                                 NO. 12-12-00433-CV

                        IN THE COURT OF APPEALS

              TWELFTH COURT OF APPEALS DISTRICT

                                    TYLER, TEXAS

IN RE: IN THE                               §

INTEREST OF                                 §              ORIGINAL PROCEEDING

C.G.H., A MINOR                             §

                                 MEMORANDUM OPINION
       Relators Lauren Ashley Stainback and Leslie Gayle Stainback filed a petition for writ of
mandamus challenging the trial court‟s order granting the motion to disqualify counsel filed by
trial counsel for real parties in interest, James, Jennifer, and Zachary Hugo. The respondent is
the Honorable Carole Clark, Judge of the 321st Judicial District Court, Smith County, Texas.
We deny the petition.


                                        BACKGROUND
       Zachary Hugo and Lauren Stainback are the parents of C.G.H., who is fourteen months
old. Zachary‟s parents, James and Jennifer Hugo, brought a suit affecting the parent-child
relationship by which they sought sole managing conservatorship of C.G.H. Leslie Stainback,
Lauren‟s mother, counterclaimed for conservatorship in her individual capacity and as next
friend for Lauren.
       At all times pertinent to this opinion, the Stainbacks were represented by their trial
counsel, Beau Sinclair. Zachary has a girlfriend named Summer Brown, to whom he recently
became engaged. Brown‟s grandmother, Mary Moore, was previously represented by Sinclair
when she sought custody of Brown, approximately two years earlier. In August 2012, the
Stainbacks subpoenaed Brown as a witness. In September 2012, the Hugos designated Brown
and Moore as witnesses.
        On September 17, 2012, the Hugos‟ trial counsel filed an amended motion to disqualify
Sinclair from representing the Stainbacks. They argued that when Sinclair represented Moore,
she revealed confidential and privileged information about Brown to him, and that his continued
representation of the Stainbacks would be in violation of Texas Disciplinary Rule of Professional
Conduct 1.09(a).1
        On September 26, 2012, the trial court conducted a hearing on the Hugos‟ motion.
Following the hearing, the trial court granted the Hugos‟ motion, noting that Sinclair‟s
representation of the Hugos is adverse to Moore and either (1) in reasonable probability, will
involve a violation of Rule 1.05, or (2) is substantially related to the pending litigation.
Thereafter, the Stainbacks filed this petition for writ of mandamus.


                                      AVAILABILITY OF MANDAMUS
        Mandamus will issue to correct a clear abuse of discretion where there is no adequate
remedy by appeal. In re Cerberus Capital Mgmt., L.P., 164 S.W.3d 379, 382 (Tex. 2005);
Walker v. Packer, 827 S.W.2d 833, 839–40 (Tex. 1992). The trial court abuses its discretion if it
reaches a decision so arbitrary and unreasonable as to amount to a clear and prejudicial error of
law or if it clearly fails to correctly analyze or apply the law. Id. The granting or denial of a
motion to disqualify is reviewable by mandamus. In re Bahn, 13 S.W.3d 865, 872 (Tex. App.–
Fort Worth 2000, orig. proceeding). Moreover, disqualification of counsel renders remedy by
appeal inadequate. In re Nitla S.A. de C.V., 92 S.W.3d 419, 422 (Tex. 2002). Accordingly, our
analysis will focus on whether the trial court abused its discretion.


                                     DISQUALIFICATION OF COUNSEL
        In their petition, the Stainbacks argue that the trial court abused its discretion in granting
the motion to disqualify because (1) the Hugos, who were never represented by Sinclair, lack
standing to seek to disqualify him and (2) the evidence presented does not support Sinclair‟s
disqualification.


        1
           We note that the Hugos cited to Rule 1.09(a)(1) and (a)(4). The current version of the statute does not
contain a subsection “(a)(4).” However, based on the language of the statute upon which the Hugos relied, it is
apparent that they sought disqualification under Rule 1.09(a)(2) and (3). See TEX. DISCIPLINARY RULES PROF‟L
CONDUCT R. 1.09(a)(2), (3), reprinted in TEX. GOV‟T CODE ANN., tit. 2, subtit. G, app. A (West 2013) (Tex. State
Bar R. art. X, § 9).

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Standing to Move for Disqualification
       We first consider whether a nonclient litigant can move to disqualify opposing counsel
under Rule 1.09(a). Rule 1.09 applies when a lawyer‟s representation of a person creates a
conflict of interest with a former client. See TEX. DISCIPLINARY RULES PROF‟L CONDUCT R.
1.09, reprinted in TEX. GOV‟T CODE ANN., tit. 2, subtit. G, app. A (West 2013) (Tex. State Bar R.
art. X, § 9). The Stainbacks cite no authority addressing standing under Rule 1.09, nor have we
been able to locate any such authority. Instead, the Stainbacks cite In re Robinson, 90 S.W.3d
921 (Tex. App.–San Antonio 2002, orig. proceeding), Jones v. Lurie, 32 S.W.3d 737 (Tex.
App.–Houston [14th Dist.] 2000, no pet.), Glassell v. Ellis, 956 S.W.2d 676 (Tex. App.–
Texarkana 1997, pet. dism‟d w.o.j.), and other cases to support their argument.
       In Robinson, the court considered a similar issue pertaining to a motion to disqualify
pursuant to Texas Disciplinary Rule of Professional Conduct 1.06 (the general conflict of interest
rule). See Robinson, 90 S.W.3d at 924. In its analysis, the court considered the cases on which
the Stainbacks rely. Id. The court noted that some of the cases were decided before the Rules of
Professional Conduct were enacted and made effective in 1990. Id. The court also specifically
addressed the then-recent decisions in Jones and Glassell, but noted that neither court in those
cases mentioned the Rules of Professional Conduct, the preamble to the Rules, or the comments
thereto. See id. The court further stated that “[i]n spite of the fact that the disciplinary rules are
merely guidelines–not controlling standards–for disqualification that could not be reconciled
with the Texas Rules of Professional Conduct[,] it would be injudicious for this court to employ
a rule of disqualification that could not be reconciled with the Texas Rules of Professional
Conduct.” Id. at 924-25. As a result, the court discussed the issue in light of the Disciplinary
Rules of Professional Conduct as follows:


                 Comment 17 to Rule 1.06 provides that if a conflict as outlined in the rule arises, it is
       “primarily the responsibility of the lawyer undertaking the representation” to point out the conflict.
       DISCIPLINARY R. PROF‟L CONDUCT 1.06, cmt. 17. A court, however, may raise the question when
       there is reason to infer that the lawyer has neglected the responsibility. Id. “Where the conflict is
       such as clearly to call in question the fair or efficient administration of justice, opposing counsel
       may properly raise the question. Such an objection should be viewed with great caution, however,
       for it can be misused as a technique of harassment.” Id. (emphasis added). Comment 17 is clear.
       Opposing counsel has standing to seek disqualification, if a conflict which violates the rules exists
       and is sufficiently severe to “call in question the fair or efficient administration of justice.” Id.;
       Zarco Supply Co. v. Bonnell, 658 So.2d 151, 154 (Fla. Dist. Ct. App. 1995) (conferring on Zarco
       standing to seek disqualification of opposing counsel because conflict “clearly calls into question
       „the fair or efficient administration of justice‟”); see Kenn Air Corp. v. Gainesville–Alachua
       County Regional Airport Auth., 593 So.2d 1219, 1222 (Fla. Dist. Ct. App. 1992) (allowing

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        someone other than former client to move for disqualification in instances involving conflicts of
        interest in simultaneous representations); Appeal of Infotechnology, Inc., 582 A.2d 215, 221 (Del.
        1990) (concluding that nonclient litigant may move to disqualify opposing counsel, but must
        prove by clear and convincing evidence that conflict exists and that it will prejudice fairness of
        proceedings).



Id. at 925 (emphasis in original). This discussion and the holdings on the subject from other
jurisdictions set forth in Robinson are informative and analogous to the Rule 1.09 motion filed in
the instant case.
        Most often, a motion filed in a trial court, though filed by an attorney, is attributed to the
party represented by that attorney. See, e.g., TEX. R. CIV. P. 7, 13. Indeed, in the case at hand,
the Hugos‟ motion was brought in their name, but signed by their trial counsel. The record also
reflects that, before filing the motion, the Hugos‟ trial counsel personally brought the matter to
Sinclair‟s attention. When he declined to withdraw, the Hugos‟ trial counsel sought to have him
disqualified by filing the motion at issue. And though counsel filed the motion in the Hugos‟
name, she signed the motion. See id. We conclude that the motion reasonably can be attributed
to the Hugos‟ trial counsel as permitted by the Rules of Professional Conduct.                         See TEX.
DISCIPLINARY RULES PROF‟L CONDUCT R. 1.06, cmt. 17. Moreover, as set forth in greater detail
below, because the risk that Sinclair would use the information in examining Brown and Moore
in his zealous representation of the Stainbacks is high, we conclude that the conflict here calls
into question the fair administration of justice. Therefore, we hold that the fact that the Hugos
were never represented by Sinclair has no bearing on whether their trial counsel could seek to
disqualify Sinclair pursuant to Rule 1.09.            Id.    Accordingly, the Hugos‟ trial counsel had
standing to seek Sinclair‟s disqualification.
Grounds Supporting Disqualification
        We next consider whether the trial court abused its discretion in granting the motion to
disqualify Sinclair. The Hugos‟ motion and the trial court‟s order, pronounced on the record at
the hearing, focused on the guidelines in Rule 1.09(a)(2) and (3). We first consider whether the
trial court abused its discretion in granting the Hugos‟ motion pursuant to Rule 1.09(a)(2).
        Governing Law
        Disqualification is a severe remedy that can result in immediate harm by depriving a
party of the right to have counsel of its choice. Cimarron Agr., Ltd. v. Guitar Holding Co.,
L.P., 209 S.W.3d 197, 201 (Tex. App.–El Paso 2006, no pet.); see Spears v. Fourth Court of

                                                        4
Appeals, 797 S.W.2d 654, 656 (Tex. 1990). Accordingly, in ruling on a motion to disqualify, the
trial court must strictly adhere to an exacting standard to discourage use of disqualification as a
dilatory trial tactic. Cimarron, 209 S.W.3d at 201. The movant bears the burden of proving that
the attorney should be disqualified. Id.
       Mere allegations of unethical conduct or evidence showing a remote possibility of a
violation of the disciplinary rules will not suffice under the “exacting standard” required to grant
a motion to disqualify. Id. Rather, the movant must provide the trial court with sufficient
information so that it can engage in a painstaking analysis of the facts. Id. A movant is not
required to reveal any confidences, but must delineate with specificity the subject matter, issues,
and causes of action presented in the former representation. Id.
       The Texas Disciplinary Rules of Professional Conduct do not determine whether former
counsel should be disqualified in any subsequent litigation, but they do provide guidelines and
suggest the relevant considerations. Id. Technical compliance with ethical rules might not
foreclose disqualification, and conversely a violation of ethical rules might not require
disqualification. In re Users Sys. Svcs., Inc., 22 S.W.3d 331, 334 (Tex. 1999).
       Without receiving prior consent, a lawyer who personally has formerly represented a
client in a matter shall not thereafter represent another person in a matter that is adverse to the
former client if the representation in reasonable probability will involve a violation of Rule 1.05.2
See TEX. DISCIPLINARY RULES PROF‟L CONDUCT R. 1.09(a)(2). Rule 1.05 pertains to
confidentiality of information and restricts its use and dissemination. TEX. DISCIPLINARY RULES
PROF‟L CONDUCT R. 1.05, reprinted in TEX. GOV‟T CODE ANN., tit. 2, subtit. G, app. A (West
2013) (Tex. State Bar R. art. X, § 9).
       Adversity
       “Adversity” is a product of the likelihood of the risk and the serious of its consequences.
See Nat’l Med. Enters., Inc. v. Godbey, 924 S.W.2d 123, 132 (Tex. 1996). Even if the risk that
a former client will be affected by counsel‟s participation in subsequent litigation is small, if the
consequences to the former client are great, then disqualification is appropriate. See Godbey,
924 S.W.2d at 133. As stated by the court, “[t]he chances of being struck by lightning are slight,
but not slight enough, given the consequences, to risk standing under a tree in a thunderstorm.”
Id.

       2
           The record reflects that Sinclair asked Moore to sign a waiver, and she declined to do so.

                                                          5
       Moore testified that when Sinclair represented her, she related to him confidential
information consisting of Brown‟s medical information, both physical and psychological. See
Phoenix Founders, Inc. v. Marshall, 887 S.W.2d 831, 833 (Tex. 1994) (conclusive presumption
that confidences and secrets were imparted to attorney during prior representation); see also TEX.
DISCIPLINARY RULES PROF‟L CONDUCT R. 1.05(a) (defining “confidential information”). She
further testified that she understood the attorney-client privilege to be the “confidentiality of all
things” and that she relied on that understanding when she gave Sinclair the information
pertaining to Brown.     Moore further stated that she declined to waive her attorney-client
privilege when Sinclair asked her to do so and that she knew that Sinclair had issued a subpoena
for Brown‟s testimony when he asked for her waiver. Because Moore and Brown are fact
witnesses and Brown is the fiancée of a party seeking custody of C.G.H., we conclude that the
risk that Sinclair would use the information in examining Brown and Moore in his zealous
representation of the Stainbacks is high. Moreover, Moore testified that she felt as if Brown
were “being tried” and she believed that Brown could be hurt if she were prevented from seeing
C.G.H. It is apparent from Moore‟s testimony that she would suffer great distress if Sinclair
were to use the information he obtained from her during his previous representation in his
examination of Brown as a witness.
       Here, the oft-used “unlikelihood of being struck by lightning” analogy does not apply
because of the high likelihood that the confidential information Sinclair received will be used in
support of his duty to zealously advocate on behalf of the Stainbacks.           Nonetheless, it is
reasonable to conclude that when Moore revealed confidential information to Sinclair regarding
Brown‟s medical history, she was entitled to expect that he would not later use that information
against her granddaughter as a witness in subsequent litigation. Thus, her distress is a valid
concern. Cf. Godbey, 924 S.W.2d at 133 (former client‟s anxiety that former law firm was
advancing same allegations that have been made toward him in part was understandable). Thus,
we conclude that the product of the risk and the consequences is great enough that Sinclair‟s
representing the Stainbacks in this matter is adverse to Moore.
       Reasonable Probability That Representation Will Involve a Violation of Rule 1.05
       Finally, we consider whether there is a reasonable probability that Sinclair‟s
representation of the Stainbacks will involve a violation of Rule 1.05. As Zachary‟s fiancée,
Brown‟s medical history, both physical and psychological, is relevant to the issue of C.G.H.‟s

                                                 6
best interest. See TEX. FAM. CODE ANN. § 153.002 (West 2008); TEX. R. EVID. 401. As an
advocate for the Stainbacks, Sinclair is required to zealously assert their position under the rules
of the adversary system.           See TEX. DISCIPLINARY RULES PROF‟L CONDUCT preamble ¶ 2,
reprinted in TEX. GOV‟T CODE ANN. tit.2, subtit. G, app. A (West 2013). In performing his role
as an advocate for the Stainbacks, Sinclair necessarily would have to examine Moore and Brown
concerning Brown‟s medical and psychological history. Because doing so almost certainly
would result in his revealing confidential information in violation of Rule 1.05,3 we conclude that
the trial court reasonably could have found that he should be disqualified under Rule 1.09(a)(2).
See TEX. DISCIPLINARY RULES PROF‟L CONDUCT R. 1.09, cmt. 4 (whether there exists a
reasonable probability that representation would involve unauthorized disclosure of confidential
information under Rule 1.05 is question of fact). Therefore, we hold that the trial court did not
abuse its discretion in granting the motion disqualifying Sinclair from representing the
Stainbacks in this matter. 4


                                                    DISPOSITION
         We have held that the trial court did not abuse its discretion in granting the motion
disqualifying Sinclair from representing the Stainbacks in this matter.                         Accordingly, the
Stainbacks‟ petition for writ of mandamus is denied. See TEX. R. APP. P. 52.8(a). All pending
motions are overruled as moot.
                                                                BRIAN HOYLE
                                                                   Justice

Opinion delivered July 3, 2013.
Panel consisted of Worthen, C.J., Griffith, J., and Hoyle, J.




                                                    (PUBLISH)


         3
             See TEX. DISCIPLINARY RULES PROF‟L CONDUCT R. 1.05(b).
         4
           Because we have determined that the trial court reasonably could have found that Sinclair should be
disqualified under Rule 1.09(a)(2), we need not consider whether the trial court abused its discretion in granting the
Hugos‟ motion pursuant to Rule 1.09(a)(3). See TEX. R. APP. P. 47.1.

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                                 COURT OF APPEALS
      TWELFTH COURT OF APPEALS DISTRICT OF TEXAS
                                          JUDGMENT

                                             JULY 3, 2013


                                        NO. 12-12-00433-CV


         LAUREN ASHLEY STAINBACK AND LESLIE GAYLE STAINBACK,
                               Relators
                                  v.
                        HON.CAROLE W. CLARK,
                              Respondent




                                     ORIGINAL PROCEEDING


                      ON THIS DAY came to be heard the petition for writ of mandamus filed
by LAUREN ASHLEY STAINBACK AND LESLIE GAYLE STAINBACK, who are the
relators in Cause No. 12-0721-D, pending on the docket of the 321st Judicial District Court of
Smith County, Texas. Said petition for writ of mandamus having been filed herein on December
28, 2012, and the same having been duly considered, because it is the opinion of this Court that a
writ of mandamus should not issue, it is therefore CONSIDERED, ADJUDGED and ORDERED
that the said petition for writ of mandamus be, and the same is, hereby DENIED.
                      Brian Hoyle, Justice.
                      Panel consisted of Worthen, C.J., Griffith, J., and Hoyle, J.



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