Court Opinion

ID: 5117245
Source: CourtListenerOpinion
Date Created: 2021-10-08 16:03:43.342973+00
Date Added: 2024-06-11T08:22:01.448598
License: Public Domain

IN THE SUPREME COURT OF THE STATE OF IDAHO
                                  Docket No. 48766

In Re: Petition for Writ of Mandamus      )
and/or Writ of Prohibition.               )
------------------------------------------------
                                          )
HEPWORTH HOLZER, LLP,                     )
                                          )
   Petitioner,                            )
                                          )                      Boise, August 2021 Term
v.                                        )
                                          )                       Filed: October 8, 2021
FOURTH JUDICIAL DISTRICT OF THE           )
STATE OF IDAHO; HONORABLE LYNN G. )                               Melanie Gagnepain, Clerk
NORTON, District Judge,                   )
                                          )
   Respondents,                           )
                                          )
and                                       )
                                          )
BOGUS BASIN RECREATIONAL                  )
ASSOCIATION, INC.,                        )
                                          )
   Intervenor.                            )
__________________________________________)

       Petition for Issuance of a Writ of Mandamus and/or Writ of Prohibition,
       an original proceeding before the Supreme Court of the State of Idaho.

       The Petition for a Writ of Mandamus is granted.

       Hepworth Holzer, LLP, Boise, attorneys for Petitioner. John Janis argued.

       Lawrence G. Wasden, Idaho Attorney General, Boise, attorney for Respondents
       Fourth Judicial District and Judge Norton. Christine Salmi argued.

       Elam & Burke, P.A., Boise, attorneys for Intervenor, Bogus Basin. Joseph Pirtle argued.
                              ____________________________

BEVAN, Chief Justice.
        The law firm Hepworth Holzer, LLP (“Hepworth Holzer” or “the firm”), petitions this
Court for a writ of mandamus or prohibition, seeking relief from a district court order disqualifying
it as counsel for Dr. Gary Tubbs in a personal injury lawsuit against Bogus Basin Recreational

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Association, Inc. (“Bogus Basin”). Bogus Basin was represented by Elam & Burke in the
proceedings. Elam & Burke moved to disqualify Hepworth Holzer after an associate attorney who
worked at Elam & Burke when Tubbs initiated his lawsuit went to work for Hepworth Holzer and
assisted the firm on a memorandum in support of a motion to reconsider filed in the case. The
district court granted Elam & Burke’s motion. The district court ordered that “[a]ny attorney
associated with Hepworth Holzer, LLP, including [the associate attorney], are disqualified from
any further representation of [Dr.] Gary Tubbs in this matter and from providing any information
from its files after January 21, 2021, and cannot relay any information discussed or received about
this case after January 21, 2021[,] to Tubbs or any new attorney/firm representing Tubbs.”
Hepworth Holzer contends the district court’s disqualification and gag order is clearly erroneous
and unconstitutional.
                          I. FACTUAL AND PROCEDURAL BACKGROUND
       Dr. Gary Tubbs was severely injured in a bicycle accident that occurred on Bogus Basin’s
property. In 2019, Tubbs hired Hepworth Holzer to represent him on a contingency fee basis in a
personal injury lawsuit against Bogus Basin. John Janis was the primary attorney representing
Tubbs. Elam & Burke represented Bogus Basin. The case proceeded to summary judgment, where
Bogus Basin argued that Tubbs’ claims were barred because, after the accident, he signed three
waiver agreements releasing Bogus Basin from any and all liability or claims arising from Tubbs’
use of the Bogus Basin ski area. After Elam & Burke filed Bogus Basin’s motion for summary
judgment, but before a final judgment was entered, an associate attorney working for Elam &
Burke resigned and started working for Hepworth Holzer. Later, the district court granted summary
judgment to Bogus Basin. After working at Hepworth Holzer for one month, the associate attorney
helped draft a memorandum in support of a motion for reconsideration in Tubbs’ case. In the
motion to reconsider, Tubbs allegedly raised a new legal argument that Bogus Basin claimed was
attributable to the associate attorney’s prior communications and access to internal files while he
was still an attorney for Elam & Burke.
       Bogus Basin moved to disqualify Hepworth Holzer from representing Tubbs based on the
alleged conflict of interest. In support of its motion, Bogus Basin submitted emails between the
associate attorney and Joseph Pirtle, an Elam & Burke attorney, in which Pirtle discussed the
upcoming summary judgment deadline in the case and asked the associate attorney about a
particular legal theory. Pirtle also filed a declaration that stated he and the associate attorney had

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conversations about the summary judgment motion. Another Elam & Burke attorney, Matthew
Walters, submitted an affidavit to the district court in camera. That affidavit more directly detailed
a discussion Walters had with the associate attorney while the associate was working for Elam &
Burke. The discussion related to a legal theory Walters had used in another case that Walters
intended to rely on in the Tubbs case. Walters’ affidavit and the emails were not provided to
Hepworth Holzer based on the district court’s finding that they contained confidential information.
         Ultimately, Bogus Basin’s motion alleged the associate attorney did research and had
knowledge of work product and strategy in defending the case against Tubbs based on his
employment with Elam & Burke. Bogus Basin alleged the associate attorney’s conflict was
imputed to the entire firm under Idaho Rule of Professional Conduct (“I.R.P.C.”) 1.10. Tubbs
opposed the motion, supported by the declaration of Hepworth Holzer attorney John Janis. The
associate attorney also submitted a declaration in which he adamantly denied: (1) ever having
represented Bogus Basin while employed by Elam & Burke, (2) having otherwise obtained any
confidential information about Bogus Basin, or (3) having used any information related to Bogus
Basin to its disadvantage. In support, the associate attorney emphasized that he did not bill Bogus
Basin for any legal services—highlighting the brief nature of his involvement in the case.
         After considering the conflicting testimony, the district court found that, although the
associate attorney did not represent Bogus Basin during his time at Elam & Burke, he possessed
confidential information and had access to internal case files. Of particular importance to the
district court, was that the associate attorney provided Pirtle a brief that Walters had filed in an
unrelated 2014 Bogus Basin matter—before the associate attorney’s employment at Elam &
Burke—that allegedly came from a sealed court case. Thus, the district court found that the
associate attorney could have only retrieved that memorandum from his search of Elam & Burke’s
files.
         The district court found the associate attorney violated I.R.P.C. 1.9(b) and (c) because he
“switched sides” when he started working at Hepworth Holzer and helped draft the memorandum
in support of the motion for reconsideration. The court noted that while almost every argument in
the motion for reconsideration could be traced to John Janis’ work that was submitted to the court
before the associate attorney joined the firm, there was “no de minim[i]s rule when it comes to
protecting confidential information or barring an attorney from representing both sides in the
litigation.”
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       Despite finding that most of the motion’s argument was Janis’ work, the district court held
that a single novel argument was based on confidential information the associate attorney gained
while employed at Elam & Burke. Thus, the court found that the associate attorney violated
I.R.P.C. 1.9(b) by working on the case without obtaining Bogus Basin’s written informed consent.
The court also found that under I.R.P.C. 1.10, the associate attorney’s conflict was imputed to
Hepworth Holzer because the firm did not screen the associate attorney from participating in the
case. Finding that Hepworth Holzer’s continued representation of Tubbs would be a continuing
violation of the Rules of Professional Conduct, and that Bogus Basin would be damaged otherwise,
the district court held that Hepworth Holzer must terminate its representation of Tubbs. The district
court granted Bogus Basin’s motion to disqualify and struck the memorandum Hepworth Holzer
had filed in support of Tubbs’ motion for reconsideration from the record. The district court also
ordered that Hepworth Holzer could not share any information from its files or speak to Tubbs or
any other attorney about information discussed or received after January 21, 2021—the date the
associate attorney was hired. Hepworth Holzer petitioned this Court for a writ of mandamus or a
writ of prohibition. This Court issued a stay in the district court proceedings and granted Bogus
Basin’s petition to intervene.

                                      II. ISSUES ON APPEAL
1.     Does Hepworth Holzer have standing to obtain the relief requested?
2.     Did the district court lack jurisdiction to issue the disqualification order?
3.     Should this Court issue a writ of prohibition or writ of mandamus to address the district
       court’s order disqualifying Hepworth Holzer as Tubbs’ counsel?
4.     Should Judge Norton be disqualified for cause if the case is remanded?

                                    III. STANDARD OF REVIEW
       This Court maintains “original jurisdiction to issue writs of mandamus, certiorari,
prohibition, and habeas corpus, and all writs necessary or proper to the complete exercise of its
appellate jurisdiction.” Idaho Const. art. V, § 9. “Any person may apply to the Supreme Court for
the issuance of any extraordinary writ or other proceeding over which the Supreme Court has
original jurisdiction.” I.A.R. 5(a). “This original jurisdiction is limited only by the separation of
powers provisions contained in Article II, Section 1 of the Idaho Constitution and this Court’s own
rules.” Ybarra v. Legislature by Bedke, 166 Idaho 902, 906, 466 P.3d 421, 425 (2020) (citing Mead
v. Arnell, 117 Idaho 660, 663, 791 P.2d 410, 413 (1990)).
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         A writ of mandate may be issued “to any inferior tribunal . . . to compel the admission of
a party to the use and the enjoyment of a right or office for which he is entitled, and from which
he is unlawfully precluded by such inferior tribunal. . . .” I.C. § 7-302. The writ is only available
in limited circumstances “where there is not a plain, speedy and adequate remedy in the ordinary
course of law. It must be issued upon affidavit, on the application of the party beneficially
interested.” I.C. § 7-303. A writ of mandamus is not a writ of right, and this Court’s choice to issue
a writ is discretionary when compelled by urgent necessity. Regan v. Denney, 165 Idaho 15, 20,
437 P.3d 15, 20 (2019).
         The writ of prohibition is substantially similar in both scope and limitation: “It may be
issued by the [S]upreme [C]ourt or any district court to an inferior tribunal, or to a corporation,
board or person in all cases where there is not a plain, speedy and adequate remedy in the ordinary
course of law. It is issued upon affidavit on the application of the person beneficially interested.”
I.C. § 7-402. “The writ of prohibition is the counterpart of the writ of mandate. It arrests the
proceedings of any tribunal, corporation, board or person, when such proceedings are without or
in excess of the jurisdiction of such tribunal, corporation, board or person.” I.C. § 7-401.
         “Moreover, it is important to remember that issuance of the writ is in large part a matter of
discretion with the court to which the petition is addressed.” Kerr v. U.S. Dist. Ct. for N. Dist. of
California, 426 U.S. 394, 403 (1976) (citing Schlagenhauf v. Holder, 379 U.S. 104, 112 n. 8,
(1964); Parr v. United States, 351 U.S. 513, 520 (1956)). We thus recognize and exercise our own
discretion in this matter.
                                            IV. ANALYSIS
    A.      Hepworth Holzer has standing to bring this action.
         Before the Court can reach the merits of Hepworth Holzer’s petition, it must determine
whether the firm has standing. “It is a fundamental tenet of American jurisprudence that a person
wishing to invoke a court’s jurisdiction must have standing.” Haight v. Idaho Dep’t of Transp.,
163 Idaho 383, 391, 414 P.3d 205, 213 (2018) (quoting Gallagher v. State, 141 Idaho 665, 668,
115 P.3d 756, 759 (2005)). Standing is a jurisdictional issue, a question of law over which this
Court exercises free review. State v. Philip Morris, Inc., 158 Idaho 874, 879, 354 P.3d 187, 192
(2015). As a question of jurisdiction, this Court must address standing before reaching the merits
of the case. Valencia v. Saint Alphonsus Med. Ctr. - Nampa, Inc., 167 Idaho 397, 401–02, 470 P.3d
1206, 1210–11 (2020).

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        Standing determines whether an injury is adequate to invoke the protection of a judicial
tribunal. Coeur d’Alene Tribe v. Denney, 161 Idaho 508, 513, 387 P.3d 761, 766 (2015). Standing
only focuses on the party seeking relief, not on the issue the party wishes to adjudicate. Haight,
163 Idaho at 391, 414 P.3d at 213. To establish standing, a party must allege or show: (1) a distinct
palpable injury in fact, (2) a substantial likelihood the judicial relief requested will prevent or
redress the claimed injury, and (3) a causal connection fairly traceable between the injury and the
conduct complained of. Valencia, 167 Idaho at 402, 470 P.3d at 1211.
        An injury sufficient to satisfy the requirement of an injury in fact must be concrete and
particularized and actual or imminent; it cannot be conjectural or hypothetical. Philip Morris, 158
Idaho at 881, 354 P.3d at 194. Standing requires a showing of a distinct palpable injury, which this
Court has defined as an injury that is easily perceptible, manifest, or readily visible. Id. Mere
allegations cannot support standing. Id. at 882, 354 P.3d at 195. Rather, the party invoking this
Court’s jurisdiction must establish facts supporting the alleged injury. Id. In addition, “[s]tanding’s
redressability element ensures that a court has the ability to order the relief sought, which must
create a substantial likelihood of remedying the harms alleged.” Valencia, 167 Idaho at 402, 470
P.3d at 1211 (quoting Tucker v. State, 162 Idaho 11, 24, 394 P.3d 54, 67 (2017)). The redressability
element requires the party requesting relief show the distinct palpable injury has a fairly traceable
causal connection to the challenged conduct. Id.
        Hepworth Holzer suffered a distinct and palpable injury from the district court’s order that
it cease all representation and communication with Tubbs. The firm had invested significant time,
money, and resources into its representation of Tubbs. The value of its reputation and standing in
the local legal community is also at stake. Not only did the district court’s order preclude the firm’s
ability to recover any financial benefit of that representation, but it also placed Hepworth Holzer
in breach of its contract with Tubbs. Hepworth Holzer’s injury is directly connected to the district
court’s order; thus, Hepworth Holzer has standing to petition this Court for relief.
   B.      The district court had jurisdiction to issue the disqualification order.
        Hepworth Holzer argues that the district court’s finding that the firm violated I.R.P.C.
1.9(b) and (c) improperly usurped the Idaho State Bar’s disciplinary function. It also argues the
district court exceeded its jurisdiction in three ways: (1) by applying the burden of proof to
Hepworth Holzer; (2) by imputing the conflict to the entire firm; and (3) by ruling disqualification
was mandatory. In addition, Hepworth Holzer contends it could not adequately challenge the

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allegation that the associate attorney provided it confidential information because the evidence
offered by Elam & Burke was viewed in camera, and thus Hepworth Holzer never got the chance
to see it. Hepworth Holzer requests a writ of prohibition vacating the district court’s order and
allowing it to serve as counsel for and communicate with Tubbs.
        “A writ of prohibition serves a fundamental but narrow purpose. Its office is to determine
if the body whose action is challenged was attempting to act without or in excess of its
jurisdiction.” Clark v. Meehl, 98 Idaho 641, 642, 570 P.2d 1331, 1332 (1977). The word
“jurisdiction” in this context includes the power or authority given by law. Wasden ex rel. State v.
Idaho State Bd. of Land Comm’rs, 150 Idaho 547, 552, 249 P.3d 346, 351 (2010). Prohibition
arrests proceedings that are without or in excess of the court’s power, and the writ will not issue
when its effectiveness is doubtful. Id. at 553, 249 P.3d at 352. If the writ will not effectively prevent
the respondents from acting without or in excess of their jurisdiction, it would merely be an idle
gesture. Id. at 553–54, 249 P.3d at 352–53.
        Hepworth Holzer cites Kosmann v. Dinius, 165 Idaho 375, 384–85, 446 P.3d 433, 442–43
(2019), arguing that the authority to sanction attorneys for ethical rule violations belongs solely to
the Idaho State Bar and not to trial judges. Indeed, we did recognize the axiom stated in the
preamble to the rules that “[t]he Rules [of Professional Conduct] are designed to provide guidance
to lawyers and to provide a structure for regulating conduct through disciplinary agencies. They
are not designed to be a basis for civil liability.” Id. at 385, 446 P.3d at 443 (quoting I.R.P.C.,
Scope, 20). That said, resolving a matter regarding a potential conflict of interest, when properly
raised, is precisely the kind of ethical question that trial courts may properly address during
litigation. See, e.g., Bettwieser v. New York Irrigation Dist., 154 Idaho 317, 325, 297 P.3d 1134,
1142 (2013) (citing Foster v. Traul, 145 Idaho 24, 32, 175 P.3d 186, 194 (2007)); Weaver v.
Millard, 120 Idaho 692, 696–97, 819 P.2d 110, 114–15 (Ct. App. 1991).
        Thus, Kosmann is limited to its facts; it involved an attempt by counsel to have the trial
court sanction the opposing attorney. Sanctioning a lawyer is characteristically a matter for the
Idaho State Bar, not the trial courts. See Kosmann, 165 Idaho at 385, 446 P.3d at 443. Here, the
district court was asked to decide a motion to disqualify—that is, whether a conflict existed.
Deciding such matters, even if those matters are grounded in the ethical rules, is a proper
discretionary decision to be made by the trial courts of this state. See Foster, 145 Idaho at 32, 175
P.3d at 194 (analyzing whether the district court abused its discretion by declining to disqualify
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counsel for violating I.R.P.C. 1.12(a)); Weaver, 120 Idaho at 698, 819 P.2d at 116 (holding that
the district court did not abuse its discretion by declining to disqualify counsel based on an alleged
violation of I.R.P.C. 1.7); State v. Severson, 147 Idaho 694, 215 P.3d 414 (2009) (holding that the
trial court conducted the proper inquiry into a potential conflict of interest to decide whether it
needed to disqualify counsel). Here, the district court used its discretion to grant Bogus Basin’s
motion to disqualify Hepworth Holzer based on an imputed conflict of interest. A writ of
prohibition is not appropriate here because the district court did not exceed its jurisdiction in
issuing the disqualification order. Hepworth Holzer’s request to enter such a writ is therefore
denied.
   C.        We grant Hepworth Holzer’s request for a writ of mandamus because the district
             court erred in issuing the disqualification order.
          Hepworth Holzer argues an extraordinary writ is the proper mechanism to challenge the
district court’s order, despite the court’s discretionary power to disqualify counsel, because the
district court erred as a matter of law. “Once this Court has asserted its original jurisdiction, it may
issue writs of mandamus and/or prohibition.” Mead, 117 Idaho at 663–64, 791 P.2d at 413–14.
Still, this Court has traditionally held that writs of mandate and prohibition will not issue to compel
the performance of a purely discretionary function. Bower v. Morden, 126 Idaho 215, 218, 880
P.2d 245, 248 (1994); see also State v. Dist. Ct. of Fourth Jud. Dist., 143 Idaho 695, 700, 152 P.3d
566, 571 (2007) (Matters which fall into the discretion of the trial court are “not proper for a writ of
mandate or prohibition, which can issue only in matters where there is no discretion to be
exercised.”). That said, if a judge errs as a matter of law, this Court may issue a writ. Bower, 126
Idaho at 218, 880 P.2d at 248 (citing Price v. Featherstone, 64 Idaho 312, 317–18, 130 P.2d 853,
855 (1942)).
          As discussed above, the trial court’s discretionary powers include the decision to grant or
deny a motion to disqualify counsel. Foster, 145 Idaho at 32, 175 P.3d at 194. Thus, the decision
whether to disqualify counsel is subject to review under an abuse of discretion standard. Weaver,
120 Idaho at 696, 819 P.2d at 114. Under this standard, the relevant inquiry is “[w]hether the trial
court: (1) correctly perceived the issue as one of discretion; (2) acted within the outer boundaries
of its discretion; (3) acted consistently with the legal standards applicable to the specific choices
available to it; and (4) reached its decision by the exercise of reason.” Lunneborg v. My Fun Life,
163 Idaho 856, 863, 421 P.3d 187, 194 (2018). A party seeking disqualification bears the burden

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of proving the grounds for disqualification. In this context, “ ‘[t]he goal of the court … [is] to
shape a remedy which will assure fairness to the parties and the integrity of the judicial process’ ”
and “ ‘[w]henever possible, courts should endeavor to reach a solution that is least burdensome to
the client.’ ” Foster, 145 Idaho at 32, 175 P.3d at 194 (quoting Weaver, 120 Idaho at 697, 819 P.2d
at 115).
       Other jurisdictions have considered mandamus relief for an order disqualifying counsel
even though it is a discretionary decision. For example, in Nevada, “a writ of mandamus is
available to compel the performance of an act that the law requires or to control an arbitrary or
capricious exercise of discretion” and “[the appellate C]ourt has consistently held that mandamus
is the appropriate vehicle for challenging orders that disqualify counsel.” Nevada Yellow Cab
Corp. v. Eighth Jud. Dist. Ct. ex rel. Cnty. of Clark, 152 P.3d 737, 740 (Nevada 2007) (stating that
a district court’s discretion in disqualifying counsel is broad and will not be set aside absent an
abuse of discretion).
       The Supreme Court of Texas has also held that it will grant mandamus relief if the trial
court abused its discretion because a party whose counsel was improperly disqualified has no
adequate remedy by appeal. In re RSR Corp., 475 S.W.3d 775, 778 (Texas 2015). The United
States Supreme Court held that “a party may seek . . . a writ of mandamus from the court of
appeals” in “the exceptional circumstances for which it was designed.” Richardson-Merrell, Inc.
v. Koller, 472 U.S. 424, 435 (1985). “Mandamus may be an appropriate method to review the
disqualification of counsel, where no other adequate remedy is available.” 55 C.J.S. Mandamus §
134. The petitioner must establish the lack of an adequate remedy to review a trial court’s decision
on a motion to disqualify, such as review after a timely appeal. Id.
       Hepworth Holzer relies on the framework adopted by the Ninth Circuit, which has
recognized that a writ of mandamus can be used to review disqualification of counsel because the
harm of such disqualification cannot be corrected with an ordinary appeal. Cole v. U.S. Dist. Court
for the Dist. of Idaho, 366 F.3d 813 (9th Cir. 2004). Whether a writ of mandamus should be granted
is determined case-by-case, weighing the following factors, (known as Bauman factors):
       [W]hether (1) the party seeking the writ has no other means, such as a direct appeal,
       of attaining the desired relief, (2) the petitioner will be damaged in a way not
       correctable on appeal, (3) the district court’s order is clearly erroneous as a matter
       of law, (4) the order is an oft-repeated error, or manifests a persistent disregard of
       the federal rules, and (5) the order raises new and important problems, or issues of
       law of first impression.
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Id. at 816–17 (citing Bauman v. U.S. Dist. Court, 557 F.2d 650, 654–55 (9th Cir. 1977)). In
addition, these “factors should not be mechanically applied. See Admiral Ins. Co. v. U.S. Dist.
Court, 881 F.2d 1486, 1491 (9th Cir. 1989). “Evidence showing that all the Bauman factors are
affirmatively presented by a case does not necessarily mandate the issuance of a writ, nor does a
showing of less than all, indeed of only one, necessarily mandate denial; instead, the decision
whether to issue the writ is within the discretion of the court.” Cole, 366 F.3d at 817 (citing
Kerr, 426 U.S. at 403).
       We adopt this framework used by the Ninth Circuit and hold that a writ of mandamus is an
appropriate method for reviewing a trial court’s decision to disqualify counsel. We must now
determine whether Hepworth Holzer has satisfied any of these five factors in this case.
               a. Whether the party seeking the writ has no other means, such as a direct appeal,
                  of attaining the desired relief.
       First, Hepworth Holzer argues that it has no access to a direct appeal, nor does Tubbs.
Typically, “[t]his factor is affirmatively presented in the context of a disqualification of counsel
when the petition arises from the action of a district court.” Cole, 366 F.3d at 817. If Hepworth
Holzer were to attempt to bring a direct appeal it would expose itself to sanctions for contempt
based on the terms of the district court’s disqualification and gag order. Thus, the first factor is
satisfied. Moreover, although Tubbs technically has the power to file an appeal on his own behalf,
that is not a viable option when his counsel has just been removed. “The mere fact that direct
appeal is available does not necessarily establish that it is an adequate remedy . . . .” Bower, 126
Idaho at 219, 880 P.2d at 249. A party’s option to appeal an order disqualifying counsel presents
itself as a unique paradox. Typically, the party whose counsel has been disqualified will have to
challenge that decision without the advice or assistance of their disqualified counsel. When a party
lacks the resources necessary to find new counsel or continue litigation pro se, which has been
established by the record before us, an appeal is not an adequate remedy to challenge an order
disqualifying counsel. We find the first factor to be satisfied.

               b. Whether the petitioner will be damaged in a way not correctable on appeal.
       Second, Hepworth Holzer claims it and Tubbs will be damaged in a way that is not
correctable on appeal because Tubbs will be unable to find new counsel that would understand the
case in the same depth nor be able to explain the actual risks and benefits to an appeal. “Except for
compelling reasons, such as necessary bar admissions, clients should be permitted to have the

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counsel of their choice.” Cole, 366 F.3d at 820. Not only does the district court’s order prejudice
Tubbs by denying him access to the counsel of his choice, as explained above, Hepworth Holzer
and Tubbs suffered immediate damage when the district court issued its order requiring that the
firm cease all representation and communication with Tubbs. The firm had invested significant
time, money, and resources into its representation of Tubbs and the district court’s order precluded
its ability to recover any financial benefit from the proceedings. Even if Tubbs could appeal pro
se or with new counsel (which are each difficult propositions at best), Hepworth Holzer would be
left without a remedy for the time and resources it invested in the case. Consequently, we find this
factor to be satisfied.

                  c. Whether the district court’s order is clearly erroneous as a matter of law.
         Third, Hepworth Holzer alleges that the district court’s order was clearly erroneous as a
matter of law because it: (1) relied on the position that the 2014 memorandum was confidential
information because it was in a “sealed” case despite its availability on Westlaw, and (2) failed to
disclose what confidential legal argument the associate attorney raised. First, the 2014 case was
not sealed, and the 2014 memorandum’s availability on Westlaw (a fact which is established by
the record 1) precludes that as a basis for the district court’s decision.
         It is also problematic that the district court did not disclose what confidential argument the
associate attorney purportedly raised. “Ninth Circuit law does not permit a summary
disqualification of counsel; for the court to sanction an attorney, procedural due process requires
notice and an opportunity to be heard.” Cole, 366 F.3d at 821; See Pac. Harbor Capital, Inc. v.
Carnival Air Lines, Inc., 210 F.3d 1112, 1118 (9th Cir. 2000) (“[A]n attorney subject to discipline
is entitled to procedural due process, including notice and an opportunity to be heard.”) (quoting
Weissman v. Quail Lodge Inc., 179 F.3d 1194, 1198 (9th Cir. 1999)); see also Martens v. Thomann,
273 F.3d 159, 175 (2d Cir. 2001) (“We have held that due process requires that courts provide
notice and an opportunity to be heard before imposing any kind of sanctions.”). The total denial
of such ordinary protections results in a denial of due process which is antithetical to our system

1
 We note that the record in this case was supplemented after oral argument with the materials reviewed by the district
court in camera. We have fully reviewed these materials and rely upon them in making our decision.

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of justice. Thus, we hold that the procedural due process must be provided, even to opposing
counsel in these unusual circumstances.
       Here, the district court entered its disqualification and gag order based on its review of
documents Elam & Burke submitted to the district court in camera. The documents were not
provided to Hepworth Holzer, leaving the firm with no recourse or ability to challenge the district
court’s decision, inasmuch as it could not know the basis for the district court’s ruling. The district
court erred as a matter of law by limiting Hepworth Holzer’s opportunity to be heard and
preventing the firm’s ability to meaningfully respond to Bogus Basin’s claims of impropriety.
               d. Whether the order is an oft-repeated error or manifests a persistent disregard
                  of the applicable rules.
       Fourth, Hepworth Holzer argues that the district court clearly erred in failing to apply the
established standards used to evaluate a motion to disqualify by improperly reviewing the motion
under I.R.P.C. 1.16; failing to fashion an appropriate remedy; reversing the burden of proof; failing
to evaluate the tactical nature of the motion; and ignoring that the facts show the associate attorney
did not engage in any inappropriate conduct.
       The decision to grant or deny a motion to disqualify counsel is within the discretion of the
trial court. Weaver, 120 Idaho at 696, 819, P.2d at 114. That said, motions to disqualify are
generally disfavored. Foster, 145 Idaho at 32–33, 175 P.3d at 194–95. In Weaver, the Idaho Court
of Appeals established a four-part test to determine whether an appearance of impropriety alone
will give a party standing to interfere with an adverse party’s choice of counsel:
       (1) Whether the motion is being made for the purposes of harassing the [opponent;]
       (2) Whether the party bringing the motion will be damaged in some way if the
           motion is not granted[;]
       (3) Whether there are any alternative solutions, or is the proposed solution the least
           damaging possible under the circumstances[;] and
       (4) Whether the possibility of public suspicion will outweigh any benefits that
           might accrue to continued representation.
Id. (quoting Weaver, 120 Idaho at 698, 819 P.2d at 116). In deciding a motion to disqualify, “[t]he
goal of the court should be to shape a remedy which will assure fairness to the parties and the
integrity of the judicial process. Whenever possible, courts should endeavor to reach a solution
that is least burdensome to the client.” Id.
       After acknowledging these standards, the district court found that “Hepworth Holzer’s
continued representation of Tubbs would result in a continuing violation of the rules of
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professional conduct, so Hepworth Holzer must terminate their representation of Tubbs.” The
court struck Hepworth Holzer’s memorandum in support of the motion to reconsider from the
record but allowed the motion to remain, concluding this was the “least damaging possible [sic]
under the circumstances for the parties.” The district court then ordered that no attorney from
Hepworth Holzer could provide any information from its files, received after the associate attorney
joined the firm, to Tubbs or any new attorney representing him.
       In imposing these immoderate penalties, the district court failed to fashion a remedy “least
burdensome to the client.” Indeed, we view the nature of the alleged conflict to be de minimis at
best, particularly where the so-called “new argument” was contained in a publicly available
database. Although this Court is mindful of the alleged disadvantage to Bogus Basin asserted here,
the record is clear that the associate attorney had negligible contact with the case while he was
employed at Elam & Burke. The associate attorney did not bill for any time related to Tubbs’ case
while at Elam & Burke. Although the failure to bill for his time is not the only consideration, it
signifies the peripheral involvement the associate attorney had with the case while he was still
employed by Elam & Burke. The district court thus erred and violated the third prong of
Lunneborg, by failing to act consistently with the legal standards applicable to the specific choices
available to it. 163 Idaho at 863, 421 P.3d at 194. The district court failed to fashion a reasonable
remedy, least burdensome to Tubbs, based on these circumstances.
       Hepworth Holzer also argues the district court shifted the standard of proof from Elam &
Burke, as the moving party, to Hepworth Holzer. The firm argues that this shift required Hepworth
Holzer to prove that the associate attorney did not have confidential information, even though
Idaho law holds that the moving party has the burden of establishing grounds for disqualification.
Foster, 145 Idaho at 32, 175 P.3d at 194 (quoting Weaver, 120 Idaho at 697, 819 P.2d at 115).
Given our conclusion that the district court erred in failing to fashion the least burdensome remedy
available in this case, we will not address these claims, other than to note that the burden is on the
party moving to disqualify counsel during litigation. The burden of proof rests on the firm whose
disqualification is sought only when such allegations are brought before the Bar. See I.R.P.C. 1.6
and 1.9(c) cmt. 6.
       Last, Hepworth Holzer contends the district court erred by ignoring facts that supported its
claim that the associate attorney did not engage in any inappropriate conduct. In general, it was
within the discretion of the district court to weigh the conflicting testimony submitted by each
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firm. Beckstead v. Price, 146 Idaho 57, 61, 190 P.3d 876, 880 (2008) (It is the province of the
district court to weigh conflicting evidence and testimony and to judge the credibility of the
witnesses.). That said, recognizing our discretion to issue an extraordinary writ, Kerr, 426 U.S. at
403, we find the district court erred in failing to appropriately balance the competing interests of
Bogus Basin/Elam & Burke and Tubbs/Hepworth Holzer in this case. Accordingly, we will
exercise our independent discretion to address the issues presented here.

                e. Whether the order raises new and important problems, or issues of law of first
                   impression.
        Fifth, Hepworth Holzer argues that the disqualification and gag order will result in extreme
prejudice to Tubbs that can only be remedied through the requested extraordinary writ. Because
we have never addressed whether a disqualification and gag order can be reviewed through an
extraordinary writ, this case presents an issue of first impression. Thus, the fifth and final Cole
factor is satisfied.
        Hepworth Holzer also submits that the district court’s disqualification and gag order raises
new and important legal issues, not the least of which would be violations of the First Amendment
of the Constitution of the United States, because: (1) Tubbs has a First Amendment right to counsel
of choice, which includes the right to allow his chosen counsel to speak on his behalf; and (2)
Tubbs has a First Amendment right to communicate with, and seek advice from, his chosen
counsel. We note that there is a First Amendment right to counsel, but it is seldom articulated in
that way. It is more appropriately referred to as “a right to counsel of choice.” See Hart v. Gaioni,
261 F. App’x 66, 68 (9th Cir. 2007) (“Thus the rule is a reasonable restriction on the First
Amendment right to counsel of choice.”). However, “[t]his Court will not address constitutional
issues when a case can be decided upon other grounds.” State v. Le Veque, 164 Idaho 110, 115,
426 P.3d 461, 466 (2018) (quoting State v. Smith, 161 Idaho 782, 785, 391 P.3d 1252, 1255
(2017)). “It is well established that when a case can be decided upon a ground other than a
constitutional ground, the Court will not address the constitutional issue unless it is necessary for
a determination of the case.” City of Sandpoint v. Indep. Highway Dist., 161 Idaho 121, 124, 384
P.3d 368, 371 (2016) (quoting Mullinix v. Killgore’s Salmon River Fruit Co., 158 Idaho 269, 279,
346 P.3d 286, 296 (2015)). Because we have already ruled that an extraordinary writ is appropriate
here, we need not address the constitutional issues raised by Hepworth Holzer.

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         Ultimately, no one at Hepworth Holzer, including the associate attorney, could discern
what argument allegedly raised confidential arguments that would merit the far-reaching action
taken by the district court. The district court needed to consider the prejudice that would result to
Tubbs in disqualifying Hepworth Holzer as his counsel. “The goal of the court should be to shape
a remedy which will assure fairness to the parties and the integrity of the judicial process.” Foster,
145 Idaho at 32, 175 P.3d at 194 (quoting Weaver, 120 Idaho at 697, 819 P.2d at 115) (“whenever
possible, courts should endeavor to reach a solution that is least burdensome to the client.”).
         Tubbs suffered substantial and catastrophic physical injuries that led to him filing the
underlying lawsuit. Tubbs’ prejudice includes the loss of his long-standing counsel who is familiar
with the facts of the case and who undertook representation on a contingent fee basis. It is
impractical to conclude that Tubbs retaining new counsel is “a plain, speedy and adequate remedy
in the ordinary course of law.” The district court’s order disqualifying Hepworth Holzer as counsel
is reversed.
    D.      A new district judge will preside over this case on remand.
         One of the realities presented in rare cases like the this one is that “mandamus actions such
as the one involved in the instant case ‘have the unfortunate consequence of making the (district
court) judge a litigant, obliged to obtain personal counsel or to leave h[er] defense to one of the
litigants (appearing) before h[er]’ in the underlying case.” Kerr, 426 U.S. at 402–03 (quoting
Bankers Life & Cas. Co. v. Holland, 346 U.S. 379, 384–85 (1953). The district judge has
unavoidably been made a party to this proceeding and has been represented by independent
counsel.
         Hepworth Holzer asks that if this case is remanded, that the district judge be disqualified
for cause “to ensure that no sense whatsoever of an appearance of impropriety arises in future
proceedings . . . .” Hepworth Holzer relies on I.R.C.P. 40(b)(1)(D) as the basis for its motion. That
rule provides that “a party to an action may disqualify a judge for cause [when] . . . the judge is
biased or prejudiced for or against any party or the subject matter of the action.” Even so, “judicial
rulings alone can almost never constitute valid basis for bias or partiality motion . . . and opinions
formed by the judge on the basis of facts introduced or events occurring in the course of the
proceedings . . . do not constitute a basis for a bias or partiality motion . . .” Idaho Dep’t of Health
& Welfare v. Doe, 161 Idaho 660, 664, 389 P.3d 946, 950 (2016).

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       Nothing in the district court’s reasoning or its final decision establishes a claim of bias. At
the same time, we recognize that the district court is now a party in this extraordinary proceeding.
The district court has been represented by counsel and filed documents directly opposing
Hepworth Holzer’s position here – a position which this Court has now generally adopted. In
matters of judicial ethics, appearance and reality often converge as one. Liteky v. United States,
510 U.S. 540, 565 (1994) (Kennedy, J., concurring) (citing Offutt v. United States, 348 U.S. 11,
14 (1954) (“[J]ustice must satisfy the appearance of justice”). Thus, while we make no finding that
the district court is biased against Hepworth Holzer in this case, to avoid even the appearance of
impropriety we order that the administrative district judge assign a new judge to this case upon
remand. This holding is limited to the unique facts presented here and this determination, made
via a special writ, should not be viewed as an expanded means of disqualifying a sitting judge
throughout a case.

                                          V. CONCLUSION
       Hepworth Holzer’s petition for mandamus is granted. We order the following relief:
           1. The disqualification and gag order dated March 30, 2021, and all related subsequent
               orders are vacated;
           2. Hepworth Holzer may continue to serve as counsel of record for Tubbs, should he
               elect to have the firm continue to serve in that capacity;
           3. Hepworth Holzer is allowed to communicate with Tubbs or his future counsel
               without limitation, either as counsel or as former counsel;
           4. The Memorandum in Support of the Motion for Reconsideration, previously
               stricken from the record by the district court, is reinstated;
           5. The case is remanded for further proceedings on the motion for reconsideration
               before a new district judge; and
           6. The administrative district judge shall appoint another qualified district judge in the
               judicial district to oversee further proceedings pursuant to Idaho Rule of Civil
               Procedure 40(d).
       Justices STEGNER, MOELLER and Justices pro tem TROUT and HORTON, CONCUR.

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