent Petitioner Youngblood was required to withdraw due to his prior representation of a witness in the case. A second attorney was then appointed, but his representation of Mi*. Youngblood ceased when Mr. Youngblood’s family hired Mr. Stone on June 24, 2002. Two days later, Mr. Fleece entered into a
On July 19, 2002, the State filed a motion to disqualify Mr. Stone from representing Mr. Youngblood based on a meeting that took place on September 6, 2001, between Mi’s. Fleece and Steven Askin, a paralegal employed by Mr. Stone. This meeting, which lasted for thirty minutes to an hour, was for the purpose of exploring Mr. Stone’s representation of Mr. Fleece. In its motion, the State alleged that Mrs. “Fleece told personal and confidential facts regarding her husband Michael Fleece and his involvement in the death of Jessica Miller.” Due to financial reasons, Mr. Stone was not hired by the Fleeces.
Two hearings were held by Judge Sanders on the State’s motion to disqualify.
By order entered on August 16, 2002, the circuit court granted the State’s motion for disqualification. Recognizing that “[i]t is not necessary that an attorney be formally retained for the Attorney Client Privilege to attach,” the trial court examined whether confidential information was communicated to Mr. Stone.
Arguing that the trial court erred in its determination that confidential communications had been disclosed which required disqualification under the rules of professional conduct,
II. Standard of Review
This Court’s standard for issuing writs of prohibition stemming from allegations that the lower court exceeded its authority is set forth in syllabus point four of State ex rel. Hoover v. Berger,
In determining whether to entertain and issue the writ of prohibition for cases not involving an absence of jurisdiction but only where it is claimed that the lower tribunal exceeded its legitimate powers, this Court will examine five factors: (1) whether the party seeking the writ has no other adequate means, such as direct appeal, to obtain the desired relief; (2) whether the petitioner will be damaged or prejudiced in a way that is not correctable on appeal; (3) whether the lower tribunal’s order is clearly erroneous as a matter of law; (4) whether the lower tribunal’s order is an oft repeated error or manifests persistent disregard for either procedural or substantive law; and (5) whether the lower tribunal’s order raises new and important problems or issues of law of first impression. These factors are general guidelines that serve as a useful starting point for determining whether a discretionary writ*889 of prohibition should issue. Although all five factors need not be satisfied, it is clear that the third factor, the existence of clear error as a matter of law, should be given substantial weight.
With regal’d to the specific use of writs of prohibition in connection with disqualification motions, we recently recognized in State ex rel. Keenan v. Hatcher,
the Court has consistently found that a party aggrieved by a trial court’s decision on a motion to disqualify may properly challenge such ruling by way of a petition for a writ of prohibition. See State ex rel. McClanahan v. Hamilton,189 W.Va. 290 , 296,430 S.E.2d 569 , 575 (1993) (recognizing that a challenge to a circuit court’s ruling on a motion to disqualify is appropriately brought through a petition for prohibition); see also State ex rel. DeFrances v. Bedell,191 W.Va. 513 , 516,446 S.E.2d 906 , 909 (1994) (per curiam); Farber v. Douglas,178 W.Va. 491 , 493,361 S.E.2d 456 , 458 (1985); State ex rel. Taylor Assoc. v. Nuzum,175 W.Va. 19 , 23,330 S.E.2d 677 , 682 (1985); State ex rel. Moran v. Ziegler,161 W.Va. 609 ,244 S.E.2d 550 (1978).
With these principles in mind, we proceed to determine whether a writ of prohibition should be issued under the facts of this case.
III. Discussion
Petitioner Youngblood argues that by disqualifying Mr. Stone from serving as his defense counsel, the State has violated his Sixth Amendment right to counsel.
This constitutional guarantee generally ensures that a criminal defendant may be represented by any counsel who will agree to take his case. Although “[a] defendant’s right to counsel of his choice is not an absolute one,” United States v. Ostrer,597 F.2d 337 , 341 (2d Cir.1979), we have consistently recognized that the right of a defendant who retains counsel to be represented by that counsel is “ ‘a right of constitutional dimension.’ ” United States v. Wisniewski,478 F.2d 274 , 285 (2d Cir.1973), (quoting United States v. Sheiner,410 F.2d 337 , 342 (2d Cir.), cert. denied,396 U.S. 825 ,90 S.Ct. 68 ,24 L.Ed.2d 76 (1969) (emphasis added)).
Commonwealth v. Cassidy,
Acknowledging certain limitations on the right to counsel of choice,
In the case of State ex rel. DeFrances v. Bedell,
Recently, in State ex rel. Ogden Newspapers, Inc. v. Wilkes (“Ogden II”),
We recently added further definition to the substantial relationship test in syllabus point one of State ex rel. Keenan v. Hatcher,210 W.Va. 307 ,557 S.E.2d 361 (2001), when we adopted the approach taken in § 132 Restatement (Third) of the Law Governing Lawyers and said that two matters are substantially related under Rule 1.9(a) if “there is a substantial risk that representation of the present client will involve the use of [confidential] information acquired in the course of representing the former client, unless that information has become generally known.” The express language of section (b) of Rule 1.9 likewise acknowledges that information which is or becomes commonly knoim lies outside the parameters of confidential information and may be used against a former client in subsequent actions.
In arguing that disqualification is improper under the facts of this ease, Petitioners rely on the absence of any attorney-client relationship between Mr. Stone and Mr. Fleece; the lack of any confidential information being transmitted during the consultation between Mi’s. Fleece and Mr. Stone’s paralegal;
Worthy of comment is the fact that the lower court never made a finding that the subject communications between Mrs. Fleece and Mr. Askin contained confidential information. Instead, the trial court observed that the internal memorandum reflected that “considerable material information [was] conveyed” and that “immediate action was advised.” Viewing its decision on disqualification as dependent on whether anything of substance was discussed during the meeting between Mrs. Fleece and Mr. Askin, the trial court opined during the August 2, 2002, hearing:
Here the memo gives all of the indicia of a jump start and actual steps in representation, recommendations, assessment of the strengths of the ease, steps to be taken, and the Court can’t construe what we have seen as something that is as slight or as passing or as something which is nonsub-stantive as those cases which find an attorney may continue in representation after this type of communication is shared.
In its order of August 16, 2002, the circuit court concluded that disqualification was required because it “cannot construe the statements as slight or passing and without substance.”
While the nature of the conversation is certainly a factor to be considered in making the determination of whether a conflict exists which necessitates disqualification, the objective of the court’s inquiry in this case was to determine whether any confidential communications were shared by Mrs. Fleece with Mr. Askin. As we noted in Ogden II, it is “the reviewing courts responsibility to weigh and balance carefully all relevant factors in order to guard against the risk of disclosure of confidential information when addressing qualification issues.”
The trial court should have examined the factual statements that Mrs. Fleece made to Mr. Askin related to her husband’s involve
While most conflict of interest issues in the criminal context are raised post-convietion, when an issue of disqualification based on conflict is raised pre-trial, the trial court must balance “individual constitutional protections, public policy and public interest in the administration of justice, and basic concepts of fundamental fairness.” Agosto,
Given the lack of rulings in this area of the law, we hold today that where an attorney .has received confidential information from a prospective client, the attorney may be disqualified from representing another individual on grounds of actual or presumed conflict,
We recognize that when disqualification of counsel is raised in the criminal context, the issue must be resolved with careful concern for the defendant’s right to assistance of counsel guaranteed under our federal and state constitutions.
Borrowing from Justice Thurgood Marshall’s comments in his dissent to Wheat,
When a defendant’s selection of counsel, under the particular facts and circumstances of a case, places the fairness and integrity of the defendant’s trial in jeopardy, the defendant’s right to counsel of choice may be justifiably denied. However, a presumption must first be recognized in favor of the defendant’s counsel of choice; to overcome that presumption, there must be a demonstration of an actual conflict or a showing of a serious potential for conflict.... The right to counsel of choice “should not be interfered with in cases where the potential conflicts of interest are highly speculative.... ” United States v. Flanagan,679 F.2d 1072 , 1076 (3rd Cir.1982), rev’d on different grounds,465 U.S. 259 ,104 S.Ct. 1051 ,79 L.Ed.2d 288 (1984).
Applying the principles we announce here today to the ease sub judice, we do not find that the presumption in favor of Petitioner’s choice of counsel has been overcome by a sufficient showing of potential conflict. Because the information tendered to Mr. Askin by Mrs. Fleece is contained in an independent source — the police reports, the factual information qualifies as “generally known” information which is outside the protections of Rule 1.9 of the Rules of Professional Conduct. Based on the information submitted in support of the alleged conflict, we cannot conclude that the fairness and integrity of the trial process will be affected by permitting Mr. Stone to represent the Petitioner. Absent the necessary showing of potential conflict, we cannot deny to Petitioner his right to counsel of his choice. Accordingly, we find that Petitioner is entitled to a writ of prohibition to prevent the lower court from enforcing its disqualification order.
The cautionary remarks that we first announced in Ogden II are equally valid here:
We sti’ess that the l-esult we have reached in this case should in no way be l'ead as an ei’osion of this Court’s l’esolve to shield the attorney-client l’elationship. We have simply l'ecognized that a court faced with a Rule 1.9 motion must consider all l-elevant factors on a case-by-case basis in order to decide whether disqualification is wan*anted and that one such factor may be the amount of time which has passed since the foi'mer representation occmTed. In some instances, no amount of time will remove the subsequent l’epresentation prohibition. A lawyei’’s formidable ethical responsibility of protecting the attorney-client relationship in a manner which steadfastly guards against improper disclosure, misapplication or misuse of protected information obtained from a former client remains unaltered. The frank and honest discourse which is the hallmark of the attorney-client relationship can be pre-sexved only if lawyers are faithful to selecting cases in a prudent and judicious manner so as to protect the best interests of all clients.
Based on the foi-egoing, we hereby grant a writ of pi’ohibition to Petitioner to prevent
Writ granted.
Notes
. The first of these hearings was held on July 26, 2002, and the second hearing was held on August 2, 2002.
. The memorandum was dictated while in the presence of Mrs. Fleece.
. During oral argument of this matter, Mr. Stone indicated that, upon the State’s filing of the motion to disqualify, he read the memorandum that Mr. Asian dictated contemporaneous to his meeting with Mrs. Fleece.
. See W.Va.R.Prof.Conduct 1.8; 1.9.
. The Sixth Amendment to the United States Constitution provides that "[i]n all criminal prosecutions, the accused shall ... have the Assistance of Counsel for his defence." U.S. Const, amend. VI.
. See generally Wheat v. United States,
. Provided that there is a showing that the second client’s interests are "materially adverse” to the interests of the former client, a conflict is presumed to exist under Rule 1.9 of the Rules of Professional Conduct.
. The concern is two-pronged: “(a) the attorney may be tempted to use that confidential information to impeach the former client; or (b) counsel
. Evidence as to confidential communications was limited to the attorney under challenge since the prospective client was deceased.
. Under recognized principles of agency, confidential communications made by Mr. Fleece's wife would still be entitled to protection under the attorney-client privilege. See Holstein v. Grossman,
. See United States v. Register,
. See U.S. Const. amend. VI; W.Va. Const, art. III, § 14.
. While Justice Marshall's thoughts were articulated in a dissent (which questioned the majority's decision to accord deierence to district court decisions on whether potential conflict justifies disqualification of counsel), he specifically noted with regard to his discussion of the presumption that attaches to counsel of choice, that "[i]n these respects, I do not believe my position differs significantly, if at all, from that expressed in the opinion of the Court.” Wheat,
Concurrence Opinion
concurring.
(Filed Dec. 5, 2002)
In this proceeding, the majority opinion has issued a writ of prohibition precluding the circuit court from disqualifying the petitioner’s defense counsel. I concur in this judgment. I write separately to clarify issues the majority opinion failed to address, but which I believe may pose potential problems in future cases for future litigants.
A. The State Did Not Have Standing to Disqualify Defense Counsel
The majority opinion assumed that the State had standing to seek to disqualify defense counsel. Consequently, the majority opinion addressed the merits of the issue presented without ever addressing the standing issue. However, the issue of standing should have been considered by the majority opinion, even though the issue was apparently not raised by the petitioner below nor before this Court.
We have previously noted that “[generally speaking, ‘[sjtanding is an element of jurisdiction over the subject matter.’ ” State ex rel. Paul B. v. Hill,
In my review of this Court’s prior decisions, I have failed to uncover any case specifically ruling upon the question of who has standing to raise the issue of a conflict of interest by an attorney, in relation to his/her representation of a former client. Other courts, however, have addressed the matter. Those courts have held that “[a]s a general rule, a stranger to an attorney-client relationship lacks standing to complain of a conflict of interest in that relationship.” Syllabus, Morgan v. North Coast Cable Co.,
The fact that the majority opinion did not address the standing issue should not be interpreted to mean that the opinion imposes standing on the State or any party seeking to disqualify an opposing counsel, on the grounds of a conflict of interest by counsel due to his/her prior representation of a third party. See, e.g., Lewis v. Casey,
B. Practical Application of the Majority Opinion
The majority opinion has set out six new syllabus points that were aimed at assisting the lower courts in resolving attorney disqualification issues. In my reading of the new syllabus points, I do not believe they provide practical guidance for lower courts.
To begin, I believe trial courts should understand the legal conceptual framework, which is not expressly stated in the majority opinion, that governs the creation of an attorney-client relationship with a prospective client. The legal concept is that “[a]n implied attorney-client relationship may result when a prospective client divulges confidential information during a consultation with an attorney for the purpose of retaining the attorney, even if actual employment does not result.” Pro-Hand Servs. Trust v. Monthei,
Courts have justified the imposition of an implied attorney-client relationship onto communication by a prospective client on the grounds that “[a]t the inception of the contacts between the layman and the lawyer it is essential that the layman feel free of danger in stating the facts of the case to the lawyer whom he consults.” King v. King,
In determining whether an attorney should be disqualified, the majority opinion states in Syllabus point 3 that the trial “court must satisfy itself from a review of the available evidence, including affidavits and testimony of affected individuals, that confidential information was in fact discussed.” While I do not disagree with this ruling, I believe the majority opinion should have gone further in crystalizing the trial court’s role. The court in Pro-Hand Services Trust v. Monthei
[A]n alleged client should not be required, at a disqualification hearing, to reveal actual confidences that he or she maintains were disclosed to establish an attorney-client relationship. Such a procedure would violate the very disclosure the [attorney-client privilege] is designed to protect. However, simply making a representation to the court that confidential information was disclosed offers nothing to assist the court in making a reasoned judgment. The alleged client must at least inform the court of the nature of the confidential information disclosed. For example, the alleged client can testify that she informed the prospective counsel of the nature of the transaction, her position regarding the claim or defense] witnesses who support or oppose her claim [or defense], ... and other relevant personal information. This type of testimony, without getting specific, would alert the court of the possibility that confidential information had been previously disclosed.
Monthei
In view of the foregoing, I concur in the judgment reached in this case.
. The narrow exceptions to the general rule are not applicable in this case. See generally In re Appeal of Infotechnology, Inc.,
. In the body of its opinion, the majority relies heavily upon principles discussed in State ex rel. Ogden Newspapers, Inc. v. Wilkes,
