Court Opinion

ID: 2985765
Source: CourtListenerOpinion
Date Created: 2015-09-23 00:17:51.776387+00
Date Added: 2024-06-11T11:44:43.688903
License: Public Domain

Petition for Writ of Mandamus Conditionally Granted and Memorandum
Opinion filed October 15, 2013.

                                     In The

                    Fourteenth Court of Appeals

                               NO. 14-13-00566-CV

                   IN RE DEBRA C. GUNN, M.D., Relator

                         ORIGINAL PROCEEDING
                           WRIT OF MANDAMUS
                             Probate Court No. 2
                             Harris County, Texas
                      Trial Court Cause No. 352,923-401

                       MEMORANDUM OPINION

      Relator Debra C. Gunn, M.D. filed a petition for writ of mandamus in this
court. See Tex. Gov’t Code § 22.221; see also Tex. R. App. P. 52. In the petition,
relator asks this court to compel the Honorable Mike Wood, presiding judge of
Probate Court No. 2 of Harris County, to set aside his June 11, 2013, order
granting a post-verdict motion to disqualify relator’s trial counsel. Relator also
filed a motion to stay proceedings below pending a decision on her petition. See
Tex. R. App. P. 52.10. After receiving notification that the parties were
unsuccessful in their attempt to reach an agreement, this court granted the motion
for stay on July 26, 2013, and requested the real parties-in-interest to file responses
to the petition. Responses have now been filed. We conditionally grant mandamus
relief.

                        I. Factual and Procedural Background

          In 2006, Aaron McCoy, as permanent guardian for his wife (the plaintiff),
filed the underlying medical malpractice action, alleging that the defendants’
negligence caused his wife’s brain damage. Relator and her professional
association/employer, Obstetrical & Gynecological Associates (OGA), were
named as defendants.1 The plaintiff alleged that OGA was vicariously liable for
relator’s acts or omissions.2 It is undisputed that relator and OGA shared counsel,
Barbara Hilburn and her firm (Hilburn), during the nearly five years preceding
trial.

          In September of 2011, about six weeks before trial, OGA retained separate
trial counsel, Michael Feehan. The case was tried to a jury, which rendered a
verdict in November of 2011. The jury found relator’s negligence caused the
plaintiff’s injuries and awarded more than $10 million in compensatory damages.

1
 OGA was named in the Original Petition as ―Obstetrical and Gynecological Associates, P.A.‖
The record reflects that OGA converted to a Professional Limited Liability Company (PLLC) in
2011. Claims against other defendants were settled and are not at issue here.
2
  In an interlocutory appeal, this court affirmed an order denying OGA’s motion to dismiss for
failure to file an expert report pursuant to Chapter 74 of the Civil Practice and Remedies Code,
holding that the plaintiff’s claims against OGA were not direct-liability claims for which a
separate expert report was required. See Obstetrical & Gynecological Assocs., P.A. v. McCoy,
283 S.W.3d 96, 110 (Tex. App.—Houston [14th Dist.] 2009, pet. denied).
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On December 23, 2011, the plaintiff moved for judgment on the verdict, after
applying settlement credits. No judgment has been signed, however. Instead of
urging the trial court to sign a judgment, the plaintiff has filed post-verdict
amended pleadings to correct OGA’s status as a PLLC and add new defendants.

       In August of 2012, OGA’s CFO requested that relator attend a meeting at
which a new attorney for OGA, Spencer Markle, was also present. At the meeting,
relator refused to join in OGA’s plan to sue its defense attorneys. On December 3,
2012, Markle wrote to relator advising her that he intended to file suit against her
for indemnity. Markle then moved to substitute as counsel in place of OGA’s
previous appellate counsel, but OGA’s trial counsel, Feehan, apparently also
continues to represent OGA.3 On January 30, 2013, Markle filed a pleading
asserting another ―Original Answer‖ on behalf of OGA, a cross-claim for
indemnity against relator, and a third-party action against Hilburn for legal
malpractice. On February 15, 2013, OGA moved to disqualify Hilburn, based upon
its suit against relator for indemnity. The motion was amended and/or
supplemented twice. On June 11, 2013, the trial court signed an order granting
OGA’s first supplemental motion, and this proceeding followed.

                                  II. Mandamus Standard

       Mandamus is an extraordinary remedy, available only when a trial court
clearly abuses its discretion and there is no adequate remedy by appeal. Walker v.

3
 Relator asserts that the trial court’s records do not reflect that Markle’s motion to substitute as
counsel was granted and Michael Feehan remains OGA’s attorney-in-charge. Relator filed a
motion for Markle to show authority. See Tex. R. Civ. P. 12. The record indicates the court
expressed its satisfaction with the evidence presented to show that OGA’s board had retained
Markle and the Rule 12 motion was denied.
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Packer, 827 S.W.2d 833, 840–44 (Tex. 1992). An appellate court may not deal
with disputed areas of fact in a mandamus proceeding. See In re Angelini, 186
S.W.3d 558, 560 (Tex. 2006). Therefore, relator must establish that the trial court
could reasonably have reached only one decision. Walker, 827 S.W.2d at 840.

      We cannot defer to a lower court’s judgment on matters of law, however. Id.
The trial court has no ―discretion‖ in determining what the law is or applying the
law to the facts, and a clear failure by the trial court to analyze or apply the law
correctly will constitute an abuse of discretion. Id.

      Because there is no adequate remedy by appeal, mandamus relief is
appropriate to correct a trial court’s clear abuse of discretion in disqualifying a
party’s chosen counsel. See In re Guar. Ins. Servs., Inc., 343 S.W.3d 130, 132
(Tex. 2011).

                          III. Disqualification of Counsel

      A motion to disqualify counsel is the proper procedural vehicle to challenge
an attorney’s representation that is adverse to a former client. NCNB Tex. Nat’l
Bank v. Coker, 765 S.W.2d 398, 399 (Tex. 1989). Disqualification is a severe
remedy, which can result in immediate harm by depriving a party of the right to
have counsel of its choice. In re Nitla S.A. de C.V., 92 S.W.3d 419, 423 (Tex.
2002). In addition to the ability of a client to have the lawyer of its choice, other
factors weighing against granting a motion to disqualify a party’s attorney include
concerns about the prejudice and economic harm that could result to a client when
the disqualification of its counsel is ordered, and concerns about motions to
disqualify being abused as a dilatory tactic. In re Columbia Valley Healthcare Sys.,

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L.P. 320 S.W.3d 819, 825 (Tex. 2010). The courts must adhere to an exacting
standard when considering motions to disqualify so as to discourage their use as a
dilatory trial tactic. Spears v. Fourth Ct. App., 797 S.W.2d 654, 656 (Tex. 1990).

A. Burden of Proof

      The movant bears the burden to prove that the attorney should be
disqualified. See In re Sanders, 153 S.W.3d 54, 57 (Tex. 2004) (stating the party
requesting disqualification must demonstrate an opposing lawyer’s dual roles as
attorney and witness will cause the party actual prejudice); In re Nitla, 92 S.W.3d
at 423 (holding that the party moving to disqualify opposing counsel who reviewed
privileged documents must show actual harm and that disqualification is necessary
because the trial court lacks any lesser means to remedy the moving party’s harm);
NCNB Tex. Nat’l Bank, 765 S.W.2d at 400 (requiring moving party to prove the
existence of a prior attorney-client relationship in which the factual matters
involved were so related to the facts in the pending litigation that it creates a
genuine threat that confidences revealed to the former counsel will be divulged to
the present adversary). This burden requires proof of specific facts to meet the
exacting standard necessary to establish disqualification is required. See Spears,
797 S.W.2d at 656.

B. The Texas Disciplinary Rules of Professional Conduct

      The Texas Disciplinary Rules of Professional Conduct do not determine
whether counsel is disqualified, but they do provide guidelines and suggest the
relevant issues courts should consider. Nat’l Med. Enters., Inc. v. Godbey, 924
S.W.2d 123, 132 (Tex. 1996). Even if a lawyer violates a disciplinary rule,

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however, the party requesting disqualification must demonstrate that the opposing
lawyer’s conduct caused actual prejudice that requires disqualification. See In re
Users Sys. Servs., Inc., 22 S.W.3d 331, 336 (Tex. 1999).

       In its motion for disqualification, OGA asserted that Hilburn’s continued
representation of relator is in violation of Rule 1.09, which addresses conflicts of
interest that arise in representing someone who is adverse to a former client. See
Tex. Disc. R. Prof’l Conduct 1.09, reprinted in Gov’t Code tit. 2, subtit. G, app. A,
art. 10, § 9. While OGA argued below that a violation of this rule mandated
disqualification, we note that Rule 1.09 does not absolutely prohibit a lawyer from
representing a client against a former client. See id., cmt. 3. In addition, in this
case, OGA has sued Hilburn for malpractice, which impacts Hilburn’s duty of
confidentiality to her former client. Rule 1.05 permits a lawyer to reveal
confidential information ―[t]o the extent reasonably necessary to enforce a claim or
establish a defense on behalf of the lawyer in a controversy between the lawyer
and the client.‖ Tex. Disc. R. Prof’l Conduct 1.05(c)(5), reprinted in Gov’t Code
tit. 2, subtit. G, app. A, art. 10, § 9.

       OGA also cited Rule 1.06(d) to the trial court, which provides: ―A lawyer
who has represented multiple parties in a matter shall not thereafter represent any
of such parties in a dispute among the parties arising out of the matter, unless prior
consent is obtained from all such parties to the dispute.‖ Tex. Disc. R. Prof’l
Conduct 1.06(d), reprinted in Tex. Gov’t Code, tit. 2, subtit. G, app. A, art. 10, § 9.
Thus, while not encouraged, concurrent representation of adverse clients is
permitted in Texas in certain circumstances. See Conoco, Inc. v. Baskin, 803
S.W.2d 416, 419 (Tex. App.—El Paso 1991, orig. proceeding). Rule 1.06(c) sets

                                           6
out limitations on concurrent representation. See Tex. Disc. R. Prof’l Conduct
1.06(c), reprinted in Tex. Gov’t Code, tit. 2, subtit. G, app. A, art. 10, § 9
(permitting an attorney or law firm to continue multiple representation of adverse
clients where the attorney reasonably believes his representation of each client will
not be materially affected and consent is obtained from each client after full
disclosure of the existence, nature, implications and possible adverse consequences
of such multiple representation).

                                IV. Relator’s Issues

      In her first issue, relator alleges that the trial court abused its discretion in
granting OGA’s motion to disqualify her counsel for several reasons. Relator
asserts in her second issue that she has no adequate remedy by appeal. We first
address relator’s contention that OGA failed to meet its burden to establish that
disqualification is required because its motion contained no specific factual
allegations or evidentiary support.

A. Sufficiency of OGA’s Motion

      OGA’s motion to disqualify, as amended and supplemented, made general
allegations, was not verified, and included no affidavit or evidence to support
disqualification. OGA’s motion stated:

             Opposing counsel personally represented Defendant OGA and
      Defendant Debra Gunn, M.D. in a case involving a matter factually
      related to this present case. Actually, opposing counsel, Barbara A.
      Hilburn, still represents Defendant Debra Gunn, M.D. in these present
      action(s) before this Court. The Defendants Debra Gunn, M.D. and
      Defendant OGA stand in adversarial opposition to each other at this
      present place and time in these proceedings. There is, therefore, a
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      genuine threat that Defendant OGA’s former confidences will be
      divulged to Defendant Debra Gunn, M.D. through her present
      counsel, Barbara A. Hilburn.
      OGA stated in its motion that Hilburn viewed ―massive amounts of court
documents and correspondence‖ in her representation of both defendants, and there
is a threat that OGA’s former confidences will be divulged to relator through
Hilburn. Yet it failed to demonstrate how confidential information could be used
against it in an indemnity action against relator or explain how it would be harmed
by Hilburn’s continued representation of relator.

      To support the allegations in its motion, OGA cited to the unverified
allegations in its pleadings and brief in support of its motion. OGA provided no
affidavits or witnesses to establish grounds for disqualification. While
disqualification was discussed at hearings held in conjunction with other matters
on March 5, 2013, and June 11, 2013, there was no evidence adduced at the
hearings to demonstrate that disqualification was necessary. Before this court,
OGA attempts to shift the burden to relator to establish that she will be harmed by
the disqualification of her counsel. It was OGA’s burden to establish its harm
posed by Hilburn’s continued representation of relator, and it failed to meet its
burden.

      In her response to the motion to disqualify Hilburn, relator provided
Hilburn’s affidavit, in which she averred that she represented relator and OGA
pursuant to a joint defense arrangement, and she had not accepted any
representation adverse to OGA after the verdict, or in any case that was
substantially related to her representation of OGA. Hilburn swore she had never
received any confidential or privileged information from OGA. To the contrary,
                                         8
Hilburn asserted that she received only contracts and other documents in relator’s
custody related to relator’s contract with OGA that were disclosed to all parties to
the litigation.

       OGA seeks disqualification because of an alleged conflict of interest, in
violation of disciplinary rules, based on Hilburn’s former representation of OGA.
As discussed above, the disciplinary rules are guidelines—not controlling
standards—for disqualification motions. In re Nitla, 92 S.W.3d at 422. An
allegation of a violation of the rules does not necessarily require disqualification;
the party requesting disqualification must demonstrate that disqualification is
required. In re Users Sys. Servs., 22 S.W.3d at 336. As such, OGA may not rely
solely on these allegations of disciplinary rule violations to support
disqualification.

       As authority for disqualification, OGA cited In re Roseland Oil & Gas, Inc.,
68 S.W.3d 784 (Tex. App.—Eastland 2001, orig. proceeding). Roseland Oil &
Gas, Inc. sued several defendants regarding an oil and gas lease. Id. at 786. All of
the defendants were originally represented by the same counsel. Id. After discovery
had begun, counsel withdrew from representing two defendants. Id. Roseland,
joined by the former clients, moved to disqualify counsel from continuing to
represent the remaining defendants. The Eastland Court of Appeals held that the
moving defendants were exposed to serious risk from allegations made by the
other defendants, and the court discussed potential scenarios where the challenged
attorney ―might be forced to make the choice between zealously representing his
clients and maintaining the confidentiality of information received from his former
clients.‖ Id. at 787–88.

                                         9
       The facts in Roseland are quite different than those in this case. OGA did not
allege any specific risk of disclosure of its confidential information in its suit for
indemnity or otherwise show how it will be harmed by Hilburn’s continued
representation of relator. Hilburn presented an uncontroverted affidavit that she
possessed no confidential information belonging to OGA. Roseland does not
support disqualification on the facts of this case.

       OGA also cited National Medical Enterprises, Inc. v. Godbey to support
disqualification. 924 S.W.2d 123 (Tex. 1996). In that case, the challenged attorney
admitted that he had obtained confidential information about NME in substantially
related cases, and he had pledged to preserve those confidences in a joint defense
agreement. Id. at 129. He could not therefore prosecute pending claims against
NME. Id. Accordingly, the motions to disqualify the lawyer and his firm should
have been granted. Id. at 131–32. In this case, Hilburn expressly denied receiving
any confidential information regarding OGA, and OGA provided no evidence to
the contrary. Godbey likewise provides no support for disqualification on the facts
of this case.

       The Texas Supreme Court has cautioned that a motion to disqualify will
have the appearance of a tactical weapon when it lacks supporting proof. See
Spears, 797 S.W.2d at 658. The court has condemned speculative and contingent
allegations in motions to disqualify. Id. (citing NCNB Tex. Nat’l Bank, 765 S.W.2d
at 400). OGA’s motion lacks supporting proof.

       A trial court abuses its discretion in granting a motion to disqualify if no
evidence is presented proving that disqualification is warranted. In re Chonody, 49
S.W.3d 376, 380 (Tex. App.—Fort Worth 2000, orig. proceeding) (granting
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mandamus where party moving for disqualification failed to present evidence
showing a genuine threat exists that the attorney may divulge confidential
information obtained in the other representation). Here, OGA failed to present
evidence to establish Hilburn’s disqualification. Not only did OGA wholly fail to
prove that Hilburn should be disqualified, but also it failed to allege facts which, if
supported by evidence, would authorize disqualification. Accordingly, the trial
court abused its discretion in granting OGA’s motions to disqualify Hilburn.

B. Waiver

      In addition to the motions’ lack of specificity and evidentiary support,
relator asserts that OGA waited too long to raise the issue of a conflict with
Hilburn. She asserts that OGA offered no explanation justifying its delay in filing
its disqualification motions, waiving its complaint. Not only did OGA agree to
joint representation with relator for five years, OGA waited over a year after it
obtained separate counsel before filing its motion to disqualify.

      In determining waiver, courts consider the length of time between when the
conflict became apparent and the filing of the motion. In re La. Tex. Healthcare
Mgmt., L.L.C., 349 S.W.3d 688, 689 (Tex. App.—Houston [14th Dist.] 2011, orig.
proceeding). A party who fails to file its motion to disqualify opposing counsel in a
timely manner waives the complaint. Vaughan v. Walther, 875 S.W.2d 690, 690
(Tex. 1994) (per curiam) (finding waiver after a delay of six and a half months); In
re La. Tex. Healthcare Mgmt., 349 S.W.3d at 689 (holding the record supported
the trial court’s implied finding that relators waived their right to seek
disqualification by waiting thirteen months after conflict became apparent);
Conoco, 803 S.W.2d at 420 (finding waiver of disqualification where relator was
                                          11
alerted to the potential conflict six months prior to the trial date and four months
prior to filing of the motion to disqualify).

      In this case, OGA contends that Hilburn may not continue to represent
relator because Hilburn formerly represented OGA, who now is adverse to relator
because of its claim for indemnity. OGA was aware of the potential indemnity
claim before trial. In its response to this petition, OGA acknowledges that ―Hilburn
represented OGA and Dr. Gunn for at least five years in this lawsuit. It was not
until one week before the trial setting in late September, 2011 that Hilburn finally
recognized the severe conflict of interest in representing both Defendants OGA and
Dr. Gunn and withdrew as counsel for OGA.‖ Thus, OGA acknowledges that it
was aware of the conflict a few weeks before trial when it obtained new
representation. OGA’s first motion to disqualify Hilburn was not filed until
February of 2013, some fifteen months later. At the very latest, its conflict with
relator and her counsel was made clear in November of 2011 when the jury
returned a $10 million verdict against relator for which OGA may be held
vicariously liable.

      The Texas Supreme Court considered waiver of a motion to disqualify
counsel in In re EPIC Holdings, Inc. 985 S.W.2d 41 (Tex. 1998). The court held
that an employee’s attorneys were disqualified from representing her in a suit
challenging the terms of a merger involving EPIC, which was owned in part by its
employee stock ownership plan, because of the attorneys’ previous affiliation with
the firm involved in the formation of corporation. Id. at 43. None of the factors that
the Texas Supreme Court considered in rejecting waiver in EPIC Holdings are
present in this case. The court held that EPIC had satisfactorily explained a delay

                                           12
of four months after suit was filed before it raised an issue and a further delay of
seven more months before filing motions to disqualify counsel. Id. at 52–53.
Counsel was unaware of the connection between the attorneys and law firms who
previously represented EPIC that raised a potential conflict until suit had been
pending for four months. Id. at 47. The parties then exchanged information related
to the potential conflict and disqualification issues over the next three months. Id.
It did not become apparent until trial began that the plaintiff’s case involved
criticism of counsel’s work on EPIC’s formation. Id. Thus, the grounds for
disqualification were based in large part on the events occurring during trial that
made the conflict become apparent. Id.

      In contrast, the ground for disqualification in this case is based on OGA’s
claim for indemnification from relator, the basis of which has existed since suit
was filed, or at the latest, since the jury verdict in 2011. The Texas Supreme Court
has recognized that when indemnification is at issue, the adversity between the
parties is ―not merely hypothetical.‖ EPIC Holdings, 985 S.W.2d at 50. ―Adversity
is a product of the likelihood of the risk [that a lawsuit poses to a person’s
interests] and the seriousness of its consequences.‖ Nat’l Med. Enters., Inc., 924
S.W.2d at 132. When indemnification is at issue, a lawsuit poses an ―almost certain
risk‖ of liability, if only for attorney’s fees. EPIC Holdings, 985 S.W.2d at 50. A
comment to the disciplinary rules recognizes that a conflict exists when an attorney
represents co-defendants who are not only actually adverse, but where the potential
for conflict exists or may develop as a result of trial or settlement. See Tex. Disc.
R. Prof’l Conduct 1.06, reprinted in Tex. Gov’t Code, tit. 2, subtit. G app. A, art.
X, § 9, cmt. 3.

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      There are no material factual disputes regarding OGA’s knowledge of the
conflict and the delay in filing its motion for disqualification. Because of the long
delay in filing a motion to disqualify in this case, we hold that OGA has waived its
right to seek Hilburn’s disqualification. Therefore, the trial court’s implied finding
of no waiver constitutes an abuse of discretion.

                                    V. Conclusion

      We hold that the trial court abused its discretion in granting OGA’s post-
verdict motion to disqualify Hilburn and relator has no adequate remedy by appeal.
Accordingly, we conditionally grant the writ of mandamus and direct the trial court
to vacate its order granting OGA’s motion to disqualify Hilburn. The writ will
issue only if the trial court fails to comply. This court’s stay of proceedings is lifted
so that the trial court may vacate its order, at which time the stay is fully dissolved.

                                       PER CURIAM

Panel Consists of Justices McCally, Busby, and Donovan.

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