Lawyers May Inform, Not Threaten, in Civil Matters
E-01-01: Threatening Criminal
Prosecution or Professional Discipline
Professional Ethics Committee Opinion E-01-01 considers whether lawyers
may threaten criminal prosecution or disciplinary action in relation to
a civil matter.
by State Bar Professional Ethics Committee
Issued: March 5, 2001
Question
May a lawyer threaten to initiate a criminal proceeding against a third
person or a disciplinary action against an adverse lawyer in relation
to a civil matter?
Opinion
Threatening a civil action. Whether a lawyer may threaten a criminal
prosecution in a civil matter is addressed by SCR
20:3.10:
"A lawyer shall not present, participate in presenting or threaten to
present criminal charges solely to obtain an advantage in a civil matter."
In Opinion E-87-5, the State
Bar Professional Ethics Committee addressed this issue under an identically
worded provision of the predecessor code to the Rules of Professional
Conduct. See SCR 20:39, Code of Professional Responsibility. That
opinion concludes that while a lawyer representing a client in a civil
matter may assist the client in providing a prosecutor with information
relating to an adverse party's probable criminal conduct, threatening
to present such information unless some action is taken by the adverse
party is prohibited. Therefore, the opinion reasons a lawyer "informing
adverse parties of their possible criminal conduct while representing
clients in civil matters against them" is prohibited.
The Professional Ethics Committee now withdraws Ethics Opinion
E-87-5.
The committee now opines that in a civil matter, a lawyer may inform
another person that their conduct may violate a criminal provision provided
the criminal conduct is related to the civil matter, the lawyer has formed
a good faith belief that the conduct complained of constitutes a criminal
violation, and the lawyer or the lawyer's client has a duty or right to
report the criminal violation. Informing someone under such circumstances
may involve informing them that the lawyer or the lawyer's client intends
to initiate a criminal action when the lawyer or the lawyer's clients
actually have formed the intention to do so either as a matter of legal
obligation or right.
The ABA Model Rules do not include a provision similar to SCR
20:3.10. The Restatement of the Law Governing Lawyers notes
that this exclusion was deliberate and based on the belief that the provision
was vague and overly broad and prohibited what would constitute legitimate
negotiating tactics. See § 98 Reporter's Note to Comment f. However,
the Wisconsin Supreme Court chose to include this provision in its version
of the Rules of Professional Conduct. Since the adoption of SCR
20:3.10, there have been no reported instances of a Wisconsin lawyer
being disciplined for a violation of this rule.
The few authorities that address similar rules in other states suggest
cautious enforcement. Whenever confronted with threats of criminal action
by a lawyer against a party adverse to the lawyer's client, courts appear
to have strained to find reasons why the mention of criminal charges could
be justified. See ABA/BNA Lawyer's Manual of Professional Conduct
at § 71:602-603. Grounds for nonenforcement of this provision include
noting that it was not clear that the lawyer's sole purpose was
to gain an advantage in the civil action, distinguishing between informing
an adverse party about the criminal law as opposed to threatening criminal
prosecution and noting statutes in some states require giving notice of
possible criminal charges as part of bringing certain civil actions.
ABA Ethics Opinion 92-363 has noted that a lawyer may use the possibility
of presenting a criminal charge against an opposing party in a private
civil matter to gain relief for his client provided that the criminal
charge is related to the civil claim, both the civil claim and the possible
criminal charge are warranted by law and the facts of the situation, and
the lawyer does not attempt to exert improper influence over the criminal
process.
Threatening a disciplinary proceeding against another lawyer.
The obligation of lawyers to report the misconduct of other lawyers is
governed by SCR 20:8.3 (a). Beyond this mandatory obligation to report
such misconduct, lawyers must be mindful that theirs is a self-regulating
profession and that self government carries with it special responsibilities
including not only to observe the Rules of Professional Conduct, but also
to aid in securing their observance by other lawyers. See Preamble
to Rules of Professional Conduct.
In Wisconsin Ethics Opinion E-89-16,
this committee opined that while presenting facts to a disciplinary authority
regarding another lawyer's misconduct during the course of representation
should be permitted, "threatening to present such charges 'unless' would
clearly violate SCR 20.39" (the identically worded predecessor to SCR
20:3.10). Neither SCR 20:3.10 or its predecessor, SCR 20.39, make reference
to reporting professional misconduct.
The committee now withdraws E-89-16
and opines as follows:
The responsibility of a lawyer to report the misconduct of another lawyer
is governed by SCR 20:8.3 and the obligation of all members of a self-regulating
profession to assure observance of the Rules by their fellow professionals.
Reporting misconduct of other lawyers must be accomplished within the
framework for behavior established by the very Rules this obligation is
meant to protect. This includes due attention to the lawyer's duty of
confidentiality, SCR 20:8.3(c); not advancing claims or factual positions
that the lawyer knows are frivolous, SCR 20:3.1; not using means that
have no substantial purpose other than to embarrass, delay, or burden
a third person, SCR 20: 4.4; or engaging in conduct involving dishonesty,
fraud, deceit, or misrepresentation, SCR 20:8.4(c).
A lawyer who seeks to gain a bargaining advantage by threatening to report
another lawyer's misconduct commits misconduct even if that lawyer believes
that the other lawyer's conduct raises a substantial question as to the
lawyer's honesty, trustworthiness, or fitness. Seeking such a bargaining
advantage in such circumstances is inappropriate because reporting such
misconduct is an obligation imposed by the Rules. SCR 20:8.3(a). See
ABA Formal Ethics Opinion 94-383. Likewise, a lawyer commits misconduct
by entering into any agreement to not report such misconduct. See In
re Himmel, 125 Ill. 2d 531, 533 N.E.2d 790 (Ill.1988).
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