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DELAWARE STATE BAR ASSOCIATION
COMMITTEE ON PROFESSIONAL ETHICS
INDEX OF OPINIONS
Opinion 1978-1;
Canon 4; DR4-101 (C)
Where an attorney's client violates the condition of his bail using
to report to prison when his conviction was affirmed, it is not
unethical for the attorney to provide the U.S. Attorney with the
client's foreign address even though the client has requested the
attorney not to reveal his location.
Opinion 1978-2;
Canon 4 1; DR4-101 (B); EC 4-6, 4-5; DR5-105(A)
A lawyer may not represent a client in seeking to renegotiate a
more favorable contract against a former client involving a contract
which the lawyer drafted and recommended to his former client.
Opinion 1978-3;
DR2-103; Interpretative Guideline No. 1
In-house counsel for a Credit Association Lender who conducts loan
settlement and prepares loan and security agreements must disclose
to the borrower that he does not represent the borrower and that
an actual conflict of interest exists between the borrower and the
lender.
Opinion 1978-4;
Canon 9; EC9-2: EC9-3; DR8-101
Subject to conditions, a firm may continue to represent clients
before various State Administrative Agencies after a member of that
firm has left and become Attorney General for the State of Delaware.
Subject to guidelines a post-campaign fund-raising committee may
solicit donations from members of the Bar.
Opinion 1978-5;
DR2-103; Interpretative Guideline No. l(b)
If sufficiently disclosed to the borrower, a Bank may collect on
behalf of its attorneys a fee for reviewing documents if it is reasonable
in amount and clearly explained to the borrower.
Opinion 1979-1;
Canons 4, 5, 9
If facts (not generally and publicly available) were available to
a law firm in its representation of the principals of X Corp., a
closely held corporation, and such facts might be relevant to the
administrative proceedings with regard to the grant to X Corp. of
regulatory approvals, the Firm may not ethically represent Y Corp.,
in the administrative proceedings when Y Corp. opposes the approvals
sought by X Corp.
Opinion 1979-2;
DR7-108 (D)
After completion of a criminal case which resulted in a hung jury,
the state prosecutor should decline to speak with a juror who expressed
a willingness to speak with prosecutor concerning "certain areas"
which gave the jury great difficulty.
Opinion 1979-3;
DR3-102; DR3-103
A law firm may share the rental of office space with a CPA if the
firms maintain total separation of identity and employment of the
offices.
Opinion 1979-4;
DR2-104 (A) (4); EC2-2. EC2-5
A lawyer may write a periodic column in a newspaper of general circulation
which is either a "question and answer format, in which readers
are invited to submit general questions of law, or the presentation
of a hypothetical situation and the solution or an explanation of
general legal procedures in various courts in Delaware, or a combination
thereof."
Opinion 1980-1;
Canon 7; DR2-101, 102 (A) (4); DR7-107 (G) ED-733; EC8-6
While litigation is pending, a lawyer appearing in the action is
not prohibited from appearing on a television program to discuss
the pending proceeding so long as his comments conform to the limitations
imposed by DR7-107 (G).
Opinion 1980-2;
DR1-103; DR1-102 (A) (5); DR4-101 (C) (3); DR4-101 (D) (3)
Even if a lawyer's knowledge of past criminal conduct is acquired
through non-privileged sources, the lawyer is under no ethical duty
to make disclosure of such evidence independent of the duty imposed
upon him by the substantive criminal law. However, if the evidence
discloses an intention to engage in future criminal conduct, disclosure
to proper authorities is required.
Opinion 1980-3;
DR5-105 (D); DR9-101 (B)
A firm may not continue to represent a client in an administrative
proceeding or related litigation with the state after hiring an
associate who as a former government attorney has substantial responsibility
in the matter unless the government and other parties specifically
consent to the firm's representation of the client and to the screening
procedures proposed by the firm to preclude the associate's participation
in the litigation.
Opinion 1980-4:
DR9-101
With respect to a lawyer's ability to practice law following his
election as lieutenant governor of Delaware the committee provided
the following guidelines:
-
- Generally, there are no absolute prohibitions from practice,
nor would he or any firm with which he is associated be restricted
from representing an agency of the State.
- The lawyer or a member of the firm with which he is associated
may not represent parties in an action against the State.
- The lawyer and any member of the firm with which he is associated
may not represent defendants in criminal cases.
Opinion 1980-5;
DR2-107; DR2-110 (A); DR2-110 (C) (2)
A forwarding attorney is not entitled to a percentage of the fee
of the working attorney unless and except to the extent that the
forwarding attorney retains the attorney-client relationship and
retains ultimate responsibility to the client both as to communications
and performance of legal services required. Where a forwarding firm
charges a referral or administrative fee, the working firm should
withdraw from representation of clients involved in such fee arrangement.
Opinion 1980-6
An attorney representing an estate may ethically purchase stock
in the estate from a beneficiary after proper distribution of the
bequest to the beneficiary and after full disclosure of all material
facts known to the attorney with regard to the stock.
Opinion 1980-7;
DR2-103 (A) (D)
A lawyer may participate in the founding of the Delaware Injured
Workers Association even though it is probable injured workers might
learn of the lawyer's identity, interest and expertise in the area
of workmen's compensation law, so long as the lawyer complies with
DR 103 (D).
Opinion 1981-1;
Canons 5, 6; DR4-101 (B) (C); DR5-105 (A) (B)
Where a lawyer has been retained by an insurer to defend its insured
in a personal injury action and at the same time has been retained
by the insurer in a separate action against the insured seeking
a declaratory judgment that the personal injury claim is not covered
by the insured's policy, the lawyer has conflicting interest and
must withdraw from representation of the insurance company unless
both clients consent to the multiple representation after full disclosure.
Opinion 1981-2,
DR5-103 (B)
When an attorney requests medical-legal services of a physician,
the Rules of Legal Ethics warrant the physician's reliance on the
proposition that (i) the attorney will guarantee the payment of
the reasonable fee; or (ii) the attorney will make clear to the
physician in writing prior to using such services that only the
client-patient will be responsible for the fees.
Opinion 1981-3
An attorney should try to persuade his personal injury client to
pay the client's medical expenses, but the attorney has no responsibility
to demand his client pay such medical expenses from funds received
in settlement or by judgment, and the attorney is prohibited from
forcing such payment against his client's wishes.
Opinion 1981-4
In connection with the cross examination of a former client as a
witness in an unrelated proceeding, it is ethical to cross examine
the former client by reference to his publicly disclosed criminal
record so long as the lawyer reveals no confidences or secrets reposed
in him by his former client in connection with his former representation.
Opinion 1981-5
A lawyer may represent an interest adverse to that of a former client
in matters not substantially related to the former representation,
unless facts not generally and publicly available were accessible
to the lawyer in his former representation and are relevant to the
pending litigation. Informal letter of opinion dated June 10, 1981
Letter from Rodman Ward, Jr., June 10, 1981. When the father of
the accused gives the stolen goods to the accused attorney, the
attorney has a duty to deliver the goods to the authorities, but
should not testify as to the surrounding circumstances unless ordered
by the Court.
Opinion 1981-6:
June 12. 1981; DR 5-105 (c)
It is proper for an insurance carrier's attorney, while prosecuting
a declaratory judgment action on coverage, to appear for the insured
in a tort action as "co-counsel" in association with an attorney
selected by the insured, if, and only if, the insured gives consent
to this procedure.
Opinion 1982-1,
January 19, 1983; Model Rule of Professional Conduct 1.9
A law firm, who is asked by a bank to do a title search and obtain
insurance on a piece of property for a mortgage transaction, where
the attorney's fees were paid to the law firm by the bank, who were
subsequently reimbursed by the debtor, may later represent the bank
in a foreclosure action against said debtor where no other attorney
client relationship existed between the firm and the debtor.
Opinion 1982-2,
February 1, 1982; DR3-101 (A); DR3-103 (A); DR2-102 (A) (1)
An attorney may not list a private investigator on his calling card,
but if the investigator exclusively works for the attorney, the
investigator may list the attorney on his calling card, with the
attorney now taking full responsibility for the investigator's actions.
Opinion 1982-3,
arch 18,1982; Canon 2; DR2-103 (C) (D): DR2-105
The American Academy of Matrimonial Lawyers ("AAML") cannot list
themselves in the classified section of the local telephone book
or participate in the referral service, unless they have been certified
as a specialist group by the Delaware Supreme Court.
Opinion 1982-4,
March 5, 1982; Canon 4; Canon 7
An attorney having once represented a bank in a debt collection
matter cannot then defend the debtor in the proceeding by the bank's
assignee to execute on a judgment based on the debtor's obligation
to the bank without the full informed consent of the bank.
Opinion 1982-5,
August 6 1982; DR8-101 (A); DR5-015 (d)
- A lawyer-legislator is not prohibited from representing a state
agency, county government, municipal corporation, school board,
school district or other political subdivision.
- There is no absolute ethical bar to a lawyer-legislator representing
private clients against the State or its agencies.
- There is no per se ethical bar to a lawyer-legislator representing
persons accused of criminal or traffic offenses as long as he
does not use his position to repeal or amend existing law for
a client's benefit.
- There are no ethical strictures which would bar a lawyer-senator
from carrying out the constitutionally established role in the
appointment process of the judiciary and the executive branch.
- If a lawyer, acting in his or her official capacity as a legislator,
is contacted by a constituent for reasons related to legislative
matters, the lawyer may not generate or seek to generate private
legal business from the constituent.
- There is no blanket prohibition against a lawyer-legislator
supporting legislation which affects the client's interest, so
long as he or she does not confine legislative initiative to favorably
affect his or her clients.
- If a lawyer-legislator is disqualified in a given instance,
law partners and associates are similarly disqualified. Informal
letter of opinion dated August 31, 1982 Letter from Rodman Ward,
Jr., August 31, 1982 Lawyer had no obligation to assist client
in fraud and was under no obligation to disclose the fraud to
the court.
Opinion 1983-1;
July 7, 1983; DR3-101 (A); DR3-103 (A)
For a lawyer to undertake employment with a financial planning firm
and perform duties incident to the sale of life insurance and estate
planning packages without violating his professional ethical obligations
under the Code, the lawyer should withdraw from the active practice
of law, and in his new occupation, refrain from holding himself
out as a lawyer for the customers of the financial planning firm
engaging in activities constituting the practice of law.
Opinion 1983-2;
DR2-102 (C)
The name of an associate in a law firm partnership may not appear
in the name of the firm.
Opinion 1983-3;
DR5-102 (B)
Where a public defender represents A and an assistant public defender
represents B, and the State has announced that it may call as a
prosecution witness against A, the Assistant Public Defender of
that testimony may be prejudicial to A, then the Public Defender's
Office must withdraw from representation of defendant A.
Opinion 1985-1;
DR4-101 (B); Canon 9 An attorney formerly in private practice may
not represent a governmental entity in matters where the entity's
interests are adverse to those of the lawyer's former clients or
his former firm unless the former client consents thereto. If an
attorney must withdraw from the representation of a public entity
because of his previous involvement in the matter, or one substantially
related to it, his law department should also withdraw unless the
attorney has adequately "screened" himself and the rest of his law
department with respect to that particular matter.
Opinion 1985-2;
DR4-101 (B); DR5-105 (A); DR 9-101 (B)
An attorney who was formerly employed by the legislative branch
of one government entity, A, may represent his current employer,
a second government entity, in litigation against entity A in the
matter upon which the attorney was briefed pursuant to his employment
by entity A, as long as no secrets or confidences of entity A, relative
to the dispute were conveyed to him when he was briefed on the matter.
Dissent: An attorney may not represent B in its dispute with entity
A, because, having participated in briefing sessions with the attorney
handling the litigation for entity A, he will be presumed to have
received secrets or confidences of entity A relative to the dispute.
Opinion 1985-3;
DR3-101 (A); Canon 9
It would be unethical to allow a paralegal employed by a lawyer
or an insurance adjuster, who was employed by a worker's compensation
insurance carrier, to appear before the industrial accident board
to conduct a pre-trial conference after a petition for worker's
compensation has been filed.
Opinion 1986-1;
Canon 4; Rules 1.6, 1.9, 1.10, 1.11
A law student who clerked for the prosecution firm while in law
school who later took a position with the defense firm would not
be disqualified from defending cases prosecuted by the plaintiff's
firm even though those cases may have been active during the law
student's tenure as a law clerk with plaintiff's firm, so long as
the law clerk had no meaningful contact with any such cases. The
defense firm will be disqualified if law clerk-associate directly
participated on a case at prosecution's firm in which defendant
firm is now involved, unless defendant's firm insulates the law
student for the defense of those cases.
Opinion 1986-2;
DR 1.7; Rules 1.7, 1.10, 3.7
Where an attorney in the Public Defender's Office is required to
withdraw in an earlier phase of the case, because of ineffective
assistance of counsel, the Public Defender's Office is not then
later barred from participating in the appeal, as long as the issue
is not one of the withdrawing attorney's competency, and as long
as said attorney does not personally participate. Dissent: When
public defender represents a defendant at trial and is later required
to withdraw because of ineffective assistance of counsel, the Public
Defender's Office cannot subsequently appeal the conviction of that
defendant. Note: The Supreme Court adopted the dissent by Order
of October 29, 1986.
Opinion 1986-3;
Rules 1.9; 1.11, 3.7
An attorney who previously worked for a government agency that rendered
legal advice to the defendant, may now privately represent the defendant,
as long as the agency consents.
Opinion 1986-4;
Rules 1.16 (a) (1); 1.4
An attorney must seek to withdraw from representation of a corporate
client if communication cannot be made with any person authorized
to act or speak on behalf of the corporation.
Opinion 1987
It is a violation of Rules of Professional Conduct 1.7(a) and Rule
3.7 for an attorney or any other attorney in his firm to represent
any of the defendants or the third party in the pending litigation.
Opinion 1988-1;
Rules 1.13, 1.16
Law firm should withdraw from case if Board of Elders of Church
continues to fail to cooperate. Law firm should seek approval of
Board of Elders before sending damaging (to Board of Elders) deposition
transcripts to insurance carriers.
Opinion 1988-2;
Rule 1.6
Lawyer has right under Rule 1.6 not to disclose fact that his partner’s
client, who lives with lawyer’s client, has AIDS.
Opinion 1989-1;
Rule 7.1 (b) (l)
Delaware State Bar Association may list "AREAS OF PRACTICE" in its
legal directory.
Opinion 1989-2;
Rule 7.1 (h) (1) (b)
Proposed mailing by attorney is prohibited by Rule 7.1(h)(1)(b)
of Delaware Lawyers Rules of Professional Conduct because it is
intended to be "distributed at a time calculated to relate to events
in the personal life of the recipient" even though that Rule might
be unconstitutional.
Opinion 1989-3;
Rules 4.1, 4.3, 4.4; DR 7-108(D); DRE 606(b)
An attorney may contact jurors following trial in an effort to obtain
evidence for a criminal defendant's use in a post-conviction relief
proceeding if the attorney proceeds with the sensitivity for the
juror's rights required by Rule 4.4 and confines his inquiry to
a determination of whether the juror was exposed to extraneous prejudicial
information or improper outside influence during his service as
a juror.
Opinion 1989-4;
D.R. 1.7
There is no conflict of interest between representation of the executor
as such and representation of the executor in his or her individual
capacity. The term "estate" refers to the aggregate property interests
of a decedent and is not a separate legal entity with its own legally
cognizable interests. An estate cannot be a "client" as the term
is used under Rule 1.7. An attorney does not serve as an "attorney
for the estate" but rather as an attorney for the executor in that
person's dealings concerning the estate of the decedent.
Opinion 1989-5:
Rule 1.8(i)
An attorney will not be prohibited from representing criminal defendants
while her husband is a prosecutor with the state Attorney General's
office (and he is not involved in cases in which she is representing
criminal defendants) as long as adequate safeguards are implemented.
Opinion 1989-6
The Register of Wills is a judicial officer; the Delaware Judges'
Code of Judicial Conduct unequivocally prohibits the practice of
law by a judicial officer; and therefore the Prospective Employee
may not be hired.
Opinion 1990-1;
Rules 1.6, 1.9, 1.8 (b)
A firm may not signal its client to expedite its work on a project
for another client of the Firm who is considering suing the first
client because of its delay on the project.
Opinion 1990-2;
Rules 1.16, 3.1
If a client insists that an attorney pursue a claim which is meritless
under Rule 3.1, Rule 1.16 requires that the attorney seek to withdraw
from the representation.
Opinion 1991-1;
Rules 1.7 (b); 3.8; 1.10 (a) & (d); 1.11;
ABA Standards of Criminal Justice Relating to Prosecution Function
(1986) A Firm, but not the associate, may accept a malpractice case
where the associate is presently under contract with the City of
Wilmington to pursue several criminal prosecutions and civil actions
against the defendant, provided the prospective client and City
give informed consent in light of a possible conflict of interest.
The attorney must maintain a code of silence concerning his representation
of the City.
Opinion 1991-2;
Rule 1.7
Delaware Lawyers' Rules of Professional Conduct do not prohibit
attorneys in the criminal division of the City Law Dept. from prosecuting
an individual who is a member of City Council for violations of
city and state criminal ordinances.
Opinion 1991-3;
Rules 8.3(a); 8.3(c); 1.6
Attorney's obligation under Rule 8.3(a) of the Rules of Professional
Conduct to report possible misconduct by a fellow Delaware attorney
becomes exempt under Rule 8.3(c) if the disclosure made is an attorney-client
communication.
Opinion 1991-4;
Rule 1.7
Attorney is advised not to represent a client in a malpractice suit
against a second attorney, where attorney may also be subject to
a malpractice claim as a result of the alleged negligence of second
attorney. Although the attorney is not Per se disqualified from
representing the client, he is advised against it because there
is a substantial likelihood that the attorney will not be able to
zealously represent the interests of the client in such an action,
or that a conflict will later arise that would make such representation
improper.
Opinion 1992-1;
Rules 1.7; 1.9; 1.16
A firm can continue to represent a party when another attorney in
the same firm agreed to represent the other adverse party, but terminated
the relationship when the dual representation was recognized, if
both parties consent. The consent would only be effective upon full
disclosure to both clients. Even though the attorney-client relationship
has been terminated with the first client, Rule 1.16 must still
be followed and a Chinese Wall should be built around first client's
lawyer.
Opinion 1992-2;
Rules 1.9; 3.7; 1.6; 1.16
An attorney may be disqualified from representing a decedent's estate
where he reasonably believes the original administratrix has embezzled
most of the estate assets. The attorney had previously represented
the original administratrix in a minor personal injury action and
this would almost assuredly involve a conflict of interest. Also,
the attorney would likely be required to act as advocate at a trial
in which he would be a necessary witness. The attorney may avoid
disqualification if he retains outside counsel to prosecute a civil
action against the original administratrix. The attorney may not
report the original administratrix's embezzlement to criminal authorities
but could give all confidential estate documents to the lawyer who
he refers the matter to.
Opinion 1992-3
With the consent and knowledge of the client, an attorney can properly
execute an agreement which provides that payment for health-care
services rendered to the attorney's client be made to the client's
physician by the attorney from any funds obtained on behalf of the
client. The attorney has a duty to provide his client with a full
explanation of the practical and legal ramifications of such an
agreement. As long as the client gives informed consent, then the
ethical obligations addressed in Opinion 1981-3 are no bar to the
agreement.
Opinion 1993-1;
Rules 7.1(b)(1), 5.4(a)
A lawyers advertisement stating "$400.00 flat fee for
attorneys work" relating to "any residential real-estate
settlement" and containing the required disclaimer set forth
in Rule 7.1(b)(3)((b) violated Rule 7.1(b)(3)(a) because it did
not identify with sufficient particularity the services to which
the fee applied. Advertisement which provided that $50 of the $400
fee would be donated to a charity did not violate Rule 5.4(a) where:
the donation derives from the lawyers profit such that the
clients are not being charged for the donation; there is no express
agreement or de facto fee-sharing between the lawyer and the charity
in exchange for the referral of clients; and copies of the advertisement
are not placed on the premises of the charity.
Opinion 1993-2;
Rules 1.7, 1.11
An attorney may, without violating Rule 1.7, represent a county
official who is the subject of a State Attorney Generals Office
criminal investigation even though the attorneys partner is
a member of the governing body of the county. The attorneys
partner does not act in his capacity as an attorney for the county;
thus, there is no issue of a direct conflict between the interests
of two clients. The attorney must also reasonably believe that his
representation of the client will not be adversely affected and
the client must consent to the representation after being informed
of the partners position with the county government. Where
the partner was approached by a former employee of the county regarding
alleged improprieties proceeding the criminal investigation and
the partner referred the matter to the Attorney General, Rule 1.11(e)
does not preclude the attorney from representing the client if the
partner is screened from any participation in the defense of the
client and if the partner is not apportioned any part of the fee
from the representation. Additionally, if the partner believes his
participation in the matter was "personal and substantial,"
the attorney must give written notice of the representation to the
county. Moreover, the attorney should not represent any client in
any proceeding before the governing body of the county.
Opinion 1994-1;
Rule 3.4(b)
An attorney representing a plaintiff who has noticed a deposition
of a former employee of the defendant may advise the plaintiff to
pay the reasonable expenses (including the attorneys fees)
of the former employee, without violating Rule 3.4(b) where: the
former employee has indicated he is reluctant to testify without
being represented by independent counsel; there is no agreement
making the payment of such fees and expenses in any way contingent
on the outcome of the former employees testimony; and, the
attorney neither knows or has reason to believe that the testimony
is in any way contingent upon the payment and retention of fees.
Additionally, the attorneys invitation to the defendant to
share in the costs of the former employees counsel further
reduces any risk to the integrity of the testimony by virtue of
the proposed payments.
Opinion 1994-2;
Rules 1.2(c); 8.4(c)
Rule 1.2(c) provides that an attorney may provide legal services
to a client on a limited basis as long as the client is fully informed
of the limited scope of the representation and agrees to receive
services on that basis. If the attorney provides significant assistance
to a pro se litigant, the attorney must disclose this assistance
and the limited scope of the representation in a letter to opposing
counsel and the court. Assistance is deemed to be substantial if
the representation "goes further than merely helping a litigant
fill out an initial pleading, and/or providing initial general advice
and information." (emphasis in original) Failure to make such
a disclosure misleads the court and opposing counsel in violation
of Rule 8.4(c).
Opinion1994-3;
Rule 1.8(e)
Rule 1.8(e) prevents an attorney from providing financial aid, in
this case a loan, to a client "in connection with pending or
contemplated litigation." Two of the purposes of the rule are
to prohibit practices such as champerty and maintenance and to preserve
the lawyers independent judgment regarding the litigation.
A loan is considered in connection with" the litigation
where the only connection between the attorney and the client is
the litigation and the repayment of the loan is expected to come
from the settlement proceeds. The litigation is no longer pending
when it has been terminated under the rules of the tribunal hearing
the matter. When a claim is settled, the litigation would not be
pending if the last act required by the tribunal to terminate the
litigation has been completed.
Opinion 1995-1;
Rule 1.16(b)
Rule 1.16(b) permits a lawyer to withdraw from representing a buyer
of real estate where, due to an error, the original deed conveyed
more property than what the parties had agreed would be transferred,
and after the buyer and seller had executed deeds correcting the
mistake, the buyer contacted the attorney and directed that the
corrective deeds should not be recorded. The attorney was justified
in refusing the sellers request that the corrective deeds
be recorded; because the buyer had directed that the attorney not
record the deeds, the attorney no longer had authority to record
them. Even though the seller appeared to be sophisticated, to avoid
any ambiguity with respect to the attorneys obligation to
the seller, the attorney should suggest that the seller retain counsel.
The attorneys role now appeared to be one of stake holder
with respect to the deeds until the disagreement was resolved by
judicial action or subsequent agreement of the parties.
Opinion 1995-2;
Rules 3.1; 4.1; 4.4; 8.4
An attorney may threaten to press criminal charges against an opposing
party in an attempt to gain relief for the attorneys client
in a civil matter if: the civil matter is related to the clients
civil claim; the attorney has a well founded belief that both the
civil claim and the criminal charges are warranted under Delaware
law and the facts; the attorney is not attempting to exert, nor
suggesting the exertion of, improper influence over the criminal
process; and the attorney and/or the client actually intend to proceed
with presenting the criminal charges if the civil claim is not satisfied.
Additionally, the attorney and/or the client may agree to refrain
from reporting criminal charges in return for satisfaction of the
clients civil claim.
Former Disciplinary Rule 7-105(a) provided an absolute bar to an
attorney presenting, participating in presenting, or threatening
to present criminal charges solely to obtain an advantage for a
client in a civil matter. The Rules of Professional Conduct, adopted
in 1985, contain no such prohibition. The issue implicates the following
rules: 3.1 (prohibiting assertion of frivolous claims); 4.1 (duty
to be truthful in statements to others); 4.1 (use of means that
have no substantial purpose other than to embarrass, delay or burden);
and 8.4 (committing a criminal act that reflects adversely on the
lawyers honesty, trustworthiness or fitness). While the attorneys
conduct could constitute crime of extortion 11 Del. C. § 846(4),
it is an affirmative defense to this crime if the attorney believes
the threatened criminal charge is true and his or her only purpose
is to make right the wrong. 11 Del. C. § 847(b). Similarly,
the attorneys conduct could constitute compounding a crime,
in violation of 11 Del. C. § 1246(l). It is a defense to compounding
a crime, however, if the benefit obtained does not exceed the amount
the attorney believes to be due as restitution or indemnification
for the harm caused by the underlying crime. 11 Del. C. § 1247.
Therefore, it is unlikely that the attorney will violate the law
or Rule 8.4 if the attorney seeks from the opposing party no more
than the attorney believes is due the client as a result of the
underlying crime.
Neither the current Rules nor the predecessor code prohibit an
attorney from agreeing to refrain from reporting an opposing partys
criminal violations as part of the settlement of a clients
civil claim. An attorney who agrees to do this, however, risks compounding
a crime in violation of 11 Del. C. § 1246(l). As discussed
above, it is a defense to this crime if the benefit received by
the client does not exceed the amount the client and the lawyer
believe is due as restitution and/or indemnification for the harm
caused by the crime. Therefore, provided that the attorney does
not violate the law of Delaware, it is not a violation of the Rules
of Professional Responsibility to agree to refrain from reporting
the opposing partys potentially criminal conduct as part of
a settlement of the clients civil claim.
Opinion 1997-1;
Rules 1.4(b); 1.7
Rule 1.7(a) is inapplicable in considering whether a lawyer of Law
Firm A must obtain the consent of Law Firm As clients to act
as an expert witness on behalf of Law Firm B in a malpractice action
against Law Firm B, where Law Firm B represents clients adverse
to Law Firm As clients in unrelated matters; Law Firm B is
not a client of Law Firm A, since the lawyer would be retained as
an expert witness not as counsel. Rule 1.7(b), however, requires
that the lawyer consider whether acting as an expert witness for
Law Firm B would materially limit the representation of Law Firm
As clients. In conducting this analysis, the relevant factors
include: the relative importance of the matter to the represented
lawyer; the relative size of the fee expected by the representing
lawyer; the relative importance to each lawyer and to his or her
clients of the matters involving the clients; the sensitivity of
each matter; the similarity between the subject matter or issues
of the matters; and, the nature of the relationship of one lawyer
to the other and of each lawyer to his or her respective clients.
The role of an expert witness is much more limited than that of
counsel and therefore the personal financial interest of an expert
witness is typically less than that of a representing lawyer, unless
the lawyer harbors an expectation of future employment as an expert
by Law Firm B. In considering Rule 1.7 in Delaware, the small size
of the Delaware Bar should be taken into account to avoid too broad
a construction of conflict. Otherwise, it may be impossible for
Delaware lawyers to obtain counsel or experts. As long as the lawyer
and Law Firm A reasonably believe that the lawyers engagement
as an expert on behalf of Law Firm B will not constrain Law Firm
As representation of it clients, Law Firm A need not obtain
the consent of its clients involved in matters adverse to clients
of Law Firm B before the lawyer agrees to act as an expert. Under
these circumstances, Rule 1.4(b) does not require that the clients
be notified of the representation.
Opinion 1997-2;
Rules 1.11; 3.7
Rule 3.7 provides that a firm may represent a client in litigation
adverse to a defendant, where a partner in the firm is the chairman
of a public agency that regulates the defendant, even though the
partner may become a witness in the matter, provided that the partner
does not act as an advocate and provided that Rules 1.7 and 1.9
are followed. Rule 1.11, which the Committee construes as governing
concurrent as well as consecutive representation of the government
and private parties, does not work a disqualification of the firm
so long as the chairman recuses himself from all future participation
in any of the agencys actions regarding the matter, whether
formal or informal. If the chairman has already personally and substantially
participated in actions of the agency regarding the litigation,
the chairman must also gain the agencys approval of the firms
continued representation of the client, and must take steps to insure
that the chairman receives no part of the fee earned by the firm
for the matter. The chairman should provide written notice to the
agency of the matter so that the agency can determine if it believes
that the chairman has participated in the matter. Finally, the chairman
must not disclose to the firm or to the clients any confidential
information he learned regarding the matter by virtue of his position
with the agency; the firm should impose a "cone of silence"
on the chairman.
Opinion 1997-3;
Rule 1.11
A lawyer formerly employed by the Office of Disciplinary Counsel
(the "ODC") may represent another lawyer in proceedings
before the ODC, even though the former ODC lawyer worked on a matter
while employed at the ODC that resulted in the client lawyer receiving
a private admonition from the ODC. The ODC did not consent to the
representation and argued that Rule 1.11 disqualified the former
ODC lawyer because the previous private admonition would be a factor
in connection with the discipline, if any, to be received by the
client lawyer. The Committee advised that because the private admonition
occurred six years earlier, and because the only relationship between
the earlier private admonition and the current investigation was
the degree of current discipline that might be imposed, the two
matters were independent. Since the two investigations were not
a single matter, Rule 1.11 did not prohibit the former ODC attorney
from representing the client lawyer.
Opinion 1997-4;
Rule 1.9
A law firm was retained as common counsel for ten officers and directors
of a company to advise them regarding the effects a proposed merger
would have on their employment agreements. The merger was not consummated
and later the law firm was retained by the company in connection
with the termination of the employment of one of the directors for
cause. The director objected to the law firms representation
of the company. Based on the stipulated facts provided to the Committee,
the Committee advised that Rule 1.9 did not preclude the law firm
from representing the company. Based on the scope of the prior representation
and the limited contact between the director and the law firm, there
was no indication that the director ever provided or had any occasion
to disclose confidential information to the law firm which could
now be used against the director. Because there was no conflict,
the Committee need not consider whether the waiver letter obtained
from the director was sufficient to resolve the conflict.
Opinion 1997-5;
Rules 1.9(b); 1.16(d); 3.4; 4.4
Attorneys A and B, each representing a criminal defendant, entered
into a joint defense agreement, which provided, among other things,
that each was to keep the information obtained pursuant to the agreement
confidential and each was to return the information to the other
in the event that the representation was terminated. Attorney As
representation was terminated and the new attorney for Attorney
As former client, Attorney C, requested that all the information,
including the information obtained pursuant to the joint defense
agreement, be provided to Attorney C. Attorney B objected to the
production of the joint defense materials to Attorney C. The Committee
advised that Rule 1.9(b) did not require that Attorney A turn over
the joint defense materials to Attorney C, as Attorney A was not
using the materials in a manner contemplated by the rules. Rule
1.16(d) did not require Attorney A to turn over the materials because
the joint defense materials were not "papers and property to
which the client is entitled." Finally, production of the materials
under these circumstances could prejudice Attorney Bs client
and constitute a violation of Rule 3.4 (addressing fairness to opposing
party in litigation) and/or Rule 4.4(prohibiting a lawyer from using
methods of obtaining evidence that would violate the rights of third
parties including adverse parties in litigation).
Opinion 1998-1;
Rules 1.7; 1.9; 1.11
An attorney, formerly employed as a deputy attorney general, at
times represented the Department of Correction in suits brought
by prisoners for alleged civil rights violations. Currently, the
attorney is employed by a different department within the State.
Prior to commencing this employment, the attorney began representing
a prisoner in a civil rights action against a former correctional
officer. If the client prevails, there is a chance that the State
will have to pay damages. Both the client and the department employing
the attorney have been informed of the potential conflict and have
consented to the continued representation. Based on the facts presented,
the attorneys employer should be considered to be the department,
rather than the State. Therefore, Rule 1.7 does not prohibit the
representation, so long as the attorney believes that the representation
of the client will not adversely affect the attorneys relationship
with the department and that the attorneys employment with
the department will not adversely affect the attorneys representation
of the client. Rule 1.11(a), not Rule 1.9(a), governs the activity
of a former government attorney. The attorney can undertake the
representation so long as the attorney did not have personal and
substantial involvement in the clients claims against the
defendant while employed as a deputy attorney general. Rule 1.9(b)
and Rule 1.11(b) are implicated if the attorney obtained any confidential
information during the attorneys employment with the Attorney
Generals Office that would be relevant to the claims against
the defendant in the clients civil rights claim. If the attorney
obtained any such information, Rule 1.11(b) absolutely bars the
attorney from representing the client.
Opinion 1998-2;
Rules 1.11(a); 1.11(b); 3.7(a)
An attorney who formerly worked for the Attorney Generals
Office was appointed to represent a criminal defendant charged with
the murder of "Mr. Smith." After commencement of discovery,
the attorney remembered that he had provided substantial assistance
in a 1993 prosecution of Mr. Smith and recalled that Mr. Smith had
a reputation as a fearless and dangerous criminal. The attorney
intends to use this reputation evidence in his defense of his current
client. The Court asked the Committee to advise whether Rules 1.11(a),
1.11(b) or 3.7(a) barred the attorney from representing the client.
The Committee advised that Rule 1.11(a) does not prohibit the attorney
from continuing to represent the client because the prosecution
of Mr. Smith in 1993 and the current prosecution of the client for
the murder of Mr. Smith are not the same matter.
Rule 1.11(b) does not preclude the representation because the information
the attorney obtained about Mr. Smith while a government attorney
is not confidential. To be confidential: the information must have
been obtained under governmental authority, the government must
be prohibited from disclosing it or have legal privilege it can
asset to prevent disclosure, and the information must not otherwise
have been made public. In this case, the issue is whether the government
can assert a privilege to prevent disclosure of the information.
The informant privilege does not survive Mr. Smiths death.
Therefore, Rule 1.11(b) does not require that the attorney withdraw
from representing the client. Moreover, even if the information
was confidential, it cannot be used against Mr. Smith to his material
disadvantage. The term "person" in the rule does not include
a former government client, but refers only to third parties whom
the former government lawyer may oppose on behalf of a private party
after leaving government service. Therefore, even if the information
were confidential, the Rule does not apply.
Rule 3.7(a) will not prevent the attorney from representing the
client where the attorney has stated that there is no scenario under
which he would testify. Moreover, a police detective has a recollection
of Mr. Smith that is not inconsistent with the attorneys recollection.
Therefore, it is unlikely that the attorney would be a necessary
witness.
Opinion 1999-1;
Rule 1.2
Where an attorney represents a second wife of a decedent and has
no prior or current relationship with the adult children of the
decedent, and where the client has instructed the lawyer that she
wants the wrongful death action to be brought in her name only,
Rule 1.2 provides that the attorney has no independent legal or
ethical obligation to inform the children of their potential cause
of action, even if it their claim will be barred by the second wifes
suit. The Comment to Rule 1.2 provides that the "client has
unlimited authority to determine the purpose to be served by legal
representation" assuming the objectives are not unethical or
illegal. Thus, a client has the right to limit an action brought
on the clients behalf to the client alone, even if other parties
might have legitimate claims under the same theory.
Opinion 1999-2;
Rules 1.10; 3.5; 8.4(e); 8.4(f)
The wife of a partner of a law firm is a judge in State Court. The
partner concedes that he may not appear before her, but asks if
other partners and members of the partners firm may do so.
The Committee cannot opine on what is appropriate under the Delaware
Judges Code of Judicial Conduct. Under the Rules of Professional
Responsibility, however, the other attorneys of the partners
firm may appear before the partners wife. Rule 3.5 prevents
the partner from communicating with his wife about any matter in
which his firm is involved that is or might be pending before her.
Rule 8.4(e) prohibits the partner or others in the partners
firm from stating or implying that they have an ability to influence
her. Rule 8.4(f), read in conjunction with Judicial Canon 3.C(1)(d)(ii),
prohibits the partner from appearing before his wife, but does not
prevent other attorneys in the partners firm from doing so.
The partners conflict is not imputed to others in his firm
by virtue of Rule 1.10.
Opinion 2000-1
; Rule 1.9
Attorney represents the plaintiff in litigation in Delaware. The
defendant in the case is the Attorney's former client and is a corporation
with employees in Delaware. The former client is the plaintiff's
former employer. The Attorney's Firm is not required to withdraw
as counsel for Plaintiff under the Delaware Lawyers' Rules of Professional
Responsibility. Rule 1.9 does not require counsel to withdraw because
of the mere duration of the prior representation. Rather, the facts
or issues in the prior representation must be substantially related
to those in the current litigation or confidences must have been
likely or actually disclosed that could be detrimental to the former
client in the present litigation.
Opinion 2001-1;
Rules 1.2, 1.6, Rule 3.7
Whether a lawyer who is appointed an attorney guardian ad litem
can comply with the corresponding statutory duties and responsibilities
outlined in the legislation creating the Office of the Child Advocate,
29 Del. C. Ch. 90A without violating the Delaware Lawyers Rules
of Professional Responsibility.
Opinion 2001-2;
Rules 1.6(a)
An attorney asked the Committee about the ethical propriety of transmitting
confidential client information via e-mail and mobile (or cell)
phone. The Committee opined that the transmission of confidential
client information by way of e-mail or mobile (or cell) phone, absent
extraordinary circumstances, does not violate Rule 1.6(a). The Committee
opined that, for the most part, lawyers can communicate by way of
e-mail and mobile (or cell) phone while secure in the knowledge
that the transmission of client information will remain private
and will be received only by the intended recipient(s).
Opinion 2003-1;
Rules 1.10; 1.7; 1.6; 3.5
Lawyer A, employed by the Office of the Wilmington City Solicitor,
sometimes represents the City of Wilmington Police Trial Board,
which serves as the adjudicative body in police officer discipline
cases. Lawyer B, also employed by the Office of the Wilmington City
Solicitor, sometimes represents the City of Wilmington Office of
Professional Standards, which serves as the prosecutorial body in
police officer discipline cases. The issue presented is whether
Attorneys A and B may, consistent with the rules of professional
responsibility, represent their respective clients in the same disciplinary
hearing. The Committee concludes that the Office of the Wilmington
City Solicitor is a firm within the meaning of Rule 1.10,, and therefore
Lawyers A and B may not engage in the dual representation unless
a single lawyer could do so under Rule 1.7. The Committee concludes
Rule 1.7(b) would prohibit a single lawyer from representing both
agencies in the same proceeding. The conflict cannot be cured by
obtaining a waiver from the clients. The Opinion contains related
discussion of the application of Rules 1.6 and 3.5 to the presented
facts.
Opinion 2003-2;
Rules Discussed: 1.12(a), Rule 1.11(a), Rule 1.11(b)
Lawyer A formerly served as a law clerk to a Delaware state court
judge, and in that capacity, participated personally and substantially
in a civil matter. Lawyer A is now a Deputy Attorney General, and
wishes to prosecute an administrative matter on behalf of the State
of Delaware, when the target of that prosecution is a litigant that
came before the Inquiring Attorney when she served as a state court
judicial law clerk. The Committee considers whether the civil action
and the administrative prosecution are the same matter within the
meaning of Rule 1.12(a), and concludes in the negative. The Committee
also concludes that a violation of Rule 1.12(b) will not occur by
the representation. Finally, the Committee alternatively concludes
that the administrative prosecution would not create an appearance
of impropriety. One member of the Committee dissents from the analysis
and conclusion of this Opinion (the
Dissent ).
Opinion 2003-3;
Rules Discussed: Rule 3.4
The inquiring attorney requested an opinion concerning the compensation and reimbursement of expenses by his Client Company of two Witnesses in connection with preparation and testifying at a Delaware Trial. The Committee analyzed the new Rule 3.4(b) (effective July 1, 2003), and concluded as follows: Witness B is retired from another unrelated company and currently operates an independent consulting business. Witness B may be reimbursed for his out of pocket expenses, and for the reasonable value of his lost time based upon his current rate of compensation in connection with his consulting business. Witness A is a retired former employee of the Client Company, has been retired for over three years and one half years and is presently unemployed. Witness A may be reimbursed for his out of pocket expenses. However, insufficient facts have been presented to the Committee to conclude that Witness A may be compensated for the loss of his time or to determine what rate of compensation would be appropriate under the circumstances.
Opinion 2006-1; Rules 1.2, 1.3, and 1.16 considered.
An Attorney desires to enter into a retention agreement to represent a client solely for divorce, and not ancillary matters. The retainer agreement and information letter to the client would specifically limit the scope of the representation in such fashion. The Attorney inquires whether she nonetheless may be required to represent the Client beyond the original limited scope. The Commitee concludes that the Attorney may need to obtain Court approval for a withdrawal, and may be required by the Court to perform beyond the terms of the retention agreement.
Opinion 2006-2: Rules discussed 1.2(d), 1.6, 1.7(a)(2), 1.8, and 2.3
Attorney inquires whether he may provide information to a litigation loan financing company requesting information about a client’s case at the request of the client. The company is designed to advance funds to clients who anticipate the success of a pending lawsuit. Upon the success of the suit, advanced monies must be repaid at a very high interest rate, and Attorney believes that this may not be in his client’s best interest. The committee determined that Attorney may provide information to the company after obtaining informed consent from the client and advising the client about the possible consequences. In addition, the Committee determined that the Attorney should not provide the lending institution an opinion on the value of the case, co-sign or guarantee the loan, have any interest in the company, or allow the company to control the course of litigation.
Opinion 2007-1: Rules discussed: 1.5, 5.4
A partner of a PA LLP inquires whether the LLP (which is completely owned by attorneys) may be the sole ownership interest in a PA LLC which would qualify as a foreign LLC and engage in the practice of law in Delaware. The Committee determined that this arrangement would not violate DLRPC if the fees charged by the LLC to its clients are reasonable and the clients are advised in writing that the fees may be shared with a different entity. This would, of course, assume that the entire arrangement would comply with Delaware Supreme Court Rule 12(d).
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