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Vol. 72, No. 7, July 1999 |
Ethics
Multiple Representation in
Vehicle Personal Injury Cases
Multiple representation in vehicular accident cases is
not per se prohibited, but attorneys should consider the factors
discussed in professional ethics opinion E-99-2 when undertaking
such action.
By
the State Bar Professional Ethics Committee
May a lawyer ethically represent both the host driver and
guest passenger in a personal injury claim? The opinion of the
State Bar Professional Ethics Committee is, "it depends."
Background
This subject was addressed in Wisconsin Ethics Opinion E-75-2 (1975), which in
turn relied primarily upon ABA Informal Ethics Opinion 723 (1964).
Those ethics opinions are dated and premised upon the Code of
Professional Responsibility as it existed in Wisconsin between
Jan. 1, 1970 and Jan. 1, 1988.1 Under those antiquated precedents,
E-75-2 concluded that an attorney cannot represent both guest
and host driver in any circumstance "where there is any
possibility of liability on that driver."
It
is the Ethics Committee's opinion that this subject needs
to be revisited and updated to reflect adoption of the Rules
of Professional Conduct for Attorneys effective Jan. 1, 1988.2
Opinion E-75-2 is therefore withdrawn.
The current rule on conflicts is SCR 20:1.7.
SCR 20:1.7 Conflict of interest: general rule
(a)A lawyer shall not represent a client if the representation
of that client will be directly adverse to another client, unless:
- the lawyer reasonably believes the representation will not
adversely affect the relationship with the other client; and
- each client consents in writing after consultation.
(b)A lawyer shall not represent a client if the representation
of that client may be materially limited by the lawyer's
responsibilities to another client or to a third person, or by
the lawyer's own interests, unless:
- the lawyer reasonably believes the representation will not
be adversely affected; and
- the client consents in writing after consultation. When representation
of multiple clients in a single matter is undertaken, the consultation
shall include explanation of the implications of the common representation
and the advantages and risks involved.
Direct Conflict Between Host and Guest
A lawyer cannot represent both the guest and the host if the
lawyer intends to or makes a claim against the host or the host's
liability insurance carrier on behalf of the guest. Such a claim
would be predicated on the host's fault or negligence. Advocating
the driver's fault would be advantageous to one client,
the guest, while directly adverse to the interests of the other
client, the host. "A lawyer cannot reasonably believe that
the representation will not be adversely affected when, in the
same legal matter, a benefit to the interests of one client will
directly result in a detriment to the interests of another client...
." Comment to SCR 20:1.7.
An attorney may not represent both where the guest's
claim is to be made exclusively against the host's liability
insurance company under the Wisconsin Direct Action statute.
This claim likewise would be predicated on advocating the host's
fault or negligence. "There is a sufficient identity
of interests between the insurer and the insured and often there
is a requirement that the insured cooperate with his insurer
in conjunction with the defense of a claim in the case."
[Emphasis supplied] E-75-2. That observation by the Committee
in 1975 is valid and controlling today.
Guest Can Only Be Made Whole by Claim Against Host
If a reasonable lawyer concludes, after analysis, that a guest
can be made whole for his/her damages only by making a claim
against the host driver, and there is a legitimate
claim for liability against the host, then the lawyer cannot
represent both. Under these circumstances, the lawyer's
representation of the guest would necessarily be "adversely
affected" by the lawyer's duty not to make a claim
against his other client, the host. "Loyalty to a client
is also impaired when a lawyer cannot consider, recommend or
carry out an appropriate course of action for the client because
of the lawyer's other responsibilities.... The conflict
in effect forecloses alternatives that would otherwise be available
to the client." Comment to SCR 20:1.7.
Care should be exercised by the attorney when both guest and
host first present themselves to the lawyer. Only one should
be interviewed initially and adequate information obtained to
make an informed judgment before the second prospective
client is interviewed.
"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 may attach when the lawyer agrees to consider whether a
client-lawyer relationship shall be established. Whether a client-lawyer
relationship exists for any specific purpose can depend on the
circumstances and may be a question of fact." Comment on
PREAMBLE SCR Chapter 20.
The penalty for interviewing both prospective clients together
may be complete disqualification if a conflict is found to exist.
In addition, the lawyer is prohibited from using any confidential
information obtained in the interview to the detriment of either
prospective client. See SCR 1.9.
Guest Can Be Made Whole Without Making Claim Against Host
If a reasonable lawyer concludes that the guest will likely
be made whole for his/her damages without making a claim
against the host (and/or his liability insurer), then the lawyer
can represent both in making claims against other adverse
parties. However, a lawyer must proceed with caution, a reasoned
analysis, and the mutual written consent (after full consultation)
of both clients before embarking on such a joint representation.
The conflict analysis should necessarily involve consideration
of at least the following factors:
How to Contact the State Bar
Professional Ethics Committee
Opinions and advice of the Professional Ethics Committee, its members, and assistants are issued pursuant to State Bar
Bylaws, Article IV, Section 5. Opinions and advice are limited to the facts presented, are advisory only and are not binding on the courts, the
Board of Attorneys Professional Responsibility, or State Bar members.
Members who desire an ethics opinion should address requests to: State Bar Professional Ethics Committee, P.O. Box 7158,
Madison, WI 53707-7158. The identities of parties involved in requests for opinions will not be revealed in published opinions.
Members also can contact Keith Kaap, State Bar ethics consultant, on the ethics hotline for
assistance. Kaap can be reached at the State Bar Center, (800) 444-9404, ext. 6168; or (608) 250-6168 (all day Wednesday); and (608) 629-5721 on Monday,
Tuesday, Thursday, and Friday mornings.
Professional Ethics Committee opinions may be found online.
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- the existence and strength of any evidence of negligence
or fault on the part of the host;
- the joint and several liability rule (Wis. Stat. §
895.045(1)) as applied to the fault situation and apportionment
of responsibility for damages;
- the adequacy of insurance or other assets of the opposing
driver(s);
- the likely recoverable damages sustained by the guest;
- the likely recoverable damages sustained by the host;
- whether the prospective clients will be competing against
each other for a limited fund of insurance;
- availability of underinsurance or uninsurance coverage;
- any discrepancy in likely testimony by guest and host;
- compatibility of proof and arguments on damages as between
guest and host;
- whether joint representation will result in savings of attorney
fees or costs;
- whether joint representation would provide a tactical or
jury advantage by avoiding suits within families or foreclosing
defensive divide-and-conquer;
- the attitude of the guest about making a claim against the
host;
- whether the guest or host have derivative claims for the
injury to the other;
- whether both prospective clients are able to understand and
grasp the implications of a waiver;
- the disruption of both claims if the attorney has to withdraw
at a later date; and
- the likely devaluation of both claims if the parties fight
each other with separate counsel.
A possible conflict does not itself preclude the representation.
The critical questions are the likelihood that a conflict will
eventuate and, if it does, whether it will materially interfere
with the lawyer's independent professional judgment in considering
alternatives or foreclosing courses of action that reasonably
should be pursued on behalf of the client. Consideration should
be given to whether the client wishes to accommodate the other
interest involved. [Emphasis supplied] Comment
to SCR 20:1.7.
It is recognized that in some instances the guest is adamant
against a claim being made against the host (for example, husband-wife,
parent-child, siblings, "significant others"). The
attorney must abide by the instructions and wishes of the client
as to the objectives of the representation. See
SCR 20:1.2(a).
However, that does not relieve the lawyer from performing
the analysis necessary to determine if a lawyer can ethically
accept joint representation. The prospective guest's absolute
prohibition of a claim against the host does not take the lawyer
off the hook and allow joint representation. The lawyer still
has to determine if such representation "will adversely
affect the relationship" or whether the lawyer's "representation
of that client may be materially limited by the lawyer's
responsibilities to another client." If the analysis does
not pass muster, then independent counsel should represent the
guest in examining the validity of the guest's prohibition,
unburdened by loyalty and responsibility to the driver. "[W]hen
a disinterested lawyer would conclude that the client should
not agree to the representation under the circumstances,
the lawyer cannot properly ask for such agreement or provide
representation on the basis of the client's consent."
Comment to SCR 20:1.7.
Written Consent After Consultation
The Ethics Committee was asked if a standard form waiver could
be drafted. No such form would be useful because of the unique
character of each case and set of facts. There is a better practice
and a minimum practice.
It is the better practice to provide the prospective clients
with a comprehensive disclosure letter addressing the factors
set forth in 3) above (and others as they bear), and examining
the implications, advantages, and risks of joint representation.
Finally, the lawyer should cite all factors in support of his
or her conclusion that the joint representation likely will not
adversely affect either client's interests. Beware of revealing
confidential information from one prospective client to the other
without consent. "[T]here may be circumstances where it
is 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." Comment to SCR 20:1.7.
The disclosure letter should be discussed face-to-face with
each affected prospective client alone. If the client consents,
it should be by a signed acceptance statement on the disclosure
letter, with duplicate originals to lawyer and both clients.
At a minimum, there has to be a consultation between lawyer
and client which discusses the "implications of the common
representation and the advantages and risks involved." A
final signed consent to the common representation has to be obtained.
When one of the prospective clients is a minor or incompetent,
no common representation should be undertaken without the required
consultation and consent being furnished by a guardian ad litem
independent of the lawyer or his firm.
Withdrawal After Initial Joint Representation
SCR 20:1.7 calls upon the lawyer to make a detailed analysis
of the situation at the outset in order to justify multiple representation.
At intake information is sketchy, at best. A misstep could result
in total disqualification from the case. As more information
and evidence are gathered the implications of joint representation
may change. If any new information changes the implications,
advantages, or risks of the joint representation, the lawyer
must keep the clients fully informed. If the information is significant
enough to raise a conflict, then the lawyer must notify the clients
and withdraw from the representation. "If such a conflict
arises after representation has been undertaken, the lawyer should
withdraw from the representation. ... When more than one client
is involved and the lawyer withdraws because of a conflict arising
after representation, whether the lawyer may continue to represent
any of the clients is determined by Rule 1.9." Comment to
SCR 1.7.
Endnotes
1 See 43 Wis. 2d vii (1969), order adopting the Code,
and 139 Wis. 2d xii (1987), repealing the Code.
2 See 139 Wis. 2d xii (1987).
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