Indiana Rules
of Court
Rules of Professional Conduct
Including Amendments made through October 1, 2024
TABLE
OF CONTENTS
PREAMBLE: A LAWYER’S RESPONSIBILITIES
Rule 1.2. Scope of Representation and Allocation
of Authority Between Client and Lawyer
Rule 1.6. Confidentiality of Information
Rule 1.7. Conflict of Interest: Current Clients
Rule 1.8. Conflict of Interest: Current Clients:
Specific Rules
Rule 1.9. Duties to Former Clients
Rule 1.10. Imputation of Conflicts of Interest:
General Rule
Rule 1.11. Special Conflicts of Interest for
Former and Current Government Officers and Employees
Rule 1.12. Former Judge, Arbitrator, Mediator or
Other Third-Party Neutral
Rule 1.13. Organization as Client
Rule 1.14. Client with Diminished Capacity
Rule 1.15. Safekeeping Property
Rule 1.16. Declining or Terminating Representation
Rule 1.17. Sale of Law Practice
Rule 1.18. Duties to Prospective Client
Rule 2.3. Evaluation for Use by Third Persons
Rule 2.4. Lawyer Serving as Third-Party Neutral
Rule 3.1. Meritorious Claims and Contentions
Rule 3.2. Expediting Litigation
Rule 3.3. Candor Toward the Tribunal
Rule 3.4. Fairness to Opposing Party and Counsel
Rule 3.5. Impartiality and Decorum of the Tribunal
Rule 3.8. Special Responsibilities of a Prosecutor
Rule 3.9. Advocate in Nonadjudicative Proceedings
Rule 4.1. Truthfulness in Statements to Others
Rule 4.2. Communication with Person Represented by
Counsel
Rule 4.3. Dealing with Unrepresented Persons
Rule 4.4. Respect for Rights of Third Persons
Rule 5.1. Responsibilities of a Partner or
Supervisory Lawyer
Rule 5.2. Responsibilities of a Subordinate Lawyer
Rule 5.3. Responsibilities Regarding Nonlawyer
Assistants
Rule 5.4. Professional Independence of a Lawyer
Rule 5.5. Unauthorized Practice of Law;
Multijurisdictional Practice of Law
Rule 5.6. Restrictions on Right to Practice
Rule 5.7 Responsibilities Regarding Law-Related
Services
Rule 6.1. Pro Bono Publico Service
Rule 6.2. Accepting Appointments
Rule 6.3. Membership in Legal Service Organization
Rule 6.4. Law Reform Activities Affecting Client
Interests
Rule 6.5 Nonprofit and Court-Annexed Limited Legal
Services Programs
Rule 6.7 Requirement for Reporting of Direct Pro
Bono Legal Services
Rule 7.1. Communications Concerning a Lawyer’s
Services
Rule 7.3. Direct Contact with prospective Clients
Rule 7.4. Communication of Fields of Practice and
Specialization
Rule 7.5. Firm Names and Letterheads
Rule 8.1. Bar Admission and Disciplinary Matters
Rule 8.2. Judicial and Legal Officials
Rule 8.3. Reporting Professional Misconduct
Rule 8.5. Disciplinary Authority: Choice of Law
Guideline 9.2. Permissible Delegation
Guideline 9.3. Prohibited Delegation
Guideline 9.5. Identification on
Letterhead
Guideline 9.6. Client Confidences
Guideline 9.7. Charge for Services
Guideline 9.9. Continuing Legal
Education
Guideline 9.10. Legal Assistant
Ethics
PREAMBLE: A LAWYER’S RESPONSIBILITIES
[1] A lawyer, as
a member of the legal profession, is a representative of clients, an officer of
the legal system and a public citizen having special responsibility for the
quality of justice. Whether or not engaging in the practice of law, lawyers
should conduct themselves honorably.
[2] As a
representative of clients, a lawyer performs various functions. As advisor, a
lawyer provides a client with an informed understanding of the client's legal
rights and obligations and explains their practical implications. As advocate,
a lawyer asserts the client's position under the rules of the adversary system.
As negotiator, a lawyer seeks a result advantageous to the client but
consistent with requirements of honest dealings with others. As intermediary
between clients, a lawyer seeks to reconcile their divergent interests as an
advisor and, to a limited extent, as a spokesperson for each client. As an
evaluator, a lawyer acts by examining a client's legal affairs and reporting
about them to the client or to others.
[3] In addition
to these representational functions, a lawyer may serve as a third-party
neutral, a nonrepresentational role helping the parties to resolve a dispute or
other matter. Some on these Rules apply directly to lawyers who are or have
served as third-party neutrals. See, e.g., Rules 1.12 and 2.4. In addition,
there are Rules that apply to lawyers who are not active in the practice of law
or to practicing lawyers even when they are acting in a nonprofessional
capacity. For example, a lawyer who commits fraud in the conduct of a business
is subject to discipline for engaging in conduct involving dishonesty, fraud,
deceit, or misrepresentation. See Rule 8.4.
[4] In all
professional functions a lawyer should be competent, prompt and diligent. A
lawyer should maintain communication with a client concerning the
representation. A lawyer should keep in confidence information relating to
representation of a client except so far as disclosure is required or permitted
by the Rules of Professional Conduct or other law.
[5] A lawyer's
conduct should conform to the requirements of the law, both in professional
service to clients and in the lawyer's business and personal affairs. A lawyer
should use the law's procedures only for legitimate purposes and not to harass
or intimidate others. A lawyer should demonstrate respect for the legal system
and for those who serve it, including judges, other lawyers and public
officials. While it is a lawyer's duty, when necessary, to challenge the
rectitude of official action, it is also a lawyer's duty to uphold legal
process.
[6] As a public
citizen, a lawyer should seek improvement of the law, access to the legal
system, the administration of justice and the quality of service rendered by
the legal profession. As a member of a learned profession, a lawyer should
cultivate knowledge of the law beyond its use for clients, employ that
knowledge in reform of the law and work to strengthen legal education. In
addition, a lawyer should further the public's understanding of and confidence
in the rule of law and the justice system because legal institutions in a
constitutional democracy depend on popular participation and support to
maintain their authority. A lawyer should be mindful of deficiencies in the
administration of justice and of the fact that the poor, and sometimes persons
who are not poor, cannot afford adequate legal assistance. Therefore, all
lawyers should devote professional time and resources and use civic influence
to ensure equal access to our system of justice for all those who because of
economic or social barriers cannot afford or secure adequate legal counsel. A
lawyer should aid the legal profession in pursuing these objectives and should
help the bar regulate itself in the public interest.
[7] Many of a
lawyer's professional responsibilities are prescribed in the Rules of
Professional Conduct, as well as substantive and procedural law. However, a
lawyer is also guided by personal conscience and the approbation of
professional peers. A lawyer should strive to attain the highest level of
skill, to improve the law and the legal professional and to exemplify the legal
profession's ideals of public service.
[8] A lawyer's
responsibilities as a representative of clients, an officer of the legal system
and a public citizen are usually harmonious. Thus, when an opposing party is
well represented, a lawyer can be an effective advocate on behalf of a client
and at the same time assume that justice is being done. So also, a lawyer can
be sure that preserving client confidences ordinarily serves the public
interest because people are more likely to seek legal advice, and thereby heed
their legal obligations, when they know their communications will be private.
[9] In the nature
of law practice, however, conflicting responsibilities are encountered.
Virtually all difficult ethical problems arise from conflict between a lawyer's
responsibilities to clients, to the legal system and to the lawyer's own
interest in remaining an ethical person while earning a satisfactory living.
The Rules of Professional Conduct often prescribe terms for resolving such
conflicts. Within the framework of these Rules, however, many difficult issues
of professional discretion can arise. Such issues must be resolved through the
exercise of sensitive professional and moral judgment guided by the basic
principles underlying the Rules. These principles include the lawyer's
obligation to protect and pursue a client's legitimate interests, within the
bounds of the law, while maintaining a professional, courteous and civil
attitude toward all persons involved in the legal system.
[10] The legal
profession is largely self-governing. Although other professions also have been
granted powers of self-government, the legal profession is unique in this
respect because of the close relationship between the profession and the
processes of government and law enforcement. This connection is manifested in
the fact that ultimate authority over the legal profession is vested largely in
the courts.
[11] To the
extent that lawyers meet the obligations of their professional calling, the
occasion for government regulation is obviated. Self-regulation also helps
maintain the legal profession's independence from government domination. An
independent legal profession is an important force in preserving government
under law, for abuse of legal authority is more readily challenged by a
profession whose members are not dependent on government for the right to
practice.
[12] The legal
profession's relative autonomy carries with it special responsibilities of
self-government. The profession has a responsibility to assure that its
regulations are conceived in the public interest and not in furtherance of
parochial or self-interested concerns of the bar. Every lawyer is responsible
for observance of the Rules of Professional Conduct. A lawyer should also aid
in securing their observance by other lawyers. Neglect of these
responsibilities compromises the independence of the profession and the public
interest which it serves.
[13] Lawyers play
a vital role in the preservation of society. The fulfillment of this role
requires an understanding by lawyers of their relationship to our legal system.
The Rules of Professional Conduct, when properly applied, serve to define that
relationship.
[14] The Rules of
Professional Conduct are rules of reason. They should be interpreted with
reference to the purposes of legal representation and of the law itself. Some
of the Rules are imperatives, cast in the terms “shall” or “shall not.” These
define proper conduct for purposes of professional discipline. Others,
generally cast in the term “may,” are permissive and define areas under the
Rules in which the lawyer has discretion to exercise professional judgment. No
disciplinary action should be taken when the lawyer chooses not to act or acts
within the bounds of such discretion. Other Rules define the nature of
relationships between the lawyer and others. The Rules are thus partly
obligatory and disciplinary and partly constitutive and descriptive in that they
define a lawyer's professional role. Many of the Comments use the term
“should.” Comments do not add obligations to the Rules but provide guidance for
practicing in compliance with the Rules.
[15] The Rules
presuppose a larger legal context shaping the lawyer's role. That context
includes court rules and statutes relating to matters of licensure, laws
defining specific obligations of lawyers and substantive and procedural law in
general. The Comments are sometimes used to alert lawyers to their
responsibilities under such other law.
[16] Compliance
with the Rules, as with all law in an open society, depends primarily upon
understanding and voluntary compliance, secondarily upon reinforcement by peer
and public opinion and finally, when necessary, upon enforcement through
disciplinary proceedings. The Rules do not, however, exhaust the moral and
ethical considerations that should inform a lawyer, for no worthwhile human
activity can be completely defined by legal rules. The Rules simply provide a
framework for the ethical practice of law.
[17] Furthermore,
for purposes of determining the lawyer's authority and responsibility,
principles of substantive law external to these Rules determine whether a
client-lawyer relationship exists. Most of the duties flowing from the
client-lawyer relationship attach only after the client has requested the
lawyer to render legal services and the lawyer has agreed to do so. But there
are some duties, such as that of confidentiality under Rule 1.6, that attach
when the lawyer agrees to consider whether a client-lawyer relationship shall
be established. See Rule 1.18. Whether a client-lawyer relationship exists for
any specific purpose can depend on the circumstances and may be a question of
fact.
[18] Under
various legal provisions, including constitutional, statutory and common law,
the responsibilities of government lawyers may include authority concerning
legal matters that ordinarily reposes in the client in private client-lawyer
relationships. For example, a lawyer for a government agency may have authority
on behalf of the government to decide upon settlement or whether to appeal from
an adverse judgment. Such authority in various respects is generally vested in
the attorney general and the state's attorney in state government, and their
federal counterparts, and the same may be true of other government law
officers. Also, lawyers under the supervision of these officers may be
authorized to represent several government agencies in intragovernmental legal
controversies in circumstances where a private lawyer could not represent
multiple private clients. These Rules do not abrogate any such authority.
[19] Failure to
comply with an obligation or prohibition imposed by a Rule is a basis for
invoking the disciplinary process. The Rules presuppose that disciplinary
assessment of a lawyer's conduct will be made on the basis of the facts and
circumstances as they existed at the time of the conduct in question and in
recognition of the fact that a lawyer often has to act upon uncertain or
incomplete evidence of the situation. Moreover, the Rules presuppose that
whether or not discipline should be imposed for a violation, and the severity
of a sanction, depend on all the circumstances, such as the willfulness and
seriousness of the violation, extenuating factors and whether there have been
previous violations.
[20] Violation of
a Rule should not itself give rise to a cause of action against a lawyer, nor
should it create any presumption in such a case that a legal duty has been
breached. In addition, violation of a Rule does not necessarily warrant any
other nondisciplinary remedy, such as disqualification of a lawyer in pending
litigation. The Rules are designed to provide guidance to lawyers and to
provide a structure for regulating conduct through disciplinary agencies. They are
not designed to be a basis for civil liability, but these Rules may be used as
non-conclusive evidence that a lawyer has breached a duty owed to a client.
Furthermore, the purpose of the Rules can be subverted when they are invoked by
opposing parties as procedural weapons. The fact that a rule is a just basis
for a lawyer's self-assessment, or for sanctioning a lawyer under the
administration of a disciplinary authority, does not imply that an antagonist
in a collateral proceeding or transaction has standing to seek enforcement of
the Rule. Nevertheless, since the Rules do establish standards of conduct by
lawyers, a lawyer's violation of a Rule may be evidence of breach of the
applicable standard of conduct.
[21] The Comment
accompanying each Rule explains and illustrates the meaning and purpose of the
Rule. The Preamble and this note on Scope provide general orientation. The
Comments are intended as guides to interpretation, but the text of each Rule is
authoritative.
(a)
“Belief” or “believes” denotes that the person involved actually supposed the
fact in question to be true. A person's belief may be inferred from
circumstances.
(b)
“Confirmed in writing,” when used in reference to the informed consent of a
person, denotes informed consent that is given in writing by the person or a
writing that a lawyer promptly transmits to the person confirming an oral
informed consent. See paragraph (n) for the definition of “writing.” See
paragraph (e) for the definition of “informed consent.” If it is not feasible
to obtain or transmit the writing at the time the person gives informed
consent, then the lawyer must obtain or transmit it within a reasonable time
thereafter.
(c)
“Firm” or “law firm” denotes a lawyer or lawyers in a law partnership,
professional corporation, sole proprietorship or other association authorized
to practice law; or lawyers employed in a legal services organization or the
legal department of a corporation or other organization.
(d)
“Fraud” or “fraudulent” denotes conduct that is fraudulent under the
substantive or procedural law of the applicable jurisdiction and has a purpose
to deceive.
(e)
“Informed consent” denotes the agreement by a person to a proposed course of
conduct after the lawyer has communicated adequate information and explanation
about the material risks of and reasonably available alternatives to the
proposed course of conduct.
(f)
“Knowingly,” “known,” or “knows” denotes actual knowledge of the fact in
question. A person's knowledge may be inferred from circumstances.
(g)
“Partner” denotes a member of a partnership, a shareholder in a law firm
organized as a professional corporation, or a member of an association
authorized to practice law.
(h)
“Reasonable” or “reasonably” when used in relation to conduct by a lawyer
denotes the conduct of a reasonably prudent and competent lawyer.
(i)
“Reasonable belief” or “reasonably believes” when used in reference to a lawyer
denotes that the lawyer believes the matter in question and that the
circumstances are such that the belief is reasonable.
(j)
“Reasonably should know” when used in reference to a lawyer denotes that a
lawyer of reasonable prudence and competence would ascertain the matter in
question.
(k)
“Screened” denotes the isolation of a lawyer from any participation in a matter
through the timely imposition of procedures within a firm that are reasonably
adequate under the circumstances to protect information that the isolated
lawyer is obligated to protect under these Rules or other law.
(l)
“Substantial” when used in reference to degree or extent denotes a material
matter of clear and weighty importance.
(m)
“Tribunal” denotes a court, an arbitrator, or any other neutral body or neutral
individual making a decision, based on evidence presented and the law
applicable to that evidence, which decision is binding on the parties involved.
(n)
“Writing” or “written” denotes a tangible or electronic record of a
communication or representation, including handwriting, typewriting, printing,
photostatting, photography, audio or videorecording or e-mail. A “signed”
writing includes an electronic sound, symbol or process attached to or
logically associated with a writing and executed or adopted by a person with
the intent to sign the writing.
Confirmed
in Writing
[1] If it is not
feasible to obtain or transmit a written confirmation at the time the client
gives informed consent, then the lawyer must obtain or transmit it within a
reasonable time thereafter. If a lawyer has obtained a client's informed
consent, the lawyer may act in reliance on that consent so long as it is
confirmed in writing within a reasonable time thereafter.
Firm
[2] Whether two
or more lawyers constitute a firm within paragraph (c) can depend on the
specific facts. For example, two practitioners who share office space and
occasionally consult or assist each other ordinarily would not be regarded as
constituting a firm. However, if they present themselves to the public in a way
that suggests that they are a firm or conduct themselves as a firm, they should
be regarded as a firm for purposes of the Rules. The terms of any formal
agreement between associated lawyers are relevant in determining whether they
are a firm, as is the fact that they have mutual access to information
concerning the clients they serve. Furthermore, it is relevant in doubtful
cases to consider the underlying purpose of the Rule that is involved. A group
of lawyers could be regarded as a firm for purposes of the Rule that the same
lawyer should not represent opposing parties in litigation, while it might not
be so regarded for purposes of the Rule that information acquired by one lawyer
is attributed to another.
[3] With respect
to the law department of an organization, including the government, there is
ordinarily no question that the members of the department constitute a firm
within the meaning of the Rules of Professional Conduct. There can be
uncertainty, however, as to the identity of the client. For example, it may not
be clear whether the law department of a corporation represents a subsidiary or
an affiliated corporation, as well as the corporation by which the members of
the department are directly employed. A similar question can arise concerning
an unincorporated association and its local affiliates.
[4] Similar
questions can also arise with respect to lawyers in legal aid and legal
services organizations. Depending upon the structure of the organization, the
entire organization or different components of it may constitute a firm or
firms for purposes of these Rules.
Fraud
[5] When used in
these Rules, the terms “fraud” or “fraudulent” refer to conduct that is
characterized as such under the substantive or procedural law of the applicable
jurisdiction and has a purpose to deceive. This does not include merely
negligent misrepresentation or negligent failure to apprise another of relevant
information. For purposes of these Rules, it is not necessary that anyone has
suffered damages or relied on the misrepresentation or failure to inform.
Informed
Consent
[6] Many of the
Rules of Professional Conduct require the lawyer to obtain the informed consent
of a client or other person (e.g., a former client or, under certain
circumstances, a prospective client) before accepting or continuing
representation or pursuing a course of conduct. See, e.g., Rules 1.2(c), 1.6(a)
and 1.7(b). The communication necessary to obtain such consent will vary
according to the Rule involved and the circumstances giving rise to the need to
obtain informed consent. The lawyer must make reasonable efforts to ensure that
the client or other person possesses information reasonably adequate to make an
informed decision. Ordinarily, this will require communication that includes a
disclosure of the facts and circumstances giving rise to the situation, any
explanation reasonably necessary to inform the client or other person of the
material advantages and disadvantages of the proposed course of conduct and a
discussion of the client's or other person's options and alternatives. In some
circumstances it may be appropriate for a lawyer to advise a client or other
person to seek the advice of other counsel. A lawyer need not inform a client
or other person of facts or implications already known to the client or other
person; nevertheless, a lawyer who does not personally inform the client or
other person assumes the risk that the client or other person is inadequately
informed and the consent is invalid. In determining whether the information and
explanation provided are reasonably adequate, relevant factors include whether
the client or other person is experienced in legal matters generally and in
making decisions of the type involved, and whether the client or other person
is independently represented by other counsel in giving the consent. Normally, such
persons need less information and explanation than others, and generally a
client or other person who is independently represented by other counsel in
giving the consent should be assumed to have given informed consent.
[7] Obtaining
informed consent will usually require an affirmative response by the client or
other person. In general, a lawyer may not assume consent from a client's or
other person's silence. Consent may be inferred, however, from the conduct of a
client or other person who has reasonably adequate information about the
matter. A number of Rules require that a person's consent be confirmed in
writing. See Rules 1.7(b) and 1.9(a). For a definition of “writing” and
“confirmed in writing,” see paragraphs (n) and (b). Other Rules require that a
client's consent be obtained in a writing signed by the client. See, e.g.,
Rules 1.8(a) and (g). For a definition of “signed,” see paragraph (n).
Screened
[8] This
definition applies to situations where screening of a personally disqualified
lawyer is permitted to remove imputation of a conflict of interest under Rules
1.10, 1.11, 1.12 or 1.18.
[9] The purpose
of screening is to assure the affected parties that confidential information
known by the personally disqualified lawyer remains protected. The personally
disqualified lawyer should acknowledge the obligation not to communicate with
any of the other lawyers in the firm with respect to the matter. Similarly,
other lawyers in the firm who are working on the matter should be informed that
the screening is in place and that they may not communicate with the personally
disqualified lawyer with respect to the matter. Additional screening measures
that are appropriate for the particular matter will depend on the
circumstances. To implement, reinforce and remind all affected lawyers of the
presence of the screening, it may be appropriate for the firm to undertake such
procedures as a written undertaking by the screened lawyer to avoid any
communication with other firm personnel and any contact with any firm files or
other materials relating to the matter, written notice and instructions to all
other firm personnel forbidding any communication with the screened lawyer
relating to the matter, denial of access by the screened lawyer to firm files
or other materials relating to the matter and periodic reminders of the screen
to the screened lawyer and all other firm personnel.
[10] In order to
be effective, screening measures must be implemented as soon as practical after
a lawyer or law firm knows or reasonably should know that there is a need for
screening.
A lawyer shall provide competent representation to a
client. Competent representation requires the legal knowledge, skill,
thoroughness and preparation reasonably necessary for the representation.
[1] In
determining whether a lawyer employs the requisite knowledge and skill in a
particular matter, relevant factors include the relative complexity and
specialized nature of the matter, the lawyer's general experience, the lawyer's
training and experience in the field in question, the preparation and study the
lawyer is able to give the matter and whether it is feasible to refer the
matter to, or associate or consult with, a lawyer of established competence in
the field in question. In many instances, the required proficiency is that of a
general practitioner. Expertise in a particular field of law may be required in
some circumstances.
[2] A lawyer need
not necessarily have special training or prior experience to handle legal
problems of a type with which the lawyer is unfamiliar. A newly admitted lawyer
can be as competent as a practitioner with long experience. Some important
legal skills, such as the analysis of precedent, the evaluation of evidence and
legal drafting, are required in all legal problems. Perhaps the most
fundamental legal skill consists of determining what kind of legal problems a
situation may involve, a skill that necessarily transcends any particular
specialized knowledge. A lawyer can provide adequate representation in a wholly
novel field through necessary study. Competent representation can also be
provided through the association of a lawyer of established competence in the
field in question.
[3] In an
emergency a lawyer may give advice or assistance in a matter in which the
lawyer does not have the skill ordinarily required where referral to or
consultation or association with another lawyer would be impractical. Even in
an emergency, however, assistance should be limited to that reasonably
necessary in the circumstances, for ill-considered action under emergency
conditions can jeopardize the client's interest.
[4] A lawyer may
accept representation where the requisite level of competence can be achieved
by reasonable preparation. This applies as well to a lawyer who is appointed as
counsel for an unrepresented person. See also Rule 6.2.
Thoroughness
and Preparation
[5] Competent
handling of a particular matter includes inquiry into and analysis of the
factual and legal elements of the problem, and use of methods and procedures
meeting the standards of competent practitioners. It also includes adequate
preparation. The required attention and preparation are determined in part by
what is at stake; major litigation and complex transactions ordinarily require
more extensive treatment than matters of lesser complexity and consequence. An
agreement between the lawyer and the client regarding the scope of the
representation may limit the matters for which the lawyer is responsible. See
Rule 1.2(c).
Maintaining
Competence
[6] To maintain
the requisite knowledge and skill, a lawyer should keep abreast of changes in
the law and its practice, including the benefits and risks associated with the
technology relevant to the lawyer’s practice, engage in continuing study and
education and comply with all continuing legal education requirements to which
the lawyer is subject.
Rule 1.2. Scope of Representation and
Allocation of Authority Between Client and Lawyer
(a)
Subject to paragraphs (c) and (d), a lawyer shall abide by a client's decisions
concerning the objectives of representation and, as required by Rule 1.4, shall
consult with the client as to the means by which they are to be pursued. A
lawyer may take such action on behalf of the client as is impliedly authorized
to carry out the representation. A lawyer shall abide by a client's decision
whether to settle a matter. In a criminal case, the lawyer shall abide by the
client's decision, after consultation with the lawyer, as to a plea to be
entered, whether to waive jury trial and whether the client will testify.
(b)
A lawyer's representation of a client, including representation by appointment,
does not constitute an endorsement of the client's political, economic, social
or moral views or activities.
(c)
A lawyer may limit the scope and objectives of the representation if the
limitation is reasonable under the circumstances and the client gives informed
consent.
(d)
A lawyer shall not counsel a client to engage, or assist a client, in conduct
that the lawyer knows is criminal or fraudulent, but a lawyer may discuss the
legal consequences of any proposed course of conduct with a client and may
counsel or assist a client to make a good faith effort to determine the
validity, scope, meaning or application of the law.
Allocation
of Authority between Client and Lawyer
[1] Paragraph (a)
confers upon the client the ultimate authority to determine the purposes to be
served by legal representation, within the limits imposed by law and the
lawyer's professional obligations. The decisions specified in paragraph (a),
such as whether to settle a civil matter, must also be made by the client. See
Rule 1.4(a)(1) for the lawyer's duty to communicate with the client about such
decisions. With respect to the means by which the client's objectives are to be
pursued, the lawyer shall consult with the client as required by Rule 1.4(a)(2)
and may take such action as is impliedly authorized to carry out the
representation.
[2] On occasion,
however, a lawyer and a client may disagree about the means to be used to
accomplish the client's objectives. Clients normally defer to the special
knowledge and skill of their lawyer with respect to the means to be used to
accomplish their objectives, particularly with respect to technical, legal and
tactical matters. Conversely, lawyers usually defer to the client regarding
such questions as the expense to be incurred and concerns for third persons who
might be adversely affected. Because of the varied nature of the matters about
which a lawyer and client might disagree and because the actions in question
may implicate the interests of a tribunal or other persons, this Rule does not
prescribe how such disagreements are to be resolved. Other law, however, may be
applicable and should be consulted by the lawyer. The lawyer should also
consult with the client and seek a mutually acceptable resolution of the
disagreement. If such efforts are unavailing and the lawyer has a fundamental
disagreement with the client, the lawyer may withdraw from the representation.
See Rule 1.16(b)(4). Conversely, the client may resolve the disagreement by
discharging the lawyer. See Rule 1.16(a)(3).
[3] At the outset
of a representation, the client may authorize the lawyer to take specific
action on the client's behalf without further consultation. Absent a material
change in circumstances and subject to Rule 1.4, a lawyer may rely on such an
advance authorization. The client may, however, revoke such authority at any
time.
[4] In a case in
which the client appears to be suffering diminished capacity, the lawyer's duty
to abide by the client's decisions is to be guided by reference to Rule 1.14.
Independence
from Client's Views or Activities
[5] Legal
representation should not be denied to people who are unable to afford legal
services or whose cause is controversial or the subject of popular disapproval.
By the same token, representing a client does not constitute approval of the
client's views or activities.
Agreements
Limiting Scope of Representation
[6] The scope of
services to be provided by a lawyer may be limited by agreement with the client
or by the terms under which the lawyer's services are made available to the
client. When a lawyer has been retained by an insurer to represent an insured,
for example, the representation may be limited to matters related to the
insurance coverage. A limited representation may be appropriate because the
client has limited objectives for the representation. In addition, the terms
upon which representation is undertaken may exclude specific means that might
otherwise be used to accomplish the client's objectives. Such limitations may
exclude actions that the client thinks are too costly or that the lawyer
regards as repugnant, unethical, or imprudent.
[7] Although this
Rule affords the lawyer and client substantial latitude to limit the
representation, the limitation must be reasonable under the circumstances. If,
for example, a client's objective is limited to securing general information
about the law the client needs in order to handle a common and typically
uncomplicated legal problem, the lawyer and client may agree that the lawyer's
services will be limited to a brief telephone consultation. Such a limitation,
however, would not be reasonable if the time allotted was not sufficient to
yield advice upon which the client could rely. Although an agreement for a
limited representation does not exempt a lawyer from the duty to provide
competent representation, the limitation is a factor to be considered when
determining the legal knowledge, skill, thoroughness and preparation reasonably
necessary for the representation. See Rule 1.1.
[8] All
agreements concerning a lawyer's representation of a client must accord with
the Rules of Professional Conduct and other law. See, e.g., Rules 1.1, 1.8 and
5.6.
Criminal,
Fraudulent and Prohibited Transactions
[9] Paragraph (d)
prohibits a lawyer from knowingly counseling or assisting a client to commit a
crime or fraud. This prohibition, however, does not preclude the lawyer from
giving an honest opinion about the actual consequences that appear likely to
result from a client's conduct. Nor does the fact that a client uses advice in
a course of action that is criminal or fraudulent of itself make a lawyer a
party to the course of action. There is a critical distinction between
presenting an analysis of legal aspects of questionable conduct and
recommending the means by which a crime or fraud might be committed with
impunity.
[10] When the
client's course of action has already begun and is continuing, the lawyer's
responsibility is especially delicate. The lawyer is required to avoid
assisting the client, for example, by drafting or delivering documents that the
lawyer knows are fraudulent or by suggesting how the wrongdoing might be
concealed. A lawyer may not continue assisting a client in conduct that the
lawyer originally supposed was legally proper but then discovers is criminal or
fraudulent. The lawyer must, therefore, withdraw from the representation of the
client in the matter. See Rule 1.16(a). In some cases, withdrawal alone might
be insufficient. It may be necessary for the lawyer to give notice of the fact
of withdrawal and to disaffirm any opinion, document, affirmation or the like.
See Rule 4.1.
[11] Where the
client is a fiduciary, the lawyer may be charged with special obligations in
dealings with a beneficiary.
[12] Paragraph (d) applies whether or not the
defrauded party is a party to the transaction. Hence, a lawyer must not
participate in a transaction to effectuate criminal or fraudulent avoidance of
tax liability. Paragraph (d) does not preclude undertaking a criminal defense
incident to a general retainer for legal services to a lawful enterprise. The
last clause of paragraph (d) recognizes that determining the validity or
interpretation of a statute or regulation may require a course of action
involving disobedience of the statute or regulation or of the interpretation
placed upon it by governmental authorities.
[13] If a lawyer
comes to know or reasonably should know that a client expects assistance not
permitted by the Rules of Professional Conduct or other law or if the lawyer
intends to act contrary to the client's instructions, the lawyer must consult
with the client regarding the limitations on the lawyer's conduct. See Rule
1.4(a)(5).
A lawyer shall act with reasonable diligence and
promptness in representing a client.
[1] A lawyer
should pursue a matter on behalf of a client despite opposition, obstruction or
personal inconvenience to the lawyer, and may take whatever lawful and ethical
measures are required to vindicate a client's cause or endeavor. A lawyer must
also act with commitment and dedication to the interests of the client. A
lawyer is not bound, however, to press for every advantage that might be
realized for a client. For example, a lawyer may have authority to exercise
professional discretion in determining the means by which a matter should be
pursued. See Rule 1.2. The lawyer's duty to act with reasonable diligence does
not require the use of offensive tactics or preclude the treating of all
persons involved in the legal process with courtesy and respect.
[2] A lawyer's
workload must be controlled so that each matter can be handled competently.
[3] Perhaps no
professional shortcoming is more widely resented than procrastination. A
client's interests often can be adversely affected by the passage of time or
the change of conditions; in extreme instances, as when a lawyer overlooks a
statute of limitations, the client's legal position may be destroyed. Even when
the client's interests are not affected in substance, however, unreasonable
delay can cause a client needless anxiety and undermine confidence in the
lawyer's trustworthiness. A lawyer's duty to act with reasonable promptness,
however, does not preclude the lawyer from agreeing to a reasonable request for
a postponement that will not prejudice the lawyer's client.
[4] Unless the
relationship is terminated as provided in Rule 1.16, a lawyer should carry
through to conclusion all matters undertaken for a client. If a lawyer's
employment is limited to a specific matter, the relationship terminates when
the matter has been resolved. If a lawyer has served a client over a
substantial period in a variety of matters, the client sometimes may assume
that the lawyer will continue to serve on a continuing basis unless the lawyer
gives notice of withdrawal. Doubt about whether a client-lawyer relationship
still exists should be clarified by the lawyer, preferably in writing, so that
the client will not mistakenly suppose the lawyer is looking after the client's
affairs when the lawyer has ceased to do so. For example, if a lawyer has
handled a judicial or administrative proceeding that produced a result adverse
to the client and the lawyer and the client have not agreed that the lawyer
will handle the matter on appeal, the lawyer must consult with the client about
the possibility of appeal before relinquishing responsibility for the matter.
See Rule 1.4(a)(2). Whether the lawyer is obligated to prosecute the appeal for
the client depends on the scope of the representation the lawyer has agreed to
provide to the client. See Rule 1.2.
[5] To prevent neglect of client matters in
the event of a sole practitioner's death or disability, the duty of diligence
may require that each sole practitioner prepare a plan, in conformity with
applicable rules, that designates another competent lawyer to review client
files, notify each client of the lawyer's death or disability, and determine
whether there is a need for immediate protective action. Cf. Ind. Admission and
Discipline Rule 23, Section 27 (providing for court appointment of a lawyer to
inventory files and take other protective action in absence of a plan providing
for another lawyer to protect the interests of the clients of a deceased or
disabled lawyer).
(a)
A lawyer shall:
(1)
promptly inform the client of any decision or circumstance with respect to
which the client's informed consent, as defined in Rule 1.0(e), is required by
these Rules;
(2)
reasonably consult with the client about the means by which the client's
objectives are to be accomplished;
(3)
keep the client reasonably informed about the status of the matter;
(4)
promptly comply with reasonable requests for information; and
(5)
consult with the client about any relevant limitation on the lawyer's conduct
when the lawyer knows that the client expects assistance not permitted by the
Rules of Professional Conduct or other law or assistance limited under Rule
1.2(c).
(b)
A lawyer shall explain a matter to the extent reasonably necessary to permit
the client to make informed decisions regarding the representation.
[1] Reasonable
communication between the lawyer and the client is necessary for the client
effectively to participate in the representation.
Communicating
with Client
[2] If these
Rules require that a particular decision about the representation be made by
the client, paragraph (a)(1) requires that the lawyer promptly consult with and
secure the client's consent prior to taking action unless prior discussions
with the client have resolved what action the client wants the lawyer to take.
For example, a lawyer who receives from opposing counsel an offer of settlement
in a civil controversy or a proffered plea bargain in a criminal case must
promptly inform the client of its substance unless the client has previously
indicated that the proposal will be acceptable or unacceptable or has
authorized the lawyer to accept or to reject the offer. See Rule 1.2(a).
[3] Paragraph
(a)(2) requires the lawyer to reasonably consult with the client about the
means to be used to accomplish the client's objectives. In some situations --
depending on both the importance of the action under consideration and the
feasibility of consulting with the client -- this duty will require
consultation prior to taking action. In other circumstances, such as during a
trial when an immediate decision must be made, the exigency of the situation
may require the lawyer to act without prior consultation. In such cases the
lawyer must nonetheless act reasonably to inform the client of actions the
lawyer has taken on the client's behalf. Additionally, paragraph (a)(3)
requires that the lawyer keep the client reasonably informed about the status
of the matter, such as significant developments affecting the timing or the
substance of the representation.
[4] A lawyer's
regular communication with clients will minimize the occasions on which a
client will need to request information concerning the representation. When a
client makes a reasonable request for information, however, paragraph (a)(4)
requires prompt compliance with the request, or if a prompt response is not
feasible, that the lawyer, or a member of the lawyer's staff, acknowledge
receipt of the request and advise the client when a response may be expected.
Client telephone calls should be promptly returned or acknowledged.
Explaining
Matters
[5] The client
should have sufficient information to participate intelligently in decisions
concerning the objectives of the representation and the means by which they are
to be pursued, to the extent the client is willing and able to do so. Adequacy
of communication depends in part on the kind of advice or assistance that is
involved. For example, when there is time to explain a proposal made in a
negotiation, the lawyer should review all important provisions with the client
before proceeding to an agreement. In litigation a lawyer should explain the
general strategy and prospects of success and ordinarily should consult the
client on tactics that are likely to result in significant expense or to injure
or coerce others. On the other hand, a lawyer ordinarily will not be expected
to describe trial or negotiation strategy in detail. The guiding principle is
that the lawyer should fulfill reasonable client expectations for information
consistent with the duty to act in the client's best interests and the client's
overall requirements as to the character of representation. In certain
circumstances, such as when a lawyer asks a client to consent to a
representation affected by a conflict of interest, the client must give
informed consent, as defined in Rule 1.0(e).
[6] Ordinarily,
the information to be provided is that appropriate for a client who is a
comprehending and responsible adult. However, fully informing the client
according to this standard may be impracticable, for example, where the client
is a child or suffers from diminished capacity. See Rule 1.14. When the client
is an organization or group, it is often impossible or inappropriate to inform
every one of its members about its legal affairs; ordinarily, the lawyer should
address communications to the appropriate officials of the organization. See
Rule 1.13. Where many routine matters are involved, a system of limited or
occasional reporting may be arranged with the client.
Withholding
Information
[7] In some
circumstances, a lawyer may be justified in delaying transmission of
information when the client would be likely to react imprudently to an
immediate communication. Thus, a lawyer might withhold a psychiatric diagnosis
of a client when the examining psychiatrist indicates that disclosure would
harm the client. A lawyer may not withhold information to serve the lawyer's
own interest or convenience or the interests or convenience of another person.
Rules or court orders governing litigation may provide that information
supplied to a lawyer may not be disclosed to the client. Rule 3.4(c) directs
compliance with such rules or orders.
(a) A lawyer shall not make an
agreement for, charge, or collect an unreasonable fee or an unreasonable amount
for expenses. The factors to be considered in determining the reasonableness of
a fee include the following:
(1) the time and labor required, the
novelty and difficulty of the questions involved, and the skill requisite to
perform the legal service properly;
(2) the likelihood, if apparent to
the client, that the acceptance of the particular employment will preclude
other employment by the lawyer;
(3) the fee customarily charged in
the locality for similar legal services;
(4) the amount involved and the
results obtained;
(5) the time limitations imposed by
the client or by the circumstances;
(6) the nature and length of the
professional relationship with the client;
(7) the experience, reputation, and
ability of the lawyer or lawyers performing the services; and
(8) whether the fee is fixed or
contingent.
(b) The scope of the representation
and the basis or rate of the fee and expenses for which the client will be
responsible shall be communicated to the client, preferably in writing, before
or within a reasonable time after commencing the representation, except when
the lawyer will charge a regularly represented client on the same basis or
rate. Any changes in the basis or rate of the fee or expenses shall also be
communicated to the client.
(c) A fee may be contingent on the
outcome of the matter for which the service is rendered, except in a matter in
which a contingent fee is prohibited by paragraph (d) or other law. A
contingent fee agreement shall be in a writing signed by the client and shall
state the method by which the fee is to be determined, including the percentage
or percentages that shall accrue to the lawyer in the event of settlement,
trial or appeal; litigation and other expenses to be deducted from the
recovery; and whether such expenses are to be deducted before or after the
contingent fee is calculated. The agreement must clearly notify the client of
any expenses for which the client will be liable whether or not the client is
the prevailing party. Upon conclusion of a contingent fee matter, the lawyer
shall provide the client with a written statement stating the outcome of the
matter and, if there is a recovery, showing the remittance to the client and
the method of its determination.
(d) A lawyer shall not enter into an
arrangement for, charge, or collect:
(1) any fee in a domestic relations
matter, the payment or amount of which is contingent upon the securing of a
dissolution or upon the amount of maintenance, support, or property settlement,
or obtaining custody of a child; or
(2) a contingent fee for representing
a defendant in a criminal case.
This provision does not preclude a
contract for a contingent fee for legal representation in a domestic relations
post-judgment collection action, provided the attorney clearly advises his or
her client in writing of the alternative measures available for the collection
of such debt and, in all other particulars, complies with Prof.Cond.R. 1.5(c).
(e) A division of a fee between
lawyers who are not in the same firm may be made only if:
(1) the division is in proportion to
the services performed by each lawyer or each lawyer assumes joint
responsibility for the representation;
(2) the client agrees to the
arrangement, including the share each lawyer will receive, and the agreement is
confirmed in writing; and
(3) the total fee is reasonable.
Reasonableness
of Fee and Expenses
[1] Paragraph (a)
requires that lawyers charge fees that are reasonable under the circumstances.
The factors specified in (1) through (8) are not exclusive. Nor will each
factor be relevant in each instance. Paragraph (a) also requires that expenses
for which the client will be charged must be reasonable. A lawyer may seek
reimbursement for the cost of services performed in-house, such as copying, or
for other expenses incurred in-house, such as telephone charges, either by
charging a reasonable amount to which the client has agreed in advance or by
charging an amount that reasonably reflects the cost incurred by the lawyer.
Basis
or Rate of Fee
[2] When the
lawyer has regularly represented a client, they ordinarily will have evolved an
understanding concerning the basis or rate of the fee and the expenses for
which the client will be responsible. In a new client-lawyer relationship,
however, an understanding as to fees and expenses must be promptly established.
Generally, it is desirable to furnish the client with at least a simple
memorandum or copy of the lawyer's customary fee arrangements that states the
general nature of the legal services to be provided, the basis, rate or total
amount of the fee and whether and to what extent the client will be responsible
for any costs, expenses or disbursements in the course of the representation. A
written statement concerning the terms of the engagement reduces the
possibility of misunderstanding.
[3] Contingent
fees, like any other fees, are subject to the reasonableness standard of
paragraph (a) of this Rule. In determining whether a particular contingent fee
is reasonable, or whether it is reasonable to charge any form of contingent
fee, a lawyer must consider the factors that are relevant under the
circumstances. Applicable law may impose limitations on contingent fees, such
as a ceiling on the percentage allowable, or may require a lawyer to offer
clients an alternative basis for the fee. Applicable law also may apply to
situations other than a contingent fee, for example, government regulations
regarding fees in certain tax matters.
Terms
of Payment
[4] A lawyer may
require advance payment of a fee, but is obliged to return any unearned
portion. See Rule 1.16(d). A lawyer may accept property in payment for
services, such as an ownership interest in an enterprise, providing this does
not involve acquisition of a proprietary interest in the cause of action or
subject matter of the litigation contrary to Rule 1.8(i). However, a fee paid
in property instead of money may be subject to the requirements of Rule 1.8(a)
because such fees often have the essential qualities of a business transaction
with the client.
[5] An agreement
may not be made whose terms might induce the lawyer improperly to curtail
services for the client or perform them in a way contrary to the client's
interest. For example, a lawyer should not enter into an agreement whereby
services are to be provided only up to a stated amount when it is foreseeable
that more extensive services probably will be required, unless the situation is
adequately explained to the client. Otherwise, the client might have to bargain
for further assistance in the midst of a proceeding or transaction. However, it
is proper to define the extent of services in light of the client's ability to
pay. A lawyer should not exploit a fee arrangement based primarily on hourly
charges by using wasteful procedures.
Prohibited
Contingent Fees
[6] Paragraph (d)
prohibits a lawyer from charging a contingent fee in a domestic relations
matter when payment is contingent upon the securing of a dissolution or
obtaining custody of a child or upon the amount of maintenance or support or
property settlement to be obtained.
Division
of Fee
[7] A division of
fee is a single billing to a client covering the fee of two or more lawyers who
are not in the same firm. A division of fee facilitates association of more
than one lawyer in a matter in which neither alone could serve the client as
well, and most often is used when the fee is contingent and the division is
between a referring lawyer and a trial specialist. Paragraph (e) permits the
lawyers to divide a fee either on the basis of the proportion of services they
render or if each lawyer assumes responsibility for the representation as a
whole. In addition, the client must agree to the arrangement, including the
share that each lawyer is to receive, and the agreement must be confirmed in
writing. Contingent fee agreements must be in a writing signed by the client
and must otherwise comply with paragraph (c) of this Rule. Joint responsibility
for the representation entails financial and ethical responsibility for the
representation as if the lawyers were associated in a partnership. A lawyer should
only refer a matter to a lawyer whom the referring lawyer reasonably believes
is competent to handle the matter. See Rule 1.1.
[8] Paragraph (e)
does not prohibit or regulate division of fees to be received in the future for
work done when lawyers were previously associated in a law firm.
Disputes
over Fees
[9] If a
procedure has been established for resolution of fee disputes, such as an
arbitration or mediation procedure established by the bar, the lawyer must
comply with the procedure when it is mandatory, and, even when it is voluntary,
the lawyer should conscientiously consider submitting to it. Law may prescribe
a procedure for determining a lawyer's fee, for example, in representation of
an executor or administrator, a class or a person entitled to a reasonable fee
as part of the measure of damages. The lawyer entitled to such a fee and a
lawyer representing another party concerned with the fee should comply with the
prescribed procedure.
Rule 1.6. Confidentiality of
Information
(a)
A lawyer shall not reveal information relating to representation of a client
unless the client gives informed consent, the disclosure is impliedly
authorized in order to carry out the representation or the disclosure is
permitted by paragraph (b).
(b)
A lawyer may reveal information relating to the representation of a client to
the extent the lawyer reasonably believes necessary:
(1) to prevent reasonably certain
death or substantial bodily harm;
(2) to prevent the client from
committing a crime or from committing fraud that is reasonably certain to
result in substantial injury to the financial interests or property of another
and in furtherance of which the client has used or is using the lawyer's services;
(3) to prevent, mitigate or rectify
substantial injury to the financial interests or property of another that is
reasonably certain to result or has resulted from the client's commission of a
crime or fraud in furtherance of which the client has used the lawyer's
services;
(4) to secure legal advice about the
lawyer's compliance with these Rules;
(5) to establish a claim or defense
on behalf of the lawyer in a controversy between the lawyer and the client, to
establish a defense to a criminal charge or civil claim against the lawyer
based upon conduct in which the client was involved, or to respond to
allegations in any proceeding concerning the lawyer's representation of the
client; or
(6) to comply with other law or a
court order.
(c)
In the event of a lawyer's physical or mental disability or the appointment of
a guardian or conservator of an attorney's client files, disclosure of a
client's names and files is authorized to the extent necessary to carry out the
duties of the person managing the lawyer's files.
[1] This Rule
governs the disclosure by a lawyer of information relating to the
representation of a client during the lawyer's representation of the client.
See Rule 1.18 for the lawyer's duties with respect to information provided to
the lawyer by a prospective client, Rule 1.9(c)(2) for the lawyer's duty not to
reveal information relating to the lawyer's prior representation of a former
client and Rules 1.8(b) and 1.9(c)(1) for the lawyer's duties with respect to
the use of such information to the disadvantage of clients and former clients.
[2] A fundamental
principle in the client-lawyer relationship is that, in the absence of the
client's informed consent, the lawyer must not reveal information relating to
the representation. See Rule 1.0(e) for the definition of informed consent.
This contributes to the trust that is the hallmark of the client-lawyer
relationship. The client is thereby encouraged to seek legal assistance and to
communicate fully and frankly with the lawyer even as to embarrassing or
legally damaging subject matter. The lawyer needs this information to represent
the client effectively and, if necessary, to advise the client to refrain from
wrongful conduct. Almost without exception, clients come to lawyers in order to
determine their rights and what is, in the complex of laws and regulations,
deemed to be legal and correct. Based upon experience, lawyers know that almost
all clients follow the advice given, and the law is upheld.
[3] The principle
of client-lawyer confidentiality is given effect by related bodies of law: the
attorney-client privilege, the work product doctrine and the rule of
confidentiality established in professional ethics. The attorney-client
privilege and work-product doctrine apply in judicial and other proceedings in
which a lawyer may be called as a witness or otherwise required to produce
evidence concerning a client. The rule of client-lawyer confidentiality applies
in situations other than those where evidence is sought from the lawyer through
compulsion of law. The confidentiality rule, for example, applies not only to
matters communicated in confidence by the client but also to all information
relating to the representation, whatever its source. A lawyer may not disclose
such information except as authorized or required by the Rules of Professional
Conduct or other law. See also Scope.
[4] Paragraph (a)
prohibits a lawyer from revealing information relating to the representation of
a client. This prohibition also applies to disclosures by a lawyer that do not
in themselves reveal protected information but could reasonably lead to the
discovery of such information by a third person. A lawyer's use of a
hypothetical to discuss issues relating to the representation is permissible so
long as there is no reasonable likelihood that the listener will be able to
ascertain the identity of the client or the situation involved.
Authorized
Disclosure
[5] Except to the
extent that the client's instructions or special circumstances limit that
authority, a lawyer is impliedly authorized to make disclosures about a client
when appropriate in carrying out the representation. In some situations, for
example, a lawyer may be impliedly authorized to admit a fact that cannot
properly be disputed or to make a disclosure that facilitates a satisfactory
conclusion to a matter. Lawyers in a firm may, in the course of the firm's
practice, disclose to each other information relating to a client of the firm,
unless the client has instructed that particular information be confined to
specified lawyers.
Disclosure
Adverse to Client
[6] Although the
public interest is usually best served by a strict rule requiring lawyers to
preserve the confidentiality of information relating to the representation of
their clients, the confidentiality rule is subject to limited exceptions.
Paragraph (b)(1) recognizes the overriding value of life and physical integrity
and permits disclosure reasonably necessary to prevent reasonably certain death
or substantial bodily harm. Such harm is reasonably certain to occur if it will
be suffered imminently or if there is a present and substantial threat that a
person will suffer such harm at a later date if the lawyer fails to take action
necessary to eliminate the threat. Thus, a lawyer who knows that a client has
accidentally discharged toxic waste into a town's water supply may reveal this
information to the authorities if there is a present and substantial risk that
a person who drinks the water will contract a life-threatening or debilitating
disease and the lawyer's disclosure is necessary to eliminate the threat or
reduce the number of victims.
[7] Paragraph
(b)(2) is a limited exception to the rule of confidentiality that permits the
lawyer to reveal information to the extent necessary to enable affected persons
or appropriate authorities to prevent the client from committing a crime or
from committing fraud, as defined in Rule 1.0(d), that is reasonably certain to
result in substantial injury to the financial or property interests of another
and in furtherance of which the client has used or is using the lawyer's
services. Such a serious abuse of the client-lawyer relationship by the client
forfeits the protection of this Rule. The client can, of course, prevent such
disclosure by refraining from the wrongful conduct. Although paragraph (b)(2)
does not require the lawyer to reveal the client's misconduct, the lawyer may
not counsel or assist the client in conduct the lawyer knows is criminal or
fraudulent. See Rule 1.2(d). See also Rule 1.16 with respect to the lawyer's
obligation or right to withdraw from the representation of the client in such circumstances,
and Rule 1.13(c), which permits the lawyer, where the client is an
organization, to reveal information relating to the representation in limited
circumstances.
[8] Paragraph
(b)(3) addresses the situation in which the lawyer does not learn of the
client's crime or fraud until after it has been consummated. Although the
client no longer has the option of preventing disclosure by refraining from the
wrongful conduct, there will be situations in which the loss suffered by the
affected person can be prevented, rectified or mitigated. In such situations,
the lawyer may disclose information relating to the representation to the
extent necessary to enable the affected persons to prevent or mitigate
reasonably certain losses or to attempt to recoup their losses. Paragraph
(b)(3) does not apply when a person who has committed a crime or fraud
thereafter employs a lawyer for representation concerning that offense.
[9] A lawyer's
confidentiality obligations do not preclude a lawyer from securing confidential
legal advice about the lawyer's personal responsibility to comply with these
Rules. In most situations, disclosing information to secure such advice will be
impliedly authorized for the lawyer to carry out the representation. Even when
the disclosure is not impliedly authorized, paragraph (b)(4) permits such
disclosure because of the importance of a lawyer's compliance with the Rules of
Professional Conduct.
[10] Where a
legal claim or disciplinary charge alleges complicity of the lawyer in a
client's conduct or other misconduct of the lawyer involving representation of
the client, the lawyer may respond to the extent the lawyer reasonably believes
necessary to establish a defense. The same is true with respect to a claim
involving the conduct or representation of a former client. Such a charge can
arise in a civil, criminal, disciplinary or other proceeding and can be based
on a wrong allegedly committed by the lawyer against the client or on a wrong
alleged by a third person, for example, a person claiming to have been
defrauded by the lawyer and client acting together. The lawyer's right to
respond arises when an assertion of such complicity has been made. Paragraph
(b)(5) does not require the lawyer to await the commencement of an action or
proceeding that charges such complicity, so that the defense may be established
by responding directly to a third party who has made such an assertion. The
right to defend also applies, of course, where a proceeding has been commenced.
[11] A lawyer
entitled to a fee is permitted by paragraph (b)(5) to prove the services
rendered in an action to collect it. This aspect of the rule expresses the
principle that the beneficiary of a fiduciary relationship may not exploit it
to the detriment of the fiduciary.
[12] Other law
may require that a lawyer disclose information about a client. Whether such a
law supersedes Rule 1.6 is a question of law beyond the scope of these Rules.
When disclosure of information relating to the representation appears to be
required by other law, the lawyer must discuss the matter with the client to
the extent required by Rule 1.4. If, however, the other law supersedes this
Rule and requires disclosure, paragraph (b)(6) permits the lawyer to make such
disclosures as are necessary to comply with the law.
[13] A lawyer may
be ordered to reveal information relating to the representation of a client by
a court or by another tribunal or governmental entity claiming authority
pursuant to other law to compel the disclosure. Absent informed consent of the
client to do otherwise, the lawyer should assert on behalf of the client all
nonfrivolous claims that the order is not authorized by other law or that the
information sought is protected against disclosure by the attorney-client
privilege or other applicable law. In the event of an adverse ruling, the
lawyer must consult with the client about the possibility of appeal to the
extent required by Rule 1.4. Unless review is sought, however, paragraph (b)(6)
permits the lawyer to comply with the court's order.
[14] Paragraph
(b) permits disclosure only to the extent the lawyer reasonably believes the
disclosure is necessary to accomplish one of the purposes specified. Where
practicable, the lawyer should first seek to persuade the client to take
suitable action to obviate the need for disclosure. In any case, a disclosure
adverse to the client's interest should be no greater than the lawyer
reasonably believes necessary to accomplish the purpose. If the disclosure will
be made in connection with a judicial proceeding, the disclosure should be made
in a manner that limits access to the information to the tribunal or other
persons having a need to know it and appropriate protective orders or other
arrangements should be sought by the lawyer to the fullest extent practicable.
[15] Paragraph
(b) permits but does not require the disclosure of information relating to a
client's representation to accomplish the purposes specified in paragraphs
(b)(1) through (b)(6). In exercising the discretion conferred by this Rule, the
lawyer may consider such factors as the nature of the lawyer's relationship
with the client and with those who might be injured by the client, the lawyer's
own involvement in the transaction and factors that may extenuate the conduct
in question. A lawyer's decision not to disclose as permitted by paragraph (b)
does not violate this Rule. Disclosure may be required, however, by other
Rules. Some Rules require disclosure only if such disclosure would be permitted
by paragraph (b). See Rules 1.2(d), 4.1(b), 8.1 and 8.3. Rule 3.3, on the other
hand, requires disclosure in some circumstances regardless of whether such
disclosure is permitted by this Rule. See Rule 3.3(c).
Acting
Competently to Preserve Confidentiality
[16] A lawyer
must act competently to safeguard information relating to the representation of
a client against inadvertent or unauthorized disclosure by the lawyer or other
persons who are participating in the representation of the client or who are
subject to the lawyer's supervision. See Rules 1.1, 5.1 and 5.3.
[17] When
transmitting a communication that includes information relating to the
representation of a client, the lawyer must take reasonable precautions to
prevent the information from coming into the hands of unintended recipients.
This duty, however, does not require that the lawyer use special security
measures if the method of communication affords a reasonable expectation of
privacy. Special circumstances, however, may warrant special precautions.
Factors to be considered in determining the reasonableness of the lawyer's
expectation of confidentiality include the sensitivity of the information and
the extent to which the privacy of the communication is protected by law or by
a confidentiality agreement. A client may require the lawyer to implement
special security measures not required by this Rule or may give informed
consent to the use of a means of communication that would otherwise be
prohibited by this Rule.
Former
Client
[18] The duty of
confidentiality continues after the client-lawyer relationship has terminated.
See Rule 1.9(c)(2). See Rule 1.9(c)(1) for the prohibition against using such
information to the disadvantage of the former client.
Disability
of an Attorney
[19] Paragraph
(c) is intended to operate in conjunction with Ind. Admission and Discipline
Rule 23, Section 27, as well as such other arrangements as may be implemented
by agreement to deal with the physical or mental disability of a lawyer.
Rule 1.7. Conflict of Interest:
Current Clients
(a)
Except as provided in paragraph (b), a lawyer shall not represent a client if
the representation involves a concurrent conflict of interest. A concurrent
conflict of interest exists if:
(1)
the representation of one client will be directly adverse to another client; or
(2)
there is a significant risk that the representation of one or more clients will
be materially limited by the lawyer's responsibilities to another client, a
former client or a third person or by a personal interest of the lawyer.
(b)
Notwithstanding the existence of a concurrent conflict of interest under
paragraph (a), a lawyer may represent a client if:
(1)
the lawyer reasonably believes that the lawyer will be able to provide
competent and diligent representation to each affected client;
(2)
the representation is not prohibited by law;
(3)
the representation does not involve the assertion of a claim by one client
against another client represented by the lawyer in the same litigation or
other proceeding before a tribunal; and
(4)
each affected client gives informed consent, confirmed in writing.
General
Principles
[1] Loyalty and
independent judgment are essential elements in the lawyer's relationship to a client.
Concurrent conflicts of interest can arise from the lawyer's responsibilities
to another client, a former client or a third person or from the lawyer's own
interests. For specific Rules regarding certain concurrent conflicts of
interest, see Rule 1.8. For former client conflicts of interest, see Rule 1.9.
For conflicts of interest involving prospective clients, see Rule 1.18. For
definitions of “informed consent” and “confirmed in writing,” see Rule 1.0(e)
and (b).
[2] Resolution of
a conflict of interest problem under this Rule requires the lawyer to: 1)
clearly identify the client or clients; 2) determine whether a conflict of
interest exists; 3) decide whether the representation may be undertaken despite
the existence of a conflict, i.e., whether the conflict is consentable; and 4)
if so, consult with the clients affected under paragraph (a) and obtain their
informed consent, confirmed in writing. The clients affected under paragraph
(a) include both of the clients referred to in paragraph (a)(1) and the one or
more clients whose representation might be materially limited under paragraph
(a)(2).
[3] A conflict of
interest may exist before representation is undertaken, in which event the
representation must be declined, unless the lawyer obtains the informed consent
of each client under the conditions of paragraph (b). To determine whether a
conflict of interest exists, a lawyer should adopt reasonable procedures,
appropriate for the size and type of firm and practice, to determine in both
litigation and non-litigation matters the persons and issues involved. See also
Comment to Rule 5.1. Ignorance caused by a failure to institute such procedures
will not excuse a lawyer's violation of this Rule. As to whether a
client-lawyer relationship exists or, having once been established, is
continuing, see Comment to Rule 1.3 and Scope.
[4] If a conflict
arises after representation has been undertaken, the lawyer ordinarily must
withdraw from the representation, unless the lawyer has obtained the informed
consent of the client under the conditions of paragraph (b). See Rule 1.16.
Where more than one client is involved, whether the lawyer may continue to
represent any of the clients is determined both by the lawyer's ability to
comply with duties owed to the former client and by the lawyer's ability to
represent adequately the remaining client or clients, given the lawyer's duties
to the former client. See Rule 1.9. See also Comments [5] and [29].
[5] Unforeseeable
developments, such as changes in corporate and other organizational
affiliations or the addition or realignment of parties in litigation, might
create conflicts in the midst of a representation, as when a company sued by
the lawyer on behalf of one client is bought by or merged with another client
represented by the lawyer in an unrelated matter. Depending on the
circumstances, the lawyer may have the option to withdraw from one of the
representations in order to avoid the conflict. The lawyer must seek court
approval where necessary and take steps to minimize harm to the clients. See
Rule 1.16. The lawyer must continue to protect the confidences of the client
from whose representation the lawyer has withdrawn. See Rule 1.9(c).
Identifying
Conflicts of Interest: Directly Adverse
[6] Loyalty to a
current client prohibits undertaking representation directly adverse to that
client without that client's informed consent. Thus, absent consent, a lawyer
may not act as an advocate in one matter against a person the lawyer represents
in some other matter, even when the matters are wholly unrelated. The client as
to whom the representation is directly adverse is likely to feel betrayed, and
the resulting damage to the client-lawyer relationship is likely to impair the
lawyer's ability to represent the client effectively. In addition, the client
on whose behalf the adverse representation is undertaken reasonably may fear
that the lawyer will pursue that client's case less effectively out of
deference to the other client, i.e., that the representation may be materially
limited by the lawyer's interest in retaining the current client. Similarly, a
directly adverse conflict may arise when a lawyer is required to cross-examine
a client who appears as a witness in a lawsuit involving another client, as
when the testimony will be damaging to the client who is represented in the
lawsuit. On the other hand, simultaneous representation in unrelated matters of
clients whose interests are only economically adverse, such as representation
of competing economic enterprises in unrelated litigation, does not ordinarily
constitute a conflict of interest and thus may not require consent of the
respective clients.
[7] Directly
adverse conflicts can also arise in transactional matters. For example, if a
lawyer is asked to represent the seller of a business in negotiations with a
buyer represented by the lawyer, not in the same transaction but in another,
unrelated matter, the lawyer could not undertake the representation without the
informed consent of each client.
Identifying
Conflicts of Interest: Material Limitation
[8] Even where
there is no direct adverseness, a conflict of interest exists if there is a
significant risk that a lawyer's ability to consider, recommend or carry out an
appropriate course of action for the client will be materially limited as a
result of the lawyer's other responsibilities or interests. For example, a
lawyer asked to represent several individuals seeking to form a joint venture
is likely to be materially limited in the lawyer's ability to recommend or
advocate all possible positions that each might take because of the lawyer's
duty of loyalty to the others. The conflict in effect forecloses alternatives
that would otherwise be available to the client. The mere possibility of
subsequent harm does not itself require disclosure and consent. The critical
questions are the likelihood that a difference in interests will eventuate and,
if it does, whether it will materially interfere with the lawyer's independent
professional judgment in considering alternatives or foreclose courses of
action that reasonably should be pursued on behalf of the client.
Lawyer's
Responsibilities to Former Clients and Other Third Persons
[9] In addition
to conflicts with other current clients, a lawyer's duties of loyalty and
independence may be materially limited by responsibilities to former clients
under Rule 1.9 or by the lawyer's responsibilities to other persons, such as
fiduciary duties arising from a lawyer's service as a trustee, executor or
corporate director.
Personal
Interest Conflicts
[10] The lawyer's
own interests should not be permitted to have an adverse effect on
representation of a client. For example, if the probity of a lawyer's own
conduct in a transaction is in serious question, it may be difficult or
impossible for the lawyer to give a client detached advice. Similarly, when a
lawyer has discussions concerning possible employment with an opponent of the
lawyer's client, or with a law firm representing the opponent, such discussions
could materially limit the lawyer's representation of the client. In addition,
a lawyer may not allow related business interests to affect representation, for
example, by referring clients to an enterprise in which the lawyer has an
undisclosed financial interest. See Rule 1.8 for specific Rules pertaining to a
number of personal interest conflicts, including business transactions with
clients. See also Rule 1.10 (personal interest conflicts under Rule 1.7
ordinarily are not imputed to other lawyers in a law firm).
[11] When lawyers
representing different clients in the same matter or in substantially related
matters are closely related by blood or marriage, there may be a significant
risk that client confidences will be revealed and that the lawyer's family
relationship will interfere with both loyalty and independent professional
judgment. As a result, each client is entitled to know of the existence and
implications of the relationship between the lawyers before the lawyer agrees
to undertake the representation. Thus, a lawyer related to another lawyer,
e.g., as parent, child, sibling or spouse, ordinarily may not represent a
client in a matter where that lawyer is representing another party, unless each
client gives informed consent. The disqualification arising from a close family
relationship is personal and ordinarily is not imputed to members of firms with
whom the lawyers are associated. See Rule 1.10.
[12] A lawyer is
prohibited from engaging in sexual relationships with a client unless the
sexual relationship predates the formation of the client-lawyer relationship.
See Rule 1.8(j).
Interest
of Person Paying for a Lawyer's Service
[13] A lawyer may
be paid from a source other than the client, including a co-client, if the
client is informed of that fact and consents and the arrangement does not
compromise the lawyer's duty of loyalty or independent judgment to the client.
See Rule 1.8(f). If acceptance of the payment from any other source presents a
significant risk that the lawyer's representation of the client will be
materially limited by the lawyer's own interest in accommodating the person
paying the lawyer's fee or by the lawyer's responsibilities to a payer who is
also a co-client, then the lawyer must comply with the requirements of
paragraph (b) before accepting the representation, including determining
whether the conflict is consentable and, if so, that the client has adequate
information about the material risks of the representation.
Prohibited
Representations
[14] Ordinarily,
clients may consent to representation notwithstanding a conflict. However, as
indicated in paragraph (b), some conflicts are nonconsentable, meaning that the
lawyer involved cannot properly ask for such agreement or provide
representation on the basis of the client's consent. When the lawyer is
representing more than one client, the question of consentability must be
resolved as to each client.
[15] Consentability
is typically determined by considering whether the interests of the clients
will be adequately protected if the clients are permitted to give their
informed consent to representation burdened by a conflict of interest. Thus,
under paragraph (b)(1), representation is prohibited if in the circumstances
the lawyer cannot reasonably conclude that the lawyer will be able to provide
competent and diligent representation. See Rule 1.1 (competence) and Rule 1.3
(diligence).
[16] Paragraph
(b)(2) describes conflicts that are nonconsentable because the representation
is prohibited by applicable law. For example, in some states substantive law
provides that the same lawyer may not represent more than one defendant in a
capital case, even with the consent of the clients, and under federal criminal
statutes certain representations by a former government lawyer are prohibited,
despite the informed consent of the former client. In addition, decisional law
in some states limits the ability of a governmental client, such as a
municipality, to consent to a conflict of interest.
[17] Paragraph
(b)(3) describes conflicts that are nonconsentable because of the institutional
interest in vigorous development of each client's position when the clients are
aligned directly against each other in the same litigation or other proceeding
before a tribunal. Whether clients are aligned directly against each other
within the meaning of this paragraph requires examination of the context of the
proceeding. Although this paragraph does not preclude a lawyer's multiple
representation of adverse parties to a mediation (because mediation is not a
proceeding before a “tribunal” under Rule 1.0(m)), such representation may be
precluded by paragraph (b)(1).
Informed
Consent
[18] Informed
consent requires that each affected client be aware of the relevant
circumstances and of the material and reasonably foreseeable ways that the
conflict could have adverse effects on the interests of that client. See Rule
1.0(e) (informed consent). The information required depends on the nature of
the conflict and the nature of the risks involved. When representation of
multiple clients in a single matter is undertaken, the information must include
the implications of the common representation, including possible effects on
loyalty, confidentiality and the attorney-client privilege and the advantages
and risks involved. See Comments [30] and [31] (effect of common representation
on confidentiality).
[19] Under some
circumstances it may be impossible to make the disclosure necessary to obtain
consent. For example, when the lawyer represents different clients in related
matters and one of the clients refuses to consent to the disclosure necessary
to permit the other client to make an informed decision, the lawyer cannot
properly ask the latter to consent. In some cases the alternative to common
representation can be that each party may have to obtain separate
representation with the possibility of incurring additional costs. These costs,
along with the benefits of securing separate representation, are factors that
may be considered by the affected client in determining whether common
representation is in the client's interests.
Consent
Confirmed in Writing
[20] Paragraph
(b) requires the lawyer to obtain the informed consent of the client, confirmed
in writing. Such a writing may consist of a document executed by the client. In
the alternative, the lawyer shall promptly transmit a writing to the client
confirming the client's oral consent. See Rule 1.0(b). See also Rule 1.0(n)
(writing includes electronic transmission). If it is not feasible to obtain or
transmit the writing at the time the client gives informed consent, then the
lawyer must obtain or transmit it within a reasonable time thereafter. See Rule
1.0(b). The requirement of a writing does not supplant the need in most cases
for the lawyer to talk with the client, to explain the risks and advantages, if
any, of representation burdened with a conflict of interest, as well as
reasonably available alternatives, and to afford the client a reasonable
opportunity to consider the risks and alternatives and to raise questions and
concerns. Rather, the writing is required in order to impress upon clients the
seriousness of the decision the client is being asked to make and to avoid
disputes or ambiguities that might later occur in the absence of a writing.
Revoking
Consent
[21] A client who
has given consent to a conflict may revoke the consent and, like any other
client, may terminate the lawyer's representation at any time. Whether revoking
consent to the client's own representation precludes the lawyer from continuing
to represent other clients depends on the circumstances, including the nature
of the conflict, whether the client revoked consent because of a material
change in circumstances, the reasonable expectations of the other client and
whether material detriment to the other clients or the lawyer would result.
Consent
to Future Conflict
[22] Whether a
lawyer may properly request a client to waive conflicts that might arise in the
future is subject to the test of paragraph (b). The effectiveness of such
waivers is generally determined by the extent to which the client reasonably
understands the material risks that the waiver entails. The more comprehensive
the explanation of the types of future representations that might arise and the
actual and reasonably foreseeable adverse consequences of those
representations, the greater the likelihood that the client will have the
requisite understanding. Thus, if the client agrees to consent to a particular
type of conflict with which the client is already familiar, then the consent
ordinarily will be effective with regard to that type of conflict. If the
consent is general and open-ended, then the consent ordinarily will be
ineffective, because it is not reasonably likely that the client will have
understood the material risks involved. On the other hand, if the client is an
experienced user of the legal services involved and is reasonably informed
regarding the risk that a conflict may arise, such consent is more likely to be
effective, particularly if, e.g., the client is independently represented by
other counsel in giving consent and the consent is limited to future conflicts
unrelated to the subject of the representation. In any case, advance consent
cannot be effective if the circumstances that materialize in the future are
such as would make the conflict nonconsentable under paragraph (b).
Conflicts
in Litigation
[23] Paragraph
(b)(3) prohibits representation of opposing parties in the same litigation,
regardless of the clients' consent. On the other hand, simultaneous
representation of parties whose interests in litigation may conflict, such as
coplaintiffs or codefendants, is governed by paragraph (a)(2). A conflict may
exist by reason of substantial discrepancy in the parties' testimony,
incompatibility in positions in relation to an opposing party or the fact that
there are substantially different possibilities of settlement of the claims or
liabilities in question. Such conflicts can arise in criminal cases as well as
civil. The potential for conflict of interest in representing multiple
defendants in a criminal case is so grave that ordinarily a lawyer should decline
to represent more than one codefendant. On the other hand, common
representation of persons having similar interests in civil litigation is
proper if the requirements of paragraph (b) are met.
[24] Ordinarily a
lawyer may take inconsistent legal positions in different tribunals at
different times on behalf of different clients. The mere fact that advocating a
legal position on behalf of one client might create precedent adverse to the
interests of a client represented by the lawyer in an unrelated matter does not
create a conflict of interest. A conflict of interest exists, however, if there
is a significant risk that a lawyer's action on behalf of one client will
materially limit the lawyer's effectiveness in representing another client in a
different case; for example, when a decision favoring one client will create a
precedent likely to seriously weaken the position taken on behalf of the other
client. Factors relevant in determining whether the clients need to be advised
of the risk include: where the cases are pending, whether the issue is
substantive or procedural, the temporal relationship between the matters, the
significance of the issue to the immediate and long term interests of the clients
involved, and the clients' reasonable expectations in retaining the lawyer. If
there is significant risk of material limitation, then absent informed consent
of the affected clients, the lawyer must refuse one of the representations or
withdraw from one or both matters.
[25] When a
lawyer represents or seeks to represent a class of plaintiffs or defendants in
a class-action lawsuit, unnamed members of the class are ordinarily not
considered to be clients of the lawyer for purposes of applying paragraph
(a)(1) of this Rule. Thus, the lawyer does not typically need to get the
consent of such a person before representing a client suing the person in an
unrelated matter. Similarly, a lawyer seeking to represent an opponent in a
class action does not typically need the consent of an unnamed member of the
class whom the lawyer represents in an unrelated matter.
Nonlitigation
Conflicts
[26] Conflicts of
interest under paragraphs (a)(1) and (a)(2) arise in contexts other than
litigation. For a discussion of directly adverse conflicts in transactional
matters, see Comment [7]. Relevant factors in determining whether there is
significant potential for material limitation include the duration and intimacy
of the lawyer's relationship with the client or clients involved, the functions
being performed by the lawyer, the likelihood that disagreements will arise and
the likely prejudice to the client from the conflict. The question is often one
of proximity and degree. See Comment [8].
[27] For example,
conflict questions may arise in estate planning and estate administration. A
lawyer may be called upon to prepare wills for several family members, such as
husband and wife, and, depending upon the circumstances, a conflict of interest
may be present. In estate administration the identity of the client may be
unclear under the law of a particular jurisdiction. Under one view, the client
is the fiduciary; under another view the client is the estate or trust,
including its beneficiaries. In order to comply with conflict of interest
rules, the lawyer should make clear the lawyer's relationship to the parties
involved.
[28] Whether a
conflict is consentable depends on the circumstances. For example, a lawyer may
not represent multiple parties to a negotiation whose interests are
fundamentally antagonistic to each other, but common representation is
permissible where the clients are generally aligned in interest even though
there is some difference in interest among them. Thus, a lawyer may seek to
establish or adjust a relationship between clients on an amicable and mutually
advantageous basis; for example, in helping to organize a business in which two
or more clients are entrepreneurs, working out the financial reorganization of
an enterprise in which two or more clients have an interest or arranging a
property distribution in settlement of an estate. The lawyer seeks to resolve
potentially adverse interests by developing the parties' mutual interests.
Otherwise, each party might have to obtain separate representation, with the
possibility of incurring additional cost, complication or even litigation.
Given these and other relevant factors, the clients may prefer that the lawyer
act for all of them.
Special
Considerations in Common Representation
[29] In
considering whether to represent multiple clients in the same matter, a lawyer
should be mindful that if the common representation fails because the
potentially adverse interests cannot be reconciled, the result can be
additional cost, embarrassment and recrimination. Ordinarily, the lawyer will
be forced to withdraw from representing all of the clients if the common
representation fails. In some situations, the risk of failure is so great that
multiple representation is plainly impossible. For example, a lawyer cannot
undertake common representation of clients where contentious litigation or
negotiations between them are imminent or contemplated. Moreover, because the
lawyer is required to be impartial between commonly represented clients,
representation of multiple clients is improper when it is unlikely that
impartiality can be maintained. Generally, if the relationship between the
parties has already assumed antagonism, the possibility that the clients'
interests can be adequately served by common representation is not very good.
Other relevant factors are whether the lawyer subsequently will represent both
parties on a continuing basis and whether the situation involves creating or
terminating a relationship between the parties.
[30] A
particularly important factor in determining the appropriateness of common
representation is the effect on client-lawyer confidentiality and the
attorney-client privilege. With regard to the attorney-client privilege, the
prevailing rule is that, as between commonly represented clients, the privilege
does not attach. Hence, it must be assumed that if litigation eventuates
between the clients, the privilege will not protect any such communications,
and the clients should be so advised.
[31] As to the
duty of confidentiality, continued common representation will almost certainly
be inadequate if one client asks the lawyer not to disclose to the other client
information relevant to the common representation. This is so because the
lawyer has an equal duty of loyalty to each client, and each client has the
right to be informed of anything bearing on the representation that might
affect that client's interests and the right to expect that the lawyer will use
that information to that client's benefit. See Rule 1.4. The lawyer should, at
the outset of the common representation and as part of the process of obtaining
each client's informed consent, advise each client that information will be
shared and that the lawyer may have to withdraw from representing one or more
or all of the common clients if one client decides that some matter material to
the representation should be kept from the others. In limited circumstances, it
may be appropriate for the lawyer to proceed with the representation when the clients
have agreed, after being properly informed, that the lawyer will keep certain
information confidential. For example, the lawyer may reasonably conclude that
failure to disclose one client's trade secrets to another client will not
adversely affect representation involving a joint venture between the clients
and agree to keep that information confidential with the informed consent of
both clients.
[32] When seeking
to establish or adjust a relationship between clients, the lawyer should make
clear that the lawyer's role is not that of partisanship normally expected in
other circumstances and, thus, that the clients may be required to assume
greater responsibility for decisions than when each client is separately
represented. Any limitations on the scope of the representation made necessary
as a result of the common representation should be fully explained to the
clients at the outset of the representation. See Rule 1.2(c) and 2.2
[33] Subject to
the above limitations, each client in the common representation has the right
to loyal and diligent representation and the protection of Rule 1.9 concerning
the obligations to a former client. The client also has the right to discharge
the lawyer as stated in Rule 1.16.
Organizational
Clients
[34] A lawyer who
represents a corporation or other organization does not, by virtue of that
representation, necessarily represent any constituent or affiliated
organization, such as a parent or subsidiary. See Rule 1.13(a). Thus, the
lawyer for an organization is not barred from accepting representation adverse
to an affiliate in an unrelated matter, unless the circumstances are such that
the affiliate should also be considered a client of the lawyer, there is an
understanding between the lawyer and the organizational client that the lawyer
will avoid representation adverse to the client's affiliates, or the lawyer's
obligations to either the organizational client or the new client are likely to
limit materially the lawyer's representation of the other client.
[35] A lawyer for
a corporation or other organization who is also a member of its board of
directors should determine whether the responsibilities of the two roles may
conflict. The lawyer may be called on to advise the corporation in matters
involving actions of the directors. Consideration should be given to the
frequency with which such situations may arise, the potential intensity of the
conflict, the effect of the lawyer's resignation from the board and the
possibility of the corporation's obtaining legal advice from another lawyer in
such situations. If there is material risk that the dual role will compromise
the lawyer's independence of professional judgment, the lawyer should not serve
as a director or should cease to act as the corporation's lawyer when conflicts
of interest arise. The lawyer should advise the other members of the board that
in some circumstances matters discussed at board meetings while the lawyer is
present in the capacity of director might not be protected by the
attorney-client privilege and that conflict of interest considerations might
require the lawyer's recusal as a director or might require the lawyer and the
lawyer's firm to decline representation of the corporation in a matter.
Rule 1.8. Conflict of Interest:
Current Clients: Specific Rules
(a)
A lawyer shall not enter into a business transaction with a client or knowingly
acquire an ownership, possessory, security or other pecuniary interest adverse
to a client unless:
(1)
the transaction and terms on which the lawyer acquires the interest are fair
and reasonable to the client and are fully disclosed and transmitted in writing
in a manner that can be reasonably understood by the client;
(2)
the client is advised in writing of the desirability of seeking and is given a
reasonable opportunity to seek the advice of independent legal counsel on the
transaction; and
(3)
the client gives informed consent, in a writing signed by the client, to the
essential terms of the transaction and the lawyer's role in the transaction,
including whether the lawyer is representing the client in the transaction.
(b)
A lawyer shall not use information relating to representation of a client to
the disadvantage of the client unless the client gives informed consent, except
as permitted or required by these Rules.
(c)
A lawyer shall not solicit any substantial gift from a client, including a
testamentary gift, or prepare on behalf of a client an instrument giving the
lawyer or a person related to the lawyer any substantial gift unless the lawyer
or other recipient of the gift is related to the client. For purposes of this
paragraph, related persons include a spouse, child, grandchild, parent,
grandparent or other relative or individual with whom the lawyer or the client
maintains a close, familial relationship.
(d)
Prior to the conclusion of representation of a client, a lawyer shall not make
or negotiate an agreement giving the lawyer literary or media rights to a
portrayal or account based in substantial part on information relating to the
representation.
(e)
A lawyer shall not provide financial assistance to a client in connection with
pending or contemplated litigation, except that:
(1)
a lawyer may advance court costs and expenses of litigation, the repayment of
which may be contingent on the outcome of the matter; and
(2)
a lawyer representing an indigent client may pay court costs and expenses of
litigation on behalf of the client.
(f) A lawyer shall not accept
compensation for representing a client from one other than the client unless:
(1) the client gives informed
consent;
(2) there is no interference with the
lawyer's independence of professional judgment or with the client-lawyer
relationship; and
(3) information relating to
representation of a client is protected as required by Rule 1.6.
(g) A lawyer who represents two or
more clients shall not participate in making an aggregate settlement of the
claims of or against the clients, or in a criminal case an aggregated agreement
as to guilty or nolo contendere pleas, unless each client gives informed
consent, in a writing signed by the client. The lawyer's disclosure shall
include the existence and nature of all the claims or pleas involved and of the
participation of each person in the settlement.
(1) make an agreement prospectively
limiting the lawyer's liability to a client for malpractice unless the client
is independently represented in making the agreement; or
(2) settle a claim or potential claim
for such liability with an unrepresented client or former client unless that
person is advised in writing of the desirability of seeking and is given a
reasonable opportunity to seek the advice of independent legal counsel in
connection therewith.
(i) A lawyer shall not acquire a
proprietary interest in the cause of action or subject matter of litigation the
lawyer is conducting for a client, except that the lawyer may:
(1) acquire a lien authorized by law
to secure the lawyer's fee or expenses; and
(2) contract with a client for a
reasonable contingent fee in a civil case.
(j) A lawyer shall not have sexual
relations with a client unless a consensual sexual relationship existed between
them when the client-lawyer relationship commenced.
(k) While lawyers are associated in a
firm, a prohibition in paragraphs (a) through (i) and (l) that applies to any
one of them shall apply to all of them.
(l) A part-time prosecutor or deputy
prosecutor authorized by statute to otherwise engage in the practice of law
shall refrain from representing a private client in any matter wherein exists
an issue upon which said prosecutor has statutory prosecutorial authority or
responsibilities. This restriction is not intended to prohibit representation
in tort cases in which investigation and any prosecution of infractions has
terminated, nor to prohibit representation in family law matters involving no
issue subject to prosecutorial authority or responsibilities. Upon a prior,
express written limitation of responsibility to exclude prosecutorial authority
in matters related to family law, a part-time deputy prosecutor may fully
represent private clients in cases involving family law.
Business
Transactions Between Client and Lawyer
[1] A lawyer's
legal skill and training, together with the relationship of trust and
confidence between lawyer and client, create the possibility of overreaching
when the lawyer participates in a business, property or financial transaction
with a client, for example, a loan or sales transaction or a lawyer investment
on behalf of a client. The requirements of paragraph (a) must be met even when
the transaction is not closely related to the subject matter of the
representation, as when a lawyer drafting a will for a client learns that the
client needs money for unrelated expenses and offers to make a loan to the client.
The Rule applies to lawyers engaged in the sale of goods or services related to
the practice of law, for example, the sale of title insurance or investment
services to existing clients of the lawyer's legal practice. See Rule 5.7. It
also applies to lawyers purchasing property from estates they represent. It
does not apply to ordinary initial fee arrangements between client and lawyer,
which are governed by Rule 1.5, although its requirements must be met when the
lawyer accepts an interest in the client's business or other nonmonetary
property as payment of all or part of a fee. Paragraph (a) applies when a
lawyer seeks to renegotiate the terms of the fee arrangement with the client
after representation begins in order to reach a new agreement that is more
advantageous to the lawyer than the initial fee arrangement. In addition, the
Rule does not apply to standard commercial transactions between the lawyer and
the client for products or services that the client generally markets to
others, for example, banking or brokerage services, medical services, products
manufactured or distributed by the client, and utilities' services. In such
transactions, the lawyer has no advantage in dealing with the client, and the
restrictions in paragraph (a) are unnecessary and impracticable.
[2] Paragraph
(a)(1) requires that the transaction itself be fair to the client and that its
essential terms be communicated to the client, in writing, in a manner that can
be reasonably understood. Paragraph (a)(2) requires that the client also be
advised, in writing, of the desirability of seeking the advice of independent
legal counsel. It also requires that the client be given a reasonable
opportunity to obtain such advice. Paragraph (a)(3) requires that the lawyer
obtain the client's informed consent, in a writing signed by the client, both
to the essential terms of the transaction and to the lawyer's role. When
necessary, the lawyer should discuss both the material risks of the proposed
transaction, including any risk presented by the lawyer's involvement, and the
existence of reasonably available alternatives and should explain why the
advice of independent legal counsel is desirable. See Rule 1.0(e) (definition
of informed consent).
[3] The risk to a
client is greatest when the client expects the lawyer to represent the client
in the transaction itself or when the lawyer's financial interest otherwise
poses a significant risk that the lawyer's representation of the client will be
materially limited by the lawyer's financial interest in the transaction. Here
the lawyer's role requires that the lawyer must comply, not only with the
requirements of paragraph (a), but also with the requirements of Rule 1.7.
Under that Rule, the lawyer must disclose the risks associated with the
lawyer's dual role as both legal adviser and participant in the transaction,
such as the risk that the lawyer will structure the transaction or give legal
advice in a way that favors the lawyer's interests at the expense of the
client. Moreover, the lawyer must obtain the client's informed consent. In some
cases, the lawyer's interest may be such that Rule 1.7 will preclude the lawyer
from seeking the client's consent to the transaction.
[4] If the client
is independently represented in the transaction, paragraph (a)(2) of this Rule
is inapplicable, and the paragraph (a)(1) requirement for full disclosure is
satisfied either by a written disclosure by the lawyer involved in the
transaction or by the client's independent counsel. The fact that the client
was independently represented in the transaction is relevant in determining
whether the agreement was fair and reasonable to the client as paragraph (a)(1)
further requires.
Use
of Information Related to Representation
[5] Use of
information relating to the representation to the disadvantage of the client
violates the lawyer's duty of loyalty. Paragraph (b) applies when the
information is used to benefit either the lawyer or a third person, such as
another client or business associate of the lawyer. For example, if a lawyer
learns that a client intends to purchase and develop several parcels of land,
the lawyer may not use that information to purchase one of the parcels in
competition with the client or to recommend that another client make such a
purchase. The Rule does not prohibit uses that do not disadvantage the client.
For example, a lawyer who learns a government agency's interpretation of trade
legislation during the representation of one client may properly use that
information to benefit other clients. Paragraph (b) prohibits disadvantageous
use of client information unless the client gives informed consent, except as
permitted or required by these Rules. See Rules 1.2(d), 1.6, 1.9(c), 3.3,
4.1(b), 8.1 and 8.3.
Gifts
to Lawyers
[6] A lawyer may
accept a gift from a client, if the transaction meets general standards of
fairness. For example, a simple gift such as a present given at a holiday or as
a token of appreciation is permitted. If a client offers the lawyer a more
substantial gift, paragraph (c) does not prohibit the lawyer from accepting it,
although such a gift may be voidable by the client under the doctrine of undue
influence, which treats client gifts as presumptively fraudulent. In any event,
due to concerns about overreaching and imposition on clients, a lawyer may not
suggest that a substantial gift be made to the lawyer or for the lawyer's
benefit, except where the lawyer is related to the client as set forth in
paragraph (c).
[7] If
effectuation of a substantial gift requires preparing a legal instrument such
as a will or conveyance the client should have the detached advice that another
lawyer can provide. The sole exception to this Rule is where the client is a
relative of the donee.
[8] This Rule
does not prohibit a lawyer from seeking to have the lawyer or a partner or
associate of the lawyer named as executor of the client's estate or to another
potentially lucrative fiduciary position. Nevertheless, such appointments will
be subject to the general conflict of interest provision in Rule 1.7 when there
is a significant risk that the lawyer's interest in obtaining the appointment
will materially limit the lawyer's independent professional judgment in
advising the client concerning the choice of an executor or other fiduciary. In
obtaining the client's informed consent to the conflict, the lawyer should
advise the client concerning the nature and extent of the lawyer's financial
interest in the appointment, as well as the availability of alternative
candidates for the position.
Literary
Rights
[9] An agreement
by which a lawyer acquires literary or media rights concerning the conduct of
the representation creates a conflict between the interests of the client and
the personal interests of the lawyer. Measures suitable in the representation
of the client may detract from the publication value of an account of the
representation. Paragraph (d) does not prohibit a lawyer representing a client
in a transaction concerning literary property from agreeing that the lawyer's
fee shall consist of a share in ownership in the property, if the arrangement
conforms to Rule 1.5 and paragraphs (a) and (i).
Financial
Assistance
[10] Lawyers may
not subsidize lawsuits or administrative proceedings brought on behalf of their
clients, including making or guaranteeing loans to their clients for living
expenses, because to do so would encourage clients to pursue lawsuits that
might not otherwise be brought and because such assistance gives lawyers too
great a financial stake in the litigation. These dangers do not warrant a
prohibition on a lawyer lending a client court costs and litigation expenses,
including the expenses of medical examination and the costs of obtaining and
presenting evidence, because these advances are virtually indistinguishable
from contingent fees and help ensure access to the courts. Similarly, an
exception allowing lawyers representing indigent clients to pay court costs and
litigation expenses regardless of whether these funds will be repaid is
warranted.
Person
Paying for a Lawyer's Services
[11] Lawyers are
frequently asked to represent a client under circumstances in which a third
person will compensate the lawyer, in whole or in part. The third person might
be a relative or friend, an indemnitor (such as a liability insurance company)
or a co-client (such as a corporation sued along with one or more of its
employees). Because third-party payers frequently have interests that differ
from those of the client, including interests in minimizing the amount spent on
the representation and in learning how the representation is progressing,
lawyers are prohibited from accepting or continuing such representations unless
the lawyer determines that there will be no interference with the lawyer's
independent professional judgment and there is informed consent from the
client. See also Rule 5.4(c) (prohibiting interference with a lawyer's
professional judgment by one who recommends, employs or pays the lawyer to
render legal services for another).
[12] Sometimes,
it will be sufficient for the lawyer to obtain the client's informed consent
regarding the fact of the payment and the identity of the third-party payer.
If, however, the fee arrangement creates a conflict of interest for the lawyer,
then the lawyer must comply with Rule 1. 7. The lawyer must also conform to the
requirements of Rule 1.6 concerning confidentiality. Under Rule 1.7(a), a
conflict of interest exists if there is significant risk that the lawyer's
representation of the client will be materially limited by the lawyer's own
interest in the fee arrangement or by the lawyer's responsibilities to the
third-party payer (for example, when the third-party payer is a co-client).
Under Rule 1.7(b), the lawyer may accept or continue the representation with
the informed consent of each affected client, unless the conflict is
nonconsentable under that paragraph. Under Rule 1.7(b), the informed consent
must be confirmed in writing.
Aggregate
Settlements
[13] Differences
in willingness to make or accept an offer of settlement are among the risks of
common representation of multiple clients by a single lawyer. Under Rule 1.7,
this is one of the risks that should be discussed before undertaking the
representation, as part of the process of obtaining the clients' informed
consent. In addition, Rule 1.2(a) protects each client's right to have the
final say in deciding whether to accept or reject an offer of settlement and in
deciding whether to enter a guilty or nolo contendere plea in a criminal case.
The rule stated in this paragraph is a corollary of both these Rules and
provides that, before any settlement offer or plea bargain is made or accepted
on behalf of multiple clients, the lawyer must inform each of them about all
the material terms of the settlement, including what the other clients will
receive or pay if the settlement or plea offer is accepted. See also Rule
1.0(e) (definition of informed consent). Lawyers representing a class of
plaintiffs or defendants, or those proceeding derivatively, may not have a full
client-lawyer relationship with each member of the class; nevertheless, such
lawyers must comply with applicable rules regulating notification of class
members and other procedural requirements designed to ensure adequate
protection of the entire class.
Limiting
Liability and Settling Malpractice Claims
[14] Agreements
prospectively limiting a lawyer's liability for malpractice are prohibited
unless the client is independently represented in making the agreement because
they are likely to undermine competent and diligent representation. Also, many
clients are unable to evaluate the desirability of making such an agreement
before a dispute has arisen, particularly if they are then represented by the
lawyer seeking the agreement. This paragraph does not, however, prohibit a
lawyer from entering into an agreement with the client to arbitrate legal
malpractice claims, provided such agreements are enforceable and the client is
fully informed of the scope and effect of the agreement. Nor does this
paragraph limit the ability of lawyers to practice in the form of a
limited-liability entity, where permitted by law, provided that each lawyer
remains personally liable to the client for his or her own conduct and the firm
complies with any conditions required by law, such as provisions requiring
client notification or maintenance of adequate liability insurance. Nor does it
prohibit an agreement in accordance with Rule 1.2 that defines the scope of the
representation, although a definition of scope that makes the obligations of
representation illusory will amount to an attempt to limit liability.
[15] Agreements
settling a claim or a potential claim for malpractice are not prohibited by
this Rule. Nevertheless, in view of the danger that a lawyer will take unfair
advantage of an unrepresented client or former client, the lawyer must first
advise such a person in writing of the appropriateness of independent
representation in connection with such a settlement. In addition, the lawyer
must give the client or former client a reasonable opportunity to find and
consult independent counsel.
Acquiring
Proprietary Interest in Litigation
[16] Paragraph
(i) states the traditional general rule that lawyers are prohibited from
acquiring a proprietary interest in litigation. Like paragraph (e), the general
rule has its basis in common law champerty and maintenance and is designed to
avoid giving the lawyer too great an interest in the representation. In
addition, when the lawyer acquires an ownership interest in the subject of the
representation, it will be more difficult for a client to discharge the lawyer
if the client so desires. The Rule is subject to specific exceptions developed
in decisional law and continued in these Rules. The exception for certain
advances of the costs of litigation is set forth in paragraph (e). In addition,
paragraph (i) sets forth exceptions for liens authorized by law to secure the
lawyer's fees or expenses and contracts for reasonable contingent fees. The law
of each jurisdiction determines which liens are authorized by law. These may
include liens granted by statute, liens originating in common law and liens
acquired by contract with the client. When a lawyer acquires by contract a
security interest in property other than that recovered through the lawyer's
efforts in the litigation, such an acquisition is a business or financial
transaction with a client and is governed by the requirements of paragraph (a).
Contracts for contingent fees in civil cases are governed by Rule 1.5.
Client-Lawyer
Sexual Relationships
[17] The
relationship between lawyer and client is a fiduciary one in which the lawyer
occupies the highest position of trust and confidence. The relationship is
almost always unequal; thus, a sexual relationship between lawyer and client
can involve unfair exploitation of the lawyer's fiduciary role, in violation of
the lawyer's basic ethical obligation not to use the trust of the client to the
client's disadvantage. In addition, such a relationship presents a significant
danger that, because of the lawyer's emotional involvement, the lawyer will be
unable to represent the client without impairment of the exercise of
independent professional judgment. Moreover, a blurred line between the
professional and personal relationships may make it difficult to predict to
what extent client confidences will be protected by the attorney-client
evidentiary privilege, since client confidences are protected by privilege only
when they are imparted in the context of the client-lawyer relationship.
Because of the significant danger of harm to client interests and because the
client's own emotional involvement renders it unlikely that the client could
give adequate informed consent, this Rule prohibits the lawyer from having
sexual relations with a client regardless of whether the relationship is
consensual and regardless of the absence of prejudice to the client.
[18] Sexual
relationships that predate the client-lawyer relationship are not prohibited.
Issues relating to the exploitation of the fiduciary relationship and client
dependency are diminished when the sexual relationship existed prior to the
commencement of the client-lawyer relationship. However, before proceeding with
the representation in these circumstances, the lawyer should consider whether
the lawyer's ability to represent the client will be materially limited by the
relationship. See Rule 1.7(a)(2).
[19] When the
client is an organization, paragraph (j) of this Rule prohibits a lawyer for
the organization (whether inside counsel or outside counsel) from having a
sexual relationship with a constituent of the organization who supervises,
directs or regularly consults with that lawyer concerning the organization's
legal matters.
Imputation
of Prohibitions
[20] Under
paragraph (k), a prohibition on conduct by an individual lawyer in paragraphs
(a) through (i) and (l) also applies to all lawyers associated in a firm with
the personally prohibited lawyer. For example, one lawyer in a firm may not
enter into a business transaction with a client of another member of the firm
without complying with paragraph (a), even if the first lawyer is not
personally involved in the representation of the client. The prohibition set
forth in paragraph (j) is personal and is not applied to associated lawyers.
Part-time
prosecutor or deputy prosecutor
[21] Under
paragraph (l) special rules are provided for part-time prosecutors and deputy
prosecutors.
Rule 1.9. Duties to Former Clients
(a)
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, confirmed in writing.
(b)
A lawyer shall not knowingly represent a person in the same or a substantially
related matter in which a firm with which the lawyer formerly was associated
had previously represented a client
(1)
whose interests are materially adverse to that person; and
(2)
about whom the lawyer had acquired information protected by Rules 1. 6 and
1.9(c) that is material to the matter; unless the former client gives informed
consent, confirmed in writing.
(c)
A lawyer who has formerly represented a client in a matter or whose present or
former firm has formerly represented a client in a matter shall not thereafter:
(1)
use information relating to the representation to the disadvantage of the
former client except as these Rules would permit or require with respect to a
client, or when the information has become generally known; or
(2)
reveal information relating to the representation except as these Rules would
permit or require with respect to a client.
[1] After
termination of a client-lawyer relationship, a lawyer has certain continuing
duties with respect to confidentiality and conflicts of interest and thus may
not represent another client except in conformity with this Rule. Under this
Rule, for example, a lawyer could not properly seek to rescind on behalf of a
new client a contract drafted on behalf of the former client. So also a lawyer
who has prosecuted an accused person could not properly represent the accused
in a subsequent civil action against the government concerning the same
transaction. Nor could a lawyer who has represented multiple clients in a
matter represent one of the clients against the others in the same or a
substantially related matter after a dispute arose among the clients in that
matter, unless all affected clients give informed consent. See Comment [9].
Current and former government lawyers must comply with this Rule to the extent
required by Rule 1.11.
[2] The scope of
a “matter” for purposes of this Rule depends on the facts of a particular
situation or transaction. The lawyer's involvement in a matter can also be a
question of degree. When a lawyer has been directly involved in a specific
transaction, subsequent representation of other clients with materially adverse
interests in that transaction clearly is prohibited. On the other hand, a
lawyer who recurrently handled a type of problem for a former client is not
precluded from later representing another client in a factually distinct
problem of that type even though the subsequent representation involves a
position adverse to the prior client. Similar considerations can apply to the
reassignment of military lawyers between defense and prosecution functions
within the same military jurisdictions. The underlying question is whether the
lawyer was so involved in the matter that the subsequent representation can be
justly regarded as a changing of sides in the matter in question.
[3] Matters are
“substantially related” for purposes of this Rule if they involve 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. For example, a lawyer who has represented a businessperson
and learned extensive private financial information about that person may not
then represent that person's spouse in seeking a divorce. Similarly, a lawyer
who has previously represented a client in securing environmental permits to
build a shopping center would be precluded from representing neighbors seeking
to oppose rezoning of the property on the basis of environmental
considerations; however, the lawyer would not be precluded, on the grounds of
substantial relationship, from defending a tenant of the completed shopping
center in resisting eviction for nonpayment of rent. Information that has been
disclosed to the public or to other parties adverse to the former client
ordinarily will not be disqualifying. Information acquired in a prior
representation may have been rendered obsolete by the passage of time, a
circumstance that may be relevant in determining whether two representations
are substantially related. In the case of an organizational client, general
knowledge of the client's policies and practices ordinarily will not preclude a
subsequent representation; on the other hand, knowledge of specific facts gained
in a prior representation that are relevant to the matter in question
ordinarily will preclude such a representation. 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. A conclusion about the possession of such
information may be based on the nature of the services the lawyer provided the
former client and information that would in ordinary practice be learned by a
lawyer providing such services.
Lawyers
Moving Between Firms
[4] When lawyers
have been associated within a firm but then end their association, the question
of whether a lawyer should undertake representation is more complicated. There
are several competing considerations. First, the client previously represented
by the former firm must be reasonably assured that the principle of loyalty to
the client is not compromised. Second, the rule should not be so broadly cast
as to preclude other persons from having reasonable choice of legal counsel.
Third, the rule should not unreasonably hamper lawyers from forming new
associations and taking on new clients after having left a previous
association. In this connection, it should be recognized that today many
lawyers practice in firms, that many lawyers to some degree limit their
practice to one field or another, and that many move from one association to
another several times in their careers. If the concept of imputation were
applied with unqualified rigor, the result would be radical curtailment of the
opportunity of lawyers to move from one practice setting to another and of the
opportunity of clients to change counsel.
[5] Paragraph (b)
operates to disqualify the lawyer only when the lawyer involved has actual
knowledge of information protected by Rules 1.6 and 1.9(c). Thus, if a lawyer
while with one firm acquired no knowledge or information relating to a
particular client of the firm, and that lawyer later joined another firm,
neither the lawyer individually nor the second firm is disqualified from
representing another client in the same or a related matter even though the
interests of the two clients conflict. See Rule 1.10(b) for the restrictions on
a firm once a lawyer has terminated association with the firm.
[6] Application
of paragraph (b) depends on a situation's particular facts, aided by
inferences, deductions or working presumptions that reasonably may be made
about the way in which lawyers work together. A lawyer may have general access
to files of all clients of a law firm and may regularly participate in
discussions of their affairs; it should be inferred that such a lawyer in fact
is privy to all information about all the firm's clients. In contrast, another
lawyer may have access to the files of only a limited number of clients and
participate in discussions of the affairs of no other clients; in the absence
of information to the contrary, it should be inferred that such a lawyer in
fact is privy to information about the clients actually served but not those of
other clients. In such an inquiry, the burden of proof should rest upon the
firm whose disqualification is sought.
[7] Independent
of the question of disqualification of a firm, a lawyer changing professional
association has a continuing duty to preserve confidentiality of information
about a client formerly represented. See Rules 1.6 and 1.9(c).
[8] Paragraph (c)
provides that information acquired by the lawyer in the course of representing
a client may not subsequently be used or revealed by the lawyer to the
disadvantage of the client. However, the fact that a lawyer has once served a
client does not preclude the lawyer from using generally known information
about that client when later representing another client.
[9] The
provisions of this Rule are for the protection of former clients and can be
waived if the client gives informed consent, which consent must be confirmed in
writing under paragraphs (a) and (b). See Rule 1.0(e). With regard to the
effectiveness of an advance waiver, see Comment [22] to Rule 1.7. With regard
to disqualification of a firm with which a lawyer is or was formerly
associated, see Rule 1.10.
Rule 1.10. Imputation of Conflicts of
Interest: General Rule
(a)
While lawyers are associated in a firm, none of them shall knowingly represent
a client when any one of them practicing alone would be prohibited from doing
so by Rules 1.7, 1.9, or 2.2 unless the prohibition is based on a personal
interest of the prohibited lawyer and does not present a significant risk of
materially limiting the representation of the client by the remaining lawyers
in the firm.
(b)
When a lawyer has terminated an association with a firm, the firm is not
prohibited from thereafter representing a person with interests materially
adverse to those of a client represented by the formerly associated lawyer and
not currently represented by the firm unless:
(1)
the matter is the same or substantially related to that in which the formerly
associated lawyer represented the client; and
(2)
any lawyer remaining in the firm has information protected by Rules 1.6 and
1.9(c) that is material to the matter.
(c)
When a lawyer becomes associated with a firm, no lawyer associated in the firm
shall knowingly represent a person in a matter in which that lawyer is
disqualified under Rule 1.9 unless:
(1)
the personally disqualified lawyer did not have primary responsibility for the
matter that causes the disqualification under Rule 1.9;
(2)
the personally disqualified lawyer is timely screened from any participation in
the matter and is apportioned no part of the fee therefrom; and
(3)
written notice is promptly given to any affected former client to enable it to
ascertain compliance with the provisions of this rule.
(d)
A disqualification prescribed by this rule may be waived by the affected client
under the conditions stated in Rule 1.7.
(e)
The disqualification of lawyers associated in a firm with former or current
government lawyers is governed by Rule 1.11.
Definition
of “Firm”
[1] For purposes
of the Rules of Professional Conduct, the term “firm” denotes lawyers in a law
partnership, professional corporation, sole proprietorship or other association
authorized to practice law; or lawyers employed in a legal services
organization or the legal department of a corporation or other organization.
See Rule 1.0(c). Whether two or more lawyers constitute a firm within this
definition can depend on the specific facts. See Rule 1.0, Comments [2]--[4].
Principles
of Imputed Disqualification
[2] The rule of
imputed disqualification stated in paragraph (a) gives effect to the principle
of loyalty to the client as it applies to lawyers who practice in a law firm.
Such situations can be considered from the premise that a firm of lawyers is
essentially one lawyer for purposes of the rules governing loyalty to the
client, or from the premise that each lawyer is vicariously bound by the
obligation of loyalty owed by each lawyer with whom the lawyer is associated.
Paragraph (a) operates only among the lawyers currently associated in a firm.
When a lawyer moves from one firm to another, the situation is governed by
Rules 1.9(b), and 1.10(b) and 1.10(c).
[3] The rule in
paragraph (a) does not prohibit representation where neither questions of
client loyalty nor protection of confidential information are presented.
[4] The rule in
paragraph (a) also does not prohibit representation by others in the law firm
where the person prohibited from involvement in a matter is a nonlawyer, such
as a paralegal or legal secretary. Nor does paragraph (a) prohibit
representation if the lawyer is prohibited from acting because of events before
the person became a lawyer, for example, work that the person did while a law
student. Such persons, however, ordinarily must be screened from any personal
participation in the matter to avoid communication to others in the firm of
confidential information that both the nonlawyers and the firm have a legal
duty to protect. See Rules 1.0(k) and 5.3.
[5] Rule 1.10(b)
operates to permit a law firm, under certain circumstances, to represent a
person with interests directly adverse to those of a client represented by a
lawyer who formerly was associated with the firm. The Rule applies regardless
of when the formerly associated lawyer represented the client. However, the law
firm may not represent a person with interests adverse to those of a present
client of the firm, which would violate Rule 1.7. Moreover, the firm may not
represent the person where the matter is the same or substantially related to
that in which the formerly associated lawyer represented the client and any
other lawyer currently in the firm has material information protected by Rules
1.6 and 1.9(c).
[6] Where the
conditions of paragraph (c) are met, imputation is removed, and consent to the
new representation is not required. Lawyers should be aware, however, that
courts may impose more stringent obligations in ruling upon motions to
disqualify a lawyer from pending litigation. Requirements for screening
procedures are stated in Rule 1.0(k). Paragraph (c)(2) does not prohibit the
screened lawyer from receiving a salary or partnership share established by
prior independent agreement, but that lawyer may not receive compensation
directly related to the matter in which the lawyer is disqualified. Notice,
including a description of the screened lawyer's prior representation and of
the screening procedures employed, generally should be given as soon as practicable
after the need for screening becomes apparent.
[7] Rule 1.10(d)
removes imputation with the informed consent of the affected client or former
client under the conditions stated in Rule 1.7. The conditions stated in Rule
1.7 require the lawyer to determine that the representation is not prohibited
by Rule 1.7(b) and that each affected client or former client has given
informed consent to the representation, confirmed in writing. In some cases,
the risk may be so severe that the conflict may not be cured by client consent.
For a discussion of the effectiveness of client waivers of conflicts that might
arise in the future, see Rule 1.7, Comment [22]. For a definition of informed
consent, see Rule 1.0(e).
[8] Where a
lawyer has joined a private firm after having represented the government,
imputation is governed by Rule 1.11(b) and (c), not this Rule. Under Rule
1.11(d), where a lawyer represents the government after having served clients
in private practice, nongovernmental employment or in another government
agency, former-client conflicts are not imputed to government lawyers
associated with the individually disqualified lawyer.
[9] Where a
lawyer is prohibited from engaging in certain transactions under Rule 1.8,
paragraph (k) of that Rule, and not this Rule, determines whether that
prohibition also applies to other lawyers associated in a firm with the
personally prohibited lawyer.
Rule 1.11. Special Conflicts of
Interest for Former and Current Government Officers and Employees
(a)
Except as law may otherwise expressly permit, a lawyer who has formerly served
as a public officer or employee of the government:
(1)
is subject to Rule 1.9(c); and
(2)
shall not otherwise represent a client in connection with a matter in which the
lawyer participated personally and substantially as a public officer or
employee, unless the appropriate government agency gives its informed consent,
confirmed in writing to the representation.
(b)
When a lawyer is disqualified from representation under paragraph (a), no
lawyer in the firm with which that lawyer is associated may knowingly undertake
or continue representation in such a matter unless:
(1)
the disqualified lawyer is timely screened from any participation in the matter
and is apportioned no part of the fee therefrom; and
(2)
written notice is promptly given to the appropriate government agency to enable
it to ascertain compliance with the provisions of this rule.
(c)
Except as law may otherwise expressly permit, a lawyer having information that
the lawyer knows is confidential government information about a person acquired
when the lawyer was a public officer or employee, may not represent a private
client whose interests are adverse to that person in a matter in which the
information could be used to the material disadvantage of that person. As used
in this Rule, the term “confidential government information” means information
that has been obtained under governmental authority and which, at the time this
Rule is applied, the government is prohibited by law from disclosing to the
public or has a legal privilege not to disclose and which is not otherwise
available to the public. A firm with which that lawyer is associated may
undertake or continue representation in the matter only if the disqualified
lawyer is timely screened from any participation in the matter and is
apportioned no part of the fee therefrom.
(d)
Except as law may otherwise expressly permit, a lawyer currently serving as a
public officer or employee:
(1)
is subject to Rules 1.7 and 1.9; and
(2)
shall not:
(i) participate in a matter in which
the lawyer participated personally and substantially while in private practice
or nongovernmental employment, unless the appropriate government agency gives
its informed consent, confirmed in writing; or
(ii) negotiate for private employment
with any person who is involved as a party or as lawyer for a party in a matter
in which the lawyer is participating personally and substantially, except that
a lawyer serving as a law clerk to a judge, other adjudicative officer, or
arbitrator may negotiate for private employment as permitted by Rule 1.12(b)
and subject to the conditions stated in Rule 1.12(b).
(e)
As used in this Rule, the term “matter” includes:
(1)
any judicial or other proceeding, application, request for a ruling or other
determination, contract, claim, controversy, investigation, charge, accusation,
arrest or other particular matter involving a specific party or parties; and
(2)
any other matter covered by the conflict of interest rules of the appropriate
government agency.
[1] A lawyer who
has served or is currently serving as a public officer or employee is
personally subject to the Rules of Professional Conduct, including the
prohibition against concurrent conflicts of interest stated in Rule 1.7. In
addition, such a lawyer may be subject to statutes and government regulations
regarding conflict of interest. Such statutes and regulations may circumscribe
the extent to which the government agency may give consent under this Rule. See
Rule 1.0(e) for the definition of informed consent.
[2] Paragraphs
(a)(1), (a)(2) and (d)(1) restate the obligations of an individual lawyer who
has served or is currently serving as an officer or employee of the government
toward a former government or private client. Rule 1.10 is not applicable to
the conflicts of interest addressed by this Rule. Rather, paragraph (b) sets
forth a special imputation rule for former government lawyers that provides for
screening and notice. Because of the special problems raised by imputation
within a government agency, paragraph (d) does not impute the conflicts of a
lawyer currently serving as an officer or employee of the government to other
associated government officers or employees, although ordinarily it will be
prudent to screen such lawyers.
[3] Paragraphs
(a)(2) and (d)(2) apply regardless of whether a lawyer is adverse to a former
client and are thus designed not only to protect the former client, but also to
prevent a lawyer from exploiting public office for the advantage of another
client. For example, a lawyer who has pursued a claim on behalf of the
government may not pursue the same claim on behalf of a later private client
after the lawyer has left government service, except when authorized to do so
by the government agency under paragraph (a). Similarly, a lawyer who has
pursued a claim on behalf of a private client may not pursue the claim on
behalf of the government, except when authorized to do so by paragraph (d). As
with paragraphs (a)(1) and (d)(1), Rule 1.10 is not applicable to the conflicts
of interest addressed by these paragraphs.
[4] This Rule
represents a balancing of interests. On the one hand, where the successive
clients are a government agency and another client, public or private, the risk
exists that power or discretion vested in that agency might be used for the
special benefit of the other client. A lawyer should not be in a position where
benefit to the other client might affect performance of the lawyer's
professional functions on behalf of the government. Also, unfair advantage
could accrue to the other client by reason of access to confidential government
information about the client's adversary obtainable only through the lawyer's
government service. On the other hand, the rules governing lawyers presently or
formerly employed by a government agency should not be so restrictive as to
inhibit transfer of employment to and from the government. The government has a
legitimate need to attract qualified lawyers as well as to maintain high
ethical standards. Thus a former government lawyer is disqualified only from
particular matters in which the lawyer participated personally and
substantially. The provisions for screening and waiver in paragraph (b) are
necessary to prevent the disqualification rule from imposing too severe a
deterrent against entering public service. The limitation of disqualification
in paragraphs (a)(2) and (d)(2) to matters involving a specific party or
parties, rather than extending disqualification to all substantive issues on
which the lawyer worked, serves a similar function.
[5] When a lawyer
has been employed by one government agency and then moves to a second
government agency, it may be appropriate to treat that second agency as another
client for purposes of this Rule, as when a lawyer is employed by a city and
subsequently is employed by a federal agency. However, because the conflict of
interest is governed by paragraph (d), the latter agency is not required to
screen the lawyer as paragraph (b) requires a law firm to do. The question of
whether two government agencies should be regarded as the same or different
clients for conflict of interest purposes is beyond the scope of these Rules.
See Rule 1.13 Comment [6].
[6] Paragraphs
(b) and (c) contemplate a screening arrangement. See Rule 1.0(k) (requirements
for screening procedures). These paragraphs do not prohibit a lawyer from
receiving a salary or partnership share established by prior independent
agreement, but that lawyer may not receive compensation directly relating the
lawyer's compensation to the fee in the matter in which the lawyer is
disqualified.
[7] Notice,
including a description of the screened lawyer's prior representation and of
the screening procedures employed, generally should be given as soon as
practicable after the need for screening becomes apparent.
[8] Paragraph (c)
operates only when the lawyer in question has knowledge of the information,
which means actual knowledge; it does not operate with respect to information
that merely could be imputed to the lawyer.
[9] Paragraphs
(a) and (d) do not prohibit a lawyer from jointly representing a private party
and a government agency when doing so is permitted by Rule 1.7 and is not
otherwise prohibited by law.
[10] For purposes
of paragraph (e) of this Rule, a “matter” may continue in another form. In
determining whether two particular matters are the same, the lawyer should
consider the extent to which the matters involve the same basic facts, the same
or related parties, and the time elapsed.
Rule 1.12. Former Judge, Arbitrator,
Mediator or Other Third-Party Neutral
(a)
Except as stated in paragraph (d), a lawyer shall not represent anyone in
connection with a matter in which the lawyer participated personally and substantially
as a judge or other adjudicative officer, arbitrator, mediator or other
third-party neutral, or law clerk to such a person, unless all parties to the
proceeding give informed consent, confirmed in writing.
(b)
A lawyer shall not negotiate for employment with any person who is involved as
a party or as lawyer for a party in a matter in which the lawyer is
participating personally and substantially as a judge or other adjudicative
officer or as an arbitrator, mediator or other third-party neutral. A lawyer
serving as a law clerk to any such person may negotiate for employment with a
party or lawyer involved in a matter in which the clerk is participating
personally and substantially, but only after the lawyer has notified the law
clerk's employer.
(c)
If a lawyer is disqualified by paragraph (a), no lawyer in a firm with which
that lawyer is associated may knowingly undertake or continue representation in
the matter unless:
(1)
the disqualified lawyer is timely screened from any participation in the matter
and is apportioned no part of the fee therefrom; and
(2)
written notice is promptly given to the parties and any appropriate tribunal to
enable them to ascertain compliance with the provisions of this rule.
(d)
An arbitrator selected as a partisan of a party in a multi-member arbitration
panel is not prohibited from subsequently representing that party.
[1] This Rule
generally parallels Rule 1.11. The term “personally and substantially”
signifies that a judge who was a member of a multimember court, and thereafter
left judicial office to practice law, is not prohibited from representing a
client in a matter pending in the court, but in which the former judge did not
participate. So also the fact that a former judge exercised administrative
responsibility in a court does not prevent the former judge from acting as a
lawyer in a matter where the judge had previously exercised remote or
incidental administrative responsibility that did not affect the merits.
Compare the Comment to Rule 1.11. The term “adjudicative officer” includes such
officials as judges pro tempore, referees, special masters, hearing officers
and other parajudicial officers, and also lawyers who serve as part-time
judges. The Indiana Code of Judicial Conduct provides that a part-time judge,
judge pro tempore or retired judge recalled to active service, may not “act as
a lawyer in any proceeding in which he served as a judge or in any other
proceeding related thereto.” Although phrased differently from this Rule, those
rules correspond in meaning.
[2] Like former
judges, lawyers who have served as arbitrators, mediators or other third-party
neutrals may be asked to represent a client in a matter in which the lawyer
participated personally and substantially. This Rule forbids such
representation unless all of the parties to the proceedings give their informed
consent, confirmed in writing. See Rule 1.0(e) and (b). Other law or codes of
ethics governing third-party neutrals may impose more stringent standards of
personal or imputed disqualification. See Rule 2.4.
[3] Although
lawyers who serve as third-party neutrals do not have information concerning
the parties that is protected under Rule 1.6, they typically owe the parties an
obligation of confidentiality under law or codes of ethics governing
third-party neutrals. Thus, paragraph (c) provides that conflicts of the
personally disqualified lawyer will be imputed to other lawyers in a law firm
unless the conditions of this paragraph are met.
[4] Requirements
for screening procedures are stated in Rule 1.0(k). Paragraph (c)(1) does not
prohibit the screened lawyer from receiving a salary or partnership share
established by prior independent agreement, but that lawyer may not receive
compensation directly related to the matter in which the lawyer is
disqualified.
[5] Notice,
including a description of the screened lawyer's prior representation and of
the screening procedures employed, generally should be given as soon as
practicable after the need for screening becomes apparent.
Rule 1.13. Organization as Client
(a)
A lawyer employed or retained by an organization represents the organization
acting through its duly authorized constituents.
(b)
If a lawyer for an organization knows that an officer, employee or other person
associated with the organization is engaged in action, intends to act or
refuses to act in a matter related to the representation that is a violation of
a legal obligation to the organization, or a violation of law which reasonably
might be imputed to the organization, and that is likely to result in
substantial injury to the organization, then the lawyer shall proceed as is
reasonably necessary in the best interest of the organization. Unless the
lawyer reasonably believes that it is not necessary in the best interest of the
organization to do so, the lawyer shall refer the matter to higher authority in
the organization, including, if warranted by the circumstances to the highest
authority that can act on behalf of the organization as determined by applicable
law.
(c)
Except as provided in paragraph (d), if
(1)
despite the lawyer's efforts in accordance with paragraph (b) the highest
authority that can act on behalf of the organization insists upon or fails to
address in a timely and appropriate manner an action, or a refusal to act, that
is clearly a violation of law and
(2)
the lawyer reasonably believes that the violation is reasonably certain to
result in substantial injury to the organization, then the lawyer may reveal
information relating to the representation whether or not Rule 1.6 permits such
disclosure, but only if and to the extent the lawyer reasonably believes
necessary to prevent substantial injury to the organization.
(d)
Paragraph (c) shall not apply with respect to information relating to a
lawyer's representation of an organization to investigate an alleged violation
of law, or to defend the organization or an officer, employee or other
constituent associated with the organization against a claim arising out of an
alleged violation of law.
(e)
A lawyer who reasonably believes that he or she has been discharged because of
the lawyer's actions taken pursuant to paragraphs (b) or (c), or who withdraws
under circumstances that require or permit the lawyer to take action under
either of those paragraphs, shall proceed as the lawyer reasonably believes
necessary to assure that the organization's highest authority is informed of
the lawyer's discharge or withdrawal.
(f)
In dealing with an organization's directors, officers, employees, members,
shareholders or other constituents, a lawyer shall explain the identity of the
client when the lawyer knows or reasonably should know that the organization's
interests are adverse to those of the constituents with whom the lawyer is
dealing.
(g)
A lawyer representing an organization may also represent any of its directors,
officers, employees, members, shareholders or other constituents, subject to
the provisions of Rule 1.7. If the organization's consent to the dual
representation is required by Rule 1.7, the consent shall be given by an
appropriate official of the organization other than the individual who is to be
represented, or by the shareholders.
The
Entity as the Client
[1] An
organizational client is a legal entity, but it cannot act except through its
officers, directors, employees, shareholders and other constituents. Officers,
directors, employees and shareholders are the constituents of the corporate
organizational client. The duties defined in this Comment apply equally to
unincorporated associations. “Other constituents” as used in this Comment means
the positions equivalent to officers, directors, employees and shareholders
held by persons acting for organizational clients that are not corporations.
[2] When one of
the constituents of an organizational client communicates with the
organization's lawyer in that person's organizational capacity, the
communication is protected by Rule 1.6. Thus, by way of example, if an
organizational client requests its lawyer to investigate allegations of
wrongdoing, interviews made in the course of that investigation between the
lawyer and the client's employees or other constituents are covered by Rule
1.6. This does not mean, however, that constituents of an organizational client
are the clients of the lawyer. The lawyer may not disclose to such constituents
information relating to the representation except for disclosures explicitly or
impliedly authorized by the organizational client in order to carry out the
representation or as otherwise permitted by Rule 1. 6.
[3] When
constituents of the organization make decisions for it, the decisions
ordinarily must be accepted by the lawyer even if their utility or prudence is
doubtful. Decisions concerning policy and operations, including ones entailing
serious risk, are not as such in the lawyer's province. Paragraph (b) makes
clear, however, that when the lawyer knows that the organization is likely to
be substantially injured by action of an officer or other constituent that
violates a legal obligation to the organization or is in violation of law that
might be imputed to the organization, the lawyer must proceed as is reasonably
necessary in the best interest of the organization. As defined in Rule 1.0(f),
knowledge can be inferred from circumstances, and a lawyer cannot ignore the
obvious.
[4] In
determining how to proceed under paragraph (b), the lawyer should give due
consideration to the seriousness of the violation and its consequences, the
responsibility in the organization and the apparent motivation of the person
involved, the policies of the organization concerning such matters, and any
other relevant considerations. Ordinarily, referral to a higher authority would
be necessary. In some circumstances, however, it may be appropriate for the
lawyer to ask the constituent to reconsider the matter; for example, if the
circumstances involve a constituent's innocent misunderstanding of law and
subsequent acceptance of the lawyer's advice, the lawyer may reasonably
conclude that the best interest of the organization does not require that the
matter be referred to higher authority. If a constituent persists in conduct
contrary to the lawyer's advice, it will be necessary for the lawyer to take
steps to have the matter reviewed by a higher authority in the organization. If
the matter is of sufficient seriousness and importance or urgency to the
organization, referral to higher authority in the organization may be necessary
even if the lawyer has not communicated with the constituent. Any measures
taken should, to the extent practicable, minimize the risk of revealing
information relating to the representation to persons outside the organization.
Even in circumstances where a lawyer is not obligated by Rule 1.13 to proceed,
a lawyer may bring to the attention of an organizational client, including its highest
authority, matters that the lawyer reasonably believes to be of sufficient
importance to warrant doing so in the best interest of the organization.
[5] Paragraph (b)
also makes clear that when it is reasonably necessary to enable the
organization to address the matter in a timely and appropriate manner, the
lawyer must refer the matter to higher authority, including, if warranted by
the circumstances, the highest authority that can act on behalf of the
organization under applicable law. The organization's highest authority to whom
a matter may be referred ordinarily will be the board of directors or similar
governing body. However, applicable law may prescribe that under certain
conditions the highest authority reposes elsewhere, for example, in the
independent directors of a corporation.
Relation
to Other Rules
[6] The authority
and responsibility provided in this Rule are concurrent with the authority and
responsibility provided in other Rules. In particular, this Rule does not limit
or expand the lawyer's responsibility under Rules 1.8, 1.16, 3.3 or 4.1.
Paragraph (c) of this Rule supplements Rule 1.6(b) by providing an additional
basis upon which the lawyer may reveal information relating to the
representation, but does not modify, restrict, or limit the provisions of Rule
1.6(b)(1)--(6). Under paragraph (c) the lawyer may reveal such information only
when the organization's highest authority insists upon or fails to address
threatened or ongoing action that is clearly a violation of law, and then only
to the extent the lawyer reasonably believes necessary to prevent reasonably
certain substantial injury to the organization. It is not necessary that the
lawyer's services be used in furtherance of the violation, but it is required
that the matter be related to the lawyer's representation of the organization.
If the lawyer's services are being used by an organization to further a crime
or fraud by the organization, Rules 1.6(b)(2) and 1.6(b)(3) may permit the
lawyer to disclose confidential information. In such circumstances Rule 1.2(d)
may also be applicable, in which event, withdrawal from the representation
under Rule 1.16(a)(1) may be required.
[7] Paragraph (d)
makes clear that the authority of a lawyer to disclose information relating to
a representation in circumstances described in paragraph (c) does not apply
with respect to information relating to a lawyer's engagement by an
organization to investigate an alleged violation of law or to defend the
organization or an officer, employee or other person associated with the
organization against a claim arising out of an alleged violation of law. This
is necessary in order to enable organizational clients to enjoy the full
benefits of legal counsel in conducting an investigation or defending against a
claim.
[8] A lawyer who
reasonably believes that he or she has been discharged because of the lawyer's
actions taken pursuant to paragraph (b) or (c), or who withdraws in
circumstances that require or permit the lawyer to take action under either of
these paragraphs, must proceed as the lawyer reasonably believes necessary to
assure that the organization's highest authority is informed of the lawyer's
discharge or withdrawal.
Government
Agency
[9] The duty
defined in this Rule applies to governmental organizations. Defining precisely
the identity of the client and prescribing the resulting obligations of such
lawyers may be more difficult in the government context and is a matter beyond
the scope of these Rules. See Scope [18]. Although in some circumstances the
client may be a specific agency, it may also be a branch of government, such as
the executive branch, or the government as a whole. For example, if the action
or failure to act involves the head of a bureau, either the department of which
the bureau is a part or the relevant branch of government may be the client for
purposes of this Rule. Moreover, in a matter involving the conduct of
government officials, a government lawyer may have authority under applicable
law to question such conduct more extensively than that of a lawyer for a
private organization in similar circumstances. Thus, when the client is a
governmental organization, a different balance may be appropriate between
maintaining confidentiality and assuring that the wrongful act is prevented or
rectified, for public business is involved. In addition, duties of lawyers
employed by the government or lawyers in military service may be defined by
statutes and regulation. This Rule does not limit that authority. See Scope.
Clarifying
the Lawyer's Role
[10] There are
times when the organization's interest may be or become adverse to those of one
or more of its constituents. In such circumstances the lawyer should advise any
constituent, whose interest the lawyer finds adverse to that of the
organization of the conflict or potential conflict of interest, that the lawyer
cannot represent such constituent, and that such person may wish to obtain
independent representation. Care must be taken to assure that the individual
understands that, when there is such adversity of interest, the lawyer for the
organization cannot provide legal representation for that constituent
individual, and that discussions between the lawyer for the organization and
the individual may not be privileged.
[11] Whether such
a warning should be given by the lawyer for the organization to any constituent
individual may turn on the facts of each case.
Dual
Representation
[12] Paragraph
(g) recognizes that a lawyer for an organization may also represent a principal
officer or major shareholder.
Derivative
Actions
[13] Under
generally prevailing law, the shareholders or members of a corporation may
bring suit to compel the directors to perform their legal obligations in the
supervision of the organization. Members of unincorporated associations have
essentially the same right. Such an action may be brought nominally by the
organization, but usually is, in fact, a legal controversy over management of
the organization.
[14] The question
can arise whether counsel for the organization may defend such an action. The
proposition that the organization is the lawyer's client does not alone resolve
the issue. Most derivative actions are a normal incident of an organization's
affairs, to be defended by the organization's lawyer like any other suit.
However, if the claim involves serious charges of wrongdoing by those in
control of the organization, a conflict may arise between the lawyer's duty to
the organization and the lawyer's relationship with the board. In those
circumstances, Rule 1.7 governs who should represent the directors and the
organization.
Rule 1.14. Client with Diminished
Capacity
(a) When a client's capacity to make adequately
considered decisions in connection with a representation is diminished, whether
because of minority, mental impairment or for some other reason, the lawyer
shall, as far as reasonably possible, maintain a normal client-lawyer
relationship with the client.
(b) When the lawyer reasonably believes that the client
has diminished capacity, is at risk of substantial physical, financial or other
harm unless action is taken and cannot adequately act in the client's own
interest, the lawyer may take reasonably necessary protective action, including
consulting with individuals or entities that have the ability to take action to
protect the client and, in appropriate cases, seeking the appointment of a
guardian ad litem, conservator or guardian.
(c) Information relating to the representation of a
client with diminished capacity is protected by Rule 1.6. When taking
protective action pursuant to paragraph (b), the lawyer is impliedly authorized
under Rule 1.6(a) to reveal information about the client, but only to the
extent reasonably necessary to protect the client's interests.
(d) This Rule is not violated if the lawyer acts in good
faith to comply with the Rule.
[1] The normal
client-lawyer relationship is based on the assumption that the client, when
properly advised and assisted, is capable of making decisions about important
matters. When the client is a minor or suffers from a diminished mental
capacity, however, maintaining the ordinary client-lawyer relationship may not
be possible in all respects. In particular, a severely incapacitated person may
have no power to make legally binding decisions. Nevertheless, a client with
diminished capacity often has the ability to understand, deliberate upon, and
reach conclusions about matters affecting the client's own well-being. For
example, children as young as five or six years of age, and certainly those of
ten or twelve, are regarded as having opinions that are entitled to weight in
legal proceedings concerning their custody. So also, it is recognized that some
persons of advanced age can be quite capable of handling routine financial
matters while needing special legal protection concerning major transactions.
[2] The fact that
a client suffers a disability does not diminish the lawyer's obligation to
treat the client with attention and respect. Even if the person has a legal
representative, the lawyer should as far as possible accord the represented
person the status of client, particularly in maintaining communication.
[3] The client
may wish to have family members or other persons participate in discussions
with the lawyer. When necessary to assist in the representation, the presence
of such persons generally does not affect the applicability of the
attorney-client evidentiary privilege. Nevertheless, the lawyer must keep the
client's interests foremost and, except for protective action authorized under
paragraph (b), must look to the client, and not family members, to make
decisions on the client's behalf.
[4] If a legal
representative has already been appointed for the client, the lawyer should
ordinarily look to the representative for decisions on behalf of the client. In
matters involving a minor, whether the lawyer should look to the parents as
natural guardians may depend on the type of proceeding or matter in which the
lawyer is representing the minor. If the lawyer represents the guardian as
distinct from the ward, and is aware that the guardian is acting adversely to
the ward's interest, the lawyer may have an obligation to prevent or rectify
the guardian's misconduct. See Rule 1.2(d).
Taking
Protective Action
[5] If a lawyer
reasonably believes that a client is at risk of substantial physical, financial
or other harm unless action is taken, and that a normal client-lawyer
relationship cannot be maintained as provided in paragraph (a) because the
client lacks sufficient capacity to communicate or to make adequately
considered decisions in connection with the representation, then paragraph (b)
permits the lawyer to take protective measures deemed necessary. Such measures
could include: consulting with family members, using a reconsideration period
to permit clarification or improvement of circumstances, using voluntary
surrogate decision making tools such as durable powers of attorney or
consulting with support groups, professional services, adult-protective
agencies or other individuals or entities that have the ability to protect the
client. In taking any protective action, the lawyer should be guided by such
factors as the wishes and values of the client to the extent known, the
client's best interests and the goals of intruding into the client's decision
making autonomy to the least extent feasible, maximizing client capacities and
respecting the client's family and social connections.
[6] In
determining the extent of the client's diminished capacity, the lawyer should
consider and balance such factors as: the client's ability to articulate
reasoning leading to a decision, variability of state of mind and ability to
appreciate consequences of a decision; the substantive fairness of a decision;
and the consistency of a decision with the known long-term commitments and
values of the client. In appropriate circumstances, the lawyer may seek
guidance from an appropriate diagnostician.
[7] If a legal
representative has not been appointed, the lawyer should consider whether
appointment of a guardian ad litem, conservator or guardian is necessary to
protect the client's interests. Thus, if a client with diminished capacity has
substantial property that should be sold for the client's benefit, effective
completion of the transaction may require appointment of a legal
representative. In addition, rules of procedure in litigation sometimes provide
that minors or persons with diminished capacity must be represented by a
guardian or next friend if they do not have a general guardian. In many
circumstances, however, appointment of a legal representative may be more
expensive or traumatic for the client than circumstances in fact require.
Evaluation of such circumstances is a matter entrusted to the professional
judgment of the lawyer. In considering alternatives, however, the lawyer should
be aware of any law that requires the lawyer to advocate the least restrictive
action on behalf of the client.
Disclosure
of the Client's Condition
[8] Disclosure of
the client's diminished capacity could adversely affect the client's interests.
For example, raising the question of diminished capacity could, in some
circumstances, lead to proceedings for involuntary commitment. Information
relating to the representation is protected by Rule 1.6. Therefore, unless
authorized to do so, the lawyer may not disclose such information. When taking
protective action pursuant to paragraph (b), the lawyer is impliedly authorized
to make the necessary disclosures, even when the client directs the lawyer to
the contrary. Nevertheless, given the risks of disclosure, paragraph (c) limits
what the lawyer may disclose in consulting with other individuals or entities
or seeking the appointment of a legal representative. At the very least, the
lawyer should determine whether it is likely that the person or entity
consulted with will act adversely to the client's interests before discussing
matters related to the client. The lawyer's position in such cases is an
unavoidably difficult one.
Emergency
Legal Assistance
[9] In an
emergency where the health, safety or a financial interest of a person with
seriously diminished capacity is threatened with imminent and irreparable harm,
a lawyer may take legal action on behalf of such a person even though the
person is unable to establish a client-lawyer relationship or to make or
express considered judgments about the matter, when the person or another
acting in good faith on that person's behalf has consulted with the lawyer.
Even in such an emergency, however, the lawyer should not act unless the lawyer
reasonably believes that the person has no other lawyer, agent or other
representative available. The lawyer should take legal action on behalf of the
person only to the extent reasonably necessary to maintain the status quo or
otherwise avoid imminent and irreparable harm. A lawyer who undertakes to
represent a person in such an exigent situation has the same duties under these
Rules as the lawyer would with respect to a client.
[10] A lawyer who
acts on behalf of a person with seriously diminished capacity in an emergency
should keep the confidences of the person as if dealing with a client,
disclosing them only to the extent necessary to accomplish the intended
protective action. The lawyer should disclose to any tribunal involved and to
any other counsel involved the nature of his or her relationship with the
person. The lawyer should take steps to regularize the relationship or
implement other protective solutions as soon as possible. Normally, a lawyer
would not seek compensation for such emergency actions taken.
Rule 1.15. Safekeeping Property
(a)
A lawyer shall hold property of clients or third persons that is in a lawyer's
possession in connection with a representation separate from the lawyer's own
property. Funds shall be kept in a separate account maintained in the state
where the lawyer's office is situated, or elsewhere with the consent of the
client or third person. Other property shall be identified as such and
appropriately safeguarded. Complete records of such account funds and other
property shall be kept by the lawyer and shall be preserved for a period of
five years after termination of the representation.
(b)
A lawyer may deposit his or her own funds reasonably sufficient to maintain a
nominal balance in a client trust account.
(c)
A lawyer shall deposit into a client trust account legal fees and expenses that
have been paid in advance, to be withdrawn by the lawyer only as fees are
earned or expenses incurred.
(d)
Upon receiving funds or other property in which the client or third person has
an interest, a lawyer shall promptly notify the client or third person. Except
as stated in this rule or otherwise permitted by law or by agreement with the
client, a lawyer shall promptly deliver to the client or third person any funds
or other property that the client or third person is entitled to receive and,
upon request by the client or third person, shall promptly render a full
accounting regarding such property.
(e)
When in the course of representation a lawyer is in possession of property in
which two or more persons (one of whom may be the lawyer) claim interests, the
property shall be kept separate by the lawyer until the dispute is resolved.
The lawyer shall promptly distribute all portions of the property as to which
the interests are not in dispute.
(f)
Except as provided in paragraph (g) of this rule, a lawyer or law firm shall
create and maintain an interest-bearing trust account for clients' funds which
are nominal in amount or to be held for a short period of time so that they
could not earn income for the client in excess of the costs incurred to secure
such income (hereinafter sometimes referred to as an “IOLTA account”) in
compliance with the following provisions:
(1)
Client funds shall be deposited in a lawyer's or law firm's IOLTA account
unless the funds can earn income for the client in excess of the costs incurred
to secure such income. A lawyer or law firm shall establish a separate
interest-bearing trust account for clients' funds which are neither nominal in
amount nor to be held for a short period of time and which could earn income
for the client in excess of costs for a particular client or client's matter.
All of the interest on such account, net of any transaction costs, shall be
paid to the client, and no earnings from such account shall be made available
to a lawyer or law firm.
(2)
No earnings from such an IOLTA account shall be made available to a lawyer or
law firm.
(3)
The IOLTA account shall include all clients' funds which are nominal in amount
or to be held for a short period of time.
(4)
An IOLTA account may be established with any financial institution (i)
authorized by federal or state law to do business in Indiana, (ii) insured by
the Federal Deposit Insurance Corporation or its equivalent, and (iii) approved
as a depository for trust accounts pursuant to Indiana Admission and Discipline
Rules, Rule 23, Section 29. Funds in each IOLTA account shall be subject to
withdrawal upon request and without delay and without risk to principal by
reason of said withdrawal.
(5)
Participating financial institutions shall maintain IOLTA accounts which pay
the highest interest rate or dividend generally available from the institution
to its non-IOLTA account customers when IOLTA accounts meet or exceed the same
minimum balance or other account eligibility qualifications, if any. In
determining the highest interest rate or dividend generally available from the
institution to its non-IOLTA accounts, eligible institutions may consider
factors, in addition to the IOLTA account balance, customarily considered by
the institution when setting interest rates or dividends for its customers,
provided that such factors do not discriminate between IOLTA accounts and
accounts of non-IOLTA customers, and that these factors do not include that the
account is an IOLTA account. All interest earned net of fees or charges shall
be remitted to the Indiana Bar Foundation (the “Foundation”), which is
designated in paragraph (i) of this rule to organize and administer the IOLTA
program, and the depository institution shall submit reports thereon as set
forth below.
(6)
Lawyers or law firms depositing client funds in an IOLTA account established
pursuant to this rule shall, on forms approved by the Foundation, direct the
depository institution:
(A)
to remit all interest or dividends, net of reasonable service charges or fees,
if any, on the average monthly balance in the account, or as otherwise computed
in accordance with the institution's standard accounting practice, at least
quarterly, solely to the Foundation. The depository institution may remit the
interest or dividends on all of its IOLTA accounts in a lump sum; however, the
depository institution must provide, for each individual IOLTA account, the
information to the lawyer or law firm and to the Foundation required by
subparagraphs (f)(6)(B) and (f)(6)(C) of this rule;
(B)
to transmit with each remittance to the Foundation a statement showing the name
of the lawyer or law firm for whom the remittance is sent, the rate of interest
applied, and such other information as is reasonably required by the
Foundation;
(C)
to transmit to the depositing lawyer or law firm a periodic account statement
for the IOLTA account reflecting the amount of interest paid to the Foundation,
the rate of interest applied, the average account balance for the period for
which the interest was earned, and such other information as is reasonably
required by the Foundation; and
(D)
to waive any reasonable service charge that exceeds the interest earned on any
IOLTA account during a reporting period (“excess charge”), or bill the excess
charge to the Foundation.
(7)
Any IOLTA account which has or may have the net effect of costing the IOLTA
program more in fees than earned in interest over a period of time may, at the
discretion of the Foundation, be exempted from and removed from the IOLTA
program. Exemption of an IOLTA account from the IOLTA program revokes the
permission to use the Foundation's tax identification number for that account.
Exemption of such account from the IOLTA program shall not relieve the lawyer
and/or law firm from the obligation to maintain the property of clients and
third persons separately, as required above, in a non-interest bearing account.
(8)
The IOLTA program will issue refunds when interest has been remitted in error,
whether the error is the bank's or the lawyer's. Requests for refunds must be
submitted in writing by the bank, the lawyer, or the law firm on a timely
basis, accompanied by documentation that confirms the amount of interest paid
to the IOLTA program. As needed for auditing purposes, the IOLTA program may
request additional documentation to support the request. The refund will be
remitted to the appropriate financial institution for transmittal at the
lawyer's direction after appropriate accounting and reporting. In no event will
the refund exceed the amount of interest actually received by the IOLTA
program.
(9)
All funds transmitted to the Foundation pursuant to this Rule shall be held,
invested and distributed periodically in accordance with a plan of distribution
which shall be prepared by the Foundation and approved at least biennially by
the Supreme Court of Indiana, for the following purposes:
(A)
to pay or provide for all costs, expenses and fees associated with the
administration of the funds under this Rule;
(B)
to establish appropriate reserves;
(C)
to support civil legal assistance and pro bono programs in Indiana;
(D)
for such other programs for the benefit of the public as are specifically
approved by the Supreme Court from time to time.
(10)
The information contained in the statements forwarded to the Foundation under
subparagraph (f)(6) of this rule shall remain confidential and the provisions
of Rule 1.6 (Confidentiality of Information), are not hereby abrogated;
therefore the Foundation shall not release any information contained in any
such statement other than as a compilation of data from such statements, except
as directed in writing by the Supreme Court.
(11)
The Foundation shall have full authority to and shall, from time to time,
prepare and submit to the Supreme Court for approval, forms, procedures,
instructions and guidelines necessary and appropriate to implement the
provisions set forth in this rule and, after approval thereof by the Court,
shall promulgate same.
(g)
Every lawyer admitted to practice in this State shall annually certify to this
Court, pursuant to Ind.Admis.Disc.R. 2(f), that all client funds which are
nominal in amount or to be held for a short period of time by the lawyer or the
lawyer's law firm so that they could not earn income for the client in excess
of the costs incurred to secure such income are held in an IOLTA account, or
that the lawyer is exempt because:
(1)
the lawyer or law firm's client trust account has been exempted and removed
from the IOLTA program by the Foundation pursuant to subparagraph (f)(7) of
this rule; or
(2)
the lawyer:
(A)
is not engaged in the private practice of law;
(B)
is not engaged in the private practice of law in Indiana that involves holding
client or third party funds in trust;
(C)
does not have an office within the State of Indiana;
(D)
is a judge, attorney general, public defender, U.S. attorney, district
attorney, on duty with the armed services or employed by a local, state or
federal government, and is not otherwise engaged in the private practice of
law;
(E)
is a corporate counsel or teacher of law and is not otherwise engaged in the
private practice of law;
(F)
has been exempted by an order of general or special application of this Court
which is cited in the certification; or
(G)
compliance with paragraph (f) would work an undue hardship on the lawyer or
would be extremely impractical, based either on the geographic distance between
the lawyer's principal office and the closest depository institution which is
participating in the IOLTA program, or on other compelling and necessitous
factors.
(h) In the exercise of a lawyer's
good faith judgment in determining whether funds of a client can earn income in
excess of costs, a lawyer shall take into consideration the following factors:
(1) the amount of interest which the
funds would earn during the period they are expected to be deposited;
(2) the cost of establishing and
administering the account, including the cost of the lawyer's services,
accounting fees, and tax reporting costs and procedures;
(3) the capability of a financial
institution, a lawyer or a law firm to calculate and pay income to individual
clients;
(4) any other circumstances that
affect the ability of the client's funds to earn a net return for the client;
and
(5) the nature of the transaction(s)
involved. The determination of whether a client's funds are nominal or
short-term so that they could not earn income in excess of costs shall rest in
the sound judgment of the lawyer or law firm. No lawyer shall be charged with
an ethical impropriety or other breach of professional conduct based on the
good faith exercise of such judgment.
(i) The Foundation is hereby
designated as the entity to organize and administer the IOLTA program
established by paragraph (f) of this rule in accordance with the following
provisions:
(1) The Board of Directors of the
Foundation (the “Board”) shall have general supervisory authority over the
administration of the IOLTA program, subject to the continuing jurisdiction of
the Supreme Court.
(2) The Board shall receive the net
earnings from IOLTA accounts established in accordance with paragraph (f) of
this rule and shall make appropriate temporary investments of IOLTA program
funds pending disbursement of such funds.
(3) The Board shall, by grants,
appropriations and other appropriate measures, make disbursements from the
IOLTA program funds, including current and accumulated net earnings, in
accordance with the plan of distribution approved by the Supreme Court from time
to time referenced in subparagraph (f)(9) of this rule.
(4) The Board shall maintain proper
records of all IOLTA program receipts and disbursements, which records shall be
audited or reviewed annually by a certified public accountant selected by the
Board. The Board shall annually cause to be presented to the Supreme Court a
reviewed or audited financial statement of its IOLTA program receipts and
expenditures for the prior year. The report shall not identify any clients of
lawyers or law firms or reveal confidential information. The statement shall be
filed with the Clerk of the Supreme Court and a summary thereof shall be
published in the next available issue of one or more state-wide publications
for attorneys, such as Res Gestae and The Indiana Lawyer.
(5) The president and other members
of the Board shall administer the IOLTA program without compensation, but may
be reimbursed for their reasonable and necessary expenses incurred in the
performance of their duties, and shall be indemnified by the Foundation against
any liability or expense arising directly or indirectly out of the good faith
performance of their duties.
(6) The Board shall monitor attorney
compliance with the provisions of this rule and periodically report to the
Supreme Court those attorneys not in compliance with the provisions of Rule
1.15.
(7) In the event the IOLTA program or
its administration by the Foundation is terminated, all assets of the IOLTA
program, including any program funds then on hand, shall be transferred in
accordance with the Order of the Supreme Court terminating the IOLTA program or
its administration by the Foundation; provided, such transfer shall be to an
entity which will not violate the requirements the Foundation must observe
regarding transfer of its assets in order to retain its tax-exempt status under
the Internal Revenue Code of 1986, as amended, or similar future provisions of
law.
(j) A lawyer,
law firm, or estate of a deceased lawyer with unclaimed or unidentified funds
in a client trust account shall take reasonable efforts to locate and to
distribute the funds to the owner. Unclaimed funds are monies which a lawyer or
firm is holding in a client trust account that should be distributed to a
client or third party. Unidentified funds are monies for which the lawyer or
firm cannot identify an owner.
(1)
If a lawyer, law firm, or estate of a deceased lawyer cannot identify or locate
the owner of funds in its IOLTA or non-IOLTA trust account, it shall pay the
funds to the Indiana Bar Foundation for use in accordance with this Rule. Once
the lawyer or law firm has an obligation to pay or distribute these funds, the
lawyer or law firm has a period of five (5) years to identify or locate the
owner of funds.
(2)
A lawyer’s or law firm’s reasonable efforts to identify the owner of funds
include a review of transaction records, client ledgers, case files, and any
other relevant fee records. Reasonable efforts to locate the owner of funds
include periodic correspondence of the type contemplated by the lawyer’s or law
firm’s relationship with the client, former client, or third party. Should such
correspondence prove unsuccessful, a lawyer’s or law firm’s reasonable efforts
include efforts similar to those that would be undertaken when attempting to
locate a person for service of process, such as examinations of local telephone
directories, courthouse records, voter registration records, local tax records,
motor vehicle records, or the use of consolidated online search services that
access such records.
(3)
A lawyer, law firm or lawyer’s estate shall certify those reasonable efforts to
locate or identify the owner before remitting such funds to the Indiana Bar
Foundation. At the time such funds are remitted, the lawyer shall submit to the
Indiana Bar Foundation the name and last known address of each person appearing
from the lawyer’s or law firm’s records to be entitled to the funds, if known,
along with the amount of any unclaimed or unidentified funds.
(4)
If, within five (5) years of remitting unclaimed or unidentified funds to the
Indiana Bar Foundation, the lawyer, law firm, or deceased lawyer’s estate
identifies and locates the owner of funds paid, the Indiana Bar Foundation
shall refund the sum to the lawyer, law firm, or deceased lawyer’s estate. The
lawyer, law firm, or deceased lawyer’s estate shall submit to the Foundation a
verification attesting that the funds have been returned to the owner. The
Indiana Bar Foundation shall maintain sufficient reserves to pay all claims for
such funds.
(5)
A lawyer’s or law firm’s remittance to the Indiana Bar Foundation under this
paragraph (h) shall not constitute misconduct or grounds for discipline if the
lawyer or law firm exercised reasonable efforts to locate the owner and
distribute the funds, and remitted the funds to the Indiana Bar Foundation in
good faith. A lawyer’s or law firm’s duty to locate the owner of unclaimed
funds shall terminate once they have made reasonable efforts to locate the
owner of those funds for a period of five (5) years, and they have remitted the
funds to the Indiana Bar Foundation. A lawyer or law firm shall include a
provision in its engagement letter or fee agreement describing this Rule 1.15
process for unclaimed and unidentified funds. It is professional misconduct under
Rule 8.4 of Indiana’s Rules of Professional Conduct for a lawyer or law firm to
remit unidentified or unclaimed funds to the Foundation prior to making
reasonable efforts to locate the owner and distribute the funds.
[1] A lawyer
should hold property of others with the care required of a professional
fiduciary. Securities should be kept in a safe deposit box, except when some
other form of safekeeping is warranted by special circumstances. All property
that is the property of clients or third persons, including prospective
clients, must be kept separate from the lawyer's business and personal property
and, if monies, in one or more trust accounts. Separate trust accounts may be
warranted when administering estate monies or acting in similar fiduciary
capacities. A lawyer should maintain on a current basis books and records in
accordance with generally accepted accounting practice and comply with any
recordkeeping rules established by law or court order. See, e.g., ABA Model
Financial
Recordkeeping Rule.
[2] While
normally it is impermissible to commingle the lawyer's own funds with client
funds, paragraph (b) provides that it is permissible when necessary to maintain
a nominal balance in the account. Accurate records must be kept regarding which
part of the funds are the lawyer's.
[3] Lawyers often
receive funds from which the lawyer's fee will be paid. The lawyer is not
required to remit to the client, funds that the lawyer reasonably believes
represent fees owed. However, a lawyer may not hold funds to coerce a client
into accepting the lawyer's contention. The disputed portion of the funds must
be kept in a trust account and the lawyer should suggest means for prompt
resolution of the dispute, such as arbitration. The undisputed portion of the
funds shall be promptly distributed.
[4] Paragraph (e)
also recognizes that third parties may have lawful claims against specific
funds or other property in a lawyer's custody, such as a client's creditor who
has a lien on funds recovered in a personal injury action. A lawyer may have a
duty under applicable law to protect such third-party claims against wrongful
interference by the client. In such cases, when the third-party claim is not
frivolous under applicable law, the lawyer must refuse to surrender the
property to the client until the claims are resolved. A lawyer should not
unilaterally assume to arbitrate a dispute between the client and the third
party, but, when there are substantial grounds for dispute as to the person
entitled to the funds, the lawyer may file an action to have a court resolve
the dispute.
[5] The
obligations of a lawyer under this Rule are independent of those arising from
activity other than rendering legal services. For example, a lawyer who serves
only as an escrow agent is governed by the applicable law relating to
fiduciaries even though the lawyer does not render legal services in the
transaction and is not governed by this Rule.
[6] A lawyers'
fund for client protection provides a means through the collective efforts of
the bar to reimburse persons who have lost money or property as a result of
dishonest conduct of a lawyer. Where such a fund has been established, a lawyer
must participate where it is mandatory, and, even when it is voluntary, the
lawyer should participate.
Unclaimed
or Unidentified Funds in a Client Trust Account.
[7] For
purposes of paragraph (j), unidentified funds refer to funds accumulated in an IOLTA
account that cannot be reasonably documented as belonging to a client, former
client, third party, or the lawyer or law firm. Unclaimed funds refer to funds
for which a client, former client, or third party appears to have an interest,
but has not responded to the lawyer’s or law firm’s reasonable efforts to
encourage the client, former client, or third party to claim their rightful
funds.
[8]
The Indiana Bar Foundation shall make a standardized form with instructions
available on the Foundation’s website or by request for use by lawyers
submitting unclaimed or unidentified funds to the Foundation.
[9] During the five (5) year period after
unclaimed funds are remitted to the Foundation, the Foundation will strive to
work with the Indiana Office of the Attorney General to continue reasonable
efforts to contact the owners of these unclaimed funds.
[10]
A lawyer or law firm that includes a provision in its engagement letter or fee agreement
describing this Rule 1.15 process for unclaimed and unidentified funds shall receive protection from
liability as long as they exercise reasonable efforts to identify the owner of
unidentified funds and locate the owner of unclaimed funds.
Rule 1.16.
Declining or Terminating Representation
(a)
Except as stated in paragraph (c), a lawyer shall not represent a client or,
where representation has commenced, shall withdraw from the representation of a
client if:
(1)
the representation will result in violation of the Rules of Professional
Conduct or other law;
(2)
the lawyer's physical or mental condition materially impairs the lawyer's
ability to represent the client; or
(3)
the lawyer is discharged.
(b)
Except as stated in paragraph (c), a lawyer may withdraw from representing a
client if:
(1)
withdrawal can be accomplished without material adverse effect on the interests
of the client;
(2)
the client persists in a course of action involving the lawyer's services that
the lawyer reasonably believes is criminal or fraudulent;
(3)
the client has used the lawyer's services to perpetrate a crime or fraud;
(4)
a client insists upon taking action that the lawyer considers repugnant or with
which the lawyer has a fundamental disagreement;
(5)
the client fails substantially to fulfill an obligation to the lawyer regarding
the lawyer's services and has been given reasonable warning that the lawyer
will withdraw unless the obligation is fulfilled;
(6)
the representation will result in an unreasonable financial burden on the
lawyer or has been rendered unreasonably difficult by the client; or
(7)
other good cause for withdrawal exists.
(c)
A lawyer must comply with applicable law requiring notice to or permission of a
tribunal when terminating a representation. When ordered to do so by a
tribunal, a lawyer shall continue representation notwithstanding good cause for
terminating the representation.
(d)
Upon termination of representation, a lawyer shall take steps to the extent
reasonably practicable to protect a client's interests, such as giving
reasonable notice to the client, allowing time for employment of other counsel,
surrendering papers and property to which the client is entitled and refunding
any advance payment of fee or expense that has not been earned or incurred. The
lawyer may retain papers relating to the client to the extent permitted by
other law.
[1] A lawyer
should not accept representation in a matter unless it can be performed
competently, promptly, without improper conflict of interest and to completion.
Ordinarily, a representation in a matter is completed when the agreed-upon
assistance has been concluded. See Rules 1.2(c) and 6.5. See also Rule 1.3,
Comment [4].
Mandatory
Withdrawal
[2] A lawyer
ordinarily must decline or withdraw from representation if the client demands
that the lawyer engage in conduct that is illegal or violates the Rules of
Professional Conduct or other law. The lawyer is not obliged to decline or
withdraw simply because the client suggests such a course of conduct; a client
may make such a suggestion in the hope that a lawyer will not be constrained by
a professional obligation.
[3] When a lawyer
has been appointed to represent a client, withdrawal ordinarily requires
approval of the appointing authority. See also Rule 6.2. Similarly, court
approval or notice to the court is often required by applicable law before a
lawyer withdraws from pending litigation. Difficulty may be encountered if
withdrawal is based on the client's demand that the lawyer engage in
unprofessional conduct. The court may request an explanation for the
withdrawal, while the lawyer may be bound to keep confidential the facts that
would constitute such an explanation. The lawyer's statement that professional
considerations require termination of the representation ordinarily should be
accepted as sufficient.. Lawyers should be mindful of their obligations to both
clients and the court under Rules 1.6 and 3.3.
Discharge
[4] A client has
a right to discharge a lawyer at any time, with or without cause, subject to
liability for payment for the lawyer's services. Where future dispute about the
withdrawal may be anticipated, it may be advisable to prepare a written
statement reciting the circumstances.
[5] Whether a
client can discharge appointed counsel may depend on applicable law. A client
seeking to do so should be given a full explanation of the consequences. These
consequences may include a decision by the appointing authority that
appointment of successor counsel is unjustified, thus requiring
self-representation by the client.
[6] If the client
has severely diminished capacity, the client may lack the legal capacity to
discharge the lawyer, and in any event the discharge may be seriously adverse
to the client's interests. The lawyer should make special effort to help the
client consider the consequences and may take reasonably necessary protective
action as provided in Rule 1.14.
Optional
Withdrawal
[7] A lawyer may
withdraw from representation in some circumstances. The lawyer has the option
to withdraw if it can be accomplished without material adverse effect on the
client's interests. Withdrawal is also justified if the client persists in a
course of action that the lawyer reasonably believes is criminal or fraudulent,
for a lawyer is not required to be associated with such conduct even if the
lawyer does not further it. Withdrawal is also permitted if the lawyer's
services were misused in the past even if that would materially prejudice the
client. The lawyer may also withdraw where the client insists on taking action
that the lawyer considers repugnant or with which the lawyer has a fundamental
disagreement.
[8] A lawyer may
withdraw if the client refuses to abide by the terms of an agreement relating
to the representation, such as an agreement concerning fees or court costs or
an agreement limiting the objectives of the representation.
Assisting
the Client upon Withdrawal
[9] Even if the
lawyer has been unfairly discharged by the client, a lawyer must take all
reasonable steps to mitigate the consequences to the client. The lawyer may
retain papers as security for a fee only to the extent permitted by law. See
Rule 1.15.
Rule 1.17. Sale of Law Practice
A lawyer or a law firm may sell or purchase a law
practice, or an area of law practice, including goodwill, if the following
conditions are satisfied:
(a)
The seller ceases to engage in the private practice of law, or in the area of
practice that has been sold, in the geographic area in which the practice has
been conducted.
(b)
The entire practice, or the entire area of practice, is sold to one or more
lawyers or law firms.
(c)
The seller gives written notice to each of the seller's clients regarding:
(1)
the proposed sale;
(2)
the client's right to retain other counsel or to take possession of the file;
and
(3)
the fact that the client's consent to the transfer of the client's files will
be presumed if the client does not take any action or does not otherwise object
within ninety (90) days of receipt of the notice.
If a client cannot be given notice,
the representation of that client may be transferred to the purchaser only upon
entry of an order so authorizing by a court having jurisdiction. The seller may
disclose to the court in camera information relating to the representation only
to the extent necessary to obtain an order authorizing the transfer of a file.
(d)
The fees charged clients shall not be increased by reason of the sale.
[1] The practice
of law is a profession, not merely a business. Clients are not commodities that
can be purchased and sold at will. Pursuant to this Rule, when a lawyer or an
entire firm ceases to practice, or ceases to practice in an area of law, and
other lawyers or firms take over the representation, the selling lawyer or firm
may obtain compensation for the reasonable value of the practice as may
withdrawing partners of law firms. See Rules 5.4 and 5.6.
Termination
of Practice by the Seller
[2] The
requirement that all of the private practice, or all of an area of practice, be
sold is satisfied if the seller in good faith makes the entire practice, or the
area of practice, available for sale to the purchasers. The fact that a number
of the seller's clients decide not to be represented by the purchasers but take
their matters elsewhere, therefore, does not result in a violation. Return to
private practice as a result of an unanticipated change in circumstances does
not necessarily result in a violation. For example, a lawyer who has sold the
practice to accept an appointment to judicial office does not violate the
requirement that the sale be attendant to cessation of practice if the lawyer
later resumes private practice upon being defeated in a contested or a
retention election for the office or resigns from a judiciary position.
[3] The
requirement that the seller cease to engage in the private practice of law does
not prohibit employment as a lawyer on the staff of a public agency or a legal
services entity that provides legal services to the poor, or as in-house
counsel to a business.
[4] This Rule
also permits a lawyer or law firm to sell an area of practice. If an area of
practice is sold and the lawyer remains in the active practice of law, the
lawyer must cease accepting any matters in the area of practice that has been
sold, either as counsel or co-counsel or by assuming joint responsibility for a
matter in connection with the division of a fee with another lawyer as would
otherwise be permitted by Rule 1.5(e). For example, a lawyer with a substantial
number of estate planning matters and a substantial number of probate
administration cases may sell the estate planning portion of the practice but
remain in the practice of law by concentrating on probate administration;
however, that practitioner may not thereafter accept any estate planning
matters. Although a lawyer who leaves a jurisdiction or geographical area
typically would sell the entire practice, this Rule permits the lawyer to limit
the sale to one or more areas of the practice, thereby preserving the lawyer's
right to continue practice in the areas of the practice that were not sold.
Sale
of Entire Practice or Entire Area of Practice
[5] The Rule
requires that the seller's entire practice, or an entire area of practice, be
sold. The prohibition against sale of less than an entire practice area
protects those clients whose matters are less lucrative and who might find it
difficult to secure other counsel if a sale could be limited to substantial
fee-generating matters. The purchasers are required to undertake all client
matters in the practice or practice area, subject to client consent. This
requirement is satisfied, however, even if a purchaser is unable to undertake a
particular client matter because of a conflict of interest.
Client
Confidences, Consent and Notice
[6] Negotiations
between seller and prospective purchaser prior to disclosure of information
relating to a specific representation of an identifiable client no more violate
the confidentiality provisions of Rule 1. 6 than do preliminary discussions
concerning the possible association of another lawyer or mergers between firms,
with respect to which client consent is not required. Providing the purchaser
access to client-specific information relating to the representation and to the
file, however, requires client consent. The Rule provides that before such
information can be disclosed by the seller to the purchaser the client must be
given actual written notice of the contemplated sale, including the identity of
the purchaser, and must be told that the decision to consent or make other
arrangements must be made within 90 days. If nothing is heard from the client
within that time, consent to the sale is presumed.
[7] A lawyer or
law firm ceasing to practice cannot be required to remain in practice because
some clients cannot be given actual notice of the proposed purchase. Since
these clients cannot themselves consent to the purchase or direct any other
disposition of their files, the Rule requires an order from a court having
jurisdiction authorizing their transfer or other disposition. The Court can be
expected to determine whether reasonable efforts to locate the client have been
exhausted, and whether the absent client's legitimate interests will be served
by authorizing the transfer of the file so that the purchaser may continue the
representation. Preservation of client confidences requires that the petition
for a court order be considered in camera.
[8] All elements
of client autonomy, including the client's absolute right to discharge a lawyer
and transfer the representation to another, survive the sale of the practice or
area of practice.
Fee
Arrangements Between Client and Purchaser
[9] The sale may
not be financed by increases in fees charged the clients of the practice.
Existing arrangements between the seller and the client as to fees and the
scope of the work must be honored by the purchaser.
Other
Applicable Ethical Standards
[10] Lawyers
participating in the sale of a law practice or a practice area are subject to
the ethical standards applicable to involving another lawyer in the
representation of a client. These include, for example, the seller's obligation
to exercise competence in identifying a purchaser qualified to assume the
practice and the purchaser's obligation to undertake the representation
competently (see Rule 1.1); the obligation to avoid disqualifying conflicts,
and to secure the client's informed consent for those conflicts that can be
agreed to (see Rule 1.7 regarding conflicts and Rule 1.0(e) for the definition
of informed consent); and the obligation to protect information relating to the
representation (see Rules 1.6 and 1.9).
[11] If approval
of the substitution of the purchasing lawyer for the selling lawyer is required
by the rules of any tribunal in which a matter is pending, such approval must
be obtained before the matter can be included in the sale (see Rule 1.16).
Applicability
of the Rule
[12] This Rule
applies to the sale of a law practice of a deceased, disabled or disappeared
lawyer. Thus, the seller may be represented by a non-lawyer representative not
subject to these Rules. Since, however, no lawyer may participate in a sale of
a law practice which does not conform to the requirements of this Rule, the
representatives of the seller as well as the purchasing lawyer can be expected
to see to it that they are met.
[13] Admission to
or retirement from a law partnership or professional association, retirement
plans and similar arrangements, and a sale of tangible assets of a law
practice, do not constitute a sale or purchase governed by this Rule.
[14] This Rule
does not apply to the transfers of legal representation between lawyers when
such transfers are unrelated to the sale of a practice or an area of practice.
Rule 1.18. Duties to Prospective
Client
(a)
A person who discusses with a lawyer the possibility of forming a client-lawyer
relationship with respect to a matter is a prospective client.
(b)
Even when no client-lawyer relationship ensues, a lawyer who has had
discussions with a prospective client shall not use or reveal information
learned in the consultation, except as Rule 1.9 would permit with respect to
information of a former client.
(c)
A lawyer subject to paragraph (b) shall not represent a client with interests
materially adverse to those of a prospective client in the same or a
substantially related matter if the lawyer received information from the
prospective client that could be significantly harmful to that person in the
matter, except as provided in paragraph (d). If a lawyer is disqualified from
representation under this paragraph, no lawyer in a firm with which that lawyer
is associated may knowingly undertake or continue representation in such a
matter, except as provided in paragraph (d).
(d)
When a lawyer has received disqualifying information as defined in paragraph
(c), representation is permissible if:
(1)
both the affected client and the prospective client have given informed
consent, confirmed in writing, or:
(2)
the lawyer who received the information took reasonable measures to avoid
exposure to more disqualifying information than was reasonably necessary to
determine whether to represent the prospective client; and
(i)
the disqualified lawyer is timely screened from any participation in the matter
and is apportioned no part of the fee therefrom; and
(ii)
written notice is promptly given to the prospective client.
[1] Prospective
clients, like clients, may disclose information to a lawyer, place documents or
other property in the lawyer's custody, or rely on the lawyer's advice. A
lawyer's discussions with a prospective client usually are limited in time and
depth and leave both the prospective client and the lawyer free (and sometimes
required) to proceed no further. Hence, prospective clients should receive some
but not all of the protection afforded clients.
[2] Not all
persons who communicate information to a lawyer are entitled to protection
under this Rule. A person who communicates information unilaterally to a
lawyer, without any reasonable expectation that the lawyer is willing to
discuss the possibility of forming a client-lawyer relationship, is not a
“prospective client” within the meaning of paragraph (a).
[3] It is often
necessary for a prospective client to reveal information to the lawyer during
an initial consultation prior to the decision about formation of a
client-lawyer relationship. The lawyer often must learn such information to
determine whether there is a conflict of interest with an existing client and
whether the matter is one that the lawyer is willing to undertake. Paragraph
(b) prohibits the lawyer from using or revealing that information, except as
permitted by Rule 1.9, even if the client or lawyer decides not to proceed with
the representation. The duty exists regardless of how brief the initial
conference may be.
[4] In order to
avoid acquiring disqualifying information from a prospective client, a lawyer
considering whether or not to undertake a new matter should limit the initial
interview to only such information as reasonably appears necessary for that
purpose. Where the information indicates that a conflict of interest or other
reason for non-representation exists, the lawyer should so inform the
prospective client or decline the representation. If the prospective client
wishes to retain the lawyer, and if consent is possible under Rule 1.7, then
consent from all affected present or former clients must be obtained before
accepting the representation.
[5] A lawyer may
condition conversations with a prospective client on the person's informed
consent that no information disclosed during the consultation will prohibit the
lawyer from representing a different client in the matter. See Rule 1.0(e) for
the definition of informed consent.
[6] Even in the
absence of an agreement, under paragraph (c), the lawyer is not prohibited from
representing a client with interests adverse to those of the prospective client
in the same or a substantially related matter unless the lawyer has received
from the prospective client information that could be significantly harmful if
used in the matter.
[7] Under
paragraph (c), the prohibition in this Rule is imputed to other lawyers as
provided in Rule 1.10, but, under paragraph (d)(1), imputation may be avoided
if the lawyer obtains the informed consent, confirmed in writing, of both the
prospective and affected clients. In the alternative, imputation may be avoided
if the conditions of paragraph (d)(2) are met and all disqualified lawyers are
timely screened and written notice is promptly given to the prospective client.
See Rule 1.0(k) (requirements for screening procedures). Paragraph (d)(2)(i)
does not prohibit the screened lawyer from receiving a salary or partnership
share established by prior independent agreement, but that lawyer may not
receive compensation directly related to the matter in which the lawyer is
disqualified.
[8] Notice,
including a general description of the subject matter about which the lawyer
was consulted, and of the screening procedures employed, generally should be
given as soon as practicable after the need for screening becomes apparent.
[9] For the duty
of competence of a lawyer who gives assistance on the merits of a matter to a
prospective client, see Rule 1.1. For a lawyer's duties when a prospective
client entrusts valuables or papers to the lawyer's care, see Rule 1.15.
[10] Paragraph
(d) also applies to other lawyers in the firm with whom the receiving lawyer
actually shared disqualifying information.
In representing a client, a lawyer shall exercise
independent professional judgment and render candid advice. In rendering
advice, a lawyer may refer not only to law but to other considerations such as
moral, economic, social and political factors, that may be relevant to the
client's situation.
Scope
of Advice
[1] A client is
entitled to straightforward advice expressing the lawyer's honest assessment.
Legal advice often involves unpleasant facts and alternatives that a client may
be disinclined to confront. In presenting advice, a lawyer endeavors to sustain
the client's morale and may put advice in as acceptable a form as honesty
permits. However, a lawyer should not be deterred from giving candid advice by
the prospect that the advice will be unpalatable to the client.
[2] Advice
couched in narrow legal terms may be of little value to a client, especially
where practical considerations, such as cost or effects on other people, are
predominant. Purely technical legal advice, therefore, can sometimes be
inadequate. It is proper for a lawyer to refer to relevant moral and ethical
considerations in giving advice. Although a lawyer is not a moral advisor as
such, moral and ethical considerations impinge upon most legal questions and
may decisively influence how the law will be applied.
[3] A client may
expressly or impliedly ask the lawyer for purely technical advice. When such a
request is made by a client experienced in legal matters, the lawyer may accept
it at face value. When such a request is made by a client inexperienced in
legal matters, however, the lawyer's responsibility as advisor may include
indicating that more may be involved than strictly legal considerations.
[4] Matters that
go beyond strictly legal questions may also be in the domain of another
profession. Family matters can involve problems within the professional
competence of psychiatry, clinical psychology or social work; business matters
can involve problems within the competence of the accounting profession or of
financial specialists. Where consultation with a professional in another field
is itself something a competent lawyer would recommend, the lawyer should make
such a recommendation. At the same time, a lawyer's advice at its best often
consists of recommending a course of action in the face of conflicting
recommendations of experts.
Offering
Advice
[5] In general, a
lawyer is not expected to give advice until asked by the client. However, when
a lawyer knows that a client proposes a course of action that is likely to
result in substantial adverse legal consequences to the client, the lawyer's
duty to the client under Rule 1.4 may require that the lawyer offer advice if
the client's course of action is related to the representation. Similarly, when
a matter is likely to involve litigation, it may be necessary under Rule 1.4 to
inform the client of forms of dispute resolution that might constitute
reasonable alternatives to litigation. A lawyer ordinarily has no duty to
initiate investigation of a client's affairs or to give advice that the client
has indicated is unwanted, but a lawyer may initiate advice to a client when
doing so appears to be in the client's interest.
(a)
A lawyer may act as intermediary between clients if:
(1)
the lawyer consults with each client concerning the implications of the common
representation, including the advantages and risks involved, and the effect on
the attorney-client privileges, and obtains each client's consent to the common
representation;
(2)
the lawyer reasonably believes that the matter can be resolved on terms
compatible with the clients' best interests, that each client will be able to
make adequately informed decisions in the matter and that there is little risk
of material prejudice to the interests of any of the clients if the
contemplated resolution is unsuccessful; and
(3)
the lawyer reasonably believes that the common representation can be undertaken
impartially and without improper effect on other responsibilities the lawyer
has to any of the clients.
(b)
While acting as intermediary, the lawyer shall consult with each client
concerning the decisions to be made and the considerations relevant in making
them, so that each client can make adequately informed decisions.
(c)
A lawyer shall withdraw as intermediary if any of the clients so requests, or
if any of the conditions stated in paragraph (a) is no longer satisfied. Upon
withdrawal, the lawyer shall not continue to represent any of the clients in
the matter that was the subject of the intermediation.
[1] A lawyer acts
as intermediary under this rule when the lawyer represents two or more parties
with potentially conflicting interests. A key factor in defining the
relationship is whether the parties share responsibility for the lawyer's fee,
but the common representation may be inferred from other circumstances. Because
confusion can arise as to the lawyer's role where each party is not separately
represented, it is important that the lawyer make clear the relationship.
[2] The Rule does
not apply to a lawyer acting as arbitrator or mediator between or among parties
who are not clients of the lawyer, even where the lawyer has been appointed
with the concurrence of the parties. In performing such a role the lawyer may
be subject to applicable codes of ethics, such as the Code of Ethics for
Arbitration in Commercial Disputes prepared by a joint Committee of the
American Bar Association and the American Arbitration Association.
[3] A lawyer acts
as intermediary in seeking to establish or adjust a relationship between
clients on an amicable and mutually advantageous basis; for example, in helping
to organize a business in which two or more clients are entrepreneurs, working
out the financial reorganization of an enterprise in which two or more clients
have an interest, arranging a property distribution in settlement of an estate
or mediating a dispute between clients. The lawyer seeks to resolve potentially
conflicting interests by developing the parties' mutual interests. The
alternative can be that each party may have to obtain separate representation,
with the possibility in some situations of incurring additional cost,
complication or even litigation. Given these and other relevant factors, all
the clients may prefer that the lawyer act as intermediary.
[4] In
considering whether to act as intermediary between clients, a lawyer should be
mindful that if the intermediation fails the result can be additional cost,
embarrassment and recrimination. In some situations the risk of failure is so
great that intermediation is plainly impossible. For example, a lawyer cannot
undertake common representation of clients between whom contentious litigation
is imminent or who contemplate contentious negotiations. More generally, if the
relationship between the parties has already assumed definite antagonism, the
possibility that the clients' interests can be adjusted by intermediation
ordinarily is not very good.
[5] The
appropriateness of intermediation can depend on its form. Forms of
intermediation range from informal arbitration, where each client's case is
presented by the respective client and the lawyer decides the outcome, to
mediation, to common representation where the clients' interests are
substantially though not entirely compatible. One form may be appropriate in
circumstances where another would not. Other relevant factors are whether the
lawyer subsequently will represent both parties on a continuing basis and
whether the situation involves creating a relationship between the parties or
terminating one.
Confidentiality
and Privilege
[6] A
particularly important factor in determining the appropriateness of
intermediation is the effect on client-lawyer confidentiality and the
attorney-client privilege. In a common representation, the lawyer is still
required both to keep each client adequately informed and to maintain
confidentiality of information relating to the representation. See Rules 1.4
and 1.6. Complying with both requirements while acting as intermediary requires
a delicate balance. If the balance cannot be maintained, the common
representation is improper. With regard to the attorney-client privilege, the
prevailing rule is that as between commonly represented clients the privilege
does not attach. Hence, it must be assumed that if litigation eventuates
between the clients, the privilege will not protect any such communications,
and the clients should be so advised.
[7] Since the
lawyer is required to be impartial between commonly represented clients,
intermediation is improper when that impartiality cannot be maintained. For
example, a lawyer who has represented one of the clients for a long period and
in a variety of matters might have difficulty being impartial between that
client and one to whom the lawyer has only recently been introduced.
Consultation
[8] In acting as intermediary
between clients, the lawyer is required to consult with the clients on the
implications of doing so, and proceed only upon consent based on such a
consultation. The consultation should make clear that the lawyer's role is not
that of partisanship normally expected in other circumstances.
[9] Paragraph (b)
is an application of the principle expressed in Rule 1.4. Where the lawyer is
intermediary, the clients ordinarily must assume greater responsibility for
decisions than when each client is independently represented.
Withdrawal
[10] Common
representation does not diminish the rights of each client in the client-lawyer
relationship. Each has the right to loyal and diligent representation, the
right to discharge the lawyer as stated in Rule 1.16, and the protection of
Rule 1.9 concerning obligations to a former client.
Rule 2.3. Evaluation for Use by Third
Persons
(a)
A lawyer may provide an evaluation of a matter affecting a client for the use
of someone other than the client if the lawyer reasonably believes that making
the evaluation is compatible with other aspects of the lawyer's relationship
with the client.
(b)
When the lawyer knows or reasonably should know that the evaluation is likely
to affect the client's interests materially and adversely, the lawyer shall not
provide the evaluation unless the client gives informed consent.
(c)
Except as disclosure is authorized in connection with a report of an
evaluation, information relating to the evaluation is otherwise protected by
Rule 1.6.
Definition
[1] An evaluation
may be performed at the client's direction or when impliedly authorized in
order to carry out the representation. See Rule 1.2. Such an evaluation may be
for the primary purpose of establishing information for the benefit of third
parties; for example, an opinion concerning the title of property rendered at
the behest of a vendor for the information of a prospective purchaser, or at
the behest of a borrower for the information of a prospective lender. In some
situations, the evaluation may be required by a government agency; for example,
an opinion concerning the legality of the securities registered for sale under
the securities laws. In other instances, the evaluation may be required by a
third person, such as a purchaser of a business.
[2] A legal
evaluation should be distinguished from an investigation of a person with whom
the lawyer does not have a client-lawyer relationship. For example, a lawyer
retained by a purchaser to analyze a vendor's title to property does not have a
client-lawyer relationship with the vendor. So also, an investigation into a
person's affairs by a government lawyer, or by special counsel by a government
lawyer, or by special counsel employed by the government, is not an evaluation
as that term is used in this Rule. The question is whether the lawyer is
retained by the person whose affairs are being examined. When the lawyer is
retained by that person, the general rules concerning loyalty to client and
preservation of confidences apply, which is not the case if the lawyer is
retained by someone else. For this reason, it is essential to identify the
person by whom the lawyer is retained. This should be made clear not only to
the person under examination, but also to others to whom the results are to be
made available.
Duties
Owed to Third Person and Client
[3] When the
evaluation is intended for the information or use of a third person, a legal
duty to that person may or may not arise. That legal question is beyond the
scope of this Rule. However, since such an evaluation involves a departure from
the normal client-lawyer relationship, careful analysis of the situation is
required. The lawyer must be satisfied as a matter of professional judgment
that making the evaluation is compatible with other functions undertaken in
behalf of the client. For example, if the lawyer is acting as advocate in
defending the client against charges of fraud, it would normally be
incompatible with that responsibility for the lawyer to perform an evaluation
for others concerning the same or a related transaction. Assuming no such impediment
is apparent, however, the lawyer should advise the client of the implications
of the evaluation, particularly the lawyer's responsibilities to third persons
and the duty to disseminate the findings.
Access
to and Disclosure of Information
[4] The quality
of an evaluation depends on the freedom and extent of the investigation upon
which it is based. Ordinarily a lawyer should have whatever latitude of
investigation seems necessary as a matter of professional judgment. Under some
circumstances, however, the terms of the evaluation may be limited. For
example, certain issues or sources may be categorically excluded, or the scope
of search may be limited by time constraints or the noncooperation of persons
having relevant information. Any such limitations that are material to the
evaluation should be described in the report. If after a lawyer has commenced
an evaluation, the client refuses to comply with the terms upon which it was
understood the evaluation was to have been made, the lawyer's obligations are
determined by law, having reference to the terms of the client's agreement and
the surrounding circumstances. In no circumstances is the lawyer permitted to
knowingly make a false statement of material fact or law in providing an
evaluation under this Rule. See Rule 4.1.
Obtaining
Client's Informed Consent
[5] Information
relating to an evaluation is protected by Rule 1.6. In many situations,
providing an evaluation to a third party poses no significant risk to the
client; thus, the lawyer may be impliedly authorized to disclose information to
carry out the representation. See Rule 1.6(a). Where, however, it is reasonably
likely that providing the evaluation will affect the client's interests
materially and adversely, the lawyer must first obtain the client's consent
after the client has been adequately informed concerning the important possible
effects on the client's interests. See Rules 1.6(a) and 1.0(e).
Financial
Auditors' Requests for Information
[6] When a
question concerning the legal situation of a client arises at the instance of
the client's financial auditor and the question is referred to the lawyer, the
lawyer's response may be made in accordance with procedures recognized in the
legal profession. Such a procedure is set forth in the American Bar Association
Statement of Policy Regarding Lawyers' Responses to Auditors' Requests for
Information, adopted in 1975.
Rule 2.4. Lawyer Serving as
Third-Party Neutral
(a)
A lawyer serves as a third-party neutral when the lawyer assists two or more
persons who are not clients of the lawyer to reach a resolution of a dispute or
other matter that has arisen between them. Service as a third-party neutral may
include service as an arbitrator, a mediator or in such other capacity as will
enable the lawyer to assist the parties to resolve the matter.
(b)
A lawyer serving as a third-party neutral shall inform unrepresented parties
that the lawyer is not representing them. When the lawyer knows or reasonably
should know that a party does not understand the lawyer's role in the matter,
the lawyer shall explain the difference between the lawyer's role as a
third-party neutral and a lawyer's role as one who represents a client.
[1] Alternative
dispute resolution has become a substantial part of the civil justice system.
Aside from representing clients in dispute-resolution processes, lawyers often
serve as third-party neutrals. A third-party neutral is a person, such as a
mediator, arbitrator, conciliator or evaluator, who assists the parties,
represented or unrepresented, in the resolution of a dispute or in the
arrangement of a transaction. Whether a third-party neutral serves primarily as
a facilitator, evaluator or decision maker depends on the particular process
that is either selected by the parties or mandated by a court.
[2] The role of a
third-party neutral is not unique to lawyers, although, in some court-connected
contexts, only lawyers are allowed to serve in this role or to handle certain
types of cases. In performing this role, the lawyer may be subject to court
rules or other law that apply either to third-party neutrals generally or to
lawyers serving as third-party neutrals. Lawyer-neutrals may also be subject to
various codes of ethics, such as the Code of Ethics for Arbitration in
Commercial Disputes prepared by a joint committee of the American Bar
Association and the American Arbitration Association or the Model Standards of
Conduct for Mediators jointly prepared by the American Bar Association, the
American Arbitration Association and the Society of Professionals in Dispute
Resolution.
[3] Unlike
nonlawyers who serve as third-party neutrals, lawyers serving in this role may
experience unique problems as a result of differences between the role of a
third-party neutral and a lawyer's service as a client representative. The
potential for confusion is significant when the parties are unrepresented in
the process. Thus, paragraph (b) requires a lawyer-neutral to inform
unrepresented parties that the lawyer is not representing them. For some
parties, particularly parties who frequently use dispute-resolution processes,
this information will be sufficient. For others, particularly those who are
using the process for the first time, more information will be required. Where
appropriate, the lawyer should inform unrepresented parties of the important
differences between the lawyer's role as third-party neutral and a lawyer's
role as a client representative, including the inapplicability of the
attorney-client evidentiary privilege. The extent of disclosure required under
this paragraph will depend on the particular parties involved and the subject
matter of the proceeding, as well as the particular features of the
dispute-resolution process selected.
[4] A lawyer who
serves as a third-party neutral subsequently may be asked to serve as a lawyer
representing a client in the same matter. The conflicts of interest that arise
for both the individual lawyer and the lawyer's law firm are addressed in Rule
1.12.
[5] Lawyers who
represent clients in alternative dispute-resolution processes are governed by
the Rules of Professional Conduct. When the dispute-resolution process takes
place before a tribunal, as in binding arbitration (see Rule 1.0(m)), the
lawyer's duty of candor is governed by Rule 3.3. Otherwise, the lawyer's duty
of candor toward both the third-party neutral and other parties is governed by
Rule 4.1.
Rule 3.1. Meritorious Claims and
Contentions
A lawyer shall not bring or defend a proceeding, or
assert or controvert an issue therein, unless there is a basis in law and fact
for doing so that is not frivolous, which includes a good faith argument for an
extension, modification or reversal of existing law. A lawyer for the defendant
in a criminal proceeding, or the respondent in a proceeding that could result
in incarceration, may nevertheless so defend the proceeding as to require that
every element of the case be established.
[1] The advocate
has a duty not to abuse legal procedure. The law, both procedural and
substantive, establishes the limits within which an advocate may proceed.
However, the law is not always clear and never is static. Accordingly, in
determining the proper scope of advocacy, account must be taken of the law's
ambiguities and potential for change.
[2] The filing of
an action or defense or similar action taken for a client is not frivolous
merely because the facts have not first been fully substantiated or because the
lawyer expects to develop vital evidence only by discovery. What is required of
lawyers, however, is that they inform themselves about the facts of their
clients' cases and the applicable law and determine that they can make good
faith arguments in support of their clients' positions. Such action is not
frivolous even though the lawyer believes that the client's position ultimately
will not prevail. The action is frivolous, however, if the lawyer is unable
either to make a good faith argument on the merits of the action taken or to
support the action taken by a good faith argument for an extension,
modification or reversal of existing law.
[3] The lawyer's
obligations under this Rule are subordinate to federal or state constitutional
law that entitles a defendant in a criminal matter to the assistance of counsel
in presenting a claim or contention that otherwise would be prohibited by this
Rule.
Rule 3.2. Expediting Litigation
A lawyer shall make reasonable efforts to expedite
litigation consistent with the interests of the client.
[1] Dilatory
practices bring the administration of justice into disrepute. Although there
will be occasions when a lawyer may properly seek a postponement for personal
reasons, it is not proper for a lawyer to routinely fail to expedite litigation
solely for the convenience of the advocates. Nor will a failure to expedite be
reasonable if done for the purpose of frustrating an opposing party's attempt
to obtain rightful redress or repose. It is not a justification that similar
conduct is often tolerated by the bench and bar. The question is whether a
competent lawyer acting in good faith would regard the course of action as
having some substantial purpose other than delay. Realizing financial or other
benefit from otherwise improper delay in litigation is not a legitimate
interest of the client.
Rule 3.3. Candor Toward the Tribunal
(a)
A lawyer shall not knowingly:
(1)
make a false statement of fact or law to a tribunal or fail to correct a false
statement of material fact or law previously made to the tribunal by the
lawyer;
(2)
fail to disclose to the tribunal legal authority in the controlling
jurisdiction known to the lawyer to be directly adverse to the position of the
client and not disclosed by opposing counsel; or
(3)
offer evidence that the lawyer knows to be false. If a lawyer, the lawyer's
client, or a witness called by the lawyer, has offered material evidence and
the lawyer comes to know of its falsity, the lawyer shall take reasonable
remedial measures, including, if necessary, disclosure to the tribunal. A
lawyer may refuse to offer evidence, other than the testimony of a defendant in
a criminal matter, that the lawyer reasonably believes is false.
(b)
A lawyer who represents a client in an adjudicative proceeding and who knows
that a person intends to engage, is engaging or has engaged in criminal or
fraudulent conduct related to the proceeding shall take reasonable remedial
measures, including, if necessary, disclosure to the tribunal.
(c)
The duties stated in paragraphs (a) and (b) continue to the conclusion of the
proceeding, and apply even if compliance requires disclosure of information
otherwise protected by Rule 1.6.
(d)
In an ex parte proceeding, a lawyer shall inform the tribunal of all material
facts known to the lawyer which will enable the tribunal to make an informed
decision, whether or not the facts are adverse.
[1] This Rule
governs the conduct of a lawyer who is representing a client in the proceedings
of a tribunal. See Rule 1.0(m) for the definition of “tribunal.” It also
applies when the lawyer is representing a client in an ancillary proceeding
conducted pursuant to the tribunal's adjudicative authority, such as a
deposition. Thus, for example, paragraph (a)(3) requires a lawyer to take
reasonable remedial measures if the lawyer comes to know that a client who is
testifying in a deposition has offered evidence that is false.
[2] This Rule
sets forth the special duties of lawyers as officers of the court to avoid
conduct that undermines the integrity of the adjudicative process. A lawyer
acting as an advocate in an adjudicative proceeding has an obligation to
present the client's case with persuasive force. Performance of that duty while
maintaining confidences of the client, however, is qualified by the advocate's
duty of candor to the tribunal. Consequently, although a lawyer in an adversary
proceeding is not required to present an impartial exposition of the law or to
vouch for the evidence submitted in a cause, the lawyer must not allow the
tribunal to be misled by false statements of law or fact or evidence that the
lawyer knows to be false.
Representations
by a Lawyer
[3] An advocate
is responsible for pleadings and other documents prepared for litigation, but
is usually not required to have personal knowledge of matters asserted therein,
for litigation documents ordinarily present assertions by the client, or by
someone on the client's behalf, and not assertions by the lawyer. Compare Rule
3.1. However, an assertion purporting to be on the lawyer's own knowledge, as
in an affidavit by the lawyer or in a statement in open court, may properly be
made only when the lawyer knows the assertion is true or believes it to be true
on the basis of a reasonably diligent inquiry. There are circumstances where
failure to make a disclosure is the equivalent of an affirmative
misrepresentation. The obligation prescribed in Rule 1.2(d) not to counsel a
client to commit or assist the client in committing a fraud applies in
litigation. Regarding compliance with Rule 1.2(d), see the Comment to that
Rule. See also the Comment to Rule 8.4(b).
Legal
Argument
[4] Legal
argument based on a knowingly false representation of law constitutes
dishonesty toward the tribunal. A lawyer is not required to make a
disinterested exposition of the law, but must recognize the existence of
pertinent legal authorities. Furthermore, as stated in paragraph (a)(2), an
advocate has a duty to disclose directly adverse authority in the controlling
jurisdiction that has not been disclosed by the opposing party. The underlying
concept is that legal argument is a discussion seeking to determine the legal
premises properly applicable to the case.
Offering
Evidence
[5] Paragraph
(a)(3) requires that the lawyer refuse to offer evidence that the lawyer knows
to be false, regardless of the client's wishes. This duty is premised on the
lawyer's obligation as an officer of the court to prevent the trier of fact
from being misled by false evidence. A lawyer does not violate this Rule if the
lawyer offers the evidence for the purpose of establishing its falsity.
[6] If a lawyer
knows that the client intends to testify falsely or wants the lawyer to
introduce false evidence, the lawyer should seek to persuade the client that
the evidence should not be offered. If the persuasion is ineffective and the
lawyer continues to represent the client, the lawyer must refuse to offer the
false evidence. If only a portion of a witness's testimony will be false, the
lawyer may call the witness to testify but may not elicit or otherwise permit
the witness to present the testimony that the lawyer knows is false.
[7] The duties
stated in paragraphs (a) and (b) apply to all lawyers, including defense
counsel in criminal cases. In some jurisdictions, however, courts have required
counsel to present the accused as a witness or to give a narrative statement if
the accused so desires, even if counsel knows that the testimony or statement
will be false. The obligation of the advocate under the Rules of Professional
Conduct is subordinate to such requirements. See also Comment [9].
[8] The
prohibition against offering false evidence only applies if the lawyer knows
that the evidence is false. A lawyer's reasonable belief that evidence is false
does not preclude its presentation to the trier of fact. A lawyer's knowledge
that evidence is false, however, can be inferred from the circumstances. See
Rule 1.0(f). Thus, although a lawyer should resolve doubts about the veracity
of testimony or other evidence in favor of the client, the lawyer cannot ignore
an obvious falsehood.
[9] Although
paragraph (a)(3) only prohibits a lawyer from offering evidence the lawyer
knows to be false, it permits the lawyer to refuse to offer testimony or other
proof that the lawyer reasonably believes is false. Because of the special
protections historically provided criminal defendants, however, this Rule does
not permit a lawyer to refuse to offer the testimony of such a client where the
lawyer reasonably believes but does not know that the testimony will be false.
Unless the lawyer knows the testimony will be false, the lawyer must honor the
client's decision to testify. See also Comment [7].
Remedial
Measures
[10] Having
offered material evidence in the belief that it was true, a lawyer may
subsequently come to know that the evidence is false. Or, a lawyer may be
surprised when the lawyer's client, or another witness called by the lawyer,
offers testimony the lawyer knows to be false, either during the lawyer's
direct examination or in response to cross-examination by the opposing lawyer.
In such situations or if the lawyer knows of the falsity of testimony elicited
from the client during a deposition, the lawyer must take reasonable remedial
measures. In such situations, the advocate's proper course is to remonstrate
with the client confidentially, advise the client of the lawyer's duty of
candor to the tribunal and seek the client's cooperation with respect to the
withdrawal or correction of the false statements or evidence. If that fails,
the advocate must take further remedial action. If withdrawal from the
representation is not permitted or will not undo the effect of the false
evidence, the advocate must make such disclosure to the tribunal as is
reasonably necessary to remedy the situation, even if doing so requires the
lawyer to reveal information that otherwise would be protected by Rule 1.6. It
is for the tribunal then to determine what should be done -- making a statement
about the matter to the trier of fact, ordering a mistrial or perhaps nothing.
[11] The
disclosure of a client's false testimony can result in grave consequences to
the client, including not only a sense of betrayal but also loss of the case
and perhaps a prosecution for perjury. But the alternative is that the lawyer
cooperate in deceiving the court, thereby subverting the truth-finding process
which the adversary system is designed to implement. See Rule 1.2(d).
Furthermore, unless it is clearly understood that the lawyer will act upon the
duty to disclose the existence of false evidence, the client can simply reject
the lawyer's advice to reveal the false evidence and insist that the lawyer
keep silent. Thus the client could in effect coerce the lawyer into being a
party to fraud on the court.
Preserving
Integrity of Adjudicative Process
[12] Lawyers have
a special obligation to protect a tribunal against criminal or fraudulent
conduct that undermines the integrity of the adjudicative process, such as
bribing, intimidating or otherwise unlawfully communicating with a witness,
juror, court official or other participant in the proceeding, unlawfully
destroying or concealing documents or other evidence or failing to disclose
information to the tribunal when required by law to do so. Thus, paragraph (b)
requires a lawyer to take reasonable remedial measures, including disclosure if
necessary, whenever the lawyer knows that a person, including the lawyer's
client, intends to engage, is engaging or has engaged in criminal or fraudulent
conduct related to the proceeding.
Duration
of Obligation
[13] A practical
time limit on the obligation to rectify false evidence or false statements of
law and fact has to be established. The conclusion of the proceeding is a
reasonably definite point for the termination of the obligation. A proceeding
has concluded within the meaning of this Rule when a final judgment in the
proceeding has been affirmed on appeal or the time for review has passed.
Ex
Parte Proceedings
[14] Ordinarily,
an advocate has the limited responsibility of presenting one side of the
matters that a tribunal should consider in reaching a decision; the conflicting
position is expected to be presented by the opposing party. However, in any ex
parte proceeding, such as an application for a temporary restraining order,
there is no balance of presentation by opposing advocates. The object of an ex
parte proceeding is nevertheless to yield a substantially just result. The
judge has an affirmative responsibility to accord the absent party just
consideration. The lawyer for the represented party has the correlative duty to
make disclosures of material facts known to the lawyer and that the lawyer
reasonably believes are necessary to an informed decision.
Withdrawal
[15] Normally, a
lawyer's compliance with the duty of candor imposed by this Rule does not
require that the lawyer withdraw from the representation of a client whose
interests will be or have been adversely affected by the lawyer's disclosure.
The lawyer may, however, be required by Rule 1.16(a) to seek permission of the
tribunal to withdraw if the lawyer's compliance with this Rule's duty of candor
results in such an extreme deterioration of the client-lawyer relationship that
the lawyer can no longer competently represent the client. Also see Rule
1.16(b) for the circumstances in which a lawyer will be permitted to seek a
tribunal's permission to withdraw. In connection with a request for permission
to withdraw that is premised on a client's misconduct, a lawyer may reveal
information relating to the representation only to the extent reasonably
necessary to comply with this Rule or as otherwise permitted by Rule 1.6.
Rule 3.4. Fairness to Opposing Party
and Counsel
A lawyer shall not:
(a)
unlawfully obstruct another party's access to evidence or unlawfully alter,
destroy or conceal a document or other material having potential evidentiary
value. A lawyer shall not counsel or assist another person to do any such act;
(b)
falsify evidence, counsel or assist a witness to testify falsely, or offer an
inducement to a witness that is prohibited by law;
(c)
knowingly disobey an obligation under the rules of a tribunal except for an
open refusal based on an assertion that no valid obligation exists;
(d)
in pretrial procedure, make a frivolous discovery request or fail to make
reasonably diligent effort to comply with a legally proper discovery request by
an opposing party;
(e)
in trial, allude to any matter that the lawyer does not reasonably believe is
relevant or that will not be supported by admissible evidence, assert personal
knowledge of facts in issue except when testifying as a witness, or state a
personal opinion as to the justness of a cause, the credibility of a witness,
the culpability of a civil litigant or the guilt or innocence of an accused; or
(f)
request a person other than a client to refrain from voluntarily giving
relevant information to another party unless:
(1)
the person is a relative or an employee or other agent of a client; and
(2)
the lawyer reasonably believes that the person's interests will not be
adversely affected by refraining from giving such information.
[1] The procedure
of the adversary system contemplates that the evidence in a case is to be
marshaled competitively by the contending parties. Fair competition in the
adversary system is secured by prohibitions against destruction or concealment
of evidence, improperly influencing witnesses, obstructive tactics in discovery
procedure, and the like.
[2] Documents and
other items of evidence are often essential to establish a claim or defense.
Subject to evidentiary privileges, the right of an opposing party, including
the government, to obtain evidence through discovery or subpoena is an
important procedural right. The exercise of that right can be frustrated if
relevant material is altered, concealed or destroyed. Applicable law in many
jurisdictions makes it an offense to destroy material for purpose of impairing
its availability in a pending proceeding or one whose commencement can be
foreseen. Falsifying evidence is also generally a criminal offense. Paragraph
(a) applies to evidentiary material generally, including computerized
information. Applicable law may permit a lawyer to take temporary possession of
physical evidence of client crimes for the purpose of conducting a limited
examination that will not alter its potential evidentiary value. In such a
case, applicable law may require the lawyer to turn the evidence over to the
police or prosecuting authority, depending on the circumstances.
[3] With regard
to paragraph (b), it is not improper to pay a witness's expenses or to
compensate an expert witness on terms permitted by law. The common law rule in
most jurisdictions is that it is improper to pay an occurrence witness any fee
for testifying and that it is improper to pay an expert witness a contingent
fee.
[4] Paragraph (f)
permits a lawyer to advise employees of a client to refrain from giving
information to another party, for the employees may identify their interests
with those of the client. See also Rule 4.2.
Rule 3.5. Impartiality and Decorum of
the Tribunal
A lawyer shall not:
(a)
seek to influence a judge, juror, prospective juror or other official by means
prohibited by law;
(b)
communicate ex parte with such a person during the proceeding unless authorized
to do so by law or court order;
(c)
communicate with a juror or prospective juror after discharge of the jury if:
(1)
the communication is prohibited by law or court order;
(2)
the juror has made known to the lawyer a desire not to communicate; or
(3)
the communication involves misrepresentation, coercion, duress or harassment.
(d)
engage in conduct intended to disrupt a tribunal.
[1] Many forms of
improper influence upon a tribunal are proscribed by criminal law. Others are
specified in the ABA Model Code of Judicial Conduct, with which an advocate
should be familiar. A lawyer is required to avoid contributing to a violation
of such provisions.
[2] During a
proceeding a lawyer may not communicate ex parte with persons serving in an
official capacity in the proceeding, such as judges, masters or jurors, unless
authorized to do so by law or court order.
[3] A lawyer may
on occasion want to communicate with a juror or prospective juror after the
jury has been discharged. The lawyer may do so unless the communication is
prohibited by law or a court order but must respect the desire of the juror not
to talk with the lawyer. The lawyer may not engage in improper conduct during
the communication.
[4] The
advocate's function is to present evidence and argument so that the cause may
be decided according to law. Refraining from abusive or obstreperous conduct is
a corollary of the advocate's right to speak on behalf of litigants. A lawyer
may stand firm against abuse by a judge but should avoid reciprocation; the
judge's default is no justification for similar dereliction by an advocate. An
advocate can present the cause, protect the record for subsequent review and
preserve professional integrity by patient firmness no less effectively than by
belligerence or theatrics.
[5] The duty to
refrain from disruptive conduct applies to any proceeding of a tribunal,
including a deposition. See Rule 1.0(m).
(a)
A lawyer who is participating or has participated in the investigation or
litigation of a matter shall not make an extrajudicial statement that the
lawyer knows or reasonably should know will be disseminated by means of public
communication and will have a substantial likelihood of materially prejudicing
an adjudicative proceeding in the matter.
(b)
Notwithstanding paragraph (a), a lawyer may state:
(1)
the claim, offense or defense involved and, except when prohibited by law, the
identity of the persons involved;
(2)
information contained in a public record;
(3)
that an investigation of a matter is in progress;
(4)
the scheduling or result of any step in litigation;
(5)
a request for assistance in obtaining evidence and information necessary
thereto;
(6)
a warning of danger concerning the behavior of a person involved, when there is
reason to believe that there exists the likelihood of substantial harm to an
individual or to the public interest; and
(7)
in a criminal case, in addition to subparagraphs (1) through (6):
(i)
the identity, residence, occupation and family status of the accused;
(ii)
if the accused has not been apprehended, information necessary to aid in
apprehension of that person;
(iii)
the fact, time and place of arrest; and
(iv)
the identity of investigating and arresting officers or agencies and the length
of the investigation.
(c)
Notwithstanding paragraph (a), a lawyer may make a statement that a reasonable
lawyer would believe is required to protect a client from the substantial undue
prejudicial effect of recent publicity not initiated by the lawyer or the
lawyer's client. A statement made pursuant to this paragraph shall be limited
to such information as is necessary to mitigate the recent adverse publicity.
(d)
A statement referred to in paragraph (a) will be rebuttably presumed to have a
substantial likelihood of materially prejudicing an adjudicative proceeding
when it refers to that proceeding and the statement is related to:
(1)
the character, credibility, reputation or criminal record of a party, suspect
in a criminal investigation or witness, or the identity of a witness, or the
expected testimony of a party or witness;
(2)
in a criminal case or proceeding that could result in incarceration, the
possibility of a plea of guilty to the offense or the existence or contents of
any confession, admission, or statement given by a defendant or suspect or that
person's refusal or failure to make a statement;
(3)
the performance or results of any examination or test or the refusal or failure
of a person to submit to an examination or test, or the identity or nature of
physical evidence expected to be presented;
(4)
any opinion as to the guilt or innocence of a defendant or suspect in a
criminal case or proceeding that could result in incarceration;
(5)
information that the lawyer knows or reasonably should know is likely to be
inadmissible as evidence in a trial and would if disclosed create a substantial
risk of prejudicing an impartial trial; or
(6)
the fact that a defendant has been charged with a crime, unless there is
included therein a statement explaining that the charge is merely an accusation
and that the defendant is presumed innocent until and unless proven guilty.
(e)
No lawyer associated in a firm or government agency with a lawyer subject to
paragraph (a) shall make a statement prohibited by paragraph (a).
[1] It is
difficult to strike a balance between protecting the right to a fair trial and
safeguarding the right of free expression. Preserving the right to a fair trial
necessarily entails some curtailment of the information that may be
disseminated about a party prior to trial, particularly where trial by jury is
involved. If there were no such limits, the result would be the practical
nullification of the protective effect of the rules of forensic decorum and the
exclusionary rules of evidence. On the other hand, there are vital social
interests served by the free dissemination of information about events having
legal consequences and about legal proceedings themselves. The public has a
right to know about threats to its safety and measures aimed at assuring its
security. It also has a legitimate interest in the conduct of judicial
proceedings, particularly in matters of general public concern. Furthermore,
the subject matter of legal proceedings is often of direct significance in
debate and deliberation over questions of public policy.
[2] Special rules
of confidentiality may validly govern proceedings in juvenile, domestic
relations and mental disability proceedings, and perhaps other types of
litigation. Rule 3.4(c) requires compliance with such rules.
[3] The Rule sets
forth a basic general prohibition against a lawyer's making statements that the
lawyer knows or should know will have a substantial likelihood of materially
prejudicing an adjudicative proceeding. Recognizing that the public value of
informed commentary is great and the likelihood of prejudice to a proceeding by
the commentary of a lawyer who is not involved in the proceeding is small, the
rule applies only to lawyers who are, or who have been involved in the
investigation or litigation of a case, and their associates.
[4] Paragraph (b)
identifies specific matters about which a lawyer's statements would not
ordinarily be considered to present a substantial likelihood of material
prejudice, and should not in any event be considered prohibited by the general
prohibition of paragraph (a). Paragraph (b) is not intended to be an exhaustive
listing of the subjects upon which a lawyer may make a statement, but
statements on other matters may be subject to paragraph (a).
[5] Another
relevant factor in determining prejudice is the nature of the proceeding
involved. Criminal jury trials will be most sensitive to extrajudicial speech.
Civil trials may be less sensitive. Non-jury hearings and arbitration
proceedings may be even less affected. The Rule will still place limitations on
prejudicial comments in these cases, but the likelihood of prejudice may be
different depending on the type of proceeding.
[6] See Rule
3.8(f) for additional duties of prosecutors in connection with extrajudicial
statements about criminal proceedings.
[7] Finally,
extrajudicial statements that might otherwise raise a question under this Rule
may be permissible when they are made in response to statements made publicly
by another party, another party's lawyer, or third persons, where a reasonable
lawyer would believe a public response is required in order to avoid prejudice
to the lawyer's client. When prejudicial statements have been publicly made by
others, responsive statements may have the salutary effect of lessening any
resulting adverse impact on the adjudicative proceeding. Such responsive
statements should be limited to contain only such information as is necessary
to mitigate undue prejudice created by the statements made by others.
(a)
A lawyer shall not act as advocate at a trial in which the lawyer is likely to
be a necessary witness unless:
(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 act as advocate in a trial in which another lawyer in the lawyer's
firm is likely to be called as a witness unless precluded from doing so by Rule
1.7 or Rule 1.9.
[1] Combining the
roles of advocate and witness can prejudice the tribunal and the opposing party
and can also involve a conflict of interest between the lawyer and client.
Advocate-Witness
Rule
[2] The tribunal
has proper objection when the trier of fact may be confused or misled by a
lawyer serving as both advocate and witness. The opposing party has proper
objection where the combination of roles may prejudice that party's rights in
the litigation. A witness is required to testify on the basis of personal
knowledge, while an advocate is expected to explain and comment on evidence
given by others. It may not be clear whether a statement by an advocate-witness
should be taken as proof or as an analysis of the proof.
[3] To protect
the tribunal, paragraph (a) prohibits a lawyer from simultaneously serving as
advocate and necessary witness except in those circumstances specified in
paragraphs (a)(1) through (a)(3). Paragraph (a)(1) recognizes that if the
testimony will be uncontested, the ambiguities in the dual role are purely
theoretical. Paragraph (a)(2) recognizes that where the testimony concerns the
extent and value of legal services rendered in the action in which the
testimony is offered, permitting the lawyers to testify avoids the need for a
second trial with new counsel to resolve that issue. Moreover, in such a
situation the judge has firsthand knowledge of the matter in issue; hence,
there is less dependence on the adversary process to test the credibility of the
testimony.
[4] Apart from
these two exceptions, paragraph (a)(3) recognizes that a balancing is required
between the interests of the client and those of the tribunal and the opposing
party. Whether the tribunal is likely to be misled or the opposing party is
likely to suffer prejudice depends on the nature of the case, the importance
and probable tenor of the lawyer's testimony, and the probability that the
lawyer's testimony will conflict with that of other witnesses. Even if there is
risk of such prejudice, in determining whether the lawyer should be
disqualified, due regard must be given to the effect of disqualification on the
lawyer's client. It is relevant that one or both parties could reasonably
foresee that the lawyer would probably be a witness. The conflict of interest
principles stated in Rules 1.7, 1.9 and 1.10 have no application to this aspect
of the problem.
[5] Because the
tribunal is not likely to be misled when a lawyer acts as advocate in a trial
in which another lawyer in the lawyer's firm will testify as a necessary
witness, paragraph (b) permits the lawyer to do so except in situations
involving a conflict of interest.
Conflict
of Interest
[6] In
determining if it is permissible to act as advocate in a trial in which the
lawyer will be a necessary witness, the lawyer must also consider that the dual
role may give rise to a conflict of interest that will require compliance with
Rules 1.7 or 1.9. For example, if there is likely to be substantial conflict
between the testimony of the client and that of the lawyer the representation
involves a conflict of interest that requires compliance with Rule 1.7. This
would be true even though the lawyer might not be prohibited by paragraph (a)
from simultaneously serving as advocate and witness because the lawyer's
disqualification would work a substantial hardship on the client. Similarly, a
lawyer who might be permitted to simultaneously serve as an advocate and a
witness by paragraph (a)(3) might be precluded from doing so by Rule 1.9. The
problem can arise whether the lawyer is called as a witness on behalf of the
client or is called by the opposing party. Determining whether or not such a
conflict exists is primarily the responsibility of the lawyer involved. If
there is a conflict of interest, the lawyer must secure the client's informed
consent, confirmed in writing. In some cases, the lawyer will be precluded from
seeking the client's consent. See Rule 1.7. See Rule 1.0(b) for the definition
of “confirmed in writing” and Rule 1.0(e) for the definition of “informed
consent.”
[7] Paragraph (b)
provides that a lawyer is not disqualified from serving as an advocate because
a lawyer with whom the lawyer is associated in a firm is precluded from doing
so by paragraph (a). If, however, the testifying lawyer would also be
disqualified by Rule 1.7 or Rule 1.9 from representing the client in the
matter, other lawyers in the firm will be precluded from representing the
client by Rule 1.10 unless the client gives informed consent under the conditions
stated in Rule 1.7.
Rule 3.8. Special Responsibilities of
a Prosecutor
The prosecutor in a criminal case shall:
(a)
refrain from prosecuting a charge that the prosecutor knows is not supported by
probable cause;
(b)
make reasonable efforts to assure that the accused has been advised of the
right to, and the procedure for obtaining, counsel and has been given
reasonable opportunity to obtain counsel;
(c)
not seek to obtain from an unrepresented accused a waiver of important pretrial
rights, such as the right to a preliminary hearing;
(d)
make timely disclosure to the defense of all evidence or information known to
the prosecutor that tends to negate the guilt of the accused or mitigates the
offense, and, in connection with sentencing, disclose to the defense and to the
tribunal all unprivileged mitigating information known to the prosecutor,
except when the prosecutor is relieved of this responsibility by a protective
order of the tribunal;
(e)
not subpoena a lawyer in a grand jury or other criminal proceeding to present
evidence about a past or present client unless the prosecutor reasonably
believes:
(1)
the information sought is not protected from disclosure by any applicable
privilege;
(2)
the evidence sought is essential to the successful completion of an ongoing
investigation or prosecution; and
(3)
there is no other feasible alternative to obtain the information;
(f)
except for statements that are necessary to inform the public of the nature and
extent of the prosecutor's action and that serve a legitimate law enforcement
purpose, refrain from making extrajudicial comments that have a substantial
likelihood of heightening public condemnation of the accused and exercise
reasonable care to prevent investigators, law enforcement personnel, employees
or other persons assisting or associated with the prosecutor in a criminal case
from making an extrajudicial statement that the prosecutor would be prohibited
from making under Rule 3.6 or this Rule.
[1] A prosecutor
has the responsibility of a minister of justice and not simply that of an
advocate. This responsibility carries with it specific obligations to see that
the defendant is accorded procedural justice and that guilt is decided upon the
basis of sufficient evidence. Applicable law may require other measures by the
prosecutor and knowing disregard of those obligations or a systematic abuse of
prosecutorial discretion could constitute a violation of Rule 8.4.
[2] In some
jurisdictions, a defendant may waive a preliminary hearing and thereby lose a
valuable opportunity to challenge probable cause. Accordingly, prosecutors
should not seek to obtain waivers of preliminary hearings or other important
pretrial rights from unrepresented accused persons. Paragraph (c) does not
apply, however, to an accused appearing pro se with the approval of the
tribunal. Nor does it forbid the lawful questioning of an uncharged suspect who
has knowingly waived the rights to counsel and silence.
[3] The exception
in paragraph (d) recognizes that a prosecutor may seek an appropriate
protective order from the tribunal if disclosure of information to the defense
could result in substantial harm to an individual or to the public interest.
[4] Paragraph (e)
is intended to limit the issuance of lawyer subpoenas in grand jury and other
criminal proceedings to those situations in which there is a genuine need to
intrude into the client-lawyer relationship.
[5] Paragraph (f)
supplements Rule 3.6, which prohibits extrajudicial statements that have a
substantial likelihood of prejudicing an adjudicatory proceeding. In the
context of a criminal prosecution, a prosecutor's extrajudicial statement can
create the additional problem of increasing public condemnation of the accused.
Although the announcement of an indictment, for example, will necessarily have
severe consequences for the accused, a prosecutor can, and should, avoid
comments which have no legitimate law enforcement purpose and have a
substantial likelihood of increasing public opprobrium of the accused. Nothing
in this Comment is intended to restrict the statements which a prosecutor may
make which comply with Rule 3.6(b), 3.6(c) or 3.6(d).
[6] Like other
lawyers, prosecutors are subject to Rules 5.1 and 5.3, which relate to
responsibilities regarding lawyers and nonlawyers who work for or are
associated with the lawyer's office. Paragraph (f) reminds the prosecutor of
the importance of these obligations in connection with the unique dangers of
improper extrajudicial statements in a criminal case. In addition, paragraph
(f) requires a prosecutor to exercise reasonable care to prevent persons
assisting or associated with the prosecutor from making improper extrajudicial
statements, even when such persons are not under the direct supervision of the
prosecutor. Ordinarily, the reasonable care standard will be satisfied if the
prosecutor issues the appropriate cautions to law-enforcement personnel and
other relevant individuals.
Rule 3.9. Advocate in Nonadjudicative
Proceedings
A lawyer representing a client before a legislative body
or administrative agency in a nonadjudicative proceeding shall disclose that
the appearance is in a representative capacity and shall conform to the
provisions of Rules 3.3(a) through (c), 3.4(a) through (c), and 3.5.
[1] In representation
before bodies such as legislatures, municipal councils, and executive and
administrative agencies acting in a rule-making or policy-making capacity,
lawyers present facts, formulate issues and advance argument in the matters
under consideration. The decision-making body, like a court, should be able to
rely on the integrity of the submissions made to it. A lawyer appearing before
such a body must deal with it honestly and in conformity with applicable rules
of procedure. See Rules 3.3(a) through (c), 3.4(a) through (c) and 3.5.
[2] Lawyers have
no exclusive right to appear before nonadjudicative bodies, as they do before a
court. The requirements of this Rule therefore may subject lawyers to
regulations inapplicable to advocates who are not lawyers. However,
legislatures and administrative agencies have a right to expect lawyers to deal
with them as they deal with courts.
[3] This Rule
only applies when a lawyer represents a client in connection with an official
hearing or meeting of a governmental agency or a legislative body to which the
lawyer or the lawyer's client is presenting evidence or argument. It does not
apply to representation of a client in a negotiation or other bilateral
transaction with a governmental agency or in connection with an application for
a license or other privilege or the client's compliance with generally
applicable reporting requirements, such as the filing of income-tax returns.
Nor does it apply to the representation of a client in connection with an
investigation or examination of the client's affairs conducted by government
investigators or examiners. Representation in such matters is governed by Rules
4.1 through 4.4.
Rule 4.1. Truthfulness in Statements
to Others
In the course of representing a client a lawyer shall
not knowingly:
(a)
make a false statement of material fact or law to a third person; or
(b)
fail to disclose a material fact to a third person when disclosure is necessary
to avoid assisting a criminal or fraudulent act by a client, unless disclosure
is prohibited by Rule 1.6.
Misrepresentation
[1] A lawyer is
required to be truthful when dealing with others on a client's behalf, but
generally has no affirmative duty to inform an opposing party of relevant
facts. A misrepresentation can occur if the lawyer incorporates or affirms a
statement of another person that the lawyer knows is false. Misrepresentations
can also occur by partially true but misleading statements or omissions that
are the equivalent of affirmative false statements. For dishonest conduct that
does not amount to a false statement or for misrepresentations by a lawyer
other than in the course of representing a client, see Rule 8.4.
Statements
of Fact
[2] This Rule
refers to statements of fact. Whether a particular statement should be regarded
as one of fact can depend on the circumstances. Under generally accepted
conventions in negotiation, certain types of statements ordinarily are not
taken as statements of material fact. Estimates of price or value placed on the
subject of a transaction and a party's intentions as to an acceptable
settlement of a claim are ordinarily in this category, and so is the existence
of an undisclosed principal except where nondisclosure of the principal would
constitute fraud. Lawyers should be mindful of their obligations under
applicable law to avoid criminal and tortious misrepresentation.
Crime
or Fraud by Client
[3] Under Rule
1.2(d), a lawyer is prohibited from counseling or assisting a client in conduct
that the lawyer knows is criminal or fraudulent. Paragraph (b) states a
specific application of the principle set forth in Rule 1.2(d) and addresses
the situation where a client's crime or fraud takes the form of a lie or
misrepresentation. Ordinarily, a lawyer can avoid assisting a client's crime or
fraud by withdrawing from the representation. Sometimes it may be necessary for
the lawyer to give notice of the fact of withdrawal and to disaffirm an
opinion, document, affirmation or the like. In extreme cases, substantive law
may require a lawyer to disclose information relating to the representation to
avoid being deemed to have assisted the client's crime or fraud. If the lawyer
can avoid assisting a client's crime or fraud only by disclosing this
information, then under paragraph (b) the lawyer is required to do so, unless
the disclosure is prohibited by Rule 1.6.
Rule 4.2. Communication with Person
Represented by Counsel
In representing a client, a lawyer shall not communicate
about the subject of the representation with a person the lawyer knows to be
represented by another lawyer in the matter, unless the lawyer has the consent
of the other lawyer or is authorized by law or a court order.
[1] This Rule
contributes to the proper functioning of the legal system by protecting a
person who has chosen to be represented by a lawyer in a matter against
possible overreaching by other lawyers who are participating in the matter,
interference by those lawyers with the client-lawyer relationship and the
uncounseled disclosure of information relating to the representation.
[2] This Rule
applies to communications with any person who is represented by counsel
concerning the matter to which the communication relates.
[3] The Rule
applies even though the represented person initiates or consents to the
communication. A lawyer must immediately terminate communication with a person
if, after commencing communication, the lawyer learns that the person is one
with whom communication is not permitted by this Rule.
[4] This Rule
does not prohibit communication with a represented person, or an employee or
agent of such a person, concerning matters outside the representation. For
example, the existence of a controversy between a government agency and a
private party, or between two organizations, does not prohibit a lawyer for
either from communicating with nonlawyer representatives of the other regarding
a separate matter. Nor does this Rule preclude communication with a represented
person who is seeking advice from a lawyer who is not otherwise representing a
client in the matter. A lawyer may not make a communication prohibited by this
Rule through the acts of another. See Rule 8.4(a). Parties to a matter may
communicate directly with each other, and a lawyer is not prohibited from
advising a client concerning a communication that the client is legally
entitled to make. Also, a lawyer having independent justification or legal
authorization for communicating with a represented person is permitted to do
so.
[5] Communications
authorized by law may include communications by a lawyer on behalf of a client
who is exercising a constitutional or other legal right to communicate with the
government. Communications authorized by law may also include investigative
activities of lawyers representing governmental entities, directly or through
investigative agents, prior to the commencement of criminal or civil
enforcement proceedings. When communicating with the accused in a criminal
matter, a government lawyer must comply with this Rule in addition to honoring
the constitutional rights of the accused. The fact that a communication does
not violate a state or federal constitutional right is insufficient to
establish that the communication is permissible under this Rule.
[6] A lawyer who
is uncertain whether a communication with a represented person is permissible
may seek a court order. A lawyer may also seek a court order in exceptional
circumstances to authorize a communication that would otherwise be prohibited
by this Rule, for example, where communication with a person represented by
counsel is necessary to avoid reasonably certain injury.
[7] In the case
of a represented organization, this Rule prohibits communications with a
constituent of the organization who supervises, directs or regularly consults
with the organization's lawyer concerning the matter or has authority to
obligate the organization with respect to the matter or whose act or omission
in connection with the matter may be imputed to the organization for purposes
of civil or criminal liability. Consent of the organization's lawyer is not
required for communication with a former constituent. If a constituent of the
organization is represented in the matter by his or her own counsel, the
consent by that counsel to a communication will be sufficient for purposes of
this Rule. Compare Rule 3.4(f). In communicating with a current or former
constituent of an organization, a lawyer must not use methods of obtaining
evidence that violate the legal rights of the organization. See Rule 4.4.
[8] The
prohibition on communications with a represented person only applies in
circumstances where the lawyer knows that the person is in fact represented in
the matter to be discussed. This means that the lawyer has actual knowledge of
the fact of the representation; but such actual knowledge may be inferred from
the circumstances. See Rule 1.0(f). Thus, the lawyer cannot evade the
requirement of obtaining the consent of counsel by closing eyes to the obvious.
[9] In the event
the person with whom the lawyer communicates is not known to be represented by
counsel in the matter, the lawyer's communications are subject to Rule 4.3.
Rule 4.3. Dealing with Unrepresented
Persons
In dealing on behalf of a client with a person who is
not represented by counsel, a lawyer shall not state or imply that the lawyer
is disinterested. When the lawyer knows or reasonably should know that the
unrepresented person misunderstands the lawyer's role in the matter, the lawyer
shall make reasonable efforts to correct the misunderstanding. The lawyer shall
not give legal advice to an unrepresented person, other than the advice to
secure counsel, if the lawyer knows or reasonably should know that the
interests of such person are or have a reasonable possibility of being in
conflict with the interests of the client.
[1] An
unrepresented person, particularly one not experienced in dealing with legal
matters, might assume that a lawyer is disinterested in loyalties or is a
disinterested authority on the law even when the lawyer represents a client. In
order to avoid a misunderstanding, a lawyer will typically need to identify the
lawyer's client and, where necessary, explain that the client has interests
opposed to those of the unrepresented person. For misunderstandings that
sometimes arise when a lawyer for an organization deals with an unrepresented
constituent, see Rule 1.13(d).
[2] The Rule
distinguishes between situations involving unrepresented persons whose
interests may be adverse to those of the lawyer's client and those in which the
person's interests are not in conflict with the client's. In the former
situation, the possibility that the lawyer will compromise the unrepresented
person's interests is so great that the Rule prohibits the giving of any
advice, apart from the advice to obtain counsel. Whether a lawyer is giving
impermissible advice may depend on the experience and sophistication of the
unrepresented person, as well as the setting in which the behavior and comments
occur. This Rule does not prohibit a lawyer from negotiating the terms of a
transaction or settling a dispute with an unrepresented person. So long as the
lawyer has explained that the lawyer represents an adverse party and is not
representing the person, the lawyer may inform the person of the terms on which
the lawyer's client will enter into an agreement or settle a matter, prepare
documents that require the person's signature and explain the lawyer's own view
of the meaning of the document or the lawyer's view of the underlying legal
obligations.
Rule 4.4. Respect for Rights of Third
Persons
(a)
In representing a client, a lawyer shall not use means that have no substantial
purpose other than to embarrass, delay, or burden a third person, or use
methods of obtaining evidence that violate the legal rights of such a person.
(b)
A lawyer who receives a document relating to the representation of the lawyer's
client and knows or reasonably should know that the document was inadvertently
sent shall promptly notify the sender.
[1] Responsibility
to a client requires a lawyer to subordinate the interests of others to those
of the client, but that responsibility does not imply that a lawyer may
disregard the rights of third persons. It is impractical to catalogue all such
rights, but they include legal restrictions on methods of obtaining evidence
from third persons and unwarranted intrusions into privileged relationships,
such as the client-lawyer relationship.
[2] Paragraph (b)
recognizes that lawyers sometimes receive documents that were mistakenly sent
or produced by opposing parties or their lawyers. If a lawyer knows or
reasonably should know that such a document was sent inadvertently, then this
Rule requires the lawyer to promptly notify the sender in order to permit that
person to take protective measures. Whether the lawyer is required to take
additional steps, such as returning the original document, is a matter of law
beyond the scope of these Rules, as is the question of whether the privileged
status of a document has been waived. Similarly, this Rule does not address the
legal duties of a lawyer who receives a document that the lawyer knows or
reasonably should know may have been wrongfully obtained by the sending person.
For purposes of this Rule, “document” includes e-mail or other electronic modes
of transmission subject to being read or put into readable form.
[3] Some lawyers
may choose to return a document unread, for example, when the lawyer learns
before receiving the document that it was inadvertently sent to the wrong
address. Where a lawyer is not required by applicable law to do so, the
decision to voluntarily return such a document is a matter of professional
judgment ordinarily reserved to the lawyer. See Rules 1.2 and 1.4.
Rule 5.1. Responsibilities of a
Partner or Supervisory Lawyer
(a)
A partner in a law firm, and a lawyer who individually or together with other
lawyers possess comparable managerial authority in a law firm, shall make
reasonable efforts to ensure that the firm has in effect measures giving
reasonable assurance that all lawyers in the firm conform to the Rules of
Professional Conduct.
(b)
A lawyer having direct supervisory authority over another lawyer shall make
reasonable efforts to ensure that the other lawyer conforms to the Rules of
Professional Conduct.
(c)
A lawyer shall be responsible for another lawyer's violation of the Rules of
Professional Conduct if:
(1)
the lawyer orders or, with knowledge of the specific conduct, ratifies the
conduct involved; or
(2)
the lawyer is a partner or has comparable managerial authority in the law firm
in which the other lawyer practices, or has direct supervisory authority over
the other lawyer, and knows of the conduct at a time when its consequences can
be avoided or mitigated but fails to take reasonable remedial action.
[1] Paragraph (a)
applies to lawyers who have managerial authority over the professional work of
a firm. See Rule 1.0(c). This includes members of a partnership, the
shareholders in a law firm organized as a professional corporation, and members
of other associations authorized to practice law; lawyers having comparable
managerial authority in a legal services organization or a law department of an
enterprise or government agency; and lawyers who have intermediate managerial
responsibilities in a firm. Paragraph (b) applies to lawyers who have
supervisory authority over the work of other lawyers in a firm.
[2] Paragraph (a)
requires lawyers with managerial authority within a firm to make reasonable
efforts to establish internal policies and procedures designed to provide
reasonable assurance that all lawyers in the firm will conform to the Rules of
Professional Conduct. Such policies and procedures may include those designed
to detect and resolve conflicts of interest, identify dates by which actions
must be taken in pending matters, account for client funds and property and
ensure that inexperienced lawyers are properly supervised.
[3] Other
measures that may be required to fulfill the responsibility prescribed in
paragraph (a) can depend on the firm's structure and the nature of its
practice. In a small firm of experienced lawyers, informal supervision and
periodic review of compliance with the required systems ordinarily will
suffice. In a large firm, or in practice situations in which difficult ethical
problems frequently arise, more elaborate measures may be necessary. Some
firms, for example, have a procedure whereby junior lawyers can make
confidential referral of ethical problems directly to a designated senior
partner or special committee. See Rule 5.2. Firms, whether large or small, may
also rely on continuing legal education in professional ethics. In any event,
the ethical atmosphere of a firm can influence the conduct of all its members
and the partners may not assume that all lawyers associated with the firm will
inevitably conform to the Rules.
[4] Paragraph (c)
expresses a general principle of personal responsibility for acts of another.
See also Rule 8.4(a).
[5] Paragraph
(c)(2) defines the duty of a partner or other lawyer having comparable
managerial authority in a law firm, as well as a lawyer who has direct
supervisory authority over performance of specific legal work by another
lawyer. Whether a lawyer has supervisory authority in particular circumstances
is a question of fact. Partners and lawyers with comparable authority have at
least indirect responsibility for all work being done by the firm, while a
partner or manager in charge of a particular matter ordinarily also has
supervisory responsibility for the work of other firm lawyers engaged in the
matter. Appropriate remedial action by a partner or managing lawyer would
depend on the immediacy of that lawyer's involvement and the seriousness of the
misconduct. A supervisor is required to intervene to prevent avoidable
consequences of misconduct if the supervisor knows that the misconduct
occurred. Thus, if a supervising lawyer knows that a subordinate misrepresented
a matter to an opposing party in negotiation, the supervisor as well as the
subordinate has a duty to correct the misrepresentation.
[6] Professional
misconduct by a lawyer under supervision could reveal a violation of paragraph
(b) on the part of the supervisory lawyer even though it does not entail a
violation of paragraph (c) because there was no direction, ratification or
knowledge of the violation.
[7] Apart from
this Rule and Rule 8.4(a), a lawyer does not have disciplinary liability for
the conduct of a partner, associate or subordinate. Whether a lawyer may be
liable civilly or criminally for another lawyer's conduct is a question of law
beyond the scope of these Rules.
[8] The duties
imposed by this Rule on managing and supervising lawyers do not alter the
personal duty of each lawyer in a firm to abide by the Rules of Professional
Conduct. See Rule 5.2(a).
Rule 5.2. Responsibilities of a
Subordinate Lawyer
(a)
A lawyer is bound by the Rules of Professional Conduct notwithstanding that the
lawyer acted at the direction of another person.
(b)
A subordinate lawyer does not violate the Rules of Professional Conduct if that
lawyer acts in accordance with a supervisory lawyer's reasonable resolution of
an arguable question of professional duty.
[1] Although a
lawyer is not relieved of responsibility for a violation by the fact that the
lawyer acted at the direction of a supervisor, that fact may be relevant in
determining whether a lawyer had the knowledge required to render conduct a
violation of the Rules. For example, if a subordinate filed a frivolous
pleading at the direction of a supervisor, the subordinate would not be guilty
of a professional violation unless the subordinate knew of the document's
frivolous character.
[2] When lawyers
in a supervisor-subordinate relationship encounter a matter involving
professional judgment as to ethical duty, the supervisor may assume
responsibility for making the judgment. Otherwise a consistent course of action
or position could not be taken. If the question can reasonably be answered only
one way, the duty of both lawyers is clear and they are equally responsible for
fulfilling it. However, if the question is reasonably arguable, someone has to
decide upon the course of action. That authority ordinarily reposes in the
supervisor, and a subordinate may be guided accordingly. For example, if a
question arises whether the interests of two clients conflict under Rule 1.7,
the supervisor's reasonable resolution of the question should protect the
subordinate professionally if the resolution is subsequently challenged.
Rule 5.3. Responsibilities Regarding
Nonlawyer Assistants
With respect to a nonlawyer employed or retained by or
associated with a lawyer:
(a)
a partner, and a lawyer who individually or together with other lawyers possess
comparable managerial authority in a law firm shall make reasonable efforts to
ensure that the firm has in effect measures giving reasonable assurance that
the person's conduct is compatible with the professional obligations of the
lawyer;
(b)
a lawyer having direct supervisory authority over the nonlawyer shall make
reasonable efforts to ensure that the person's conduct is compatible with the
professional obligations of the lawyer; and
(c)
a lawyer shall be responsible for conduct of such a person that would be a
violation of the Rules of Professional Conduct if engaged in by a lawyer if:
(1)
the lawyer orders or, with the knowledge of the specific conduct, ratifies the
conduct involved; or
(2)
the lawyer is a partner or has comparable managerial authority in the law firm
in which the person is employed, or has direct supervisory authority over the
person, and knows of the conduct at a time when its consequences can be avoided
or mitigated but fails to take reasonable remedial action.
[1] Lawyers
generally employ assistants in their practice, including secretaries,
investigators, law student interns, paralegals and other paraprofessionals.
Such assistants, whether employees or independent contractors, act for the
lawyer in rendition of the lawyer's professional services. A lawyer must give
such assistants appropriate instruction and supervision concerning the ethical
aspects of their employment, particularly regarding the obligation not to
disclose information relating to representation of the client, and should be
responsible for their work product. The measures employed in supervising
nonlawyers should take account of the fact that they may not have legal
training and are not subject to professional discipline.
[2] Paragraph (a)
requires lawyers with managerial authority within a law firm to make reasonable
efforts to establish internal policies and procedures designed to provide
reasonable assurance that nonlawyers in the firm will act in a way compatible
with the Rules of Professional Conduct. See Comment [1] to Rule 5.1. Paragraph
(b) applies to lawyers who have supervisory authority over the work of a
nonlawyer. Paragraph (c) specifies the circumstances in which a lawyer is
responsible for conduct of a nonlawyer that would be a violation of the Rules
of Professional Conduct if engaged in by a lawyer.
Rule 5.4. Professional Independence
of a Lawyer
(a)
A lawyer or law firm shall not share legal fees with a nonlawyer, except that:
(1)
an agreement by a lawyer with the lawyer's firm, partner, or associate may
provide for the payment of money, over a reasonable period of time after the
lawyer's death, to the lawyer's estate or to one or more specified persons;
(2)
a lawyer who purchases the practice of a deceased, disabled, or disappeared
lawyer may, pursuant to the provisions of Rule 1.17, pay to the estate or other
representative of that lawyer the agreed upon purchase price; and
(3)
a lawyer or law firm may include nonlawyer employees in a compensation or
retirement plan, even though the plan is based in whole or in part on a
profit-sharing arrangement.
(b)
A lawyer shall not form a partnership with a nonlawyer if any of the activities
of the partnership consist of the practice of law.
(c)
A lawyer shall not permit a person who recommends, employs, or pays the lawyer
to render legal services for another to direct or regulate the lawyer's
professional judgment in rendering such legal services.
(d)
A lawyer shall not practice with or in the form of a professional corporation
or association authorized to practice law for a profit, if:
(1)
a nonlawyer owns any interest therein, except that a fiduciary representative
of the estate of a lawyer may hold the stock or interest of the lawyer for a
reasonable time during administration;
(2)
a nonlawyer is a corporate director or officer thereof or occupies the position
of similar responsibility in any form of association other than a corporation;
or
(3)
a nonlawyer has the right to direct or control the professional judgment of a
lawyer.
[1] The
provisions of this Rule express traditional limitations on sharing fees. These
limitations are to protect the lawyer's professional independence of judgment.
Where someone other than the client pays the lawyer's fee or salary, or
recommends employment of the lawyer, that arrangement does not modify the
lawyer's obligation to the client. As stated in paragraph (c), such
arrangements should not interfere with the lawyer's professional judgment.
[2] This Rule
also expresses traditional limitations on permitting a third party to direct or
regulate the lawyer's professional judgment in rendering legal services to
another. See also Rule 1.8(f) (lawyer may accept compensation from a third
party as long as there is no interference with the lawyer's independent
professional judgment and the client gives informed consent).
Rule 5.5. Unauthorized Practice of
Law; Multijurisdictional Practice of Law
(a)
A lawyer shall not practice law in a jurisdiction in violation of the
regulation of the legal profession in that jurisdiction, or assist another in
doing so.
(b)
A lawyer who is not admitted to practice in this jurisdiction shall not:
(1)
except as authorized by these Rules or other law, establish an office or other
systematic and continuous presence in this jurisdiction for the practice of
law; or
(2)
hold out to the public or otherwise represent that the lawyer is admitted to
practice law in this jurisdiction.
(c)
A lawyer who is not admitted to practice in this jurisdiction, but is admitted
in another United States jurisdiction, and not disbarred or suspended from
practice in any jurisdiction, may provide legal services on a temporary basis
in this jurisdiction that:
(1)
are undertaken in association with a lawyer who is admitted to practice in this
jurisdiction and who actively participates in the matter;
(2)
are in or reasonably related to a pending or potential proceeding before a
tribunal in this or another jurisdiction, if the lawyer, or a person the lawyer
is assisting, is authorized by law or order to appear in such proceeding or
reasonably expects to be so authorized;
(3)
are in or reasonably related to a pending or potential arbitration, mediation,
or other alternative dispute resolution proceeding in this or another
jurisdiction, if the services arise out of or are reasonably related to the
lawyer's practice in a jurisdiction in which the lawyer is admitted to practice
and are not services for which the forum requires temporary admission; or
(4)
are not within paragraphs (c)(2) or (c)(3) and arise out of or are reasonably
related to the lawyer's practice in a jurisdiction in which the lawyer is
admitted to practice.
(d)
A lawyer who is not admitted to practice in this jurisdiction, but is admitted
in another United States jurisdiction, or in a foreign jurisdiction, and not
disbarred or suspended from practice in any jurisdiction, may provide legal
services in this jurisdiction if:
(1)
the lawyer does not establish an office or other systematic and continuous
presence in this jurisdiction for the practice of law and the legal services are
provided to the lawyer's employer or its organizational affiliates and are not
services for which the forum requires temporary admission; or
(2)
the services are services that the lawyer is authorized to provide by federal
law or other law of this jurisdiction.
[1] A lawyer may
practice law only in a jurisdiction in which the lawyer is authorized to
practice. A lawyer may be admitted to practice law in a jurisdiction on a
regular basis or may be authorized by court rule or order or by law to practice
for a limited purpose or on a restricted basis. Paragraph (a) applies to
unauthorized practice of law by a lawyer, whether through the lawyer's direct
action or by the lawyer assisting another person.
[2] The
definition of the practice of law is established by law and varies from one
jurisdiction to another. Whatever the definition, limiting the practice of law
to members of the bar protects the public against rendition of legal services
by unqualified persons. This Rule does not prohibit a lawyer from employing the
services of paralegals and other paraprofessionals and delegating functions to
them, so long as the lawyer supervises the delegated work and retains
responsibility for their work. See Rule 5.3.
[3] A lawyer may
provide professional advice and instruction to nonlawyers whose employment
requires knowledge of the law; for example, claims adjusters, employees of
financial or commercial institutions, social workers, accountants and persons
employed in government agencies. Lawyers also may assist independent
nonlawyers, such as paralegals and other paraprofessionals, who are authorized
by the law of a jurisdiction to provide particular law-related services. In
addition, a lawyer may counsel nonlawyers who wish to proceed pro se.
[4] Other than as
authorized by law or this Rule, a lawyer who is not admitted to practice
generally in the State of Indiana violates paragraph (b) if the lawyer
establishes an office or other systematic and continuous presence in the State
of Indiana for the practice of law. Presence may be systematic and continuous
even if the lawyer is not physically present here. For example, advertising in
media specifically targeted to Indiana residents or initiating contact with
Indiana residents for solicitation purposes could be viewed as systematic and
continuous presence. In any event, such a lawyer must not hold out to the
public or otherwise represent that the lawyer is admitted to practice law in
the State of Indiana. See also Rules 7.1(a) and 7.5(b).
[5] There are
occasions in which a lawyer admitted to practice in another United States
jurisdiction, and not disbarred or suspended from practice in any jurisdiction,
may provide legal services on a temporary basis in this jurisdiction under
circumstances that do not create an unreasonable risk to the interests of his
or her clients, the public or the courts. Paragraph (c) identifies four such
circumstances. The fact that conduct is not so identified does not imply that
the conduct is or is not authorized. With the exception of paragraph (d)(2),
this Rule does not authorize a U.S. or foreign lawyer to establish an office or
other systematic and continuous presence in this jurisdiction without being
admitted to practice generally here or licensed pursuant to Admission and
Discipline Rule 6.
[6] There is no
single test to determine whether a lawyer's services are provided on a
“temporary basis” in this jurisdiction, and may therefore be permissible under
paragraph (c). Services may be “temporary” even though the lawyer provides
services in this jurisdiction on a recurring basis, or for an extended period
of time, as when the lawyer is representing a client in a single lengthy
negotiation or litigation.
[7] Paragraph (c)
applies to lawyers who are admitted to practice law in any United States
jurisdiction, which includes the District of Columbia and any state, territory
or commonwealth of the United States. The word “admitted” in paragraph (c)
contemplates that the lawyer is authorized to practice in the jurisdiction in
which the lawyer is admitted and excludes a lawyer who while technically
admitted is not authorized to practice, because, for example, the lawyer is on
inactive status. Paragraph (d) applies to lawyers admitted to practice in a
United States jurisdiction and to lawyers admitted in a foreign jurisdiction.
[8] Paragraph
(c)(1) recognizes that the interests of clients and the public are protected if
a lawyer admitted only in another jurisdiction associates with a lawyer
licensed to practice in this jurisdiction. For this paragraph to apply,
however, the lawyer admitted to practice in this jurisdiction must actively
participate in and share responsibility for the representation of the client.
[9] Lawyers not
admitted to practice generally in a jurisdiction may be authorized by law or
order of a tribunal or an administrative agency to appear before the tribunal
or agency. This authority may be granted pursuant to formal rules governing
admission pro hac vice or pursuant to
informal practice of the tribunal or agency. Under paragraph (c)(2), a lawyer
does not violate this Rule when the lawyer appears before a tribunal or agency
pursuant to such authority. To the extent that a court rule or other law of
this jurisdiction requires a lawyer who is not admitted to practice in this
jurisdiction to obtain admission pro hac
vice before appearing before a tribunal or administrative agency, this Rule
requires the lawyer to obtain that authority.
[10] Paragraph
(c)(2) also provides that a lawyer rendering services in this jurisdiction on a
temporary basis does not violate this Rule when the lawyer engages in conduct
in anticipation of a proceeding or hearing in a jurisdiction in which the
lawyer is authorized to practice law or in which the lawyer reasonably expects
to be admitted pro hac vice. Examples
of such conduct include meetings with the client, interviews of potential
witnesses, and the review of documents. Similarly, a lawyer admitted only in another
jurisdiction may engage in conduct temporarily in this jurisdiction in
connection with pending litigation in another jurisdiction in which the lawyer
is or reasonably expects to be authorized to appear, including taking
depositions in this jurisdiction.
[11] When a
lawyer has been or reasonably expects to be admitted to appear before a court
or administrative agency, paragraph (c)(2) also permits conduct by lawyers who
are associated with that lawyer in the matter, but who do not expect to appear
before the court or administrative agency. For example, subordinate lawyers may
conduct research, review documents, and attend meetings with witnesses in
support of the lawyer responsible for the litigation.
[12] Paragraph
(c)(3) permits a lawyer admitted to practice law in another jurisdiction to
perform services on a temporary basis in this jurisdiction if those services
are in or reasonably related to a pending or potential arbitration, mediation,
or other alternative dispute resolution proceeding in this or another
jurisdiction, if the services arise out of or are reasonably related to the
lawyer's practice in a jurisdiction in which the lawyer is admitted to
practice. The lawyer, however, must obtain admission pro hac vice in the case of a court-annexed arbitration or
mediation or otherwise if court rules or law so require.
[13] Paragraph
(c)(4) permits a lawyer admitted in another jurisdiction to provide certain
legal services on a temporary basis in this jurisdiction that arise out of or
are reasonably related to the lawyer's practice in a jurisdiction in which the
lawyer is admitted but are not within paragraphs (c)(2) or (c)(3). These
services include both legal services and services that nonlawyers may perform
but that are considered the practice of law when performed by lawyers.
[14] Paragraphs
(c)(3) and (c)(4) require that the services arise out of or be reasonably
related to the lawyer's practice in a jurisdiction in which the lawyer is
admitted. A variety of factors evidence such a relationship. The lawyer's
client may have been previously represented by the lawyer, or may be resident
in or have substantial contacts with the jurisdiction in which the lawyer is
admitted. The matter, although involving other jurisdictions, may have a
significant connection with that jurisdiction. In other cases, significant
aspects of the lawyer's work might be conducted in that jurisdiction or a
significant aspect of the matter may involve the law of that jurisdiction. The
necessary relationship might arise when the client's activities or the legal issues
involve multiple jurisdictions, such as when the officers of a multinational
corporation survey potential business sites and seek the services of their
lawyer in assessing the relative merits of each. In addition, the services may
draw on the lawyer's recognized expertise developed through the regular
practice of law on behalf of clients in matters involving a particular body of
federal, nationally uniform, foreign, or international law.
[15] Paragraph
(d) identifies two circumstances in which a lawyer who is admitted to practice
in another United States or a foreign jurisdiction, and is not disbarred or
suspended from practice in any jurisdiction, may establish an office or other
systematic and continuous presence in this jurisdiction for the practice of law
as well as provide legal services on a temporary basis. Except as provided in
paragraphs (d)(1) and (d)(2), a lawyer who is admitted to practice law in
another jurisdiction and who establishes an office or other systematic or
continuous presence in this jurisdiction must become admitted to practice law
generally in this jurisdiction.
[16] Paragraph (d)(1)
applies to a United States or foreign lawyer who is employed by a client to
provide legal services to the client or its organizational affiliates, i.e.,
entities that control, are controlled by, or are under common control with the
employer. This paragraph does not authorize the provision of personal legal
services to the employer's officers or employees. The paragraph applies to
in-house corporate lawyers, government lawyers and others who are employed to
render legal services to the employer. The lawyer's ability to represent the
employer outside the jurisdiction in which the lawyer is licensed generally
serves the interests of the employer and does not create an unreasonable risk
to the client and others because the employer is well situated to assess the
lawyer's qualifications and the quality of the lawyer's work.
[17] If an
employed lawyer establishes an office or other systematic presence in this
jurisdiction for the purpose of rendering legal services to the employer, the
lawyer shall be subject to registration or other requirements, including
assessments for client protection funds and mandatory continuing legal
education. See, Ind. Admission and Discipline Rule 6, sections 2 through 5.
[18] Paragraph
(d)(2) recognizes that a lawyer may provide legal services in a jurisdiction in
which the lawyer is not licensed when authorized to do so by federal or other
law, which includes statute, court rule, executive regulation or judicial
precedent.
[19] A lawyer who
practices law in the State of Indiana pursuant to paragraphs (c) or (d) or
otherwise is subject to the disciplinary authority of the State of Indiana. See
Rule 8.5(a).
[20] In some
circumstances, a lawyer who practices law in the State of Indiana pursuant to
paragraphs (c) or (d) may have to inform the client that the lawyer is not
licensed to practice law in the State of Indiana. For example, that may be
required when the representation occurs primarily in the State of Indiana and
requires knowledge of the law of the State of Indiana. See Rule 1.4(b).
[21] Paragraphs
(c) and (d) do not authorize communications advertising legal services to
prospective clients in the State of Indiana by lawyers who are admitted to
practice in other jurisdictions. Whether and how lawyers may communicate the
availability of their services to prospective clients in the State of Indiana
is governed by Rules 7.2 to 7.5.
Rule 5.6. Restrictions on Right to
Practice
A lawyer shall not participate in offering or making:
(a)
a partnership, shareholder, operating, employment, or other similar type of
agreement that restricts the rights of a lawyer to practice after termination
of the relationship, except an agreement concerning benefits upon retirement;
or
(b)
an agreement in which a restriction on the lawyer's right to practice is part
of the settlement of a client controversy.
[1] An agreement
restricting the right of lawyers to practice after leaving a firm not only
limits their professional autonomy but also limits the freedom of clients to
choose a lawyer. Paragraph (a) prohibits such agreements except for
restrictions incident to provisions concerning retirement benefits for service
with the firm.
[2] Paragraph (b)
prohibits a lawyer from agreeing not to represent other persons in connection
with settling a claim on behalf of a client.
[3] This Rule
does not apply to prohibit restrictions that may be included in the terms of
the sale of a law practice pursuant to Rule 1.17.
Rule 5.7 Responsibilities Regarding
Law-Related Services
(a)
A lawyer shall be subject to the Rules of Professional Conduct with respect to
the provision of law-related services, as defined in paragraph (b), if the
law-related services are provided:
(1)
by the lawyer in circumstances that are not distinct from the lawyer's
provision of legal services to clients; or
(2)
in other circumstance by an entity controlled by the lawyer individually or
with others if the lawyer fails to take reasonable measures to assure that a
person obtaining the law-related services knows that the services are not legal
services and that the protections of the client-lawyer relationship do not
exist.
(b)
The term “law-related services” denotes services that might reasonably be
performed in conjunction with and in substance are related to the provision of
legal services, and that are not prohibited as unauthorized practice of law
when provided by a non-lawyer.
[1] When a lawyer
performs law-related services or controls an organization that does so or uses
a law license to promote an organization or otherwise creates a basis for a
belief that the client may be dealing with an attorney (such as where a person
uses “J.D.” on business cards or stationary or hangs framed law degrees or
court admissions on office walls), there exists the potential for ethical
problems. Principal among these is the possibility that the person for whom the
law-related services are performed fails to understand that the services may
not carry with them the protections normally afforded as part of the
client-lawyer relationship. The recipient of the law-related services may
expect, for example, that the protection of client confidences, prohibitions
against representation of persons with conflicting interests, and obligations
of a lawyer to maintain professional independence apply to the provision of
law-related services when that may not be the case.
[2] Rule 5.7
applies to the provision of law-related services by a lawyer even when the
lawyer does not provide any legal services to the person for whom the
law-related services are performed and whether the law-related services are
performed through a law firm or a separate entity. The Rule identifies the
circumstances in which all of the Rules of Professional Conduct apply to the
provision of law-related services. Even when those circumstances do not exist,
however, the conduct of a lawyer involved in the provision of law-related
services is subject to those Rules that apply generally to lawyer conduct,
regardless of whether the conduct involves the provision of legal services.
See, e.g., Rule 8.4.
[3] When
law-related services are provided by a lawyer under circumstances that are not
distinct from the lawyer's provision of legal services to clients, the lawyer
in providing the law-related services must adhere to the requirements of the
Rules of Professional Conduct as provided in paragraph (a)(1). Even when the
law-related and legal services are provided in circumstances that are distinct
from each other, for example through separate entities or different support
staff within the law firm, the Rules of Professional Conduct apply to the
lawyer as provided in paragraph (a)(2) unless the lawyer takes reasonable
measures to assure that the recipient of the law-related services knows that
the services are not legal services and that the protections of the client-lawyer
relationship do not apply.
[4] Law-related
services also may be provided through an entity that is distinct from that
through which the lawyer provides legal services. If the lawyer individually or
with others has control of such an entity's operations, the Rule requires the
lawyer to take reasonable measures to assure that each person using the
services of the entity knows that the services provided by the entity are not
legal services and that the Rules of Professional Conduct that relate to the
client-lawyer relationship do not apply. A lawyer's control of an entity
extends to the ability to direct its operation. Whether a lawyer has such
control will depend upon the circumstances of the particular case.
[5] When a
client-lawyer relationship exists with a person who is referred by a lawyer to
a separate law-related service entity controlled by the lawyer, individually or
with others, the lawyer must comply with Rule 1.8(a).
[6] In taking the
reasonable measures referred to in paragraph (a)(2) to assure that a person
using law-related services understands the practical effect or significance of
the inapplicability of the Rules of Professional Conduct, the lawyer should
communicate to the person receiving the law-related services, in a manner
sufficient to assure that the person understands the significance of the fact,
that the relationship of the person to the business entity will not be a
client-lawyer relationship. The communication should be made before entering
into an agreement for provision of or providing law-related services, and
preferably should be in writing.
[7] The burden is
upon the lawyer to show that the lawyer has taken reasonable measures under the
circumstances to communicate the desired understanding. For instance, a
sophisticated user of law-related services, such as a publicly held
corporation, may require a lesser explanation than someone unaccustomed to
making distinctions between legal services and law-related services, such as an
individual seeking tax advice from a lawyer-accountant or investigative
services in connection with a lawsuit.
[8] Regardless of
the sophistication of potential recipients of law-related services, a lawyer
should take special care to keep separate the provision of law-related and
legal services in order to minimize the risk that the recipient will assume
that the law-related services are legal services. The risk of such confusion is
especially acute when the lawyer renders both types of services with respect to
the same matter. Under some circumstances the legal and law-related services
may be so closely entwined that they cannot be distinguished from each other,
and the requirement of disclosure and consultation imposed by paragraph (a)(2)
of the Rule cannot be met. In such a case a lawyer will be responsible for
assuring that both the lawyer's conduct and, to the extent required by Rule
5.3, that of nonlawyer employees in the distinct entity that the lawyer
controls complies in all respects with the Rules of Professional Conduct.
[9] A broad range
of economic and other interests of clients may be served by lawyers' engaging
in the delivery of law-related services. Examples of law-related services
include providing title insurance, financial planning, accounting, real estate
counseling, legislative lobbying, economic analysis, social work, psychological
counseling, tax preparation, and medical or environmental consulting.
[10] When a
lawyer is obliged to accord the recipients of such services the protections of
those Rules that apply to the client-lawyer relationship, the lawyer must take
special care to heed the proscriptions of the Rules addressing conflict of
interest (Rules 1.7 through 1.11, especially Rules 1.7(a)(2) and 1.8(a), (b)
and (f)), and to scrupulously adhere to the requirements of Rule 1.6 relating
to disclosure of confidential information. Where the provision of law-related
services is subject to these Rules, the promotion of the law-related services
must also in all respects comply with Rules 7.2, through 7.5, dealing with
advertising and solicitation. In that regard, lawyers should take special care
to identify the obligations that may be imposed as a result of a jurisdiction's
decisional law.
[11] When the
full protections of all of the Indiana Rules of Professional Conduct do not
apply to the provision of law-related services, principles of law external to
the Rules, for example, the law of principal and agent, govern the legal duties
owed to those receiving the services. Those other legal principles may
establish a different degree of protection for the recipient with respect to
confidentiality of information, conflicts of interest and permissible business
relationships with clients. See also Rule 8.4 (Misconduct).
Rule 6.1. Pro Bono Publico Service
A lawyer should render public interest legal service. A
lawyer may discharge this responsibility by providing professional services at
no fee or a reduced fee to persons of limited means or to public service or
charitable groups or organizations, by service in activities for improving the
law, the legal system or the legal profession, and by financial support for
organizations that provide legal services to persons of limited means.
[1] The American
Bar Association House of Delegates has formally acknowledged “the basic
responsibility of each lawyer engaged in the practice of law to provide public
interest legal services” without fee, or at a substantially reduced fee, in one
or more of the following areas: poverty law, civil rights law, public rights
law, charitable organization representation and the administration of justice.
The Indiana State Bar Association's House of Delegates has declared that “all
Indiana lawyers have an ethical and a social obligation to provide
uncompensated legal assistance to poor persons” and adopted an aspirational
goal of fifty hours a year, or an equivalent financial contribution, for each
member of the bar.
For purposes of
this paragraph:
(a) Poverty law
means legal representation of a client who does not have the financial
resources to compensate counsel.
(b) Civil
rights (including civil liberties) law means legal representation involving a
right of an individual that society has a special interest in protecting.
(c) Public
rights law means legal representation involving an important right belonging to
a significant segment of the public.
(d) Charitable
organization representation means legal service to or representation of
charitable, religious, civic, governmental and educational institutions in
matters in furtherance of the organization’s purpose, where the payment of
customary legal fees would significantly deplete the organization’s economic
resources or where it would be inappropriate.
(e) Administration
of justice means activity, whether under bar association auspices or otherwise,
which is designed to increase the availability of legal representation, or
otherwise improve the administration of justice. This may include increasing
the availability of legal resources to individuals or groups, improving the
judicial system, or reforming legal institutions that significantly affect the
lives of disadvantaged individuals and groups.
[2] The rights and responsibilities of
individuals and organizations in the United States are increasingly defined in legal
terms. As a consequence, legal assistance in coping with the web of statutes,
rules and regulations is imperative for persons of modest and limited means, as
well as for the relatively well-to-do.
[3] The basic
responsibility for providing legal services for those unable to pay ultimately
rests upon the individual lawyer, and personal involvement in the problems of
the disadvantaged can be one of the most rewarding experiences in the life of a
lawyer. Every lawyer, regardless of professional prominence or professional
workload, should find time to participate in or otherwise support the provision
of legal services to the disadvantaged. The provision of free legal services to
those unable to pay reasonable fees continues to be an obligation of each
lawyer as well as the profession generally, but the efforts of individual
lawyers are often not enough to meet the need. Thus, it has been necessary for
the profession and government to institute additional programs to provide legal
services. Accordingly, legal aid offices, lawyer referral services and other
related programs have been developed, and others will be developed by the
profession and government. Every lawyer should support all proper efforts to meet
this need for legal services.
[4] Typically, to
fulfill the aspirational goals in Comment 1, legal services should be performed
without the expectation of compensation. If, during the course of
representation, a paying client is no longer able to afford a lawyer’s legal
services, and the lawyer continues to represent the client at no charge, any
work performed with the knowledge and intent of no compensation may be
considered pro bono legal service.
The award of
attorney’s fees in a case originally accepted as pro bono does not disqualify
such services from fulfilling the foregoing aspirational goals. However,
lawyers who receive attorney’s fees in pro bono cases are strongly encouraged
to contribute an appropriate portion of such fees to organizations or projects
that benefit persons of limited means, or that promote access to justice for
persons of limited means.
[5] Typically,
the following would not fulfill the aspirational goals in Comment 1:
(a) Legal
services written off as bad debts.
(b) Legal
services performed for family members.
(c) Legal
services performed for political organizations for election purposes.
(d) Activities
that do not involve the provision of legal services, such as serving on the
board of a charitable organization.
Rule 6.2. Accepting Appointments
A lawyer shall not seek to avoid appointment by a
tribunal to represent a person except for good cause, such as when:
(a)
representing the client is likely to result in violation of the Rules of
Professional Conduct or other law;
(b)
representing the client is likely to result in an unreasonable financial burden
on the lawyer; or
(c)
the client or the cause is so repugnant to the lawyer as to be likely to impair
the client-lawyer relationship or the lawyer's ability to represent the client.
[1] A lawyer
ordinarily is not obliged to accept a client whose character or cause the
lawyer regards as repugnant. The lawyer's freedom to select clients is,
however, qualified. All lawyers have a responsibility to assist in providing
pro bono publico service. See Rule 6.1. An individual lawyer may fulfill this
responsibility by accepting a fair share of unpopular matters or indigent or
unpopular clients. A lawyer may also be subject to appointment by a court to
serve unpopular clients or persons unable to afford legal services.
Appointed
Counsel
[2] For good
cause a lawyer may seek to decline an appointment to represent a person who
cannot afford to retain counsel or whose cause is unpopular. Good cause exists
if the lawyer could not handle the matter competently, see Rule 1.1, or if
undertaking the representation would result in an improper conflict of
interest, for example, when the client or the cause is so repugnant to the
lawyer as to be likely to impair the client-lawyer relationship or the lawyer's
ability to represent the client. A lawyer may also seek to decline an
appointment if acceptance would be unreasonably burdensome, for example, when
it would impose a financial sacrifice so great as to be unjust.
[3] An appointed
lawyer has the same obligations to the client as retained counsel, including
the obligations of loyalty and confidentiality, and is subject to the same
limitations on the client-lawyer relationship, such as the obligation to
refrain from assisting the client in violation of the Rules.
Rule 6.3. Membership in Legal Service
Organization
A lawyer may serve as a director, officer or member of a
legal services organization, apart from the law firm in which the lawyer
practices, notwithstanding that the organization serves persons having
interests adverse to a client of the lawyer. The lawyer shall not knowingly
participate in a decision or action of the organization:
(a)
if participating in the decision or action would be incompatible with the
lawyer's obligations to a client under Rule 1.7; or
(b)
where the decision or action could have a material adverse effect on the
representation of a client of the organization whose interests are adverse to a
client of the lawyer.
[1] Lawyers
should be encouraged to support and participate in legal service organizations.
A lawyer who is an officer or a member of such an organization does not thereby
have a client-lawyer relationship with persons served by the organization.
However, there is potential conflict between the interests of such persons and
the interests of the lawyer's clients. If the possibility of such conflict
disqualified a lawyer from serving on the board of a legal services
organization, the profession's involvement in such organizations would be
severely curtailed.
[2] It may be
necessary in appropriate cases to reassure a client of the organization that
the representation will not be affected by conflicting loyalties of a member of
the board. Established, written policies in this respect can enhance the
credibility of such assurances.
Rule 6.4. Law Reform Activities
Affecting Client Interests
A lawyer may serve as a director, officer or member of
an organization involved in reform of the law or its administration
notwithstanding that the reform may affect the interests of a client of the
lawyer. When the lawyer knows that the interests of a client may be materially
benefited by a decision in which the lawyer participates, the lawyer shall
disclose that fact but need not identify the client.
[1] Lawyers
involved in organizations seeking law reform generally do not have a
client-lawyer relationship with the organization. Otherwise, it might follow
that a lawyer could not be involved in a bar association law reform program
that might indirectly affect a client. See also Rule 1.2(b). For example, a
lawyer specializing in antitrust litigation might be regarded as disqualified
from participating in drafting revisions of rules governing that subject. In
determining the nature and scope of participation in such activities, a lawyer
should be mindful of obligations to clients under other Rules, particularly
Rule 1.7. A lawyer is professionally obligated to protect the integrity of the
program by making an appropriate disclosure within the organization when the
lawyer knows a private client might be materially benefited.
Rule 6.5 Nonprofit and Court-Annexed
Limited Legal Services Programs
(a)
A lawyer who, under the auspices of a program sponsored by a nonprofit
organization or court, provides short-term limited legal services to a client
without expectation by either the lawyer or the client that the lawyer will
provide continuing representation in the matter:
(1)
is subject to Rules 1.7 and 1.9(a) only if the lawyer knows that the
representation of the client involves a conflict of interest; and
(2)
is subject to Rule 1.10 only if the lawyer knows that another lawyer associated
with the lawyer in a law firm is disqualified by Rule 1.7 or 1.9(a) with
respect to the matter.
(b)
Except as provided in paragraph (a)(2), Rule 1.10 is inapplicable to a
representation governed by this Rule.
[1] Legal
services organizations, courts and various nonprofit organizations have
established programs through which lawyers provide short-term limited legal
services -- such as advice or the completion of legal forms -- that will assist
persons to address their legal problems without further representation by a
lawyer. In these programs, such as legal-advice hotlines, advice-only clinics
or pro se counseling programs, a client-lawyer relationship is established, but
there is no expectation that the lawyer's representation of the client will
continue beyond the limited consultation. Such programs are normally operated
under circumstances in which it is not feasible for a lawyer to systematically
screen for conflicts of interest as is generally required before undertaking a
representation. See, e.g., Rules 1.7, 1.9 and 1.10.
[2] A lawyer who
provides short-term limited legal services pursuant to this Rule must secure
the client's informed consent to the limited scope of the representation. See
Rule 1.2(c). If a short-term limited representation would not be reasonable
under the circumstances, the lawyer may offer advice to the client but must
also advise the client of the need for further assistance of counsel. Except as
provided in this Rule, the Rules of Professional Conduct, including Rules 1.6
and 1.9(c), are applicable to the limited representation.
[3] Because a
lawyer who is representing a client in the circumstances addressed by this Rule
ordinarily is not able to check systematically for conflicts of interest,
paragraph (a) requires compliance with Rules 1.7 or 1. 9(a) only if the lawyer
knows that the representation presents a conflict of interest for the lawyer,
and with Rule 1.10 only if the lawyer knows that another lawyer in the lawyer's
firm is disqualified by Rules 1.7 or 1.9(a) in the matter.
[4] Because the
limited nature of the services significantly reduces the risk of conflicts of
interest with other matters being handled by the lawyer's firm, paragraph (b)
provides that Rule 1.10 is inapplicable to a representation governed by this
Rule except as provided by paragraph (a)(2). Paragraph (a)(2) requires the
participating lawyer to comply with Rule 1.10 when the lawyer knows that the
lawyer's firm is disqualified by Rules 1.7 or 1.9(a). By virtue of paragraph
(b), however, a lawyer's participation in a short-term limited legal services
program will not preclude the lawyer's firm from undertaking or continuing the
representation of a client with interests adverse to a client being represented
under the program's auspices. Nor will the personal disqualification of a
lawyer participating in the program be imputed to other lawyers participating
in the program.
[5] If, after
commencing a short-term limited representation in accordance with this Rule, a
lawyer undertakes to represent the client in the matter on an ongoing basis,
Rules 1.7, 1.9(a) and 1.10 become applicable.
Rule 6.7 Requirement for Reporting of
Direct Pro Bono Legal Services
(a)
Reporting Requirement. To encourage and assess the current
and future extent of volunteer legal services provided directly to individuals
of limited means and to public service or charitable groups or organizations,
an attorney must report as part of the attorney’s annual registration, the
following information:
(1) Pro Bono Hours - no compensation. (A)
During the previous calendar year ending December 31, I have personally
provided approximately ______ hours of legal services in Indiana or other
states directly to individuals reasonably believed to be of limited means
without charge and without any fee expectation when the services were rendered.
(B) During the previous calendar year ending December 31, I have personally
provided approximately ______ hours of legal services in Indiana or other
states directly to public service or charitable groups or organizations as
defined in Rule 6. 1 Comment 1(d) without charge and without any fee
expectation when the services were rendered.
(2) Pro Bono Hours - substantially reduced
compensation. (A) During the previous calendar year ending December 31, I have
personally provided approximately _____ hours of legal services directly to
individuals reasonably believed to be of limited means at a charge of less than
50% of my normal rate and without expectation of any greater fee when the
services were rendered. (B) During the previous calendar year ending December
31, I have personally provided approximately ______ hours of legal services
directly to public service or charitable groups or organizations as defined in
Rule 6.1 Comment 1(d) of less than 50% of my normal rate and without
expectation of any greater fee when the services were rendered.
(3) Financial Contribution. During the
previous calendar year ending December 31, I have either (i) made monetary
contributions of $_______ to one or more of the following: (A) the Indiana Bar
Foundation, (B) IRC 501 (c)(3) bar foundation in Indiana which provides
financial support to a qualifying legal service organization or local pro bono
district, (C) any IRC 501(c)(3) pro bono district listed in the Indiana Supreme
Court website, or (D) a legal service organization located in Indiana that is
eligible for fee waiver under I.C. 33-37-3-2(b); or (ii) made an in-kind
contribution of tangible property fairly valued at $ ______ to one or more of
the foregoing qualifying legal service organizations or local pro bono
districts.
(4) Exempt Persons. An attorney is exempt
from reporting under this Rule who is exempt from the provision of pro bono
legal services because he or she (i) is currently serving as a member of the
judiciary or judicial staff, (ii) is a government lawyer prohibited by statute,
rule, regulation, or agency policy from providing legal services outside his or
her employment, (iii) is retired from the practice of law, or (iv) maintains
inactive standing with the Executive Director of the Indiana Office of
Admissions and Continuing Education.
(b) Reporting Required. By requiring the affirmative reporting of pro bono legal services
provided directly to an individual of limited means, this Rule 6.7 requires
reporting only for a subset of the public interest legal service encouraged
under Rule 6.1.
(c) Public Disclosure of Information Received. Information received pursuant to
this Rule is declared confidential and shall not be publically disclosed by the
Indiana Supreme Court or any of its agencies, on an individual or firm-wide
basis.
Rule 7.1. Communications Concerning a
Lawyer’s Services
A lawyer
shall not make a false or misleading communication about the lawyer or the
lawyer's services. A communication is false or misleading if it contains a
material misrepresentation of fact or law, or omits a fact necessary to make
the statement considered as a whole not materially misleading.
Commentary
[1] This Rule governs all
communications about a lawyer's services, including advertising permitted by
Rule 7.2. Whatever means are used to make known a lawyer's services, statements
about them must be truthful.
[2] Truthful statements that are
misleading are also prohibited by this Rule. In the absence of special
circumstances that serve to protect the probable targets of a communication
from being misled or deceived, a communication will violate Rule 7.1 if it:
(1) is intended
or is likely to result in a legal action or a legal position being asserted
merely to harass or maliciously injure another;
(2) contains
statistical data or other information based on past performance or an express
or implied prediction of future success;
(3) contains a
claim about a lawyer, made by a third party, that the lawyer could not
personally make consistent with the requirements of this rule;
(4) appeals
primarily to a lay person’s fear, greed, or desire for revenge;
(5) compares the
services provided by the lawyer or a law firm with other lawyers’ services,
unless the comparison can be factually substantiated;
(6) contains any
reference to results obtained that may reasonably create an expectation of
similar results in future matters;
(7) contains a
dramatization or re-creation of events unless the advertising clearly and
conspicuously discloses that a dramatization or re-creation is being presented;
(8) contains a
representation, testimonial, or endorsement of a lawyer or other statement
that, in light of all the circumstances, is intended or is likely to create an
unjustified expectation about a lawyer or law firm or a person’s legal rights;
(9) states or
implies that a lawyer is a certified or recognized specialist other than as
permitted by Rule 7.4;
(10) is
prohibited by Rule 7.3.
[3] See also Rule 8.4(e) for the
prohibition against stating or implying an ability to influence improperly a
government agency or official or to achieve results by means that violate the
Rules of Professional Conduct or other law.
(a)
Subject to the requirements of this rule, lawyers and law firms may advertise their
professional services and law related services. The term “advertise” as used in
these Indiana Rules of Professional Conduct refers to any manner of public
communication partly or entirely intended or expected to promote the purchase
or use of the professional services of a lawyer, law firm, or any employee of
either involving the practice of law or law-related services.
(b)
A lawyer shall not give anything of value to a person for recommending or
advertising the lawyer's services except that a lawyer may:
(1)
pay the reasonable costs of advertisements or communications permitted by this
Rule;
(2)
pay the usual charges of a legal service plan or a not-for-profit or qualified
lawyer referral service described in Rule 7.3(d);
(3)
pay for a law practice in accordance with Rule 1.17; and
(4)
refer clients to another lawyer or a non-lawyer professional pursuant to an
agreement not otherwise prohibited under these Rules that provides for the
other person to refer clients or customers to the lawyer, if
(i)
the reciprocal referral agreement is not exclusive, and
(ii)
the client is informed of the existence and nature of the agreement.
(c)
Any communication subject to this rule shall include the name and office
address of at least one lawyer or law firm responsible for its content. The
lawyer or law firm responsible for the content of any communication subject to
this rule shall keep a copy or recording of each such communication for six
years after its dissemination.
Commentary
[1] To assist the public in obtaining
legal services, lawyers should be allowed to make known their services not only
through reputation but also through organized information campaigns in the form
of advertising. Advertising involves an active quest for clients, contrary to
the tradition that a lawyer should not seek clientele. However, the public's
need to know about legal services can be fulfilled in part through advertising.
[2] Provided that the advertising
otherwise complies with the requirements of the Rules of Professional Conduct,
permissible subjects of advertising include:
(1) name and contact information,
including the name and contact information for an attorney, a law firm, and
professional associates;
(2) one or more fields of law in
which the lawyer or law firm practices, using commonly accepted and understood
definitions and designations;
(3) date and place of birth;
(4) date and place of admission to
the bar of state and federal courts;
(5) schools attended, with dates of
graduation, degrees, and other scholastic distinctions;
(6) academic, public or quasi-public,
military, or professional positions held;
(7) military service;
(8) legal authorship;
(9) legal teaching position;
(10) memberships, offices, and
committee assignments, in bar professional, scientific, or technical
associations or societies;
(11) memberships and offices in legal
fraternities and legal societies;
(12) technical and professional
licenses;
(13) memberships in scientific,
technical, and professional associations and societies;
(14) foreign language ability;
(15) names and addresses of bank
references;
(16) professional liability insurance
coverage;
(17) prepaid or group legal services
programs in which the lawyer participates as allowed by Rule 7.3(d);
(18) whether credit cards or other
credit arrangements are accepted;
(19) office and telephone answering
service hours; and
(20) fees charged and other terms of
service pursuant to which an attorney is willing to provide legal or
law-related services.
[3] Neither this Rule nor Rule 7.3
prohibits communications authorized by law, such as notice to members of a
class in class action litigation.
[4] Lawyers are not permitted to pay
others for channeling professional work. Paragraph (b)(1), however, allows a
lawyer to pay for advertising and communications permitted by this Rule,
including the costs of print directory listings, on-line directory listings,
newspaper ads, television and radio airtime, domain-name registrations,
sponsorship fees, banner ads, and group advertising. A lawyer may compensate
employees, agents, and vendors who are engaged to provide marketing or
client-development services, such as publicists, public-relations personnel,
business-development staff, and website designers. See Rule 5.3 for the duties
of lawyers and law firms with respect to the conduct of non-lawyers who prepare
marketing materials for them.
Rule
7.3. Direct Contact with prospective Clients
(a) A lawyer
(including the lawyer’s employee or agent) shall not by in-person, live
telephone, or real-time electronic contact solicit professional employment from
a prospective client when a significant motive for the lawyer’s doing so is the
lawyer’s pecuniary gain, unless the person contacted:
(1)
is a lawyer; or
(2)
has a family, close personal, or prior professional relationship with the
lawyer.
(b) A lawyer
shall not solicit professional employment from a prospective client by
in-person or by written, recorded, audio, video, or electronic communication,
including the Internet, if:
(1)
the prospective client has made known to the lawyer a desire not to be
solicited by the lawyer;
(2)
the solicitation involves coercion, duress or harassment;
(3)
the solicitation concerns an action for personal injury or wrongful death or
otherwise relates to an accident or disaster involving the person to whom the
solicitation is addressed or a relative of that person, unless the accident or
disaster occurred more than 30 days prior to the initiation of the
solicitation;
(4)
the solicitation concerns a specific matter and the lawyer knows, or reasonably
should know, that the person to whom the solicitation is directed is
represented by a lawyer in the matter; or
(5)
the lawyer knows, or reasonably should know, that the physical, emotional, or
mental state of the person makes it unlikely that the person would exercise
reasonable judgment in employing a lawyer.
(c) Every
written, recorded, or electronic communication from a lawyer soliciting
professional employment from a prospective client potentially in need of legal
services in a particular matter shall include the words “Advertising Material”
conspicuously placed both on the face of any outside envelope and at the
beginning of any written communication, and both at the beginning and ending of
any recorded or electronic communication, unless the recipient of the
communication is a person specified in paragraphs (a)(1) or (a)(2). A copy of
each such communication shall be filed with the Indiana Supreme Court
Disciplinary Commission at or prior to its dissemination to the prospective
client. A filing fee in the amount of fifty dollars ($50.00) payable to the
“Supreme Court Disciplinary Commission Fund” shall accompany each such filing.
In the event a written, recorded, or electronic communication is distributed to
multiple prospective clients, a single copy of the mailing less information
specific to the intended recipients, such as name, address (including email
address) and date of mailing, may be filed with the Commission. Each time any such
communication is changed or altered, a copy of the new or modified
communication shall be filed with the Disciplinary Commission at or prior to
the time of its mailing or distribution. The lawyer shall retain a list
containing the names and addresses, including email addresses, of all persons
or entities to whom each communication has been mailed or distributed for a
period of not less than one (1) year following the last date of mailing or
distribution. Communications filed pursuant to this subdivision shall be open
to public inspection.
(d) A lawyer
shall not accept referrals from, make referrals to, or solicit clients on
behalf of any lawyer referral service unless such service falls within clauses
(1)-(4) below. A lawyer or any other lawyer affiliated with the lawyer or the
lawyer’s law firm may be recommended, employed, or paid by, or cooperate with,
one of the following offices or organizations that promote the use of the
lawyer’s services or those of the lawyer’s firm, if there is no interference
with the exercise of independent professional judgment on behalf of a client of
the lawyer or the lawyer’s firm:
(1)
A legal office or public defender office:
(A)
operated or sponsored on a not-for-profit basis by a law school accredited by
the American Bar Association Section on Legal Education and Admissions to the
Bar;
(B)
operated or sponsored on a not-for-profit basis by a bona fide non-profit
community organization;
(C)
operated or sponsored on a not-for-profit basis by a governmental agency;
(D)
operated, sponsored, or approved in writing by the Indiana State Bar
Association, the Indiana Trial Lawyers Association, the Defense Trial Counsel
of Indiana, any bona fide county or city bar association within the State of
Indiana, or any other bar association whose lawyer referral service has been
sanctioned for operation in Indiana by the Indiana Disciplinary Commission; and
(E)
operated by a Circuit or Superior Court within the State of Indiana.
(2)
A military legal assistance office;
(3)
A lawyer referral service operated, sponsored, or approved by any organization
listed in clause (1)(D); or
(4)
Any other non-profit organization that recommends, furnishes, or pays for legal
services to its members or beneficiaries, but only if the following conditions
are met:
(A)
the primary purposes of such organization do not include the rendition of legal
services;
(B)
the recommending, furnishing, or paying for legal services to its members is
incidental and reasonably related to the primary purposes of such organization;
(C)
such organization does not derive a financial benefit from the rendition of
legal services by the lawyer; and
(D)
the member or beneficiary for whom the legal services are rendered, and not
such organization, is recognized as the client of the lawyer in the matter.
(e) A lawyer
shall not compensate or give anything of value to a person or organization to
recommend or secure the lawyer’s employment by a client, or as a reward for
having made a recommendation resulting in the lawyer’s employment by a client,
except that the lawyer may pay for public communication permitted by Rule 7.2
and the usual and reasonable fees or dues charged by a lawyer referral service
falling within the provisions of paragraph (d) above.
(f) A lawyer
shall not accept employment when the lawyer knows, or reasonably should know,
that the person who seeks the lawyer’s services does so as a result of lawyer
conduct prohibited under this Rule 7.3.
Commentary
[1] There is a potential for abuse
inherent in direct in-person, live telephone or real-time electronic contact by
a lawyer with a prospective client known to need legal services. These forms of
contact between a lawyer and a prospective client subject the layperson to the
private importuning of the trained advocate in a direct interpersonal
encounter. The prospective client, who may already feel overwhelmed by the
circumstances giving rise to the need for legal services, may find it difficult
fully to evaluate all available alternatives with reasoned judgment and
appropriate self-interest in the face of the lawyer's presence and insistence
upon being retained immediately. The situation is fraught with the possibility
of undue influence, intimidation, and over-reaching.
[2] This potential for abuse inherent
in direct in-person, live telephone or real-time electronic solicitation of
prospective clients justifies its prohibition, particularly since lawyer
advertising and written and recorded communication permitted under Rule 7.2
offer alternative means of conveying necessary information to those who may be
in need of legal services.
[3] The use of general advertising
and written, recorded, or electronic communications to transmit information
from lawyer to prospective client, rather than direct in-person, live telephone
or real-time electronic contact, will help to assure that the information flows
cleanly as well as freely. The contents of advertisements and communications
permitted under Rule 7.2 can be permanently recorded so that they cannot be
disputed and may be shared with others who know the lawyer. This potential for
informal review is itself likely to help guard against statements and claims
that might constitute false and misleading communications, in violation of Rule
7.1. The contents of direct in-person, live telephone, or real-time electronic
conversations between a lawyer and a prospective client can be disputed and may
not be subject to third-party scrutiny. Consequently, they are much more likely
to approach (and occasionally cross) the dividing line between accurate
representations and those that are false and misleading.
[4] There is far less likelihood that
a lawyer would engage in abusive practices against an individual who is a
former client, or with whom the lawyer has close personal or family
relationship, or in situations in which the lawyer is motivated by considerations
other than the lawyer's pecuniary gain. Nor is there a serious potential for
abuse when the person contacted is a lawyer. Consequently, the general
prohibition in Rule 7.3(a) and the requirements of Rule 7.3(c) are not
applicable in those situations. Also, paragraph (a) is not intended to prohibit
a lawyer from participating in constitutionally protected activities of public
or charitable legal-service organizations or bona fide political, social,
civic, fraternal, employee, or trade organizations whose purposes include
providing or recommending legal services to its members or beneficiaries.
[5] But even permitted forms of
solicitation can be abused. Thus, any solicitation which contains information
which is false or misleading within the meaning of Rule 7.1, which involves
coercion, duress, or harassment within the meaning of Rule 7.3(b)(2), or which
involves contact with a prospective client who has made known to the lawyer a
desire not to be solicited by the lawyer within the meaning of Rule 7.3(b)(1)
is prohibited. Moreover, if after sending a letter or other communication to a
client as permitted by Rule 7.2, the lawyer receives no response, any further
effort to communicate with the prospective client may violate the provisions of
Rule 7.3(b).
[6] This rule allows targeted
solicitation of potential plaintiffs or claimants in personal injury and
wrongful death causes of action or other causes of action that relate to an
accident, disaster, death, or injury, but only if such solicitation is initiated
no less than 30 days after the incident. This restriction is reasonably
required by the sensitized state of the potential clients, who may be either
injured or grieving over the loss of a family member, and the abuses that
experience has shown exist in this type of solicitation.
Rule 7.4. Communication of Fields of
Practice and Specialization
(a) A lawyer may communicate the
fact that the lawyer does or does not practice in particular fields of law.
(b)
A lawyer admitted to engage in patent practice before the United States Patent
and Trademark Office may use the designation “Patent Attorney” or a
substantially similar designation.
(c)
A lawyer engaged in Admiralty practice may use the designation “Admiralty,”
“Proctor in Admiralty” or a substantially similar designation.
(d)
A lawyer shall not state or imply that the lawyer is a specialist in a
particular field of law, unless:
(1) The lawyer has been certified as
a specialist by an Independent Certifying Organization accredited by the
Indiana Commission for Continuing Legal Education pursuant to Admission and
Discipline Rule 30; and,
(2) The certifying organization is
identified in the communication.
(e)
Pursuant to rule-making powers inherent in its ability and authority to police
and regulate the practice of law by attorneys admitted to practice law in the
State of Indiana, the Indiana Supreme Court hereby vests exclusive authority
for accreditation of Independent Certifying Organizations that certify
specialists in legal practice areas and fields in the Indiana Commission for
Continuing Legal Education. The Commission shall be the exclusive accrediting
body in Indiana, for purposes of Rule 7.4(d)(1), above; and shall promulgate
rules and guidelines for accrediting Independent Certifying Organizations that
certify specialists in legal practice areas and fields. The rules and
guidelines shall include requirements of practice experience, continuing legal
education, objective examination; and, peer review and evaluation, with the
purpose of providing assurance to the consumers of legal services that the
attorneys attaining certification within areas of specialization have
demonstrated extraordinary proficiency within those areas of specialization.
The Supreme Court shall retain review oversight with respect to the Commission,
its requirements, and its rules and guidelines. The Supreme Court retains the
power to alter or amend such requirements, rules and guidelines; and, to review
the actions of the Commission in respect to this Rule 7.4.
Commentary
[1] Paragraph (a) of this Rule
permits a lawyer to indicate areas of practice in communications about the
lawyer's services. If a lawyer practices only in certain fields, or will not
accept matters except in a specified field or fields, the lawyer is permitted
to so indicate.
[2] Paragraph (b) recognizes the
long-established policy of the Patent and Trademark Office for the designation
of lawyers practicing before the Office. Paragraph (c) recognizes that
designation of Admiralty practice has a long historical tradition associated
with maritime commerce and the federal courts.
Rule 7.5. Firm Names and Letterheads
(a)
A lawyer shall not use a firm name, letterhead or other professional
designation that violates Rule 7.1. A trade name may be used by a lawyer in
private practice if it does not imply a connection with a government agency or
with a public or charitable legal services organization and is not otherwise in
violation of Rule 7.1.
(b)
A law firm with offices in more than one jurisdiction may use the same name or
other professional designation in Indiana if the name or other designation does
not violate paragraph (a) and the identification of the lawyers in an office of
the firm indicates the jurisdictional limitations on those not licensed to
practice in Indiana.
(c)
The name of a lawyer holding a public office shall not be used in the name of a
law firm, or in communications on its behalf, during any substantial period in
which the lawyer is not actively and regularly practicing with the firm. A
member of a part-time legislative body such as the General Assembly, a county
or city council, or a school board is not subject to this rule.
(d)
Lawyers may state or imply that they practice in a partnership or other
organization only when they in fact do so.
Commentary
[1] A firm may be designated by the
names of all or some of its members, by the names of deceased members where
there has been a continuing succession in the firm's identity, or by a trade
name that complies with the requirements of the Rules of Professional Conduct.
A lawyer or law firm may also be designated by a distinctive website address or
comparable professional designation. The use of a trade name in law practice is
acceptable so long as it is not misleading and otherwise complies with the
requirements of paragraph (a)(4). A firm name that includes the name of a
deceased partner is, strictly speaking, a trade name. The use of such names to
designate law firms has proven a useful means of identification. However, it is
misleading to use the name of a lawyer not associated with the firm or a
predecessor of the firm, or the name of a non-lawyer.
[2] With regard to paragraph (d),
lawyers sharing office facilities, but who are not in fact associated with each
other in a law firm, may not denominate themselves as, for example, "Smith
and Jones," for that title suggests that they are practicing law together
in a firm.
Rule 8.1. Bar Admission and
Disciplinary Matters
An applicant for admission to the bar, or a lawyer in
connection with a bar admission application or in connection with a
disciplinary matter, shall not:
(a)
knowingly make a false statement of material fact; or
(b)
fail to disclose a fact necessary to correct a misapprehension known by the
person to have arisen in the matter, or knowingly fail to respond to a lawful
demand for information from an admissions or disciplinary authority, except
that this Rule does not require disclosure of information otherwise protected
by Rule 1.6.
[1] The duty
imposed by this Rule extends to persons seeking admission to the bar as well as
to lawyers. Hence, if a person makes a material false statement in connection
with an application for admission, it may be the basis for subsequent
disciplinary action if the person is admitted, and in any event may be relevant
in a subsequent admission application. The duty imposed by this Rule applies to
a lawyer's own admission or discipline as well as that of others. Thus, it is a
separate professional offense for a lawyer to knowingly make a
misrepresentation or omission in connection with a disciplinary investigation
of the lawyer's own conduct. Paragraph (b) of this Rule also requires
correction of any prior misstatement in the matter that the applicant or lawyer
may have made and affirmative clarification of any misunderstanding on the part
of the admissions or disciplinary authority of which the person involved
becomes aware.
[2] This Rule is
subject to the provisions of the Fifth Amendment of the United States
Constitution and corresponding provisions of state constitutions. A person
relying on such a provision in response to a question, however, should do so
openly and not use the right of nondisclosure as a justification for failure to
comply with this Rule.
[3] A lawyer
representing an applicant for admission to the bar, or representing a lawyer
who is the subject of a disciplinary inquiry or proceeding, is governed by the
rules applicable to the client-lawyer relationship, including Rule 1.6 and, in
some cases, Rule 3.3.
Rule 8.2. Judicial and Legal
Officials
(a)
A lawyer shall not make a statement that the lawyer knows to be false or with
reckless disregard as to its truth or falsity concerning the qualifications or
integrity of a judge, adjudicatory officer or public legal officer, or of a
candidate for election or appointment to judicial or legal office.
(b)
A lawyer who is a candidate for judicial office shall comply with the
applicable provisions of the Code of Judicial Conduct.
[1] Assessments
by lawyers are relied on in evaluating the professional or personal fitness of
persons being considered for election or appointment to judicial office and to
public legal offices, such as attorney general, prosecuting attorney and public
defender. Expressing honest and candid opinions on such matters contributes to
improving the administration of justice. Conversely, false statements by a
lawyer can unfairly undermine public confidence in the administration of
justice.
[2] When a lawyer
seeks judicial office, the lawyer should be bound by applicable limitations on
political activity.
[3] To maintain
the fair and independent administration of justice, lawyers are encouraged to
continue traditional efforts to defend judges and courts unjustly criticized.
Rule 8.3. Reporting Professional
Misconduct
(a)
A lawyer who knows that another lawyer has committed a violation of the Rules
of Professional Conduct that raises a substantial question as to that lawyer's
honesty, trustworthiness or fitness as a lawyer in other respects, shall inform
the appropriate professional authority.
(b)
A lawyer who knows that a judge has committed a violation of applicable rules
of judicial conduct that raises a substantial question as to the judge's
fitness for office shall inform the appropriate authority.
(c)
This Rule does not require reporting of a violation or disclosure of
information if such action would involve disclosure of information that is
otherwise protected by Rule 1.6, or is gained by a lawyer while providing
advisory opinions or telephone advice on legal ethics issues as a member of a
bar association committee or similar entity formed for the purposes of
providing such opinions or advice and designated by the Indiana Supreme Court.
(d)
The relationship between lawyers or judges acting on behalf of a judges or
lawyers assistance program approved by the Supreme Court, and lawyers or judges
who have agreed to seek assistance from and participate in any such programs,
shall be considered one of attorney and client, with its attendant duty of
confidentiality and privilege from disclosure.
[1] Self-regulation
of the legal profession requires that members of the profession initiate
disciplinary investigation when they know of a violation of the Rules of
Professional Conduct. Lawyers have a similar obligation with respect to
judicial misconduct. An apparently isolated violation may indicate a pattern of
misconduct that only a disciplinary investigation can uncover. Reporting a
violation is especially important where the victim is unlikely to discover the
offense.
[2] A report
about misconduct is not required where it would involve violation of Rule 1.6.
However, a lawyer should encourage a client to consent to disclosure where
prosecution would not substantially prejudice the client's interests.
[3] If a lawyer
were obliged to report every violation of the Rules, the failure to report any
violation would itself be a professional offense. Such a requirement existed in
many jurisdictions but proved to be unenforceable. This Rule limits the
reporting obligation to those offenses that a self-regulating profession must
vigorously endeavor to prevent. A measure of judgment is, therefore, required
in complying with the provisions of this Rule. The term “substantial” refers to
the seriousness of the possible offense and not the quantum of evidence of
which the lawyer is aware. A report should be made to the bar disciplinary
agency unless some other agency, such as a peer review agency, is more
appropriate in the circumstances. Similar considerations apply to the reporting
of judicial misconduct.
[4] The duty to
report professional misconduct does not apply to a lawyer retained to represent
a lawyer whose professional conduct is in question. Such a situation is
governed by the rules applicable to the client-lawyer relationship.
[5] Information
about a lawyer's or judge's misconduct or fitness may be received by a lawyer
in the course of that lawyer's participation in an approved lawyers or judges
assistance program. In that circumstance, providing for an exception to the
reporting requirements of paragraphs (a) and (b) of this Rule encourages
lawyers and judges to seek treatment through such a program. Conversely,
without such an exception, lawyers and judges may hesitate to seek assistance
from these programs, which may then result in additional harm to their
professional careers and additional injury to the welfare of clients and the
public. These Rules do not otherwise address the confidentiality of information
received by a lawyer or judge participating in an approved lawyers assistance
program; such an obligation, however, may be imposed by the rules of the
program or other law.
It is professional misconduct for a lawyer to:
(a)
violate or attempt to violate the Rules of Professional Conduct, knowingly
assist or induce another to do so, or do so through the acts of another;
(b)
commit a criminal act that reflects adversely on the lawyer's honesty,
trustworthiness or fitness as a lawyer in other respects;
(c)
engage in conduct involving dishonesty, fraud, deceit or misrepresentation;
(d)
engage in conduct that is prejudicial to the administration of justice;
(e)
state or imply an ability to influence improperly a government agency or
official or to achieve results by means that violate the Rules of Professional
Conduct or other law;
(f)
knowingly assist a judge or judicial officer in conduct that is a violation of
applicable rules of judicial conduct or other law; or
(g)
engage in conduct, in a professional capacity, manifesting, by words or
conduct, bias or prejudice based upon race, gender, religion, national origin,
disability, sexual orientation, age, socioeconomic status, or similar factors.
Legitimate advocacy respecting the foregoing factors does not violate this
subsection. A trial judge's finding that preemptory challenges were exercised
on a discriminatory basis does not alone establish a violation of this Rule.
[1] Lawyers are
subject to discipline when they violate or attempt to violate the Rules of
Professional Conduct, knowingly assist or induce another to do so or do so
through the acts of another, as when they request or instruct an agent to do so
on the lawyer's behalf. Paragraph (a), however, does not prohibit a lawyer from
advising a client concerning action the client is legally entitled to take.
[2] Many kinds of
illegal conduct reflect adversely on fitness to practice law, such as offenses
involving fraud and the offense of willful failure to file an income tax
return. However, some kinds of offenses carry no such implication.
Traditionally, the distinction was drawn in terms of offenses involving “moral
turpitude.” That concept can be construed to include offenses concerning some
matters of personal morality, such as adultery and comparable offenses, that
have no specific connection to fitness for the practice of law. Although a
lawyer is personally answerable to the entire criminal law, a lawyer should be
professionally answerable only for offenses that indicate lack of those
characteristics relevant to law practice. Offenses involving violence, dishonesty,
breach of trust, or serious interference with the administration of justice are
in that category. A pattern of repeated offenses, even ones of minor
significance when considered separately, can indicate indifference to legal
obligation.
[3] A lawyer may
refuse to comply with an obligation imposed by law upon a good faith belief
that no valid obligation exists. The provisions of Rule 1.2(d) concerning a
good faith challenge to the validity, scope, meaning or application of the law
apply to challenges of legal regulation of the practice of law.
[4] Lawyers
holding public office assume legal responsibilities going beyond those of other
citizens. A lawyer's abuse of public office can suggest an inability to fulfill
the professional role of lawyers. The same is true of abuse of positions of
private trust such as trustee, executor, administrator, guardian, agent and
officer, director or manager of a corporation or other organization.
Rule 8.5. Disciplinary Authority:
Choice of Law
(a)
Disciplinary Authority. A lawyer admitted to practice in this jurisdiction is
subject to the disciplinary authority of this jurisdiction, regardless of where
the lawyer's conduct occurs. A lawyer not admitted in this jurisdiction is also
subject to the disciplinary authority of this jurisdiction if the lawyer
provides or offers to provide any legal services in this jurisdiction. A lawyer
may be subject to the disciplinary authority of both this jurisdiction and
another jurisdiction for the same conduct.
(b)
Choice of Law. In any exercise of the disciplinary authority of this
jurisdiction, the rules of professional conduct to be applied shall be as
follows:
(1)
for conduct in connection with a matter pending before a tribunal, the rules of
the jurisdiction in which the tribunal sits, unless the rules of the tribunal
provide otherwise; and
(2)
for any other conduct, the rules of the jurisdiction in which the lawyer's
conduct occurred, or, if the predominant effect of the conduct is in a
different jurisdiction, the rules of that jurisdiction shall be applied to the
conduct.
Disciplinary
Authority
[1] It is longstanding
law that the conduct of a lawyer admitted to practice in this jurisdiction is
subject to the disciplinary authority of this jurisdiction. Extension of the
disciplinary authority of this jurisdiction to other lawyers who provide or
offer to provide legal services in this jurisdiction is for the protection of
the citizens of this jurisdiction. Reciprocal enforcement of a jurisdiction's
disciplinary findings and sanctions will further advance the purposes of this
Rule. A lawyer who is subject to the disciplinary authority of this
jurisdiction under Rule 8.5(a) appoints an official to be designated by this
Court to receive service of process in this jurisdiction. The fact that the
lawyer is subject to the disciplinary authority of this jurisdiction may be a
factor in determining whether personal jurisdiction may be asserted over the
lawyer for civil matters.
Choice
of Law
[2] A lawyer may
be potentially subject to more than one set of rules of professional conduct
which impose different obligations. The lawyer may be licensed to practice in
more than one jurisdiction with differing rules, or may be admitted to practice
before a particular court with rules that differ from those of the jurisdiction
or jurisdictions in which the lawyer is licensed to practice. Additionally, the
lawyer's conduct may involve significant contacts with more than one
jurisdiction.
[3] Paragraph (b)
seeks to resolve such potential conflicts. Its premise is that minimizing
conflicts between rules, as well as uncertainty about which rules are
applicable, is in the best interest of both clients and the profession (as well
as the bodies having authority to regulate the profession). Accordingly, it
takes the approach of (i) providing that any particular conduct of a lawyer
shall be subject to only one set of rules of professional conduct and (ii)
making the determination of which set of rules applies to particular conduct as
straightforward as possible, consistent with recognition of appropriate
regulatory interests of relevant jurisdictions.
[4] Paragraph
(b)(1) provides that as to a lawyer's conduct relating to a proceeding pending
before a tribunal, the lawyer shall be subject only to the rules of the
jurisdiction in which the tribunal sits unless the rules of the tribunal,
including its choice of law rule, provide otherwise. As to all other conduct,
including conduct in anticipation of a proceeding not yet pending before a
tribunal, paragraph (b)(2) provides that a lawyer shall be subject to the rules
of the jurisdiction in which the lawyer's conduct occurred, or, if the
predominant effect of the conduct is in another jurisdiction, the rules of that
jurisdiction shall be applied to the conduct. In the case of conduct in
anticipation of a proceeding that is likely to be before a tribunal, the predominant
effect of such conduct could be where the conduct occurred, where the tribunal
sits or in another jurisdiction.
[5] If two
admitting jurisdictions were to proceed against a lawyer for the same conduct,
they should, applying this rule, identify the same governing ethics rules. They
should take all appropriate steps to see that they do apply the same rule to
the same conduct, and in all events should avoid proceeding against a lawyer on
the basis of two inconsistent rules.
[6] The choice of
law provision applies to lawyers engaged in transnational practice, unless
international law, treaties or other agreements between competent regulatory
authorities in the affected jurisdictions provide otherwise.
Subject to the provisions in Rule 5.3, all lawyers may
use non-lawyer assistants in accordance with the following guidelines.
A non-lawyer assistant shall perform services only under
the direct supervision of a lawyer authorized to practice in the State of
Indiana. Independent non-lawyer assistants are prohibited from establishing a
direct relationship with a client to provide legal services. A lawyer is
responsible for all of the professional actions of a non-lawyer assistant
performing services at the lawyer's direction and should take reasonable
measures to ensure that the non-lawyer assistant's conduct is consistent with
the lawyer's obligations under the Rules of Professional Conduct.
Guideline 9.2. Permissible Delegation
Provided the lawyer maintains responsibility for the
work product, a lawyer may delegate to a non-lawyer assistant or paralegal any
task normally performed by the lawyer; however, any task prohibited by statute,
court rule, administrative rule or regulation, controlling authority, or the
Indiana Rules of Professional Conduct may not be assigned to a non-lawyer.
Guideline 9.3. Prohibited Delegation
A lawyer may not delegate to a non-lawyer assistant:
(a)
responsibility for establishing an attorney-client relationship;
(b)
responsibility for establishing the amount of a fee to be charged for a legal
service; or
(c)
responsibility for a legal opinion rendered to a client.
It is the lawyer's responsibility to take reasonable
measures to ensure that clients, courts, and other lawyers are aware that a
non-lawyer assistant, whose services are utilized by the lawyer in performing
legal services, is not licensed to practice law.
Guideline 9.5. Identification on
Letterhead
A lawyer may identify non-lawyer assistants by name and
title on the lawyer's letterhead and on business cards identifying the lawyer's
firm.
Guideline 9.6. Client Confidences
It is the responsibility of a lawyer to take reasonable
measures to ensure that all client confidences are preserved by non-lawyer
assistants.
Guideline 9.7. Charge for Services
A lawyer may charge for the work performed by non-lawyer
assistants.
A lawyer may not split legal fees with a non lawyer
assistant nor pay a non-lawyer assistant for the referral of legal business. A
lawyer may compensate a non-lawyer assistant based on the quantity and quality
of the non-lawyer assistant's work and the value of that work to a law
practice, but the non-lawyer assistant's compensation may not be contingent, by
advance agreement, upon the profitability of the lawyer's practice.
Guideline 9.9. Continuing Legal
Education
A lawyer who employs a non-lawyer assistant should
facilitate the non-lawyer assistant's participation in appropriate continuing
education and pro bono publico activities.
Guideline 9.10. Legal Assistant
Ethics
All lawyers who employ non-lawyer assistants in the
State of Indiana shall assure that such non-lawyer assistants conform their
conduct to be consistent with the following ethical standards:
(a)
A non-lawyer assistant may perform any task delegated and supervised by a
lawyer so long as the lawyer is responsible to the client, maintains a direct
relationship with the client, and assumes full professional responsibility for
the work product.
(b)
A non-lawyer assistant shall not engage in the unauthorized practice of law.
(c)
A non-lawyer assistant shall serve the public interest by contributing to the
delivery of quality legal services and the improvement of the legal system.
(d)
A non-lawyer assistant shall achieve and maintain a high level of competence,
as well as a high level of personal and professional integrity and conduct.
(e)
A non-lawyer assistant's title shall be fully disclosed in all business and
professional communications.
(f)
A non-lawyer assistant shall preserve all confidential information provided by
the client or acquired from other sources before, during, and after the course
of the professional relationship.
(g)
A non-lawyer assistant shall avoid conflicts of interest and shall disclose any
possible conflict to the employer or client, as well as to the prospective
employers or clients.
(h)
A non-lawyer assistant shall act within the bounds of the law, uncompromisingly
for the benefit of the client.
(i)
A non-lawyer assistant shall do all things incidental, necessary, or expedient
for the attainment of the ethics and responsibilities imposed by statute or
rule of court.
(j)
A non-lawyer assistant shall be governed by the Indiana Rules of Professional
Conduct.
(k)
For purposes of this Guideline, a non-lawyer assistant includes but shall not
be limited to: paralegals, legal assistants, investigators, law students and
paraprofessionals.