Lawyer Disciplinary v. Mcgraw
Annotate this Case
January 1995 Term
___________
No. 22639
___________
LAWYER DISCIPLINARY BOARD,
Complainant
v.
DARRELL V. McGRAW, JR., A MEMBER
OF THE WEST VIRGINIA STATE BAR,
Respondent
___________________________________________________
Disciplinary Proceeding
PUBLIC REPRIMAND PLUS COSTS
___________________________________________________
Submitted: March 7, 1995
Filed: June 19, 1995
Sherri D. Goodman
Chief Disciplinary Counsel
Charleston, West Virginia
Attorney for the Complainant
James B. Lees
Hunt, Lees, Farrell & Kessler
Charleston, West Virginia
Robert M. Bastress, Jr.
Morgantown, West Virginia
Attorneys for the Respondent
CHIEF JUSTICE McHUGH delivered the Opinion of the Court.
JUSTICE BROTHERTON did not participate.
JUSTICE NEELY and JUSTICE WORKMAN, deeming themselves
disqualified, did not participate.
JUDGE FOX, JUDGE JOLLIFFE and JUDGE SOMMERVILLE sitting by
temporary assignment.
SYLLABUS BY THE COURT
1. Rule 3.7 of the Rules of Lawyer Disciplinary
Procedure, effective July 1, 1994, requires the Office of
Disciplinary Counsel to prove the allegations of the formal charge
by clear and convincing evidence. Prior cases which required that
ethics charges be proved by full, preponderating and clear evidence
are hereby clarified.
2. "A de novo standard applies to a review of the
adjudicatory record made before the [Lawyer Disciplinary Board] as
to questions of law, questions of application of the law to the
facts, and questions of appropriate sanctions; this Court gives
respectful consideration to the [Board's] recommendations while
ultimately exercising its own independent judgment. On the other
hand, substantial deference is given to the [Board's] findings of
fact, unless such findings are not supported by reliable,
probative, and substantial evidence on the whole record." Syl. pt.
3, Committee on Legal Ethics v. McCorkle, ___ W. Va. ___, 452 S.E.2d 377 (1994).
3. Unlike the evidentiary attorney-client privilege
recognized under West Virginia Rules of Evidence 501, a lawyer's
ethical duty of confidentiality under Rule 1.6 of the Rules of
Professional Conduct applies to all information relating to
representation of a client, protecting more than just "confidences"
or "secrets" of a client. The ethical duty of confidentiality is not nullified by the fact that the information is part of a public
record or by the fact that someone else is privy to it.
4. "The Attorney General has the duty to conform his
conduct to that prescribed by the rules of professional ethics."
Syl. pt. 4, Manchin v. Browning, 170 W. Va. 779, 296 S.E.2d 909
(1982).
5. "'"'This Court is the final arbiter of legal ethic
problems and must make the ultimate decisions about public
reprimands, suspensions or annulments of attorneys' licenses to
practice law.' Syl. Point 3, Committee on Legal Ethics v. Blair,
[174] W. Va. [494], 327 S.E.2d 671 (1984)." Syl. pt. 1, Committee
on Legal Ethics v. Charonis, 184 W. Va. 268, 400 S.E.2d 276
(1990).' Syl. pt. 1, Committee on Legal Ethics v. Ikner, 190 W. Va.
433, 438 S.E.2d 613 (1993)." Syl. pt. 7, Committee on Legal Ethics
v. Karl, ___ W. Va. ___, 449 S.E.2d 277 (1994).
McHugh, Chief Justice:
In this lawyer disciplinary proceeding, the Lawyer
Disciplinary Board for the State of West Virginia (hereinafter
"Board")See footnote 1 has found that the respondent, Darrell V. McGraw, Jr., a
member of the West Virginia State Bar and the Attorney General of
the State of West Virginia, violated Rule 1.6(a) of the Rules of
Professional Conduct. The Board recommends that this Court
publicly reprimand respondent in open court, pursuant to Rule 3.15
of the Rules of Lawyer Disciplinary Procedure.See footnote 2 For the reasons stated below, we adopt the Board's recommendation and order that
respondent be publicly reprimanded. We further order that
respondent pay $1,713.56 for the costs incurred for this
disciplinary proceeding.See footnote 3
I.
On January 15, 1994, a Statement of Charges was issued
against respondent by the Hearing Panel of the Committee on Legal
Ethics of the West Virginia State Bar (hereinafter the
"Committee"), charging respondent with two violations of Rule
1.6(a) of the Rules of Professional Conduct as well as one
violation each of Rule 1.7(b) and Rule 1.2(a). In a written
response to the Committee, respondent, through counsel, denied the
charges. Following hearings on the matter, held on April 6, 1994 and April 29, 1994, the Full Hearing Panel of the Lawyer
Disciplinary Board, on November 12, 1994, adopted the hearing panel
subcommittee's findings of fact, conclusions of law and
recommendation concerning discipline.
A
A.
The underlying litigation giving rise to this
disciplinary proceeding began in 1990 when the Division of Natural
Resources, by its attorney, the Office of Attorney General,
instituted two declaratory judgment actions in Berkeley County
Circuit Court against LCS Services, Inc. (hereinafter "LCS"),
Chambers of West Virginia, Inc., and Chambers Development Company,
Inc.See footnote 4 Following governmental reorganization, the powers, functions
and duties previously performed by the Division of Natural
Resources were transferred to the Division of Environmental
Protection of the Department of Commerce, Labor and Environmental
Resources (hereinafter "DEP"), effective July 1, 1992.
The purpose of the consolidated declaratory judgment
actions instituted by the DEP was (1) to prohibit LCS from
accepting waste at their landfill in the town of Hedgesville in
Berkeley County, West Virginia, until the landfill received site
approval from the Berkeley County Solid Waste Authority and (2) to
restrict the landfill from accepting more than 9,999 tons of solid waste per month, unless the Berkeley County Commission gave
approval to exceed the 9,999 tons per month limit.
On June 19, 1992, the DEP filed a motion for summary
judgment in which it requested that the Circuit Court of Berkeley
County require LCS to apply for a certificate of site approval from
the Berkeley County Solid Waste Authority and limit it to receiving
no more than 9,999 tons of solid waste per month. The DEP's motion
for summary judgment was granted on July 29, 1993.
Following the circuit court's decision on the DEP's
motion for summary judgment, attorney Kim Brown Poland,See footnote 5 who serves
as regulatory counsel for Chambers Development Company, Inc.
(hereinafter "Chambers"), LCS' parent company, contacted the DEP
and requested a meeting between the DEP and representatives of
Chambers and LCS to discuss, in light of the July 29, 1993 order,
the current status of the law concerning landfills like the LCS
facility which accept 9,999 tons or less of solid waste per month.
A meeting was scheduled for August 12, 1993. David
Callaghan, then Director of the DEP, asked the Deputy Director of
the DEP, Ann Spaner,See footnote 6 to attend the meeting. Two representatives
of the Office of Waste Management were also asked to attend.
Director Callaghan testified that he did not ask counsel from the Office of Attorney General to attend the meeting because he
understood the meeting to be about the possible sale of the
landfillSee footnote 7 and not about the landfill litigation.See footnote 8 Director
Callaghan further testified that the fact that he was meeting with
Ms. Poland and representatives of Chambers and LCS was not intended
to be confidential.
At the August 12, 1993 meeting, held at the DEP's offices
in Nitro, West Virginia, Ms. Poland advised Director Callaghan and
Deputy Director Spaner that LCS had filed a motion, pursuant to
Rule 59(e) of the West Virginia Rules of Civil Procedure, to amend,
alter, correct, clarify and/or reconsider the circuit court's order
granting the DEP's motion for summary judgment.See footnote 9 Director
Callaghan and Deputy Director Spaner learned of LCS' Rule 59(e)
motion for the first time at this meeting even though LCS had
already filed it in Berkeley County Circuit Court. Director Callaghan told Ms. Poland that he would discuss LCS' motionSee footnote 10 with
litigation counsel from the Attorney General's office. The Lawyer
Disciplinary Board found that Director Callaghan was not asked to
join in LCS' motion nor did he then agree to do so.
At the direction of Director Callaghan, Deputy Director
Spaner immediately contacted the DEP's litigation counsel,
Assistant Attorney General Stephen Van Camp, to tell him about the
meeting and that the reason he had not been asked to attend was due
to Director Callaghan's now mistaken belief that the meeting was to
be about the sale of the landfill and not the landfill litigation.
Though Assistant Attorney General Van Camp testified that Deputy
Director Spaner directed him to join in LCS' Rule 59(e) motion,
Deputy Director Spaner testified that she only wanted to raise the
issue with him for discussion. Whichever the case, the Board found
that it was, nevertheless, reasonable for Assistant Attorney
General Van Camp to conclude that the DEP had changed its position
on the issue of whether LCS should be required to obtain local site
approval for its landfill.
On August 12, 1993, the same day as the aforementioned
meeting and subsequent conversation between Deputy Director Spaner and Assistant Attorney General Van Camp, respondent determined that
the Office of Attorney General could no longer represent the DEP in
the landfill litigation, considering the DEP had, in the
respondent's view, changed its position on the site approval
requirement.
Also on that day, respondent telephoned Christina Hogbin,
a Berkeley County resident who lives two miles from the landfill
and who had attended hearings on the landfill and had followed the
DEP's lawsuit against LCS.See footnote 11 Chief Disciplinary Counsel Sherri
Goodman, in a letter to respondent concerning the ethics complaint
which had been filed against him, asked him about his conversation
with Ms. Hogbin. In a written response, respondent, through
counsel, stated:
General McGraw called Ms. Hogbin (for whom he
is a trustee) on August 12, 1993, and informed
her that Director Callaghan had decided to
resist at least part of [Berkeley County]
Judge Wilkes's order granting summary judgment
to the [DEP] and that Mr. Callaghan wanted the
Office of the Attorney General to support the request of LCS Services (LCS) for
reconsideration. Ms. Hogbin asked what she
and her group of citizens could do. General
McGraw suggested to her that, as DEP had made
a political decision, the only effective way
to alter it was through the political process,
and that meant persuading their legislators to
attempt to influence the Governor and DEP.
Respondent testified that his response to Chief Disciplinary
Counsel's question was a demurrer and that, if in fact he did
suggest to Ms. Hogbin and her fellow citizen activists that they
contact their legislators, he had the right to do so.See footnote 12
Furthermore, in his Answer to the Statement of Charges, respondent,
through counsel, stated:
n. Upon being apprised of [the DEP's change
in position concerning site approval for the
landfill], the Attorney General determined
that such an order from DEP was repugnant,
immoral, unethical, and totally improper. The
Attorney General further determined that he
would be unable to adequately represent DEP as
required by law because such representation
would create conflicts and/or adversity. The
Attorney General further decided that he must
therefore withdraw from such representation
and appoint a prosecuting attorney to
represent DEP consistent with W. Va. Code § 5-
3-2 and the direction of the West Virginia
Supreme Court in Manchin v. Browning, [170
W. Va. 779, 296 S.E.2d 909 (1982)].
o. The Attorney General communicated his
position to Chris Hogbin, an intervenor in the
case.See footnote 13 (The Office of Attorney General had
previously received permission from the
attorney for the intervenors to communicate
directly with the intervenors.) Absolutely no privileged information or client confidential
information was given to either the attorney
for the intervenors or Ms. Hogbin, as the
order given to the Office of the Attorney
General by [Deputy Director] Spaner was to
publicly file a pleading in the Circuit Court
of Berkeley County on behalf of DEP so as to
advise the Court of the change in position of
DEP.
(footnote added).
Ms. Hogbin, on the other hand, testified that respondent
told her that there had been a "closed-door meeting" between
Director Callaghan, Deputy Director Spaner and Ms. Poland, without
a representative of the Office of Attorney General. However, Ms.
Hogbin testified that she did not recall respondent telling her
about the DEP's change in position. She testified that it was
Norman Steenstra, of the West Virginia Environmental Council, who
told her about it and who suggested that they call legislators.
Respondent testified that he telephoned Ms. Hogbin
without consulting with Director Callaghan or Deputy Director
Spaner to verify that the DEP had changed its position on whether
LCS was required to get local site approval for its landfill. He
testified that it is his policy to communicate with clients--in
this case, the DEP--in writing only and that he already had a
public document directing him to "do certain things." Though
respondent believed there was a document from the DEP directing
Assistant Attorney General Van Camp to take a certain position on
behalf of the DEP, no such document has been offered in this
disciplinary proceeding.
Director Callaghan testified that soon after the August
12, 1993 meeting, he received inquiries from various legislators
concerning the DEP's change in position on the landfill. He and
Deputy Director Spaner were also accused, by an attorney for the
intervenors in the landfill litigation, of "corrupt collusion."
Director Callaghan subsequently met with respondent on
August 16, 1993, along with the managing committee of the Office of
Attorney General, Fran Hughes, Deborah McHenry and Tom Morgan.
Director Callaghan had scheduled the meeting due to his concern
that his attorney, the respondent, had committed an ethical breach.
At the meeting, respondent told Director Callaghan that the
Manchin, supraSee footnote 14 case needed "revisiting" and that respondent's
calling to the public was higher than his duty to the DEP. When
respondent asked Director Callaghan to explain the DEP's position
on the landfill issue, Director Callaghan responded that the DEP
had not yet taken a position.
On August 20, 1993, Deputy Attorney General William Adams
informed Director Callaghan, by letter, that he intended to file,
on behalf of the DEP, a response to LCS' Rule 59(e) motion which
would oppose LCS' motion and support the circuit court's summary
judgment order of July 29, 1993.See footnote 15 Director Callaghan testified that he then telephoned Deputy Attorney General Adams and
instructed him not to file any response unless the DEP approved it.
On August 25, 1993, Deputy Attorney General Adams
prepared a memorandum to the management committee of the Office of
Attorney General. The memorandum indicated that a lawyer could, in
good faith and in conformance with Rule 11 of the West Virginia
Rules of Civil Procedure, advance the DEP's argument that LCS
should not be required to obtain site approval from the Berkeley
County Solid Waste Authority.See footnote 16 Additionally, Assistant Attorney
General David Lahr testified that after speaking with Deputy
Director Spaner, he became convinced that he could advocate the
DEP's position.
On August 26, 1993, five days before the hearing on LCS'
Rule 59(e) motion, Deputy Director Spaner learned that respondent
intended to withdraw as counsel for the DEP in its litigation with
LCS. Though she offered to explain the DEP's legal position to
respondent or the managing committee, her offer was refused.
Similarly, when Deputy Director Spaner, a lawyer and active member
of the West Virginia State Bar, requested that she be appointed
special assistant attorney general to represent the DEP at the
August 31, 1993 hearing, her request was denied by respondent.
The next day, respondent, by Deputy Attorney General
Adams, filed consolidated motions to withdraw as the DEP's counsel
and for a continuance. The motion to withdraw was based upon an
"irreconcilable difference . . . between the Attorney General's
Office and the [DEP] of such magnitude that the Attorney General's
Office . . . is unable in good conscience to continue as counsel in
this instant matter[.]" Attached to the motion was a draft of a
memorandum, previously prepared by Deputy Director Spaner, in
response to LCS' Rule 59(e) motion. The memorandum set forth the
DEP's position that, as a Class B facility not seeking to convert
to a Class A facility, LCS has satisfied the statutory siting
requirements. The memorandum, which had neither been seen nor
approved by Director Callaghan, was attached to the motion to
withdraw without the DEP's consent.
On August 30, 1993, respondent appointed the Prosecuting
Attorney of Pendleton County, Jerry Moore, to replace the Office of
Attorney General in the DEP's litigation with LCS even though
Prosecutor Moore had no experience in solid waste litigation. In
a letter to Judge Christopher C. Wilkes of the Circuit Court of
Berkeley County, dated August 30, 1993, Director Callaghan
protested this appointment and the respondent's motion to withdraw.
At the August 31, 1993 hearing, the circuit court denied
the respondent's motion to withdraw as counsel for the DEP and further, denied LCS' motion to amend, alter, correct, clarify
and/or reconsider its July 29, 1993 order.See footnote 17
B.
An ethics complaint was filed against respondent by Director
Callaghan. Upon review of the resulting investigative file, the
Investigative Panel of the Committee on Legal Ethics found there to
be good cause to file charges against respondent. The matter was
then referred to the Hearing Panel of the Committee on Legal
Ethics. A Statement of Charges was subsequently filed on January
15, 1994, charging respondent with four ethical violations.
Charge One
By contacting Christina Hogbin and revealing information
he learned from his client, respondent violated Rule 1.6(a) of the
Rules of Professional Conduct. Rule 1.6(a), Confidentiality of
Information, states that
[a] lawyer shall not reveal information
relating to representation of a client unless
the client consents after consultation, except
for disclosures that are impliedly authorized
in order to carry out the representation, and
except as stated in paragraph (b).See footnote 18
(footnote added).
Charge Two
By encouraging Ms. Hogbin to apply political pressure to
legislators as a means of opposing the DEP's position, respondent
took a position adverse to his client, in violation of Rule 1.7(b)
of the Rules of Professional Conduct. Rule 1.7(b), Conflict of
Interest, provides, in relevant part: "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 the lawyer's own interests[.]"
Charge Three
By refusing to advocate the DEP's position on the issue
of whether LCS should be required to obtain site approval,
respondent violated Rule 1.2(a) of the Rules of Professional
Conduct. Rule 1.2(a), Scope of Representation, states, in
pertinent part: "A lawyer shall abide by a client's decisions
concerning the objectives of representation . . . and shall consult
with the client as to the means by which they are to be pursued."
Charge Four
By directing that a copy of the DEP's draft memorandum,
an in-house document, be attached to respondent's motion to
withdraw, respondent violated Rule 1.6(a). See Charge One, supra.
On April 16, 1994, at the conclusion of the presentation of the
State Bar's evidence, the Hearing Panel dismissed this charge upon
finding that the State Bar had failed to meet its burden of proof.
The evidence revealed that it was Assistant Attorney General Adams
who attached the DEP's draft memorandum, without respondent's
consent.
C.
On November 12, 1994, following presentation of all the
evidence, the Full Hearing Panel of the Lawyer Disciplinary Board
adopted the subcommittee's findings of fact, conclusions of law and
recommendation concerning discipline. The Board found that the
State Bar failed to meet its burden of proof on Charge Two, which
alleged that respondent violated Rule 1.7(b), Conflict of Interest.
The Board further found that respondent did not violate, as alleged
in Charge Three, Rule 1.2(a), which requires counsel to abide by a
client's decisions.
Specifically, the Board found, in relation to Charge Two,
that the State Bar failed to prove that respondent encouraged Ms.
Hogbin to apply pressure to legislators as a means of opposing the
DEP's decision to support LCS' Rule 59(e) motion to amend, alter,
correct, clarify and/or reconsider the circuit court's order
granting the DEP's motion for summary judgment. She testified that it was West Virginia Environmental Council member Norman
Steenstra, and not respondent, who suggested that she contact
legislators for the purpose of opposing the DEP's position. Thus,
the Board found that the State Bar failed to prove that respondent
violated Rule 1.7(b), as alleged in Charge Two.See footnote 19
The Board further found, in relation to Charge Three,
that respondent did not violate Rule 1.2(a) when he refused to
espouse the DEP's position to support LCS' Rule 59(e) motion. The
Board determined that:
Notwithstanding the representations of Deputy
Attorney General Adams and Assistant Attorney
General Lahr that the position of DEP could be
articulated in good faith without contravening
Rule 11 of the West Virginia Rules of Civil
Procedure, Respondent is the decision maker
and charged with responsibility for the
[Attorney General's] office and all its
decisions. He sets the tone of the practice
and it is his judgment that is critical. He
determined that continued representation of
DEP, in light of his understanding of its
position, was untenable. He is permitted by
Rule 1.16 [of the Rules of Professional
Conduct] to withdraw, so long as such
withdrawal will not prejudice the interests of
his client. It is not contended the attempted
withdrawal caused any prejudice to DEP. Here
the record is clear that Respondent petitioned
to withdraw as counsel for DEP, sought a
continuance to allow new counsel to become
familiar with the matter and, as authorized by
law[,] appointed new counsel for DEP.
Finally, as indicated above, the Board concluded that the
evidence showed that respondent telephoned Ms. Hogbin and told her
of the August 12, 1993 meeting between Director Callaghan, Deputy Director Spaner and LCS and Chambers and that neither the
respondent nor any member of his staff was present at the meeting.See footnote 20
Respondent further advised her of what he perceived to be a change
in the DEP's position regarding whether LCS should be required to
obtain local site approval for its landfill. Respondent neither
consulted nor obtained the consent of Director Callaghan before
contacting Ms. Hogbin.
The Board found that respondent's disclosure to Ms.
Hogbin of the DEP's change in position--whether such a change in
position had in fact occurred--was "a disclosure of a client's
strategy interests obtained by reason of representation and as such
a violation of Rule 1.6(a)." The Board reasoned that "[c]lients
frequently will articulate various positions on matters to their
lawyer. It is the function of a lawyer to listen to the views of
the client and counsel with the client about how best to achieve
the end the client wishes to achieve." The Board thus concluded
that "[t]o disclose information relating to a possible change of
position to anyone, especially one whose known views were
antagonistic to the policy decisions of DEP, is a disclosure of
client confidence[,]" and violative of Rule 1.6(a) of the Rules of
Professional Conduct.
II.
A.
At the outset, we point out that Rule 3.7 of the Rules of
Lawyer Disciplinary Procedure sets forth the standard by which the
office of disciplinary counsel must prove ethics charges against a
member of the Bar. Rule 3.7 states: " Standard of Proof.
In order to
recommend the
imposition of
discipline of any
lawyer, the
allegations of the
formal charge must
be proved by clear
and convincing
evidence."
This standard of proof is required in many jurisdictions.
See Huckaby v. Alabama State Bar, 631 So. 2d 855 (Ala. 1993); In re
Higgins, 884 P.2d 1094 (Ariz. 1994); People v. Robnett, 859 P.2d 872 (Colo. 1993); Weiss v. Statewide Grievance Comm., 633 A.2d 282
(Conn. 1993); In re Heamon, 622 N.E.2d 484 (Ind. 1993); In re
Quaid, 646 So. 2d 343 (La. 1994); Attorney Grievance Comm'n of
Maryland v. Kemp, 641 A.2d 510 (Md. 1994); In re Disciplinary
Action Against Selmer, 529 N.W.2d 684 (Minn. 1995); Mississippi Bar
v. Attorney R., 649 So. 2d 820 (Miss. 1995); State ex rel. Nebraska
State Bar Ass'n. v. Schmeling, 529 N.W.2d 799 (Neb. 1995); In re Magid, 655 A.2d 916 (N.J. 1995); In re Goetz, 474 N.W.2d 29 (N.D.
1991); State ex rel. Oklahoma Bar Ass'n. v. Copeland, 870 P.2d 776
(Okla. 1994); In re Whipple, 886 P.2d 7 (Or. 1994); In re Illuzzi,
632 A.2d 346 (Vt. 1993). Accord In re Pauley, 173 W. Va. 228, 314 S.E.2d 391 (1983) (allegations in judicial disciplinary proceeding
must be proved by clear and convincing evidence).
This Court has previously required that ethics charges be
proved by "full, preponderating and clear evidence." See syl. pt.
1, Committee on Legal Ethics v. Walker, 178 W. Va. 150, 358 S.E.2d 234 (1987); syl. pt. 1, Committee on Legal Ethics v. Tatterson, 177
W. Va. 356, 352 S.E.2d 107 (1986); syl. pt. 1, Committee on Legal
Ethics v. Tatterson, 173 W. Va. 613, 319 S.E.2d 381 (1984); syl.
pt. 1, Committee on Legal Ethics v. Pence, ___ W. Va. ___, 216 S.E.2d 236 (1975). Rule 3.7 of the Rules of Lawyer Disciplinary
Procedure, effective July 1, 1994, requires the Office of
Disciplinary Counsel to prove the allegations of the formal charge
by clear and convincing evidence. Prior cases which required that
ethics charges be proved by full, preponderating and clear evidence
are hereby clarified.
B.
In syllabus point 3 of Committee on Legal Ethics v.
McCorkle, ___ W. Va. ___, 452 S.E.2d 377 (1994), we articulated the
following standard of judicial review of lawyer disciplinary
proceedings:
A de novo standard applies to a review of the
adjudicatory record made before the [Lawyer
Disciplinary Board] as to questions of law,
questions of application of the law to the facts, and questions of appropriate sanctions;
this Court gives respectful consideration to
the [Board's] recommendations while ultimately
exercising its own independent judgment. On
the other hand, substantial deference is given
to the [Board's] findings of fact, unless such
findings are not supported by reliable,
probative, and substantial evidence on the
whole record.
C.
Applying the aforementioned principles to the facts
before us, we conclude that respondent violated Rule 1.6(a) of the
Rules of Professional Conduct when he voluntarily disclosed client
information. We further conclude that respondent did not violate
Rules 1.7(b), as alleged in Charge Two; 1.2(a), as alleged in
Charge Three; and 1.6(a), as alleged in Charge Four.
III.
It is a fundamental principle in the client-lawyer
relationship that the lawyer maintain the confidentiality of
information relating to the representation, Freeman v. Chicago
Musical Instrument Co., 689 F.2d 715, 721 (7th Cir. 1982); Comment,
Rule 1.6 of the Rules of Professional Conduct, so as to encourage
the client "to communicate fully and frankly with the lawyer[.]"
Marano v. Holland, 179 W. Va. 156, 170, 366 S.E.2d 117, 131 (1988);
Rules of Professional Conduct 1.6 cmt. See also United States v.
Grand Jury Investigation, 401 F. Supp 361, 369 (W.D.Pa. 1975).
There are two related bodies of law which embrace the
principle of confidentiality: the ethical duty of confidentiality
and the evidentiary attorney-client privilege. Rules of
Professional Conduct 1.6 cmt. However, as discussed below, "[t]he [evidentiary] attorney-client privilege exists apart from, and is
not coextensive with, the ethical confidentiality precepts."
United States v. Ballard, 779 F.2d 287, 293 (5th Cir. 1986)
(footnote omitted).
"The [evidentiary] attorney-client privilege applies in
judicial and other proceedings in which a lawyer may be called as
a witness or otherwise required to produce evidence concerning a
client." Rules of Professional Conduct 1.6 cmt. See State v.
Burton, 163 W. Va. 40, 254 S.E.2d 129 (1979); 1 Franklin D.
Cleckley, Handbook on Evidence for West Virginia Lawyers, § 5-
4(E)(2)(e) (3d ed. 1994) ("An attorney-client privilege does not
arise unless both parties contemplate that an attorney-client
relationship does or will exist, advice is sought by the client
from an attorney in his capacity as a legal adviser, and the
communication between the attorney and client is intended to be
confidential." (citation omitted)). This common law privilege, now
incorporated into the West Virginia Rules of Evidence,See footnote 21 applies to
compelled disclosures of confidences communicated by a client to
his or her lawyer. 1 Cleckley, supra at § 5-1(C)(2); X Corp. v.
Doe, 805 F. Supp. 1298, 1305 n. 12 (E.D. Va. 1992), aff'd Under
Seal v. Under Seal, 17 F.3d 1435 (4th Cir. 1994); Geoffrey C.
Hazard, Jr. and W. William Hodes, The Law of Lawyering: A Handbook
on the Model Rules of Professional Conduct, § 1.6:103 (2d ed. 1994 Supp.). This privilege belongs to the client and not the lawyer.
Thus, it is the client who "has the privilege to refuse to disclose
and to prevent others from disclosing the information conveyed."
State ex rel. Doe v. Troisi, No. 22817, slip op. at 15-16, ___
W. Va. ___, ___ S.E.2d ___ (May 18, 1995) (citation omitted).
Therefore, as a general principle, if privileged communication is
disclosed to third parties, then the attorney-client privilege is
waived. Syl. pt. 12, Marano, supra. See United States v. Jones,
696 F.2d 1069 (4th Cir. 1982) (disclosure inconsistent with
confidential nature of attorney-client relationship waives attorney
client privilege.)
In contrast, the lawyer's broader ethical duty of
confidentiality, embodied in Rule 1.6, "applies in situations other
than those where evidence is sought from the lawyer through
compulsion of law. The confidentiality rule applies not merely to
matters communicated in confidence by the client but also to all
information relating to the representation, whatever its source."
Comment, Rule 1.6 of the Rules of Professional Conduct.
Significantly, the duty of confidentiality binds the lawyer at all
times, not only in cases where he or she faces inquiry from others.
Hazard, supra § 1.6:108.
In determining whether the attorney-client privilege
prohibited an attorney from further representation of a former
joint client, the court in Brennan's, Inc. v. Brennan's
Restaurants, Inc., 590 F.2d 168 (5th Cir. 1979), held that because
confidences cannot arise between joint clients, a former joint client may not assert the evidentiary attorney-client privilege as
to matters concerning the former joint representation. However,
joint clients are afforded the broader ethical duty of
confidentiality:
'Information . . . acquired [from a client]
is sheltered from use by the attorney against
his client by virtue of the existence of the
attorney-client relationship. This is true
without regard to whether someone else may be
privy to it. NCK Organization v Bregman, 542 F.2d 128, 133 (2d Cir. 1976). The obligation
of an attorney not to misuse information
acquired in the course of representation
serves to vindicate the trust and reliance
that client's place in their attorneys. A
client would feel wronged if an opponent
prevailed against him with the aid of an
attorney who formerly represented the client
in the same matter . . . this would undermine
public confidence in the legal system as a
means for adjudicating disputes.'
X Corp., 805 F.Supp at 1307 (quoting Brennan's, Inc., 590 F.2d at
172).
It has been further held that "the client's privilege in
confidential information disclosed to his attorney 'is not
nullified by the fact that the circumstances to be disclosed are
part of a public record, or that there are other available sources
for such information, or by the fact that the lawyer received the
same information from other sources.'" Emle Industries, Inc. v.
Patentex, Inc., 478 F.2d 562, 572-73 (2d Cir. 1973) (quoting Henry
H. Drinker, Legal Ethics 135 (1953)) (plaintiff's counsel
disqualified on ground that he previously represented part owner of
corporate defendant where issue involved whether defendant's part
owner controlled defendant and used that control for an illegal purpose.) After all, the essence of the attorney-client
relationship is that of trust, reliance and loyalty. Failure to
safeguard it would undermine public confidence in the legal
system.See footnote 22 Though the aforementioned cases concern former joint
clients, we, nevertheless, find their reasoning to be compelling.See footnote 23
Respondent emphasizes that representatives from LCS and
Chambers and their counsel were present at the meeting where
Director Callaghan allegedly determined that the DEP would change
its position on the site approval issue and join in LCS' Rule 59(e)
motion. Thus, according to respondent, he did not disclose
anything to Ms. Hogbin which was not already disclosed, by his own
client, to LCS and Chambers.
Respondent further maintains that his office was
instructed to file a Rule 59(e) motion, a public pleading. Thus,
he contends that his disclosure of the DEP's change in position on
the site approval issue was "impliedly authorized in order to carry
out the representation[.]" Rule 1.6(a) of the Rules of
Professional Conduct.
Finally, respondent argues that, under the Freedom of
Information Act, W. Va. Code, 29B-1-1, et seq., (hereinafter
"FOIA") the DEP, as a state agency discussing the interpretation of a statute, would have been required to disclose to any inquiring
citizen all notes, memoranda and other documents generated by or
related to the August 16, 1993 meeting.
In essence, then, respondent argues that he did not
breach his ethical duty of confidentiality because the information
he disclosed to Ms. Hogbin had been previously revealed or "made
public." We disagree. Clearly, respondent has confused the
evidentiary attorney-client privilege with the ethical duty of
attorney-client confidentiality.
Under the facts of this case, it is arguable that the
information disclosed to Ms. Hogbin was not protected by the
evidentiary attorney-client privilege. See State v. Burton, supra;
United States v. (Under Seal), 748 F.2d 871 (4th Cir. 1984). See
also Marano v. Holland, supra; United States v. Jones, supra. In
that this issue is not presently before this Court, we decline to
address it.
However, by disclosing to Ms. Hogbin client information
communicated at the meeting, respondent has breached his ethical
duty of confidentiality. In so doing, he has violated Rule 1.6(a)
of the Rules of Professional Conduct, which prohibits "voluntary
disclosures except when made with the consent of the client or in
the furtherance of the legal representation, in which case client
consent may be fairly inferred." Hazard, supra § 1.6:108 (footnote
omitted). The ethical duty of confidentiality protects more than
just "confidences" and "secrets" of a client in that Rule 1.6,
entitled Confidentiality of Information, prohibits disclosures of "information relating to representation of a client[.]" (emphasis
added). The use of the word "information" indicates that more than
mere "confidences" are covered. Anchor Packing Co. v. Pro-Seal,
Inc., 688 F. Supp 1215, 1218 (E.D. Mich. 1988); St. Albans
Financial Co. v. Blair, 559 F. Supp. 523, 526 (E.D. Pa. 1983);
Brennan's, Inc., 590 F.2d at 172.See footnote 24 Accord Harris v. Baltimore Sun,
625 A.2d 941 (Md. 1993).
We thus do not accept respondent's arguments. We fail to
see how his voluntary disclosure to Ms. Hogbin, a third party, was
impliedly authorized simply because respondent was directed to
file, in the future, a public pleading, and how such disclosure
furthered respondent's legal representation of his client.
Furthermore, though respondent dimly asserts that the communication
between Director Callaghan and LCS and Chambers was subject to
public inspection under FOIA, he offers no legal authority for his
position that FOIA either nullifies or supersedes his ethical duty
of confidentiality.See footnote 25 Unlike the evidentiary attorney-client
privilege recognized under West Virginia Rules of Evidence 501, a lawyer's ethical duty of confidentiality under Rule 1.6 of the
Rules of Professional Conduct applies to all information relating
to representation of a client, protecting more than just
"confidences" or "secrets" of a client. The ethical duty of
confidentiality is not nullified by the fact that the information
is part of a public record or by the fact that someone else is
privy to it.
IV.
In Manchin v. Browning, supra, this Court discussed the
Attorney General's powers and duties to represent state officials
in civil actions.See footnote 26 We determined that the Attorney General should
not exercise the common law powers of the office but "'shall
perform such duties as may be prescribed by law.'" Id. at 785, 296 S.E.2d at 915 (quoting W. Va Const. art. VII, § 1).See footnote 27
Upon determining that the role of the Attorney General
"is not to make public policy in his own right on behalf of the
state[,]" but rather "to exercise his skill as the state's chief
lawyer to zealously advocate and defend the policy position of the
officer or agency in the litigation[,]" this Court declared there
to be a traditional attorney-client relationship between the Attorney General and the state officer he represents. Id. at 790,
296 S.E.2d at 920. See State ex rel. Caryl v. MacQueen, 182 W. Va.
50, 385 S.E.2d 646 (1989). Accordingly, "[t]he Attorney General
has the duty to conform his conduct to that prescribed by the rules
of professional ethics." Syl. pt. 4, Manchin, supra.
Furthermore, "[a]s a lawyer and an officer of the courts
of this state, the Attorney General is subject to the rules of this
Court governing the practice of law and the conduct of lawyers[.]"
Id. at syl. pt. 5, in part. The Attorney General is thus required
to conform his actions to the Rules of Professional Conduct, as is
every lawyer in this State. Id. See Preamble, Rules of
Professional Conduct at 537. ("Every lawyer is responsible for
observance of the Rules of Professional Conduct.")See footnote 28
This Court has previously observed that "'[a]n attorney
who is a public official is held to a high standard of conduct
because of his or her (1) professional and (2) public trustee
responsibilities.'" Committee on Legal Ethics v. Roark, 181 W. Va.
260, 265, 382 S.E.2d 313, 318 (1989) (citing Graf v. Frame, 177
W. Va. 282, 288, 352 S.E.2d 31, 38 (1986)). Furthermore,
"'"[l]awyer insensitivity to ethical impropriety [or perceived
ethical impropriety] is one of the primary sources of this lack of
public confidence in the Bar. The problem is exacerbated when
ethical violations are committed by an attorney holding an important public office."'" Roark, at 265, 382 S.E.2d at 318
(quoting Graf, at 289, 352 S.E.2d at 38 and Sanders v. Mississippi
State Bar Ass'n., 446 So. 2d 891, 893 (Miss.), cert. denied, 474 U.S. 844, 106 S. Ct. 133, 88 L. Ed. 2d 109 (1985) (emphasis
omitted)).See footnote 29
Respondent agrees that the Attorney General must conform
his conduct to the Rules of Professional Conduct. However, he
proposes that, in some instances, the Rules apply differently to
the Attorney General than to a lawyer representing a private
litigant. Respondent maintains that, as an elected official, he
has a constitutional duty to act as a "servant of the people" and
that this duty takes precedence over the Rules of Professional
Conduct. See W. Va. Const. art. III, § 2.
We see no conflict between respondent's duty as a servant
of the public and his ethical duty of confidentiality under Rule
1.6(a) of the Rules of Professional Conduct. See State ex rel.
Caryl, supra; Rules of Professional Conduct 1.6 cmt. ("The
requirement of maintaining confidentiality of information relating
to representation applies to government lawyers who may disagree
with the policy goals that their representation is designed to
advance.") A lawyer's relationship to the people "'is one of high
responsibility, involving complete trust and confidence and absolute fidelity to integrity.'" McCain, 330 So. 2d at 714
(citation omitted). Such responsibility is clearly consistent with
respondent's function as the Attorney General of the state. To
conclude otherwise would serve to denigrate the legal profession
and destroy the public's trust and confidence in the entire
judicial system.
V.
The Office of Disciplinary Counsel objects to the Lawyer
Disciplinary Board's finding that respondent did not violate Rule
1.2(a) of the Rules of Professional Conduct when he moved to
withdraw as counsel for the DEP. See Charge Three, supra. Rule
1.16 of the Rules of Professional Conduct permits a lawyer to
withdraw from representing a client if such withdrawal "can be
accomplished without material adverse effect on the interests of
the client[.]" Rule 1.16(b). The Board found there to be no
contention that respondent's attempted withdrawal prejudiced the
DEP. This finding is supported by reliable, probative and
substantial evidence on the whole record. McCorkle, supra.
Similarly, we agree with the Board's finding that the
Office of Disciplinary Counsel failed to prove that respondent
encouraged Ms. Hogbin to apply pressure to legislators as a means
of opposing the DEP's decision to support LCS' Rule 59(e) motion,
as alleged in Charge Two. We further agree with the Board's
dismissal of Charge Four, based upon the evidence that it was
Assistant Attorney General Adams, and not respondent, who attached a copy of an in-house legal memorandum to the Office of Attorney
General's motion to withdraw.
VI.
Finally, the Lawyer Disciplinary Board has recommended that
respondent be publicly reprimanded, pursuant to Rule 3.15 of the
Rules of Lawyer Disciplinary Procedure. We agree with this portion
of the Board's recommended discipline, despite the Office of
Disciplinary Counsel's objection. We conclude that respondent's
violation of Rule 1.6(a) of the Rules of Professional Conduct does
not warrant a three-month suspension from the practice of law, as
Disciplinary Counsel argues:
'"'This Court is the final arbiter of
legal ethic problems and must make the
ultimate decisions about public reprimands,
suspensions or annulments of attorneys'
licenses to practice law.' Syl. Point 3,
Committee on Legal Ethics v. Blair, [174] W.
Va. [494], 327 S.E.2d 671 (1984)." Syl. pt.
1, Committee on Legal Ethics v. Charonis, 184
W. Va. 268, 400 S.E.2d 276 (1990).' Syl. pt.
1, Committee on Legal Ethics v. Ikner, 190 W.
Va. 433, 438 S.E.2d 613 (1993).
Syl. pt. 7, Karl, supra.
Accordingly, we order that respondent be publicly
reprimanded.
The Board has further recommended that respondent pay
$4,430.55 for the costs incurred by the Office of Disciplinary
Counsel in connection with this disciplinary proceeding. We shall
not adopt this recommendation.
According to the itemized certificate of expenses
submitted by the Office of Disciplinary Counsel, the amount of $2,716.99 was incurred in attorney fees in the case of In re:
State ex rel. Darrell V. McGraw, Jr. v. The Committee on Legal
Ethics of The West Virginia State Bar and Sherri D. Goodman, Civil
Action No. 94-Misc.-177, a petition for a writ of mandamus seeking,
inter alia, a suspension of all proceedings against respondent
until the Committee on Legal Ethics and its counsel, Ms. Goodman,
properly investigated the complaint filed against him.See footnote 30 We find
that respondent is not responsible for the costs incurred by the
Office of Disciplinary Counsel in connection with this collateral
proceeding. Accordingly, respondent is ordered to pay $1,713.56.
VII.
For the reasons stated herein, we conclude that
respondent violated Rule 1.6(a) of the Rules of Professional
Conduct when he disclosed client information. We, therefore, order
that respondent be publicly reprimanded and pay $1,713.56 for the
costs incurred for this disciplinary proceeding.
Public Reprimand Plus Costs.
Footnote: 1
Article VI of the By-Laws of the West Virginia State
Bar, Procedure for Disciplining, Suspending and Disbarring
Attorneys at Law, was superseded by the Rules of Lawyer
Disciplinary Procedure, effective July 1, 1994. As a result of
these new rules, it is now the Lawyer Disciplinary Board, and no
longer the Committee on Legal Ethics, which investigates
complaints of violations of the Rules of Professional Conduct and
which takes appropriate action in accordance with the Rules of
Lawyer Disciplinary Procedure.
The hearings in this matter were conducted on April 6,
1994 and April 29, 1994, before the Rules of Lawyer Disciplinary
Procedure became effective. Thus, the hearings were heard before
the Hearing Panel of the Committee on Legal Ethics. By the time
the findings of fact, conclusions of law and recommendation
concerning discipline were prepared, the Rules of Lawyer
Disciplinary Procedure had become effective and, consequently, it
was the Full Hearing Panel of the Lawyer Disciplinary Board which
deliberated the matter and made recommendations to this Court.
We shall use the aforementioned terms as they existed at various
phases of these proceedings.Footnote: 2
Rule 3.15 of the Rules of Lawyer Disciplinary
Procedure provides:
Rule 3.15. Permissible Sanctions. A Hearing
Panel Subcommittee may recommend or the
Supreme Court of Appeals may impose any one
or more of the following sanctions for a
violation of the Rules of Professional
Conduct or pursuant to Rule 3.14: (1)
probation; (2) restitution; (3) limitation on
the nature or extent of future practice; (4)
supervised practice; (5) community service;
(6) admonishment; (7) reprimand; (8)
suspension; or (9) annulment. When a
sanction is imposed, the Hearing Panel
Subcommittee or the Court shall order the
lawyer to reimburse the Lawyer Disciplinary
Board for the costs of the disciplinary
proceeding unless the Panel or the Court
finds the reimbursement will pose an undue
hardship on the lawyer. Willful failure to
reimburse the Board may be punished as
contempt of the Court.
Former article VI, § 20 of the By-Laws of the West Virginia State
Bar provided that "[i]f the court determines that the attorney
should receive a public reprimand, the same shall be administered
by the chief justice in open court." (emphasis added). The Rules
of Lawyer Disciplinary Procedure, however, do not require that a
disciplined attorney be publicly reprimanded "in open court."Footnote: 3
See Rule 3.15 of the Rules of Lawyer Disciplinary
Procedure, supra.Footnote: 4
The litigation underlying this disciplinary proceeding
has a complex procedural history. For purposes of this opinion,
we shall recount only that which is relevant to the resolution of
this case. A more detailed account of this litigation may be
found in State ex rel. Hamrick v. LCS Services, Inc., 186 W. Va.
702, 414 S.E.2d 620 (1992) and State ex rel. Hamrick v. LCS
Services, Inc., ___ W. Va. ___, 454 S.E.2d 405 (1994).Footnote: 5
Ms. Poland was not counsel of record for either
Chambers or LCS in the landfill litigation.Footnote: 6
Assistant Attorney General Stephen Van Camp testified
that he warned Deputy Director Spaner not to communicate with LCS
without the Attorney General Office's approval or participation.
However, Deputy Director Spaner denies that she was ever warned
in that regard.Footnote: 7
Director Callaghan testified that the DEP must approve
any sale and any new permittees who assume responsibility for
landfills in West Virginia.Footnote: 8
Director Callaghan testified that he had previously
met with Ed Wiles and Dusty Williams, of Chambers and LCS,
respectively, who had indicated that they were considering
selling the Berkeley County landfill. Ms. Poland testified that
the purpose of the meeting, as communicated to the DEP prior
thereto, was to discuss, in light of the circuit court's July 29,
1993 order, the requirements of the LCS landfill. However, Ms.
Poland further testified that the potential sale of the LCS
facility was also discussed.Footnote: 9
Neither Director Callaghan nor Deputy Director Spaner
had been furnished a copy of either the motion for summary
judgment filed on the DEP's behalf by the Attorney General's
Office or the circuit court's order granting said motion. Ms.
Poland had a copy of the motion for summary judgment with her at
the meeting. A copy of it was made for Director Callaghan and
Deputy Director Spaner.Footnote: 10
The essence of LCS' Rule 59(e) motion was that the
relevant statutory siting provision requires siting approval for
Class A landfills and Class B landfills seeking to be upgraded to
Class A status. It was LCS' contention that theirs was a Class B
landfill not fitting either of these categories and that such
facilities have typically obtained site approval by virtue of
their inclusion in a county's solid waste disposal plan. Thus,
LCS' facility should not be held to a siting standard different
than that applied to other Class B facilities around the state.
Footnote: 11
Ms. Hogbin's husband serves on the Berkeley County
Solid Waste Authority, a party to the landfill litigation.
Despite some confusion on this issue, she is not a member of
Citizens United to Rescue the Environment ("CURE"), an intervenor
in the litigation. Ms. Hogbin testified that she is a member of
the West Virginia Environmental Council and that she had
previously met respondent on July 21, 1993 when she and fourteen
other environmental activists from around the State met with him
concerning the landfill litigation. Specifically, Ms. Hogbin and
the others presented respondent with a signed petition demanding
that he remove Assistant Attorney General Van Camp from the
litigation for the reason that Mr. Van Camp had, at a previous
hearing in Berkeley County, referred to the landfill as "state-
of-the-art" and a part of the state's waste management plan.
Ms. Hogbin's group apparently viewed this remark as an
endorsement of the landfill. However, respondent refused to
remove Mr. Van Camp from the case.Footnote: 12
Respondent testified that he did not recall this
portion of his conversation with Ms. Hogbin. Footnote: 13
In fact, Ms. Hogbin is not an intervenor in the
landfill litigation. See n. 11, supra.Footnote: 14
The Manchin decision discusses the powers and duties
of the Attorney General to represent state officials in civil
actions. See discussion, infra.Footnote: 15
A hearing on LCS' Rule 59(e) motion was scheduled for
August 31, 1993.Footnote: 16
We point out, however, that Deputy Attorney General
Adams also stated in the memorandum his belief that the
respective legal positions of the DEP and the Office of Attorney
General were conflicting and irreconcilable. His ultimate
recommendation to the managing committee was that a special
assistant attorney general be appointed to represent the DEP and
that such special assistant not be a current assistant attorney
general. Footnote: 17
See State ex rel. Hamrick v. LCS Services, Inc., ___
W. Va. ___, 454 S.E.2d 405 (1994), wherein this Court ultimately
ruled that LCS was not required to obtain specific site approval
from the Berkeley County Solid Waste Authority in order to
continue the operation of its landfill.Footnote: 18
Paragraph (b) of Rule 1.6 states:
A lawyer may reveal such information to the
extent the lawyer reasonably believes
necessary:
(1) to prevent the client from committing a
criminal act; or
(2) 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 a client.Footnote: 19
The Board points out that, had the allegations been
proven, they would clearly constitute a violation of Rule 1.7(b).Footnote: 20
The Board found that respondent's disclosure of the
fact that this meeting took place was not a violation of Rule
1.6(a) because such fact was never considered to be confidential.Footnote: 21
West Virginia Rules of Evidence 501 states: " The
privilege of a witness, person, government, state, or political
subdivision thereof shall be governed by the principles of the
common law except as modified by the Constitution of the United
States or West Virginia, statute or court rule."Footnote: 22
See Committee on Legal Ethics v. Walker, 178 W. Va.
150, 358 S.E.2d 234 (1987); X Corp.,supra; The Florida Bar v.
McCain, 330 So. 2d 712 (Fla. 1976); E.F. Hutton & Company, Inc.
v. Brown, 305 F.Supp 371 (S.D. Tex. 1969).Footnote: 23
Though Ms. Hogbin happened to be philosophically
united with the DEP in its lawsuit against LCS, her interest in
the litigation is irrelevant as to whether respondent breached
his duty of confidentiality to his client.Footnote: 24
Though these cases refer to what is now Rule 1.9 of
the Rules of Professional Conduct ("A lawyer who has formerly
represented a client . . . shall not thereafter: . . . (b) use
information relating to the representation to the disadvantage of
the former client" (emphasis added)), their conclusions apply
equally to Rule 1.6(a). See Anchor Packing, 688 F. Supp. at 1218
n. 19.Footnote: 25
Were Ms. Hogbin or anyone else interested in seeking
information from the August 16, 1993 meeting, FOIA sets forth
specific procedures for requesting and obtaining public records.
See W. Va. Code, 29B-1-3 [1992]. However, whether the meeting
was subject to public inspection under FOIA is not presently
before this Court.Footnote: 26
Then Justice McGraw authored the Manchin opinion
during his tenure as Justice of this Court.Footnote: 27
We came to this conclusion after tracing the ancient
origins of the office. Id. at 783-787, 296 S.E.2d at 913-17.
Among the "duties . . . prescribed by law" are those articulated
in W. Va. Code, 5-3-1 [1994] and 5-3-2 [1987], which, inter alia,
designate the Attorney General to be the legal adviser to state
officers sued in their official capacities. Id. at 787-89, 296 S.E.2d at 917-18.Footnote: 28
The Manchin case resulted from a petition for a writ
of mandamus and not a lawyer disciplinary proceeding. Thus,
there were no allegations that any particular ethical rules were
violated.Footnote: 29
See Committee on Legal Ethics v. Karl, ___ W. Va.
___, 449 S.E.2d 277 (1994) (imposing three-month suspension upon
sitting circuit judge for ethical violations which occurred
during his practice of law); Roark, supra (imposing three-year
suspension upon city mayor, and former prosecuting attorney,
following guilty plea on drug charges.) Footnote: 30
The Circuit Court of Kanawha County subsequently
granted motions on behalf of the Committee and Ms. Goodman to
strike the petition for writ of mandamus and to dismiss the
proceeding and related rule to show cause.
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