Firm News
Gone, But (Hopefully) Not Forgotten: Rule 1.9(a) and an Attorney’s Duty to a Former Client
By Will Jordan
Your phone rings and it’s the call you’ve been waiting for. NewCorp, a potential client you’ve been pursuing for years, has been sued in a breach of contract action and wants to retain you. NewCorp has been sued by OldCo. OldCo is a material supplier for NewCorp and alleges NewCorp failed to pay for goods it received. You discover that five years earlier one of your partners represented OldCo in a breach of contract action against a third party. In that case, OldCo asserted that the third party failed to pay for goods OldCo delivered under a similar contract. You want the case, but do the Rules allow you to take it?
The Model Rules leave no doubt that an attorney owes his client a duty of loyalty[1], but how far does this duty of loyalty extend after the conclusion of the representation? Rule 1.9(a) provides the framework for what proves to be a fact-specific determination. Addressing a lawyer’s duties to a former client, Rule 1.9(a) provides as follows:
A lawyer who has formerly represented a client in a matter shall not thereafter represent another person in the same or a substantially related matter in which that person’s interests are materially adverse to the interests of the former client unless the former client gives informed consent, confirmed in writing.
As a preliminary matter, the fact that it was your partner and not you who previously represented OldCo is of no importance. The Model Rules prohibit lawyers associated in a firm from representing a client “when any one of them practicing alone would be prohibited from doing so by [Rule 1.9].”[2]
The key inquiry under Rule 1.9 is what the term “substantially related” means. The comments explain that “[m]atters are ‘substantially related’ . . . if they involve the same transaction or legal dispute or if there otherwise is a substantial risk that confidential factual information as would normally have been obtained in the prior representation would materially advance the client’s position in the subsequent matter.”[3]
Courts have recognized that determining whether, for purposes of Rule 1.9, matters are “substantially related” requires a fact-specific inquiry.[4] “Two different matters do not constitute the ‘same transaction or legal dispute’ merely because they involve closely related issues.”[5] Courts analyze “the extent to which the factual and legal issues in the two representations overlap” and examine “any other relevant circumstances.”[6] Courts have considered several factors, including, for example, “the nature and scope of the prior representation [and] the present lawsuit,”[7] “whether the client might have disclosed a confidence to his attorney in the prior representation which could be relevant to the present action,”[8] “whether that information has been rendered obsolete by the passage of time,”[9] and “whether confidential information provided to the attorney in the prior representation subsequently has been disclosed to the public.”[10]
So, how should you determine whether or not you can move forward with your representation of NewCorp? Here are some questions you might ask yourself:
- How similar are the contracts at issue in the current case and the prior case?
- To what extent do the factual and legal issues overlap? For example, do the cases turn on the same clause of the contract or the same principal defenses?
- What confidential information did my partner acquire from OldCo in the course of his prior representation?
- Would any of that confidential information be relevant in my case?
It can be difficult to remain objective when asking yourself these questions, so consider running the scenario by a colleague or contacting your state bar’s ethics hotline.
[1] See, e.g., Mod. Rule Prof. Cond. § 1.6 (prohibiting an attorney from revealing information relating to the representation of a client unless the client gives informed consent); § 1.7 (providing that a lawyer shall not undertake a representation that involves a concurrent conflict of interest); § 1.7 cmt. 1 (“Loyalty and independent judgment are essential elements in the lawyer’s relationship to a client.”).
[2] Mod. Rule Prof. Cond. § 1.10(a).
[3] Mod. Rule Prof. Cond. § 1.9 cmt. 3.
[4] State ex rel. Swanson v. 3M Co., 845 N.W.2d 808, 816 (Minn. 2014); see also Magin v. Solitude Homeowner’s Inc., 255 P.3d 920, 926 (Wy. 2011) (“[T]he determination of whether the current and former matters are substantially related is inherently factual.”).
[5] Gillette Co. v. Provost, No. 1584CV00149-BLS2, 2016 WL 26110677, at *4 (Mass. Sup. Ct. 2016).
[6] Swanson, 845 N.W.2d at 816.
[7] NuStar Farms, LLC. V. Zylstra, 880 N.W.2d 478, 485 (Iowa 2016).
[8] NuStar, 880 N.W.2d at 485.
[9] Swanson, 845 N.W.2d at 816.
[10] Id.
Originally published in AttPro Ally, Winter 2017