Court Opinion

ID: 9364109
Source: CourtListenerOpinion
Date Created: 2023-01-18 16:00:28.637996+00
Date Added: 2024-06-11T17:15:35.927987
License: Public Domain

20-2559
In re Demetriades

                        United States Court of Appeals
                           For the Second Circuit

                                      August Term 2022

                                Argued: December 12, 2022
                                Decided: January 18, 2023

                                          No. 20-2559

                               IN RE: TARA A. DEMETRIADES,

                              an Attorney and Counselor-at-Law.*

           Appeal from the Committee on Grievances of the Board of Judges
        of the United States District Court for the Eastern District of New York
                        No. 17-mc-300, Ann M. Donnelly, Judge.

                    Before:     SACK, SULLIVAN, and PARK, Circuit Judges.

       Tara A. Demetriades appeals from orders of the Committee on Grievances
of the Board of Judges of the United States District Court for the Eastern District
of New York (the “Committee”) finding her liable for violating various provisions
of the New York Rules of Professional Conduct and imposing sanctions for these
violations, including a six-month suspension from practicing law in the Eastern
District. On appeal, Demetriades argues that the Committee (1) deprived her of
due process by failing to afford her with reasonable notice of the charges and an
adequate opportunity to defend against the charges, (2) failed to substantiate each
element of the charges by clear and convincing evidence, and (3) imposed a
punishment that was excessive in light of the putative lack of harm to the public.

* The Clerk of Court is respectfully directed to amend the official case caption as set forth above.
She has also requested that we maintain her appeal under seal, arguing that public
disclosure of her identity would cause her reputational harm. For the reasons
explained below, we reject each of these arguments. As a result, we AFFIRM the
orders of the Committee and ORDER that the docket in this appeal, and all its
contents, be unsealed.

      AFFIRMED.

                                      RANDALL W. JACKSON, Willkie Farr &
                                      Gallagher LLP, New York, NY, for Amicus-
                                      Appellee Committee on Grievances.

                                      DERRICK STORMS, Solomos & Storms, PLLC,
                                      Astoria, NY, for Respondent-Appellant Tara A.
                                      Demetriades.

RICHARD J. SULLIVAN, Circuit Judge:

      Tara A. Demetriades appeals from orders of the Committee on Grievances

of the Board of Judges of the United States District Court for the Eastern District

of New York (the “Committee”) finding her liable for violating various provisions

of the New York Rules of Professional Conduct and imposing sanctions for these

violations, including a six-month suspension from practicing law in the Eastern

District. On appeal, Demetriades argues that the Committee (1) deprived her of

due process by “failing to afford her with reasonable notice of the charges and an

adequate opportunity to defend against the charges,” (2) “failed to substantiate

each and every element of the charges by clear and convincing evidence,” and

                                          2
(3) imposed a “punishment [that] was excessive in light of the fact there was no

harm to the public.”     Demetriades Br. at 1.     She has also requested that we

maintain her appeal under seal, arguing that public disclosure of her identity

would cause her reputational harm. For the reasons explained below, we reject

each of these arguments. Accordingly, we affirm the orders of the Committee

and order that the docket in this appeal, and all its contents, be unsealed.

                                 I.   BACKGROUND

   A. Facts

      Demetriades is a solo practitioner whose firm, ADA Accessibility

Associates, focuses primarily on litigation under the Americans with Disabilities

Act, 42 U.S.C. § 12101 et seq. (the “ADA”) – specifically, under its provisions

requiring places of public accommodation to take readily achievable steps to make

their premises and facilities accessible to individuals with disabilities, see id.

§§ 12181–12183. As relevant here, she is admitted to practice in New York and in

the U.S. District Court for the Eastern District of New York (the “Eastern District”).

      After receiving a J.D. from Brooklyn Law School in 1999, Demetriades spent

roughly ten years working as an associate in the general commercial litigation,

tobacco law, and general torts practices of various national and regional law firms

                                          3
in Florida and Georgia. In 2000, the Florida bar suspended her from the practice

of law for ninety days after she was arrested in a criminal matter. In 2009, she

opened a small practice of her own in Florida, focusing on immigration law.

       In 2013, Demetriades decided to transition the focus of her practice to

disability law after meeting Cemal Jay Egilmez, a self-described “ADA inspector,”

at a charity poker tournament. 1 Although she had no prior experience working

on ADA cases, Demetriades wanted “to increase [her] income” and thought that

ADA litigation “sounded like something that might provide [her] with an

opportunity to generate additional legal work and revenue.” App’x at 857. She

also saw it as “something that was sort of feel-good work with clients that [sic]

were very appreciative.”        Id. at 516.   Shortly after meeting, Demetriades and

Egilmez began working together, with Egilmez introducing Demetriades to

potential plaintiffs for ADA lawsuits and conducting “undercover” investigations

of small businesses and documenting ostensible ADA violations on their premises.

Id. at 561.

1 As Egilmez has acknowledged in these proceedings, he is “not certified” to “be an ADA
inspector,” and there is “no such thing as a federal certification of an ADA inspector.” App’x
at 418.

                                              4
      Around the same time, Demetriades also “decided to transition [her]

practice [from Florida] to New York” and was admitted to practice in the Eastern

District in 2014. Id. at 513. Over the next three years, she filed approximately

168 ADA cases against small businesses in the Eastern District, each on behalf of

one of the same eight plaintiffs.

      Before commencing these actions, Demetriades would not “examin[e] the

propert[ies]” of potential defendants “[her]self” – which she deemed

“[ir]relevant” because she is “not an expert or an architect” and is largely

“ignorant” of the “technical” requirements of the ADA – and instead relied on

“violations list[s]” or “inspection reports” provided by Egilmez for a fee.     Id.

at 569, 673, 880. In preparing such reports, Egilmez – acting on Demetriades’s

instruction “not to communicate with anybody . . . because they could be

represented by counsel,” id. at 561 – would “not inquire as to any accommodations

that may not be readily visible, such as a portable ramp, or assistance that might

be available upon request,” Sp. App’x at 7. Likewise, his reports would omit

“things . . . that [he and Demetriades] d[id]n’t necessarily want to disclose to

defendant’s counsel.”     App’x at 555.       As a result, many of the reports that

Egilmez prepared for Demetriades contained factual inaccuracies and

                                          5
unsubstantiated legal theories of ADA violations. Demetriades did not “know

the procedure by which [Egilmez] conduct[ed] his inspections” and had “never

been with him on an inspection.” Id. at 862.

      On the client-facing side of her business model, Demetriades’s standard

“retainer agreement” provided that her “client[s] waive[d] the right to pursue

monetary damages,” “agree[ed] to seek only injunctive relief,” and agreed that

“any and all money . . . that’s awarded to the plaintiff as a result of the lawsuit

goes to [Demetriades].” Id. at 632–33. (She was not “aware that under New York

law, disabled people denied access to properties can recover[] compensatory

damages.” Sp. App’x at 8.) Demetriades “built [her] business [as] a mass” or

“volume practice,” and of the roughly 168 ADA cases that she filed in the Eastern

District, she took none to trial and pursued none to a favorable judgment on the

merits. App’x at 619.

      As a result of this “mass” or “volume” approach to her practice – evidently

compounded by “personal issue[s]” that arose “during [a] period of time when

[her] dog was sick” – Demetriades found herself “way over-burdened in terms of

[her] case load.” Id. And as a result of her unmanageable caseload, Demetriades

“repeatedly” “allowed [her clients’] case[s] to languish,” “face[d] dismissal [of

                                        6
those cases] for failure to prosecute,” “failed . . . to abide by [c]ourt-ordered

deadlines,” and “failed to appear at . . . hearings” and “[c]ourt conferences,” for

which she was sanctioned and/or reprimanded by several different judges of the

Eastern District. Sp. App’x at 9–10.

      Hoping to “get some additional assistance” with her “over-burdened”

caseload while she “deal[t] with [her] animal,” Demetriades decided to “look[] for

somebody to cover all of [her] New York cases . . . for [a] few months.” App’x

at 609, 611, 619. To that end, she made an “arrangement” for a lawyer named W.

Marilyn Pierre “to attend [Demetriades’s] hearing[s] and for [Demetriades] to pay

[Pierre] for attending the hearing[s]” on a flat-fee, per-hearing basis. Id. at 611.

      At a November 2016 settlement conference (to which she had arrived

forty-five minutes late, citing the fact that she had “a very sick [dog] at home”),

Demetriades was questioned by a magistrate judge about her “pattern in the

Eastern District” of being “unable to comply with [her] obligations in [her] cases”;

Demetriades responded by assuring the magistrate judge that she “ha[d] Marilyn

Pierre[] working with [her] . . . out of [her] Long Island office” as “an associate.”

Id. at 779–81. When specifically asked to clarify whether Pierre was in fact a

“contract attorney[],” Demetriades doubled down, stating, “No, she is an associate

                                          7
attorney with my firm. Marilyn Pierre is her name and she was just hired by us

about two weeks ago.” Id. at 781–82. Demetriades would later admit that Pierre

actually was “a contract attorney,” that she understood that a contract attorney is

“a separate animal” from an associate, that she had “never hired [Pierre] as [her]

employee,” and that Pierre did not “actually work at” her “Long Island office.”

Id. at 613, 734, 783, 854.

       Just a month later, Demetriades was ordered to attend a show-cause hearing

to address her repeated failures to comply with court deadlines, orders, and rules

in another one of her Eastern District cases. Despite the court’s issuance of two

separate orders expressly stating that Demetriades, as “counsel of record,” was

required to appear personally and that her last-minute filing of a stipulation of

dismissal did not “excuse [her] appearance[],” Demetriades declined to appear

and instead sent Pierre on her behalf. Sp. App’x at 18 (first quoting E.D.N.Y. Dkt.

No. 16-cv-982 (NG), Doc No. 15 at 1; then quoting E.D.N.Y. Dkt. No. 16-cv-982

(NG), Minute Order of Dec. 20, 2016). When the magistrate judge reached her via

speakerphone in open court, Demetriades spent several minutes insisting that she

did not “need to participate.” App’x at 79. She then started “shouting,” Sp.

App’x at 19, at the magistrate judge:

                                        8
      I am on vacation at the moment . . . . I mean I can’t always be available
      every single second of every single day . . . . I don’t even know exactly
      what the [c]ourt is looking for from me. . . . I’m not understanding
      exactly what we’re doing or what the [c]ourt’s goal is here. . . . I’m not
      sure why it is the [c]ourt consistently forgets that there are actually
      clients here. Every one of my clients that I brought to the [c]ourt
      pursuant to [c]ourt orders, they’ve been treated in a very nasty way.
      They’ve gotten nothing but disdain from the [c]ourt and anger. . . .
      [T]hey’ve literally been badgered by the [c]ourt.

App’x at 90–92.     As to the merits of the district court’s show-cause order,

Demetriades refused to accept responsibility for her failures to comply with prior

court orders, instead asserting that they were “obviously [the] fault of the [court-

ordered mediation] program.” Id. at 84. Demetriades would later concede that

her conduct during this hearing was “awful” and “terrible.” Id. at 583.

   B. Procedural History

      As a result of Demetriades’s above-described conduct and violations of

court orders, the district court (Mann, Mag. J.) made a referral to the Committee in

February of 2017. The Committee (Cogan, J.) then appointed outside counsel

from the law firms of Boies, Schiller & Flexner LLP and Willkie Farr & Gallagher

LLP (the “Outside Counsel”) to investigate Demetriades’s potential violations of

the New York Rules of Professional Conduct and, if appropriate, to prosecute

charges for such violations. Following the conclusion of Outside Counsel’s six-

                                          9
month investigation, the Committee charged Demetriades with violating

Rules 1.1, 1.3, 3.2, 3.3, 3.4, 5.3, 5.5, and 8.4(d) – which concern competence,

diligence, delay of litigation, false statements and conduct before a tribunal,

fairness to opposing parties and counsel, lawyers’ responsibility for the conduct

of nonlawyers, unauthorized practice of law, and general misconduct,

respectively – and ordered her to show cause as to why she should not be subject

to discipline.

      In September 2017, the Committee referred the matter to Magistrate Judge

Kuo to adjudicate any necessary hearing and argument, to render a Report and

Recommendation on whether the charges should be sustained, and to recommend

any appropriate sanction.     In the lead-up to the evidentiary hearing on

Demetriades’s liability, the Outside Counsel prosecuting the charges provided

extensive discovery to Demetriades and her counsel. Pursuant to instructions

from Magistrate Judge Kuo, the parties also exchanged witness and exhibit lists

and submitted pre-hearing memoranda laying out their respective views on the

applicable law underlying each of the counts in the Committee’s Statement of

Charges.

                                       10
      Following a three-day evidentiary hearing and several rounds of post-

hearing briefing, Magistrate Judge Kuo recommended that the Committee find

Demetriades liable for violating Rules 1.1(a), 1.3(a) and (b), 3.2, 3.3(a) and (f)(2)–(3),

and 3.4(c), but not liable for violating Rules 5.3, 5.5(a), or 8.4(d). Over objections

from Demetriades, the Committee (Donnelly, J.) adopted Magistrate Judge Kuo’s

liability-phase Report and Recommendation in its entirety.

      At the sanctions phase, the parties waived an additional evidentiary hearing

and made only written submissions.              After reviewing their submissions,

Magistrate Judge Kuo recommended that Demetriades be suspended from

practicing law in the Eastern District for a period of three to six months, and that

she be required to obtain professional counseling for stress management.

Demetriades objected to the recommendation as to suspension, arguing that she

should instead only be reprimanded, but made no objection to the

recommendation as to stress-management counseling. The Committee adopted

Magistrate Judge Kuo’s sanctions-phase Report and Recommendation in its

entirety and imposed a six-month suspension as well as mandatory stress-

management counseling.

      Demetriades timely appealed.

                                           11
                                II.    STANDARD OF REVIEW

       We review the Committee’s disciplinary order for abuse of discretion, while

reviewing de novo whether the conduct in question was within the scope of the

disciplinary rules in question. In re Peters, 642 F.3d 381, 384 (2d Cir. 2011). The

Committee “has abused its discretion if its imposition of sanctions was based on

an erroneous view of the law or on a clearly erroneous assessment of the evidence,

or cannot be located within the range of permissible decisions.”                   Id. (internal

quotation marks omitted). 2

                                      III.   DISCUSSION

    A. Unsealing

       As an initial matter, we must address the sealing status of this appeal.

Although the parties submitted their briefs and appendix under seal, we deem it

2 We have previously noted that “when the district court is accuser, fact finder[,] and sentencing
judge all in one,” our review is “more exacting than under the ordinary abuse-of-discretion
standard.” Peters, 642 F.3d at 384 (citation omitted). But we reject Demetriades’s contention
that this “heightened abuse-of-discretion standard” applies in her case. Demetriades Br. at 12.
Here, Magistrate Judge Mann made the initial referral to the Committee, Judge Cogan filed the
Committee’s Statement of Charges against Demetriades, two lawyers from outside firms were
appointed to investigate and prosecute the charges on behalf of the Committee, Magistrate Judge
Kuo conducted the evidentiary hearing on Demetriades’s liability, and Judge Donnelly signed
the Committee’s final orders finding Demetriades liable and imposing sanctions. Since four
different judges served as “accuser, fact finder[,] and sentencing judge” in the disciplinary
proceedings below, it is appropriate for us to apply the “ordinary abuse-of-discretion standard”
in this appeal. Peters, 642 F.3d at 384 (citation omitted).

                                               12
appropriate to issue this Opinion on the public docket and for publication in the

Federal Reporter. Likewise, while this appeal was originally docketed under the

caption “In re: Jane Doe,” we deem it appropriate to refer to Demetriades by her

real name in this Opinion.

      This Court has consistently recognized a “strong presumption . . . under

both the common law and the First Amendment” that judicial documents – and

especially judicial decisions, which “are used to determine litigants’ substantive

legal rights” – “should . . . be subject to public scrutiny.” Lugosch v. Pyramid Co.,

435 F.3d 110, 121 (2d Cir. 2006) (citation omitted); see also United States v. Amodeo,

71 F.3d 1044, 1048–50 (2d Cir. 1995); United States v. Amodeo, 44 F.3d 141, 145–46

(2d Cir. 1995); United States v. Biaggi (In re N.Y. Times Co.), 828 F.2d 110, 116 (2d Cir.

1987); Joy v. North, 692 F.2d 880, 893–94 (2d Cir. 1982); United States v. Myers (In re

Nat'l Broad. Co.), 635 F.2d 945, 949–54 (2d Cir. 1980). That presumption, of course,

“does not end the inquiry,” Lugosch, 435 F.3d at 120, and judicial documents “may

be sealed” if sealing “is essential . . . and . . . narrowly tailored” to “preserve higher

values” or “interest[s],” In re N.Y. Times Co., 828 F.2d at 116 (quoting Press-Enter.

Co. v. Super. Ct., 478 U.S. 1, 9 (1986)) – for example, to “safeguard[] the physical

and psychological well-being” of “minor victims of sex crimes,” Globe Newspaper

                                           13
Co. v. Super. Ct., 457 U.S. 596, 607–08 (1982), or to avoid “providing terrorist

elements with propaganda to fuel their continued global hostilities against the

United States,” Dhiab v. Trump, 852 F.3d 1087, 1097 (D.C. Cir. 2017).

      Here, the only “interest” in sealing that Demetriades puts forth is her

personal interest in avoiding the “reputational harm” that she might suffer if the

public were made aware of the “very serious allegations here.” Oral Argument

at 1:38–1:53, https://www.ca2.uscourts.gov/decisions/isysquery/33cdd5af-c9dc-

4399-88d1-03746697343f/12/doc/20-2559.mp3.       That interest, however, cannot

meet the “weighty” standard for overriding the presumptions of open records and

public access. N.Y. C.L. Union v. N.Y.C. Transit Auth., 684 F.3d 286, 304 (2d Cir.

2012) (quoting Globe Newspaper Co., 457 U.S. at 606); see, e.g., Lugosch, 435 F.3d

at 116 (vacating district-court sealing order premised on possibility that

“presumption of access” might be outweighed by “defendants’ . . . interests in

unwarranted reputational injury” if defendants ultimately won favorable merits

judgment (internal quotation marks omitted)); SEC v. TheStreet.Com, 273 F.3d 222,

234 (2d Cir. 2001) (affirming district court’s grant of third-party motion to unseal

over party’s objection that “possible reputational harm” justified continued

sealing). Indeed, we see no meaningful public “value[]” that would be served by

                                        14
filing this Opinion under seal – or by using a pseudonym to refer to Demetriades.

Press-Enter. Co., 478 U.S. at 9 (citation omitted).         To the contrary, we have

repeatedly found public censure or reprimand to be an appropriate and valuable

“corrective measure” in attorney-misconduct cases, “in order to protect the public,

other attorneys and litigants, the Court, and the administration of justice.” In re

Jaffe, 585 F.3d 118, 121 (2d Cir. 2009); see also, e.g., In re Agola, 484 F. App’x 594, 598

(2d Cir. 2012); In re Einhorn, 428 F. App’x 26, 27 (2d Cir. 2011).

       For essentially the same reasons, we see nothing to justify the continued

sealing of the docket in this appeal, or of any of the documents filed on the docket.

We must also unseal the contents of the docket for a more quotidian reason:

under our Circuit’s Local Rules, a “document” may be “sealed” only if it was either

“placed under seal by order of a district court,” or “placed under seal . . . by order

of this [C]ourt upon the filing of a motion.” 2d Cir. Loc. R. 25.1(a)(1)(E) (emphasis

added).

      Here, neither party ever made a formal, written motion for leave to file its

appellate briefs, substantive motions, or other submissions under seal. Instead,

the parties appear to have simply assumed that, because the district-court docket

was sealed in its entirety, they could continue filing under seal in this Court

                                            15
without first obtaining leave to do so.          That is incorrect.       The case-filing

instructions on our Court’s public website make clear that under Local Rule 25.1,

“[a] document that was not sealed in the district court will not be sealed in the

Court of Appeals without a Court order”; “[a] party wishing to file a paper under

seal with the Court of Appeals must make a written motion”; and “[a]n informal

request to seal a document will not be entertained.” U.S. Ct. of Appeals for the

2d Cir., How to Appeal a Civil Case to the United States Court of Appeals for the Second

Circuit               12               (2017),                available                at

https://www.ca2.uscourts.gov/clerk/case_filing/appealing_a_case/pdf/How_to_A

ppeal_a_Civil_Case_rev_07-17.pdf.

      As for the documents that were “sealed in the district court” and “received

as part of the record,” such documents generally “will remain under seal in the

Court of Appeals” by operation of Local Rule 25.1.           Id.   Here, however, the

Eastern District has unsealed the docket in the underlying disciplinary proceeding

in the time since Demetriades appealed. It is difficult to imagine any “value[]”

that would be served by maintaining under seal a district-court record that has

already been unsealed in the district court, let alone a “higher value[]” that might

                                          16
suffice to overcome the presumption of open records. Press-Enter. Co., 478 U.S.

at 9 (citation omitted).

      Finally, we memorialize here our decision not to seal the courtroom for oral

argument in this appeal. See Oral Argument at 0:07–3:16 (colloquy on this issue).

The First Amendment affords the public a qualified right of access to a wide array

of judicial proceedings in both criminal and civil matters.        See, e.g., Richmond

Newspapers, Inc. v. Virginia, 448 U.S. 555, 575–77 (1980) (plurality op.) (criminal

trials); Press-Enter. Co. v. Super. Ct., 464 U.S. 501, 505–10 (1984) (criminal voir dire

proceedings); Press-Enter. Co., 478 U.S. at 13–15 (preliminary criminal hearings);

N.Y. C.L. Union, 684 F.3d at 298 (“civil trials and . . . their related proceedings and

records,” as well as “non-trial civil proceedings” and “administrative

adjudication[s]”). Thus, as we have explained in the context of reprimanding a

district court for sealing its courtroom, “the power to close a courtroom where

proceedings are being conducted . . . is one to be very seldom exercised, and even

then only with the greatest caution, under urgent circumstances, and for very clear

and apparent reasons.” United States v. Alcantara, 396 F.3d 189, 192 (2d Cir. 2005)

(citation and alteration omitted). We see no reason to hold ourselves to a lower

standard of “protect[ing] the public against the government’s ‘arbitrary

                                          17
interference with access to important information.’” N.Y. C.L. Union, 684 F.3d

at 298 (quoting Richmond Newspapers, 448 U.S. at 583 (Stevens, J., concurring)).

Indeed, as one of our sister circuits has explained, “[t]here can be no question that

the First Amendment guarantees a right of access by the public to oral arguments

in the appellate proceedings of this [C]ourt.” United States v. Moussaoui, 65 F.

App’x 881, 890 (4th Cir. 2003).

      Of course, much as the “First Amendment right of access to certain judicial

documents” is “qualified,” Lugosch, 435 F.3d at 120, so too is the “right of access”

to certain judicial “proceedings,” N.Y. C.L. Union, 684 F.3d at 303–04. That right

may be overcome only by “an overriding interest based on findings that closure is

essential to preserve higher values and is narrowly tailored to serve that

interest.” Press-Enter. Co., 464 U.S. at 510. But here, as explained above, we see

no such overriding interest. To the contrary, the higher values at stake here all

point in favor of open public access to our proceedings in, and disposition of, this

appeal.

   B. Due Process

      We now turn to the merits. Demetriades first argues that the Committee

“improperly expanded the charges at [the evidentiary hearing], thereby depriving

                                         18
[her] of due process of law.” Demetriades Br. at 12 (capitalization standardized).

More specifically, Demetriades contends that the Committee “did not provide

[her] with reasonable notice” of the “false statement charge” related to her falsely

“referring to her work companion as an ‘associate’ during questioning by the

[district] [c]ourt,” for which she was ultimately found liable under Rule 3.3(a). Id.

at 2, 13, 16. We disagree.

      The Committee’s Statement of Charges explicitly charged Demetriades with

a “Count” under “New York State Rule of Professional Conduct 3.3” for having

“misrepresented the composition of her law firm to the [district] [c]ourt.” App’x

at 103–04. Even more “[s]pecifically,” the charging document explained that this

count was based on the Committee’s allegation that, in a 2016 case before Judge

Glasser and Magistrate Judge Mann, “Demetriades [had] stated that W. Marilynn

Pierre was employed as an associate at her firm working out of the Long Island

office,” when “[i]n fact, . . . Ms. Pierre . . . had never been an employee of

[Demetriades’s] firm and ha[d] never even visited the Long Island office.” Id.

at 104.

      Nevertheless, Demetriades argues that the Statement of Charges did not

provide reasonable notice because it included an appendix “set[ting] forth the

                                         19
[fifty-one] specific cases” in which “[her] misconduct” had allegedly occurred, id.

at 103, and Outside Counsel were allowed at the evidentiary hearing to introduce

“evidence” that she had also made the same misrepresentation concerning Pierre

“in [another] case” that was “not within the [fifty-one]” listed in the appendix to

the Statement of Charges, id. at 221. That argument fails for several independent

reasons.

      For starters, we find that there was no meaningful variance, much less a fatal

one, between the Statement of Charges and the evidence introduced by Outside

Counsel at the evidentiary hearing. In cases on the constructive amendment of

indictments in criminal prosecutions, we have repeatedly recognized that “proof

at trial need not, indeed cannot, be a precise replica of the charges contained in an

indictment,” United States v. Heimann, 705 F.2d 662, 666 (2d Cir. 1983), and we have

thus “consistently permitted significant flexibility in proof, provided that the

defendant was given notice of the core of criminality to be proven at trial,” United

States v. Rigas, 490 F.3d 208, 228 (2d Cir. 2007) (emphasis in original; footnote and

citation omitted). See, e.g., United States v. D’Amelio, 683 F.3d 412, 418 (2d Cir.

2012) (finding no constructive amendment of indictment where government

offered evidence of a different facility of interstate commerce than that referenced

                                         20
in indictment); United States v. Dupre, 462 F.3d 131, 141–43 (2d Cir. 2006) (finding

neither constructive amendment nor prejudicial variance where government

offered evidence of different wire transfer than wire referenced in indictment).

Since “an attorney subject to a . . . disciplinary proceeding” is entitled to narrower

due-process protections than “the full panoply of federal constitutional

protections that apply to a criminal prosecution,” In re Jacobs, 44 F.3d 84, 89 (2d

Cir. 1994), it follows a fortiori that as long as Demetriades received notice of “the

core of [attorney misconduct] to be proven,” Rigas, 490 F.3d at 228 (emphasis in

original; footnote and citation omitted), she cannot complain that the Committee’s

“proof at [the evidentiary hearing]” was not “a precise replica of the charges

contained in [the Statement of Charges],” Heimann, 705 F.2d at 666. And here, the

charging    document’s     detailed    explanation    of    Demetriades’s     alleged

“misrepresent[ations] . . . to the [district] [c]ourt” regarding Ms. Pierre’s role (or

lack of formal role) in her firm, App’x at 103–04, constituted more-than-adequate

“notice” of the “core” of the Rule 3.3(a) false-statement charge that was ultimately

“proven” by the Committee at her evidentiary hearing, Rigas, 490 F.3d at 228

(emphasis and citation omitted).

      Moreover, “an attorney may receive adequate notice of a misconduct charge

                                         21
by means other than [the formal charging document] served prior to the sanctions

hearing.”    Peters, 642 F.3d at 386–87.      Here, Outside Counsel “provided

[Demetriades], in advance of th[e] [evidentiary] hearing, . . . with specific

recordings” of her alleged misrepresentation in the case not among the fifty-one

listed in the appendix to the Statement of Charges, along with a written

“testimonial stipulation” from the Magistrate Judge in that case (also “in advance

of the hearing”). App’x at 228. Thus, we agree with the Committee that “[t]he

Statement of Charges,” taken “together with . . . the documents produced in

discovery, and Committee counsel’s [other] pre-hearing [submissions,] gave

[Demetriades] fair notice of the charges against her.” Sp. App’x at 58 (emphasis

added).

      Finally, Demetriades cannot prevail on her claim of a fatal “variance

between [the Statement of Charges] and the proof at [the evidentiary hearing]”

unless she can “prove prejudice.” Dupre, 462 F.3d at 140. In her appellate briefs

here, Demetriades identifies no prejudice that resulted from the putative variance.

Nor could she. That is because “[w]e decide whether a variance . . . is prejudicial”

principally “by determining whether” it is “of a character . . . such as to deprive

the accused of [her] right to be protected against another [future charge] for the

                                        22
same offense.” Id. at 140, 142 (citation omitted). As a result, there can be “no

potential for prejudice in [a] case where [multiple] acts of [a given offense] were

proven at trial, whereas the [charging document] only [detailed] one [such] act.”

Id. at 142 (internal quotation marks and alteration omitted). That is precisely

what happened here:        the Statement of Charges detailed one instance of

Demetriades making false statements to the judges of the Eastern District about

Ms. Pierre’s status as an associate in her law firm, and at Demetriades’s evidentiary

hearing, the Committee ended up putting on proof that she had actually made

even more false statements to the same effect. Under these circumstances, there

was “no potential for prejudice.” Id. (citation and alteration omitted).

      Despite all this, Demetriades argues that even if the Statement of Charges

provided adequate notice of Outside Counsel’s intention to prosecute a

false-statement charge at the evidentiary hearing, such notice was effectively

negated by Outside Counsel’s pre-hearing memorandum, which Demetriades

characterizes as “narrow[ing] the charges” and falsely assuring her that Outside

Counsel’s case at the hearing would not “include a false[-]statement charge.”

Demetriades Br. at 4, 6, 13. This argument is contradicted by the record and no

more persuasive than Demetriades’s other due-process arguments.

                                         23
      To begin with, Magistrate Judge Kuo’s instructions for the parties’

pre-hearing memoranda indicated that they were to “educate [her] on the law” by

“narrow[ing] the [legal] issues” at play, App’x at 160, 164 (emphasis added) – not

to “narrow the charges” or the factual predicates therefor, Demetriades Br. at 13

(emphasis added). And in any event, nothing in Outside Counsel’s pre-hearing

memorandum indicated an intention to drop the false-statement charge noticed in

the Committee’s initial Statement of Charges.      Quite the contrary.   Outside

Counsel’s pre-hearing memorandum gave explicit notice that “the factual basis for

the charge that Ms. Demetriades violated Rule 3.3” was “outline[d]” in

“[p]aragraphs 8-11 [of the Statement of Charges],” App’x at 182 – which includes

the paragraph alleging that “Demetriades misrepresented the composition of her

law firm to the [Eastern District]” when she “stated that W. Marilynn Pierre was

employed as an associate at her firm working out of the Long Island office,” id.

at 104 ¶ 10. Shortly after they submitted their pre-hearing memoranda, Outside

Counsel also tendered to Demetriades and her counsel a list of exhibits they

intended to introduce at the hearing, which included transcripts of the court

proceeding where Demetriades stated that Pierre was her associate and the

deposition where Demetriades was questioned about those statements.

                                       24
                             *           *            *

        At bottom, Demetriades lacks any legal or factual basis for her contentions

that the Committee conducted a “trial by ambush” or otherwise “violat[ed] . . . the

Fifth Amendment’s Due Process Clause.” Demetriades Br. at 7. We firmly reject

them.

   C. Sufficiency of the Evidence

        Demetriades next argues that “the Committee failed to demonstrate that

[she] violated [any of the Rules at issue in] the charges” on which she was

ultimately found liable.     Id. at 16 (capitalization standardized).   Again, we

disagree.

        1. Demetriades’s General Objection to the Committee’s Use of
           Transcripts from Prior, Non-Disciplinary Proceedings

        Across the board, Demetriades argues that it was improper for the

Committee to rely on filings and transcripts of proceedings from her prior matters

in the Eastern District as evidence of her misconduct.      More specifically, she

invokes Peters for the proposition that “non-disciplinary matters cannot be used to

substantiate findings of misconduct in subsequent disciplinary proceedings,”

Demetriades Br. at 18–19, 21–24 (citing Peters, 642 F.3d at 385), and thus contends

that in light of the Committee’s reliance on transcripts from her other Eastern

                                         25
District cases, “there was insufficient evidence to support the charge[s],” id.

at 22–24. This, however, misapprehends what we said in Peters.

      At issue in Peters was a district-court grievance committee’s “decision” to

simply “follow[] [the] sanctions decision [of a district judge in a prior

non-disciplinary matter] without holding an independent evidentiary hearing.”

642 F.3d at 385 (emphasis added; citation and alterations omitted); see also id. at 397

(noting that “the [g]rievance [c]ommittee adopted [the] conclusion” of the sanctions

order in the prior non-disciplinary matter, rather than merely using filings and

transcripts from that matter as evidence in the disciplinary proceedings (emphasis

added)). We held that, since “an independent evidentiary hearing would not

have been duplicative of [the prior] sanctions proceeding” in that case, “the

[c]ommittee was incorrect to rely on such preclusion doctrines as collateral

estoppel and res judicata in finding that it need not hold its own hearing.” Id.

at 385–86.   But we said nothing in Peters to suggest that when a grievance

committee does “hold its own [evidentiary] hearing” – as the Committee did here –

it may not consider transcripts and filings from the charged attorney’s prior cases

as evidence of her misconduct. Id. at 386. Indeed, our own merits analysis in

Peters focused extensively on filings and transcripts from the charged attorney’s

                                          26
prior non-disciplinary matters as proper “evidence” of the attorney’s alleged

misconduct; moreover, we specifically instructed the district-court grievance

committee to make “detailed factual findings” on that “evidence” in its

evidentiary hearing “[o]n remand.”       Id. at 395, 397; see generally id. at 393–98

(analyzing filings and transcripts from non-disciplinary proceeding). Thus, to

the extent that Demetriades’s sufficiency-of-the-evidence challenge relies on her

contention that it was improper for the Committee to consider filings and

transcripts from her non-disciplinary matters in the Eastern District, it fails.

        2. Demetriades’s Specific Challenges to Individual Charges

        Also embedded in Demetriades’s overarching sufficiency-of-the-evidence

argument are more specific contentions that the Committee made legal and factual

errors in adjudicating particular charges for violations of the New York Rules of

Professional Conduct. We reject each of these contentions, which we address in

turn.

              a. False Statements

        With respect to the false-statements charge, Demetriades presses the legal

argument that Rule 3.3(a) covers only false statements “of material fact” (i.e.,

statements that would “undermine[] the integrity of the adjudicative process”)

                                          27
that are made with “venal intent.” Demetriades Br. at 16–17 (first quoting N.Y.

Rules of Prof. Con. 3.3(a)(1); then quoting N.Y. Rules of Prof. Con. 3.3 cmt. 2; then

quoting Peters, 642 F.3d at 394). She then asserts that the Committee failed to

prove these putative elements of the charge by clear and convincing evidence.

      As an initial matter, “venal intent” is not an element of Rule 3.3(a)’s

prohibition on making false statements to a tribunal; the rule requires only that a

lawyer “knowingly” make such a statement. N.Y. Rules of Prof. Con. 3.3(a)(1).

Demetriades cites our decision in Peters for the proposition that “‘venal intent’ is

required to support a charge of misrepresentation [under Rule 3.3(a)],”

Demetriades Br. at 17 (citing Peters, 642 F.3d at 394–95), but she once again

misreads Peters. There, we were dealing not with an attorney’s false statements

to a tribunal, but with “an attorney’s violation of a court order,” and we “stat[ed]

that ‘venal intent’ is [an] element of [a separate provision of the now-defunct New

York Code of Professional Responsibility],” Peters, 642 F.3d at 394 (citation

omitted), which was repealed and replaced by the Rules of Professional Conduct

in 2009, see N.Y. Code of Prof. Resp. § 1200.1 (noting repeal of Code of Professional

Responsibility, effective April 1, 2009); N.Y. Rules of Prof. Con., pmbl. (noting

enactment of Rules of Professional Conduct, effective April 1, 2009).

                                         28
      More to the point, the record makes amply clear that Demetriades did

“knowingly” lie about Pierre’s status. N.Y. Rules of Prof. Con. 3.3(a)(1). In a

November 2016 proceeding, the transcript of which was introduced at

Demetriades’s evidentiary hearing without objection, Magistrate Judge Mann

explicitly asked Demetriades whether Pierre was a “contract attorney[],” and

Demetriades responded, “No, she is an associate attorney with my firm.” App’x

at 781–82. And Demetriades, when testifying at her evidentiary hearing in these

proceedings, admitted that she understood that a “contract attorney” and an

“associate” are “two different things,” and that she “did use [the term ‘associate’]

deliberately.” Id. at 734–35.

      As for materiality, Demetriades argues that “[r]eferring to Pierre as her

‘associate’ was not a material fact that could be used to substantiate a

false[-]statement charge[;] it was an innocent statement used to refer to

[Demetriades’s] work companion during a fluid and developing relationship.”

Reply Br. at 27.   We are not persuaded.      Magistrate Judge Mann’s questions

regarding Pierre’s employment status were posed in the context of her expression

of concerns about “whether [Demetriades] was properly staffed to handle the

numerous ADA cases she had filed in the Eastern District,” “whether Demetriades

                                        29
was in compliance with requirements that she have an office in New York State,”

and “whether [Demetriades] had taken any real steps to adequately staff her office

and her cases.” Committee Br. at 28–29. Those concerns were clearly “material,”

N.Y. Rules of Prof. Con. 3.3(a)(1), to “the integrity of the adjudicative process,”

N.Y. Rules of Prof. Con. 3.3 cmt. 2. In sum, we agree with the Committee that

“Demetriades clearly understood the significance of [Magistrate Judge Mann’s]

questioning and chose to lie to the court.” Committee Br. at 29.

            b. Lack of Competency

      Regarding the lack-of-competency charge under Rule 1.1(a), Demetriades

(1) challenges the Committee’s failure to “retain[] a qualified expert witness to

determine if [she] was competent in disability law,” and (2) asserts that she “fully

explained the scope of her representation to her clients.”         Demetriades Br.

at 18–19. As to the first of these contentions, Demetriades provides no authority

for the proposition that a court must use expert testimony to conclude that an

attorney lacks competency – nor are we aware of any. Indeed, the New York

Court of Appeals has explained that the key inquiry under Rule 1.1(a) is whether

“an attorney failed to exercise the ordinary[,] reasonable skill and knowledge

commonly possessed by a member of the legal profession.” Darby & Darby, P.C. v.

                                        30
VSI Int'l, Inc., 95 N.Y.2d 308, 313 (2000) (emphasis added; internal quotation marks

omitted); see also N.Y. Rules of Prof. Con. 1.1 cmt. 1 (noting that typically, “the

required proficiency is that of a general practitioner”). By its terms, that inquiry

may be adequately performed by a court possessing “common[]” and “ordinary”

knowledge of the charged attorney’s practice area, without the aid of an expert

who specializes in that field. Darby & Darby, 95 N.Y.2d at 313 (citation omitted).

      As for Demetriades’s contention that she “fully explained the scope of her

representation to her clients,” Demetriades Br. at 19, this argument misses the

point. In Demetriades’s standard “retainer agreement,” her “client[s] waive[d]

the right to pursue monetary damages,” “waive[d] the right to bring any claims

under New York law,” “agree[d] to seek only injunctive relief,” and stipulated that

“any and all money . . . that’s awarded to the plaintiff as a result of the lawsuit

goes to [Demetriades].” App’x at 632–33. Whether or not Demetriades “fully

explained” to her clients that “no claim for monetary damages [would be] sought”

is not the issue. Demetriades Br. at 19. The issue is that she was not “aware”

that “disabled people denied access to properties can recover compensatory

damages” “under the New York City Human Rights Law” and “New York State

Human Rights Law.” App’x at 633–34 (emphasis added). Compare, e.g., Kreisler

                                        31
v. Second Ave. Diner Corp., No. 10-cv-7592 (RJS), 2012 WL 3961304, at *14 (S.D.N.Y.

Sept. 11, 2012) (“Both the [New York State Human Rights Law] and the [New York

City Human Rights Law] provide for compensatory damages for anyone

aggrieved by” a business’s “failure to provide [disabled customers] a reasonably

accessible facility.”), aff’d, 731 F.3d 184 (2d Cir. 2013), cert. denied, 572 U.S. 1115

(2014); with App’x at 634 (Demetriades stating, “I don’t think [it]’s an accurate

statement” that “New York State Law provides for compensatory damages when

disabled people are denied access”), and id. at 635 (Demetriades stating, “I have

not researched the issue in depth”). As the Committee explained, Demetriades’s

“demonstrated . . . ignorance of New York disability law” prevented her from

“meaningfully advis[ing]her clients regarding the claims they waived by signing

her limited[-]scope retainer agreements.”      Sp. App’x at 30 (emphasis added),

adopted, id. at 52 (“[T]he Committee adopts the Report and Recommendation in its

entirety.”).

               c. Disregarding Court Orders

      As to the charge for intentionally disregarding court orders under

Rule 1.1(a), Demetriades argues that her failures to appear as ordered by various

judges of the Eastern District were not intentional, but instead a product of her

                                          32
being “overwhelmed by a difficult situation caused by the severe illness and

intense care requirements of her dog, Malone.” Demetriades Br. at 20. But this

assertion is contradicted by Demetriades’s own testimony at the evidentiary

hearing, where she admitted that “there were times” when her failures to comply

with court-ordered deadlines and attend court-ordered appearances were

“notwithstanding [her] dog’s illness.” App’x at 724. Given that admission, it

was hardly a “clearly erroneous assessment of the evidence,” Peters, 642 F.3d at 384

(citation omitted), for the Committee to reject Demetriades’s argument that her

repeated “failures to comply with court orders and rules” over a period of roughly

four years were wholly outside her control, Sp. App’x at 31.

             d. Neglecting Clients’ Cases

      Demetriades next challenges the Committee’s finding that she neglected her

clients’ cases in violation of Rule 1.3(b), arguing that “evidence of record

demonstrates that [she] quickly obtained settlements in the vast majority of her

cases.” Demetriades Br. at 21. But the record is, in fact, replete with evidence of

Demetriades’s failures to meet filing deadlines in her clients’ cases, including

several instances in which her neglect resulted in her clients’ cases being dismissed

for failure to prosecute. That alone is sufficient to establish that Demetriades

                                         33
violated Rule 1.3(b), which demands simply that “[a] lawyer shall not neglect a

legal matter entrusted to th[at] lawyer.” N.Y. Rules of Prof. Con. 1.3(b) (emphasis

added). That she might not have neglected every legal matter entrusted to her, or

even many such matters, is of no moment.

            e. Delay of Litigation

      Demetriades raises a similar challenge to the Rule 3.2 charge for delay of

litigation, arguing that “in some instances” her delays could be chalked up to the

fact that “the defendant had not appeared and Ms. Demetriades did not . . . move

for default” because “defaults are not favorable in ADA cases,” and that “[t]his

was a proper purpose for nominally delaying a case.” Demetriades Br. at 22–23.

But as the Committee recognized, Demetriades’s “clients would have been in a

better position had [she] obtained default judgments, because they would have

had the option to enforce the relief requested in the default judgment motion or to

negotiate with the defendants.”      Sp. App’x at 55–56.      And while default

judgments may have made it more difficult to extract attorney’s fees, the official

comments to Rule 3.2 make clear that “[s]eeking or realizing financial or other

benefit from otherwise improper delay in litigation is not a legitimate interest of

the client.” N.Y. Rules of Prof. Con. 3.2 cmt. 1. Moreover, as the Committee

                                        34
noted, “[t]o the extent” that Demetriades may have “prefer[red] not to move for

default judgment at a particular time in a particular case for strategic reasons, she

ha[d] the procedural option to request an extension of the motion deadline or file

a status report informing the [district] [c]ourt of her proposed course of action.”

Sp. App’x at 37. By eschewing this option in favor of simply refusing to comply

with court-imposed deadlines to move for default judgments, Demetriades

engaged in “[d]ilatory practices” apt to “bring the administration of justice into

disrepute.” N.Y. Rules of Prof. Con. 3.2 cmt. 1.

             f. Discourteous Conduct

      With respect to her charge for discourteous conduct under Rule 3.3(f),

Demetriades argues that her discourteous statements to various judges of the

Eastern District were “justified” insofar as they were “in response to highly

prejudicial and biased statements made by the court,” and thus “do[] not

constitute a violation of Rules 3.3(f)(2)–(3).”         Demetriades Br. at 23.

Demetriades, however, cites no authority supporting the notion that her subjective

belief that she was justified in yelling at the court and leveling unsubstantiated

accusations of bias renders such activity permissible under Rule 3.3(f).

                                         35
             g. Unfairness to Opposing Counsel

      In an apparent afterthought, Demetriades baldly asserts that there was “no

evidence” that she engaged “intent[ionally] . . . or otherwise” in “unfair conduct

to opposing counsel in violation of Rule 3.4(c).” Id. at 24. Since this issue is

“adverted to [only] in a perfunctory manner, unaccompanied by [any] effort at

developed argumentation,” it must be “deemed waived,” Tolbert v. Queens Coll.,

242 F.3d 58, 75 (2d Cir. 2001) (citation omitted) – or, more precisely, forfeited, see

United States v. Graham, 51 F.4th 67, 79–80 (2d Cir. 2022). In any event, Rule 3.4(c)

treats “disregard[ing] a standing rule of a tribunal” as conduct that is unfair per se.

N.Y. Rules of Prof. Con. 3.4(c); see also, e.g., In re Gluck, 114 F. Supp. 3d 57, 60

(E.D.N.Y. 2015) (“In failing to diligently comply with court-ordered deadlines and

to appear at scheduled court conferences, Respondent . . . acted unfairly towards

opposing parties and counsel (Rule 3.4) . . . .”); In re Myerowitz, 103 N.Y.S.3d 87, 89

(1st Dep’t 2019) (noting that attorney had “violated New York[] Rule[] of

Professional Conduct . . . 3.4(c)” by his “disregard of a standing rule of a tribunal

or a ruling of a tribunal made in the course of a proceeding”). And here, the

record is replete with examples of Demetriades’s disregard of the Eastern District’s

rules, deadlines, and orders. Indeed, “[i]n approximately a dozen [of her] cases,”

                                          36
Demetriades “failed to comply with multiple filing deadlines or [c]ourt instructions

within the same case.” Sp. App’x at 9 (emphasis in original).

   D. Reasonableness of Sanctions

      Finally, Demetriades argues that the “six[-]month suspension” imposed by

the Committee “was excessively harsh and unwarranted” (1) insofar as “[n]one of

[her] clients were harmed by her representation,” and (2) in light of “the extreme

stress she was undergoing” due to the fact that she had a “severely ill pet located

in Florida.” Demetriades Br. at 25–26.

      As for the first of these contentions, Demetriades’s representation did harm

her clients. Her “ignorance of New York disability law” resulted in “her clients[’]

agree[ing] ‘not to pursue potentially viable claims under New York state and city

law,’ including the ability to obtain $1,000 in compensatory damages.” Sp. App’x

at 63 (quoting id. at 52). Moreover, her neglect and “dilatory tactics . . . resulted

in at least eleven ‘failure-to-prosecute’ dismissals” of her clients’ cases. Id.

      As for Demetriades’s second contention, the Committee expressly credited

the “extreme stress” caused by the illness of Demetriades’s “long-time canine

companion of fourteen and three-quarter (14 ¾) years, Mr. Malone” as a

“mitigating factor[].” Id. at 68 (quoting Dist. Ct. Doc. No. 49-1 ¶ 9 (Demetriades’s

                                          37
sanctions-phase affidavit)).      More to the point, the Committee carefully

considered analogous New York cases and the factors set out in the ABA

Standards for Imposing Lawyer Sanctions before imposing Demetriades’s six-

month suspension from practicing law in the Eastern District. That suspension is

at the low end of what the ABA Standards would recommend for an attorney in

Demetriades’s circumstances – “a period of time equal to or greater than six

months,” id. at 80 (quoting ABA Standards § 2.3) (emphasis added) – and indeed

more lenient than the suspensions that New York courts have imposed for

attorneys found liable for arguably less-egregious misconduct, see, e.g., In re

McGrath, 63 N.Y.S.3d 56, 57–58 (2d Dep’t 2017) (upholding six-month suspension

for attorney found liable for neglecting cases, but neither lying to a tribunal, failing

to provide competent representation, violating court orders, nor engaging in

discourteous conduct before a tribunal); see also In re Jean-Jerome, 19 N.Y.S.3d 321,

322, 324 (2d Dep’t 2015) (imposing two-year suspension for same, where attorney

also engaged in conflict of interest).      In these circumstances, the six-month

suspension the Committee handed down to Demetriades was well “within the

range of permissible decisions.” Peters, 642 F.3d at 384 (citation omitted).

                                          38
                               IV.   CONCLUSION

      Demetriades violated her most basic duty to the vulnerable clients who

depended on her:     to provide them with diligent, competent representation.

Along the way, her neglectful and discourteous conduct harmed the

administration of justice itself. The Committee’s evidence establishing as much

was unassailable.

      For the foregoing reasons, we AFFIRM the orders of the Committee and

ORDER that the docket in this appeal, and all its contents, be unsealed.

                                        39