       07-9040-am
       In re Harry DeMell



  1                     UNITED STATES COURT OF APPEALS
  2

  3                            FOR THE SECOND CIRCUIT 

  4

  5                                     August Term, 2009 

  6
  7
  8                             (Decided: December 21, 2009)
  9
10                                 Docket No. 07-9040-am
11
12
13
14
15
16
17
1E     In re Harry DeMell,
19
20                          Attorney.
21
22
23
24
25
26     Before: Jacobs, Chief Judge, Cabranes, Pooler, Katzrnann,
27     Parker, Raggi, Wesley, Hall, Livingston, and Lynch, Circuit
28     Judges.
29
30

31           This Court's Committee on Attorney Admissions and Grievances

32     ("the Committee") has recommended that Harry DeMell, an attorney

33     admitted to the bar of this Court, be publicly reprimanded.            We

34     adopt the Committee's findings of fact, except as discussed below,

35     and adopt the Committee's recommendations concerning the

36     appropriate disciplinary measures.

37 

38                                                 Roger B. Adler, Esq., New York, 

39                                                 N.Y., for Harry peMell. 

40 


41
 1   PER CURIAM:

 2        In July 2007, this Court ordered Harry DeMell to show cause

 3   why he should not be referred to this Court's Committee on

 4   Attorney Admissions and Grievances ("the Committee") for

 5   investigation of the matters described in that order.     In a

 6   subsequent order, filed in November 2007, the Court found DeMell's

 7   response to the July 2007 order unsatisfactory and referred him to

 8   the Committee for investigation and preparation of a report on

 9   whether he should be subject to disciplinary or other corrective

10   measures.

11        During the Committee's proceedings, DeMell had the

12   opportunity to address the matters discussed in the Court's

13   referral order, to testify under oath at a hearing held on June 2,

14   2008, and to present a post-hearing brief and a subsequent

15   supplementary letter.     DeMell was represented in the proceedings

16   by Roger B. Adler, Esq.     Presiding over the hearing were Committee

17   members Evan A. Davis, Esq. and Deirdre Daly, Esq.     In January

18   2009, the Committee filed with the Court the record of the

19   Committee's proceedings and its report and recommendations.

20   Thereafter, the Court provided DeMell with a copy of the

21   Committee's report, and DeMell filed a response, which contains a

22   number of objections to the report.

23        In its report, the Committee concluded that there was clear

24   and convincing evidence that DeMell had engaged in conduct

25   "unbecoming a member of the bar" within the meaning of Federal

                                        2
 1   Rule of Appellate Procedure 46(c).      Specifically, the Committee

 2   found that DeMell had engaged in "conduct inimical to the

 3   administration of justice," In re Snyder, 472 U.S. 634, 645

 4   (1985), and had neglected matters entrusted to him as a lawyer,

 5   New York Disciplinary Rule 6-101 (A) (3), by (1) failing to timely

 6   respond, or timely request an extension of time to respond, to a

 7   motion to dismiss, resulting in prejudice;     (2) failing to file

 8   Form CIA in a case, resulting in its dismissal; and (3) failing to

 9   timely submit papers, or timely request an extension of time, in

10   several other cases. 1    See Report at 8.

11        The Committee also found that there were several aggravating

12   and mitigating factors.     The following were found to be

13   aggravating factors:     (1) there were multiple instances of

14   misconduct, establishing a pattern, although the Committee found

15   that the facts only fell "slightly on the side of aggravation,"

16   ide at 9;   (2) DeMell failed to demonstrate complete candor with

17   the Committee, id.;    (3) DeMell failed to demonstrate an adequate

18   commitment to corrective action,    ide at 9-10; and (4) the victims

19   of his misconduct were vulnerable, ide at 10.     The following were

20   found to be mitigating factors:     (1) absence of a prior




          I As of April 1, 2009, the disciplinary rules of the New
     York Lawyer's Code of Professional Responsibility were superseded
     by the New York Rules of Professional Conduct, which were
     promulgated as joint rules of the Appellate Divisions of the New
     York Supreme Court.   Use of the new rules would not alter any of
     our conclusions.

                                         3
 1   disciplinary record;   (2) evidence of good character or reputation;

 2   and (3) remorse, except insofar as he argued that he was not at

 3   fault regarding one of the defaulted cases.     Id. at 10.

 4        Based on its factual findings, the Committee .recommended that

 5   DeMell be publicly reprimanded for his misconduct, and required to

 6   submit to the Committee periodic status reports concerning his

 7   federal practice.

 8        Upon due consideration of the Committee's report, the

 9   underlying record, and DeMell's objections, we adopt the

10   Committee's factual findings concerning DeMell's misconduct in

11   this Court, except as discussed below.    We also adopt the

12   Committee's conclusion that DeMell's misconduct was sufficiently

13   serious that it warrants both a public reprimand and a requirement

14   that he submit the period reports described in the Committee's

15   report.    The following discussion is intended to supplement the

16   Committee's report in several respects, and to address DeMell's

17   objections to the report.

18                  DeMell's Responsibility for the Default
19                  in Constantine v. Gonza~es, 06-4885-ag
20
21        DeMell argues in his response to the Committee's report that

22   he is being unfairly "scapegoat[ed]" for the petitioner's failure

23   in Constantine to file an opposition to the government's motion to

24   dismiss.    See Response at 2.   DeMell claims that, once the

25   petitioner's new attorney informed DeMell that he was being

26   replaced, which occurred in late December 2006, he could take no


                                        4
'1   further action in the case and the new attorney should have

 2   remedied the default.    Id. at 2, 4; Post-Hearing Letter dated June

 3   24, 2008.   However, DeMell's objection ignores the Committee's

 4   rationale for     nding that DeMell engaged in misconduct in the

 5   Constantine case:   (a) the government served its motion on November

 6   28 or 29, 2006;   (b) under the applicable rule, oppos   ion to the

 7   motion was due, at the latest, by December 13, 2006; and (c) it is

 8   undisputed that DeMell was the petitioner's counsel until late

,9   December 2006, but did not     le any opposition papers or present

10   any reason for not doing so.    See Report at 8.

11        DeMell may be correct that the petitioner's new attorney also

12   neglected the case, but that      irrelevant to the Committee's

13   analysis.   We are in complete agreement with the following

14   statement from the Committee's report:

15        a signi cant contributing cause of the failure to file
16        opposition papers    a failure that DeMell concedes was
17        prejudicial to Constantine, Hearing Tr. 20:10-15     was
18        DeMell's failure to    le a timely response or a timely
19        motion for an enlargement of time. When DeMell passed
20        on the    le to [the new attorney] on or about January
~1        10, 2007, he passed it on, either knowingly or
~2        negligently, with a substantial procedural default that
23        was brought about due to his own, and no one else's,
24        inaction.   Whether [the new attorney] thereafter acted
25        with sufficient diligence to remedy that default ...
26        would not create a mitigating factor in DeMell's favor.
27        A failure of substitute counsel to remedy a problem does
28        not as an ethical matter excuse the misconduct of the
29        lawyer who created the problem in the first instance by
30        failing to    le a timely opposition . ... Finally, DeMell
31        as the departing lawyer failed to explicitly call the
32        existing problem to [the new attorney's] attention,
33        thereby contributing to the default.

34   Report at 8-9.    DeMell's failure to address any aspect of the

                                       5
 1   Committee's rationale is mystifying.       We can only speculate that

 2   he did not understand the Committee's report, he remains unaware

 3   of his ethical obligations, or he simply sought to distract

 4   attention from his own poor performance by focusing on another

 5   attorney's poor performance.     In any event, he has not taken

 6   responsibility for his lack of action in the case.

 7                       Production of Interview Notes

 8          Prior to the Committee's June 2008 hearing in this matter, a

 9   Committee representative spoke by telephone to the attorney who

10   had replaced DeMell in the Constantine case and retained notes

11   from that conversation.    See Hearing Tr. at 43-47; Report at 2, 9

12   n.2.    DeMell's request for a copy of those notes was denied on the

13   grounds that the Committee would not be relying on any statements

14   made by the attorney in that conversation, and that any

15   potentially exculpatory information was already available to

16   DeMell.    See Report at 2; see also id. at 9 n.2    (stating that

17   Committee's recommendation is not based on any disputed fact

18   resolved adversely to DeMell).    In his response to the Committee's

19   report, DeMell argues that the Committee's refusal to provide him

20   with a copy of the interview notes "was fundamentally unfair and

21   legally erroneous."    Response at 2, 4.    However, DeMell provides

22   no analysis or citation to authority in support of that argument.

23          Under the rules governing the Committee's proceedings, an

24   attorney who is the subject of a Committee investigation "has the



                                        6

  1   right to examine all documents in the record, unless a protective

  2   order is obtained from the Grievance Panel. n    Rule 7(c) of the

  3   Rules of the Committee on Attorney Admissions and Grievances.

  4   Additionally, we assume that due process requires the Committee to

  5   make available to the attorney under investigation all evidence

  6   that will be used against the attorney and all evidence that is

  7   either exculpatory or may lead to exculpatory evidence.     In this

  8   context, DeMell's argument is construed as an assertion that the

  9   notes at issue were part of the record, could have led to

10    exculpatory evidence, and therefore should have been turned over

11    in the absence of a protective order.     It is not entirely clear

12    from the report whether the Committee applied the Rule 7(c) and

13    due process standards, but even if it did not, any possible error

14    would have been harmless.

15         DeMell does not suggest that the new attorney had any

16    conceivable information relating to the relevant time period

17    immediately following the filing of the government's motion to

18    dismiss - i.e., the ten-day time period       which DeMell should

19    have filed a response to that motion.     Nor does DeMell suggest

20    that he himself was unable to contact the new attorney directly,

21    or that the Committee's findings or recommendation were affected

2,2   in any way by his inability to review those notes.     Since the

23    Committee's findings relating to the Constantine case are based

24    entirely on DeMell's inaction prior to the involvement of the new

25    attorney, and DeMell has failed to show that the failure to grant

                                       7
 1   access to the notes prejudiced him in any way, we reject DeMell's

 2   objection to that aspect of the proceedings .

.3                Vulnerable Clients as Aggravating Factor

 4        As noted above, the Committee found that the vulnerability of

 5   DeMell's clients was an aggravating factor.       See Report at 10.

 6   DeMell objects that this finding lacks a factual basis in the

 7   record.   See Response at 4.

 8        An attorney who is the subject of disciplinary proceedings

 9   must have adequate notice of, and adequate opportunity to address,

10   any aggravating factor at issue.       Because the Committee report

11   does not make clear the factual basis for its finding that

12   DeMell's victims were vulnerable, or the nature of notice provided

13   to DeMell, we decline to adopt this aggravating factor.       However,

14   as explained below, the absence of this aggravating factor does

15   not alter our conclusion. 2

16         Multiple Instances of Misconduct as Aggravating Factor

17        In his response to the Committee's report, DeMell suggests

18   that the defaults discussed by the Committee were isolated

19   instances and neither systemic nor pervasive "over a career


          2 For purposes of this decision, there is no need for us to
     express an opinion as to the meaning of the term "vulnerable."
     Nor is there a present need to catalog the various ways
     vulnerability can be proved or the various ways an attorney
     subject to investigation can be provided notice that client
     vulnerability is at issue. To avoid confusion and unnecessary
     burden, however, we note that, in appropriate cases, the
     necessary facts might be established through testimony of the
     attorney himself.
                                        8
 1   spanning some three decades. n      Response at 2, 4.      We find that the

 2   Committee's report properly characterized the scope of DeMell's

 3   defaults as only falling "slightly on the side of aggravation. n

 4   Report at 9.    Additionally, we note that DeMell's objection cuts

 5   both ways.     While the number of defaults discussed by the

 6   Committee may not have been high, DeMell's many years of

 7   experience is an aggravating factor, since a reasonable attorney

 8   with thirty years experience (a) clearly would know that

 9   defaulting on a client's case leaves open the possibility of

10   severe prejudice and (b) should have office and calendaring

11   practices in place to avoid defaults.          See ABA Standards for

12   Imposing Lawyer Sanctions    §   9.22 (i)   (1986, 1992)   (listing

13   "substantial experience in the practice of lawn as possible

14   aggravating factor).

15                                    Conclusions

16        Although we do not adopt the Committee's finding that

17   DeMell's victims were vulnerable, we find that the final

18   disposition recommended by the Committee remains warranted.            We

19   are particularly disturbed by DeMell's failure to acknowledge, or

20   even address, his default in Constantine.          In that regard,

21   DeMell's response to the Committee's report is similar to his

22   response to this Court's July 2007 order, which commenced this

23   proceeding.    That earlier response was found unsatisfactory due to

24   DeMell's failure to address important issues and to provide



                                           9
 1   important details that a reasonable person should have known were

 2   highly relevant to our inquiry.    Thus, it remains unclear whether

 3   DeMell fully accepts the fact that he engaged in serious

 4   misconduct and whether he is fully committed to mending his ways.

~5        Upon due consideration, it is hereby ORDERED that, except as

 6   noted above, the Committee's findings and recommendations are

 7   adopted by the Court, and DeMell is PUBLICLY REPRIMANDED for the

 8   misconduct described in the Committee's report.    It is further

 9   ORDERED that DeMell submit to the Committee the periodic status

10   reports proposed in the Committee's report, in compliance with the

11   deadlines stated therein.

12        This order must be disclosed in any future disciplinary

13   proceeding or bar application, and if required by any bar or court

14   rule or order.   Furthermore, the Clerk of Court is directed to

15   release this order to the public by posting it on this Court's web

16   site and providing copies to members of the public in the same

17   manner as all other published decisions of this Court.     The text

18   of this Court's July and November 2007 orders and the Committee's

19   report are also to be released to the public, as appendices to the

20   present order.

21        The Clerk of Court also is directed to serve a copy of this

22   order on DeMell, this Court's Committee on Attorney Admissions and

23   Grievances, the attorney disciplinary committee for the New York

24   State Appellate Division, First Department, the attorney

25   disciplinary officials for the Executive Office of Immigration

                                       10
 1    Review, and all other courts and jurisdictions to which this Court

 2    distributes disciplinary decisions in the ordinary course.

 3

 4                                APPENDIX 1

 5                          Text of July 2007 order
 6
  7        For the reasons that follow, Harry DeMe11 is ordered to show
  8   cause why he should not be referred to this Court's Committee on
  9   Admissions and Grievances for investigation    the matters
10    described below and preparation of a report on whether he should
11    be subject to disciplinary or other corrective measures.   See
12    Second Circuit Local Rule 46(h).
13
14         We have initiated this proceeding as a result of certain
15    allegations that were made in Constantine v. Gonzales, No. 06­
16    4885-ag (2d Cir.), an appeal in which DeMe11 was the initial
17    attorney of record for the pet ioner. The docket sheet for the
18    appeal indicates that the government filed a motion to dismiss the
19    petition on November 29, 2006, and served a copy of the motion on
20    DeMell.  See Constantine, No. 06-4885-ag, motion   led Nov. 29,
21    2007. However, DeMe11 did not file a response to the motion, or
22    any other document in the case, despite the fact that the motion
23    was not decided until February 20, 2007.  See id., order filed
24    Feb. 20, 2007.
25
26          In two motions filed on March 7, 2007, a new lawyer requested
27    that she be substituted as counsel of record for the petitioner
?8    and that the motion to dismiss be recalendared to allow the new
29    attorney time to prepare a response.   See id., motions filed Mar.
30    7, 2007. The new attorney stated that, in mid-January 2007, she
31    had been retained to represent the pet ioner, and that, in early
32    February 2007, she had been made aware that: DeMe11 had never
33    filed a motion for his substitution by new counsel; the motion to
34    dismiss was calendared for February 16, 2007; and no responding
35    papers had been    led on behalf of the petitioner although the
36    petitioner had wanted a response filed.   See id.  The new attorney
37    also stated that her attempt to contact DeMe11 had been
38    unsuccessful, and characterized DeMell's representation as
39    ineffective. 1 See id., motion to substitute attorney. Although


            J DeMe11 represented the petitioner before the agency as
      well.    See In re Constantine, A41-307-384 (BIA July 19, 2006)
      (order dismissing appeal from immigration judge, filed in Second

                                      11
 1   the motion for substitution of counsel was granted, the motion for
.2   recalendaring of the government's motion was denied. See id.,
 3   orders filed Mar. 19 and 27, 2007.
 4
 5        A review of this Court's docket indicates that DeMell was
 6   also counsel of record for the petitioner in Halimi v. Ridge, No.
 7   05-5474-ag, an appeal that was dismissed for failure of the
 8   petitioner's attorney to file Form CiA. See Halimi, No. 05-5474­
 9   ag, order of dismissal filed Mar. 9, 2006. The Court's records
10   indicate that a Court employee left a message for DeMell
11   concerning the overdue form on November 9, 2005 and spoke with
12   DeMell about the form on February 14, 2006. On the latter
13   occasion, the Court employee was told by DeMell that the form
14   would be "submitted asap.H However, because the form was not
15   filed, the appeal was dismissed by order filed on March 9, 2006.
16   See id. The Court's records also show that, nine months later, a
17   motion for remand of the case was submitted. See id., entry dated
18   Dec. 6, 2006. The motion was not filed, and no action was taken
19   on it, presumably due to the earlier dismissal and the lack of a
20   motion to reinstate the appeal.
21
22        This Court's records also indicate that DeMell has failed to
23   timely file briefs or other documents in several other appeals,
24   although dismissal has not resulted. See Second Circuit dockets
25   in 03-4204 (late brief); 05-6088 (late supplemental brief); 06­
26   0326 (failure to file documents in support of motion); 06-4742
27   (late brief) .
~8
29        Upon due consideration of the matters described above, it is
30   ORDERED that Harry DeMell show cause, by a detailed declaration,
31   made under penalty of perjury and filed within twenty-five days of
32   the filing date of this order, why he should not be referred to
33   this Court's Committee on Admissions and Grievances for
34   investigation and preparation of a report consistent with Federal
35   Rule of Appellate Procedure 46, this Court's Local Rule 46(h), and
36   the Rules of the Committee on Admissions and Grievances.
37
38                                        FOR THE COURT:
39                                        Catherine O'Hagan Wolfe, Clerk
40
41                                        By:
                                                --~~-
                                                        lsi
42                                               Michael ~--~-------------
                                                         Zachary
43                                               Supervisory Staff Attorney
44                                               Counsel to Grievance Panel
45
46


     Circuit docket for 06-4885-ag on Oct. 24, 2006).
                                     12
 1                                APPENDIX 2

 2                        Text of November 2007 order

  3        For the reasons that follow, Harry A. DeMe11 is referred to
  4   this Court's Committee on Admissions and Grievances ("the
  5   Committee") for investigation of the matters described below and
  6   preparation of a report on whether he should be subject to
  7   disciplinary or other corrective measures.  See Second Circuit
  8   Local Rule 46(h).  We express no opinion here as to an appropriate
  9   disposition.  The Committee may, of course, in the first instance,
10    determine the appropriate scope of its investigation.
11
12         In July 2007, this panel ordered DeMe11 to show cause why he
13    should not be referred to the Committee for investigation of the
14    matters described in that order.  See DeMell, 07-9040-am, order
15    filed July 16, 2007.  For the reasons discussed below, we find
16    DeMell's response to that order to be unsatisfactory.
17
18         For present purposes, familiarity with both the July 2007
19    order and DeMell's response is assumed, and we note in the
20    following paragraphs only the matters which do not appear to be
21    adequately addressed in the response.  Both the July 2007 order
22    and DeMell's response will be forwarded to the Committee with the
23    present order.
24
25         With respect to the allegations made in Constantine v.
26    Gonzales, No. 06-4885-ag, DeMe11 has addressed some, but not all,
27    of the pertinent issues.   DeMe11 primarily argues that he was not
28    at fault when a timely response to the government's motion to
29    dismiss was not filed, and suggests that any fault lies with
30    Constantine's subsequent attorney.   See DeMe11 Resp., at ~~ 4-9.
31    The conflicting assertions as to which attorney was at fault would
32    require a credibility determination, which cannot be made based on
33    the papers currently before this panel.   However, certain
34    important issues are not addressed in DeMell's response. Although
35    DeMe11 states that Constantine and his family informed him that
36    they did not wish him to proceed and wished to substitute counsel,
37    DeMe11 does not indicate when this communication occurred.   See
38    id., at ~ 5.   DeMe11 further indicates that he was later called by
39    Constantine's subsequent counsel and that she took some time to
40    fax him a substitution letter, but does not indicate when that
41    call occurred.   Id. at ~~ 5-6.  DeMe11 concedes that he may have
42    "failed to timely fi    an answer or a substitution of counsel,"
43    but does not indicate whether, and when, he was aware of the
44    motion to dismiss or what actions he took to protect his client's
45    interests.   Id., at ~ 9.
46


                                      13
 .1        With respect to Halimi v. Ridge, No. 05-5474-ag, DeMell 

 2    alleges that the case had been transferred to this Court from a 

 3    district court pursuant to a government motion.   Id., at ~ 10. 

 4    Although DeMell states that he did not oppose the transfer, he 

.5    also states, without explanation, that "[t]he appeal should have 

 6    been dismissed by this Court in that [he] believe[d] that 

~7    jurisdiction was lacking in the Court of Appeals." Id., at ~~ lO­
 8    ll. DeMell also alleges that he "[is] not sure who is responsible
'9    for filing Form C/A,H but will now do so if it is required "to
10    close out this matter properly.H Id. at ~ 12.    However, he does
11    not address the fact that this Court's docket indicates that a
12    Court employee twice contacted DeMell about the failure to file
13    Form CiA, that DeMell informed the employee that it would be
14    "submitted asap,H and that the case was dismissed for failure to
15    do so.   DeMell also fails to explain why it was reasonable to
16    allow the case to be dismissed on default, or why, if he believed
17    this Court lacked jurisdiction, he did not oppose the government's
18    request to transfer it to this Court, or request a transfer to a
19    proper court, rather than taking no action.
20
21         With respect to the cases in which DeMell failed to timely
22    file briefs or other documents, DeMell fails to provide an
23    explanation for why extensions of time were not sought prior to
24    the due dates for the filing of those documents.   Id., at ~~ 13­
25    20. See Second Circuit dockets in 03-4204-ag (late brief); 05­
26    6088-ag (referred to as "05-6082 H in DeMell response) (late
27    supplemental brief); 06-0326-ag (failure to file documents in
28    support of motion); 06-4742-ag (late brief).   DeMell's response
29    with respect to Khoma v. Gonzales, No. 06-0326-ag, in fact, does
30    not mention the untimeliness of the filing at all.
31
32         Finally, we note that DeMell also failed to timely file his
33    brief in Torres v. Gonzales, No. 07-1185-ag, and, instead,
34    requested leave to file the brief two weeks late.  See Torres,
35    No. 07-1185-ag, motion filed Aug. 1, 2007, order granting motion
36    filed Aug. 3, 2007.
37
38         Upon due consideration of the matters described above, it is
39    ORDERED that Harry A. DeMell is referred to this Court's Committee
40    on Admissions and Grievances for investigation and preparation of
41    a report, pursuant to Federal Rule of Appellate Procedure 46, this
42    Court's Local Rule 46(h), and the Rules of the Committee on
43    Admissions and Grievances.
44                                       FOR THE COURT:
45                                       Catherine O'Hagan Wolfe, Clerk
~6
47                                           By: __~~_/s/ __~____________
48                                               Michael Zachary
49                                               Supervisory Staff Attorney
50                                               Counsel to Grievance Panel

                                      14 

1                               APPENDIX 3
2
3                   January 2009 Report of the Committee
4                  on Attorney Admissions and Grievances
5
6
.7        [Remainder of page intentionally blank; text of Appendix 3
     commences on following page.]




                                     15 

                             REPORT & RECOMMENDATION 

                            Re: In re Harry DeMeJ) I07-9040-am] 



I.     Introduction

        By Order dated November 7, 2007 (the "Referral Order"), the United States Court of
Appeals for the Second Circuit ("the Court'') referred Harry DeMeH to this Committee for
investigation of his conduct before the Court and preparation of a report on whether he should be
subject to disciplinary or other corrective measures.

        DeMell has what he characterizes as a "high volume" immigration practice. The Referral
Order raises a number of instances where DeMell failed to timely file briefs in cases before the
Court and made applications to file a late brief only after the deadline had passed. In one $uch
instance, Constantine v. GonzaJez, however, no briefin opposition to the government's motion to
dismiss was ever filed, which DeMell concedes resulted in prejudice to his client. He contends
that substituted counsel should have filed the brief, but the due date for the brief had already
passed by the time the possibility of new counsel came to his attention. In view of a number of
instances of allowing deadlines pass without arranging for an extension, and in light of
aggravating and mitigating circumstances discussed below, the Committee concludes DeMel1's
neglect of this matter is of sufficient magnitude to justifY a sanction.

         The Committee recommends that DeMel1 be publicly reprimanded for his conduct, and,
as described more fully below, that he be required, in connection with his practice in any federal
court in the Second Circuit or in any federal administrative agency whose action is subject to the
Second Circuit's review. to submit to the Committee sworn statements identifying under oath
each and every instance during each of four reporting periods described beJow in which (1) a
submission is not filed or filed out oftime; or (2) an application is made for permission to make a
late filing onJyafter the due date has passed. The following constitutes the Committee's report

                                                 1
and recommendation to impose discipline on DeMel!.

If.     The Disciplinary Proceeding

       On March 5,2008. the Committee sent a Notice of Referral and Proceeding to DeMell
(the "Notice"). The Notice ordered, inter alia, DeMeJl to show cause why the Committee should
not recommend disciplinary and/or other corrective action in connection with the matters
contained in the Referral Order. A copy ofthe Referral Order and Committee's rules was
attached to the Notice. On March 12, DeMell's counsel, Roger B. Adler, requested, as incoming
counsel, an extension of time to respond to the Notice, which was granted. On April ]2,2008,
DeMell's counsel submitted an unsworn response (UResponse") to the Notice.

       On April 23, 2008, the Committee sent a letter to Pankaj Malik. an immigration attorney
who was subsequent counsel in the Constantine appeal. stating that it sought to interview her in
connection with its investigation of certain conduct of DeMeIl. The Committee also requested
tj'om Malik documents relating to the Constantine appeal, which were received on May 8, 2008.
On May 19, 2008 the Committee interviewed Malik regarding the Constantine appeal.

        On May 20, 2008, the Committee sent a letter to DeMeli requesting that he affinn under
oath his Response and provide a description of the documents that were sent to Malik as
incoming counsel. The Committee's May 20 letter also infonned DeMell of a hearing in this
matter. In his May 28,2008 response, DeMell affirmed his Response and described the
documents sent to Malik.

       On May 27 and May 29, 2008, the Committee infonned DeMell of the documents that
might be referred to at the hearing, provided him the documents that had been furnished by
Malik, and advised him that the Committee would not call any additional witnesses at the
hearing.

        On June 2, 2008, Evan Davis and Deirdre Daly ofthe Committee met with DeMeU and
his attorney for purposes of conducting a hearing. Amin Kassam, then-Secretary of the
Committee, and Andrew Dean, assisting the Committee, were also present. At the hearing,
DeMell's attorney requested any Committee notes of the Malik interview. On June 10,2008, the
Committee denied DeMell's request for its notes ofthe Malik interview, stating that it would not
be relying on any statements made by Malik to the Committee, and that to the extent that there
was any infonnation in Malik's statements that might be deemed exculpatory, such infonnation
was already available to DeMell from the sequence of events retlected in the docket sheet and
related documents, in addition to Malik's submissions, all of which were provided to DeMell.
On June 11,2008, DeMell objected to the Committee's decision not to provide him the notes of
the Malik interview.

       DeMell was pennitted two weeks from the date of receipt of the hearing transcript to
submit a post·hearing brief. On June 5, 2008, DeMell submitted a copy of the file that he

                                               2

affirmed to have sent to the Malik finn on or about January 10,2007. On June 24, 2008, DeMell
submitted a post-hearing brief. and on November 13,2008 DeMell submitted a post-hearing
letter.

III.    Backeround

        The following facts are taken from court records and from DeMelJ's written submissions
and testimony.

       DeMell has practiced law for over thirty years since his graduation from law school. He
is a member of the bar of the State of New York, the State of Florida, and the District of
Columbia; the U.S. Court of Appeals for the Second, Third, Fifth, and Eleventh Circuits; and the
United States District Courts for the Eastern District of New York, Southern District of New
York, Connecticut, Central District of Florida, and the Southern District of Florida.

        DeMell has approximately 500 or 600 active cases. He has the assistance of three
paralegals and one receptionist, and he uses a former immigration judge to assist him with some
cases. He works on almost exclusively immigration cases. He testified that the bulk of his
practice is administrative and that he has only several federal district or circuit court immigration
cases active at any time.

       I.      The Court's Initial Show Cause Order

        As described in the Referral Order, the Court ordered DeMel! in July 2007 to show cause
why he should not be referred to the Committee for investigation of the matters described therein
(the "Initial O~der'). The Initial Order stated that the proceeding was initiated in connection with
allegations that were made against DeMeII in Constantine v. Gonzales, No. 06-4885-ag, an
appeal in which DeMell was counsel of record. In Constantine, the government filed a motion to
dismiss on November 29, 2006. and DeMe\l did not file a response to the motion. The motion to
dismiss was ultimately decided on February 20, 2007 without benefit of opposing papers.

         The Initial Order stated that a new attorney in the case, Pankaj Malik, filed two motions
on March 7, 2007, requesting that she be substituted as counsel and that the motion to dismiss be
recalendared. Malik's papers stated that she had been retained by the petitioner in mid-January
2007 and that in early February 2007 she learned that DeMeB had not filed amotion for
substitution. that the motion was calendared for February 16,2007, and that DeMell had not filed
a response.

        The Initial Order also raised the issue of DeMell's conduct in Halimi v. Ridge, No. 05·
5474-ag, an appeal that was dismissed for failure of petitioner's attorney to file Fonn CIA. A
Court employee contacted DeMel) twice about filing the Fonn CIA. and on the second occasion
DeMel! stated that the fonn would be "submitted asap." The Fonn CIA was never submitted and
the case was dismissed.

                                                  3

       The Initial Order also indicated that DeMel! had failed to timely file briefs in four other 

matters, although dismissal had not resulted. 


         2.     DeMell's Response to the Court's Initial Order

         On July 25, 2007, DeMell responded to the Court!s Initial Order (the "Initial Response").
 With respect to the Constantine appeal, DeMell stated that petitioner's famiJy contacted him
about obtaining substitute counsel, but he could not recall when such contact. occurred. He also
stated that Malik contacted him about taking over the appeal and that "[sJhe assured me that she
would take action to substitute her appearance." According to the lnitia! Response, on January
 10,2007 - either "days or weeks" after his initial conversation with Malik - she sent him a
substitution note, and he then sent Malik via Federal Express papers related to the appeaL The
Initial Response stated that DeMel! '"in good faith passed on these papers to another lawyer who
had informed me that she was taking over this case and trusted in her actions." He also stated
that "[iJt may be that I failed to timely file an answer or a substitution of counsel. I at all times
assisted new counsel and did what was in my client's interests and within what J believed were
the laws and rules of this CoUrt."

         With respect to the Halimi case, DeMell stated that he was "not sure who is responsible
for filing Form C-A. If your office determines that this needs to be done at this time in order to
close out this matter properly I will do so."

         DeMell also addressed each of the late tiled briefs, which are discussed in more detail
below.

         3.     The Court's Referral Order

         The Referral Order described DeMelJ's Initial Response to the July 2007 order as
"unsatisfactory." The Referral Order stated that important issues were not addressed in the Initial
Response, such as when DeMetl was contacted by Constantine's new counsel and when
Constantine's family told him that they wished to substitute counsel. In addition, DeMell failed
to state what actions he took to protect his client's interests, as he claimed to have done. Also,
because DeMell suggested that fault in failure to respond to the motion to dismiss lied with
Malik, the Referral Order stated that ~'conflicting assertions as to which attorney was at fault
would require a credibility determination, which cannot be made based on the papers currently
before this panel."                                         '

        With respect to the HaBmi case, the Referral Order stated that the Initial Response did not
explain his failure to file the Form CIA in light of the fact that a Court employee twice contacted
him about filing the form. DeMelI also failed to explain why it was reasonable to allow the case
to be dismissed on default, or why, if the Court lacked jurisdiction, he did not oppose the
government's request to transfer it to the Second Circuit.

                                                  4

       With respect to DeMell's failure to timely file briefs or other documents in other matters,
the Referral Order stated that "DeMel! fails to provide an explanation for why extensions of time
were not sought prior to the due dates for the flJing of those documents."

IV.     Lc&al Standard

        Under the Rules of this Committee,

               "An attorney may be subject to discipline or other corrective
               measures for any act or omission that violates the ruJes of
               professional conduct or responsibility of the state or other
               jurisdiction where the attorney maintains his or her principal office,
               or the rules of professional conduct of any other state or
               jurisdiction governing the attorney's conduct. An attorney may
               also be subject to discipline or other corrective measures for any
               failure to comply with a Federal Rule of Appellate Procedure, a
               LoeaJ Rule of the Court, an order or other instruction of the Court,
               or a rule of professional conduct or responsibility of the Court, or
               any other conduct unbecoming a member of the bar."
       Rules of the Committee on Admissions and Grievances, Rule 4.

        "A court of appeals may discipline an attorney who practices before it for conduct
unbecoming a member of the bar or for failure to comply with any court rule." Fed. R. App. P.
46(c). "Conduct unbecoming a member of the bar" may include any conduct "contrary to
professional standards that show[s] an unfitness to discharge continuing obligations to clients or
courts, or conduct inimical to the administration ofjustice." In re Snyder, 472 U.S. 634, 645
(1985). For "[m]ore specific guidance," the Court may look to "case law, applicable court rules,
and 'the lore of the profession,' as embodied in codes of professional conduct." Id. at 646 n.7.

         Courts have consistently treated neglect of client matters and ineffective or incompetent
representation as sanction able conduct. See,~, Oadda v. Ashcroft, 377 F .3d 934, 940 (9th Cir.
2004); Amnesty Am. v. Town ofW. Hartford, 361 F.3d 113, 133 (2d Cir. 2004); Matter of
Rabinowitz. 596 N.Y.S.2d 398, 402 (N.Y. App. Div. 1993); United States v. Song, 902 F.2d 609
(7th Cir. 1990); Matter of Kraft. 543 N. Y.S.2d 449 (N.Y. App. Div. 1989); In re Bithoney, 486
F.2d 319 (l st Cir. 1973). Such conductis also sanctionable under the applicable professional
rules and standards. The American Bar Association's Standards for Imposing Lawyer Sanctions
call for a range of sanctions from reprimand to disbarment for various fonns of "lack of
diligence" and "lack of competence." ABA Standards §§ 4.4, 4.5. The Disciplinary Rules of
New York's Lawyer's Code of Professional Responsibility require that "[a11awyer shall not ...
[nJeglect a legal matter entrusted to the lawyer," D.R. 6-101 (A)(3); in addition, the Code's
Ethical Canons require that the lawyer should represent his or her client "zealously," Canon 7-1,
and that he or she "be punctual in fulfilling all professional commitments," Canon 7·38.
                                                 5

         "Any finding that an attorney has engaged in misconduct or is otherwise subject to
corrective measures must be supported by clear and convincing evidence." Rules of the
Committee on Admissions and Grievances, Rule 7(h). Once misconduct has been established, in
determining the sanction to be imposed, the Committee should generally consider: (a) the duty
violated; (b) the lawyer's mental state; (c) the actual or potential injury caused by the lawyer's
misconduct; and (d) the existence ofaggravating or mitigating factors. See ABA Standards §
3.0. This Committee may recommend to the Court's Grievance Panel a range of sanctions,
including disbarment, suspension, public or private reprimand, monetary sanction, removal from
ru:Q bono or Criminal Justice Act panels, referral to other disciplinary bodies, supervision by a
special master, counseling or treatment, or "such other disciplinary or corrective measures as the
circumstances may warrant." Rules of the Committee on Admissions and Grievances, Rule 6.

V.       Alleged Misconduct

         A.        ~onstantine     v. Gonzalez

        On October 24, 2006, DeMell submitted, on behalfof his client Ricardo Constantine, a
petition for review of a decision of the Board ofImmigration Appeals ("BIN') dated July 19,
2006. On November 29, 2006 the government moved to dismiss on two grounds: (I) the Court
lacked jurisdiction as an earlier appeal ofthe matter had been dismissed and transferred back to
the District Court where the matter was still pending, and (2) the petition for review was
untimely because it was filed more than 30 days after the BIA order. On January 26, 2007, the
Constantine docket indicates a notice to counsel that the motion was returnable on February 16,
2007. No opposition papers were filed. On February 20, 2007 the Court dismissed the appeal
for lack ofjurisdiction. I

        DeMell acknowledges that Constantine was prejudiced by the failure to file opposition
papers, Hearing Tr. 20: 10-15, but contends that the failure to file an opposition was not his fault
because Constantine had retained new cOWlSel, Pankaj Malik, and DeMelI had forwarded the file
to Malik on January 10,2007. It is DeMeU's position that it was the responsibility of new
counsel to file an opposition to the motion to dismiss.

         According to Malik, on or about December 29, 2006 Constantine sought to have Malik
represent him in connection with the appeal. On or about January 8, 2008, Malik sent a letter to
DeMell confirming the change of counsel and asking DeMell to send her Constantine's file.
Initially, Malik did not recall having received any documents from DeMell, although she later
confirmed that on or about January 11, 2007, she received documents from DeMel!. Records

I The Court's opinion granting the motion appears to have misperceived the motion to be directed to a petition for
habeas relief when in fact it was directed to a petition for review. The Court's opinion did not discuss the reason set
fonh in the petition for review to explain the tiling more than 30 days after the administrative decision, but rather,
viewing it as a habeas application. relied on the Court's lack ofjurisdiction in that circumstance. In this regard, it
did not grant dismissal for lack ofjuriSdiction on the ground urged by the government.
                                                           6

rrom Federal Express confinn that Malik's finn signed for such a package from DeMell's finn
on January] 1, 2007. However, Malik claimed that the documents she received did not constitute
the entire file and that there was nothing in the documents that reflected the existence of the
motion to dismiss or that it was calendared for February 16,2007. DeMeU disputed this and
produced a copy of the file purportedly sent to Malik that included the government's motion to
dismiss. The Committee credits his testimony on the ground that he would have no reason not to
produce the entire file to Malik and that there is a lack of clarity in Malik's account of what she
received.

         Malik filed a notice of appearance on behalf of Constantine on February 5, 2007, but no
motion for substitution of counsel was filed until March 7,2007. Malik claimed that DeMell
was responsible for filing a motion to substitute counsel; DeMell claimed that it was Malik's
responsibility. In view of the reasons the Committee believes justify a sanction, the Committee
does not decide that issue and notes that the matter appears not to be clearly addressed in the
federal or local rules. In a motion paper dated February 15,2007, Malik moved to re-caJendar
the return date of the motion to dismiss. but due to the absence of a motion for substitution of
counsel, the motion to re-calendar was not docketed until March 7. 2007 upon filing of the
motion for substitution of counsel. On March 19, 2007 the motion for substitution of counsel
was granted, and on March 27. 2007 the motion to re-calendar was denied.

        B.     Halimi v. Ridge

        In Halimi, DeMell conceded that he failed to file the FOnTI CIA, which is a pre-argument
statement in an administrative matter. Hearing Tr. 24·27. The Committee asked DeMell why he
did not file the statement even though the Clerk of the Court asked him to submit it, and he
responded:

       "I wish I could be very specific but overworked, it fell through the cracks, and I believe at
       the time I thought the case was, as we say, going south. I should have filed it. There was
       some question as to whether I had responsibility or the Assistant U.S. Attorney, because it
       was a referral based on their request, but I should have filed it." Hearing Tr. 26; 18-25.

       c.      Filing of Untimely Briefs or Papers

         The Court also noted that DeMell filed late briefs or other documents in Bugayong v.
Ashcrosft (03-4204-ag), Gray v. Gonzales (05-6088-ag), Khoma v. Gonzalez (06-0326-ag),
Matadin v. Gonzales (06-4742-ag), and Torres v. Gonzalez (07~ I 185-ag). In Bugayong. DeMell
filed a brief, along with a motion to accept the late brief, nearly five months late. The Court
granted the motion to file the late brief. DeMeU stated that the brief was initially rejected as a
result of "improper fonnatting," and that he ~'didn't realize [the brief] was that late." Hearing Tr.
28 :22·23; 29: 1· 7. In Gra~. DeMell filed a supplemental brief, along with a motion to accept the
late supplemental brief, nearly one week late. The Court granted the motion to file the late brief.
DeMell stated that the briefwas late as the result of a recent Supreme Court decision that could

                                                  7
 have had some impact on case strategy and that he was "overworked." Hearing Tr. 30:20-23. In
 Khom~ DeMell did not file a brief, but he explained that there were difficulties in obtaining the
 BIA record, which is supported by the docket entries in the case, and that the client
 "disappeared." In Matadin, DeMell filed a brief approximately ten days late. DeMell filed a
 motion for extension of time the day after the brief was due, which was subsequently approved
 by the Court. On November 13,2008, DeMeU infonned the Committee that the Second Circuit
 ruJed favorably for his client in the Matadin case. Finally, in Torres, DeMelI filed a brief, along
 with a motion to accept the late brief, approximately two weeks late. The Court granted the
 motion to file the late brief. DeMell could not recaJl why he filed the brief late. Hearing Tr.
 34: 18-21.

 VI.    Disciplinary Action is Warranted

          Based on cJear and convincing evidence, the Committee finds that disciplinary action is
  warranted in this case based on "conduct unbecoming a member of the bar." Fed. R. App. P.
  46(c). Specifically, DeMell has engaged in "conduct inimical to the administration ofjustice," In
  re Snyder~ 472 U.S. 634, 645 (1985), and neglected a matter entrusted to a lawyer, DR-6­
. 101 (AX3), by (1) failing to timely respond, or timely request an extension of time to respond, to
  a motion to dismiss. resulting in prejudice; (2) failing to file Fonn CIA as directed by the Court;
  and (3) failing to timely submit papers, or timely request an extension of time, in several other
  cases. The Committee notes that there is no dispute over any fact that serves as a basis for
  disciplinary action.

         As previously noted, in Constantine the government's motion to dismiss was filed on
 November 29,2007. Under Second Circuit Local Rule 27, opposition to this motion was due 7
 days after service in person or 10 days after service by mail. Thus, from a time weB before new
 counsel was retained and up to the time DeMell transmitted the file to Malik on January 10,
 2008, the filing of an opposition would have required a motion to file a late brief.

        The Committee concludes that a significant contributing cause of the failure to file
opposition papers - a failure that DeMel1 concedes was prejudicial to Constantine, Hearing Tr.
20:10-15 - was DeMell's failure to file a timely response or a timely motion for an enlargement
of time. When DeMell passed on the file to Malik on or about January to, 2007, he passed it on,
either knowingly or negligently, with a substantial procedural default that was brought about due
to his own, and no one else's, inaction. Whether Malik thereafter acted with sufficient diligence
to remedy that default, and the Committee tends to doubt that she did, would not create a
mitigating factor in DeMeU's favor. A failure of substitute counsel to remedy a problem does not
as an ethical matter excuse the misconduct of the lawyer who created the problem in the first
instance by failing to file a timely opposition. This is particularly the case where the misconduct
of not meeting the deadline or arranging for an extension prior to the expiration ofthe deadline is
not an isolated incident. FinaUy, DeMell as the departing lawyer failed to explicitly caJ) the



                                                  8

existing problem to Malik's attention, thereby contributing to the default. 2

        There are both aggravating and mitigating circumstances here. See ABA Standards §§
9.22; 932.

         A pattern of failing to meet deadlines or failing to apply for an extension before the
deadline has passed would be an aggravating circumstance, and an isolated instance would be a
mitigating circumstances ABA Standard § 9.22(c) ("a pattern ofmisconduct")~ 9.22(d)
("multiple offenses''). The facts here fall slightly on the side of aggravation. DeMell offered no
reasonable explanation for the failure to file Fonn CIA in Halimi after the clerk asked him to do
so, and that failure resulted in dismissal. [n the Court's Referral Order, several instances are
cited where DeMell moved to file a late brief, which motion was in all cases granted. In
answering questions about these late briefs when examined by Committee members, DeMell
testified to plausible reasons for filing a late brief in several of the cases. However, with respect
to Gray. DeMell explained that he was overworked - a reason that could always be available to
one conducting an understaffed practice. In Bugayong and Torres, DeMelI failed to provide a
reasonable explanation for the filing of a late brief. In all instances the motions for pennission to
tile a late brief was filed after the due date.

        There is another aggravating factor present in this case. In his dealings with this
Committee, DeMell has not been completely candid. ABA Standard § 9.22(f) ("submission of
false evidence, false statements, or other deceptive practices during the disciplinary proceeding").
In his April 12, 2008 Response submitted to the Committee by his counsel, his counsel stated,
"The govenunent in a motion filed November 29, 2006 moved to dismiss the appeal for lack of
jurisdiction. An opposition brief was filed with the Court (Exhibit B)." This statement was
misleading. The opposition brief attached as Exhibit B related to an earlier proceeding under a
different docket number involving Constantine and not to the motion made on November 29,
2006. At the request of the Committee, and in accordance with its rules providing that all factual
statements must be made under oath, DeMell submitted an affinnation on May 28, 2008
confinning the accuracy of aU statements made in his April 12, 2008 Response. It is an
aggravating factor that his aftinnation confinned as correct a misleading statement.

        The Committee is also concerned about DeMell's lack of adequate commitment to
corrective action. When asked what lessons he had learned, DeMell stated that he was
embarrassed and understood that his work was "getting sloppy" by filing late briefs and that he
would have to "clean up [his] act." Hearing Tr. 38:3-7. However, particularly in view of his
concession that he has a high-volume practice and is overworked, proper corrective action would
include a concrete commitment to reduce caseIoad or better staffing in his practice. He said that
he planned to raise his "fees a bit" and "chase away" a few clients and "give more attention to the
ones that remain", iQ. at 38:20-39:8, but offered no specific target for reduction in caseload or

2 DeMell sought the Committee's interview notes with Malik. which request the Committee denied for the reasons
stated above. Moreover, the Committee does not base irs recommendation on the resolution ofany disputed fact
adversely to DeMell.
                                                       9
spedfic commitment to enhanced staffing.

        The final aggravating factor is the vulnerability of his victims. ABA Standard § 9.22(h).

        Mitigating factors include (1) the absence of a prior disciplinary record; (2) character or
reputation; and (3) remorse. With respect to mitigating factor (1), DeMeli states that he has no
disciplinary record in the First Department. With respect to factor (2). while DeMell did not
present any character witnesses, he attached several documents to his April J2, 2008 submission
showing that: he served as a lecturer for The Nassau Academy of Law Program in June 2005,
May 2002. J994-] 995, and 1996-1997; he received a certi ficate of appreciation from the Nassau
County Bar Association'S Speakers Bureau from 2000·2001; and he served as Chair of the
Immigration Law Committee of the Bar Association of Nassau County in 1999-200 I and 1995­
1997. With respect to factor (3). DeMell stated that he needed to "clean up [his] act" with
respect to late briefs. However, he did not agree that he shared any fault for the dismissal in the
Constantine case, which somewhat cuts against this as a mitigating factor.

VII.    Recommendation

        A single instance ofconduct inimical to the administration ofjustice or neglect of a
matter entrusted to an attorney might not justify any sanction. but here there are a number of
instances of misconduct and neglect. In addition, conduct and neglect arising from a high
volume practice is serious because of the likelihood that repetitive neglect will result to the
detriment of present and future clients. Where a lawyer engages in practice at a sufficiently high
volume, negJect due to overwork and inadequate coverage is a risk knowingly assumed. And
here, DeMell's actions prejudiced one of his clients.

        The aggravating factors are significant, and DeMell did not state any concrete steps that
he had taken to address his conduct other than increasing his fees. DeMell does not have a
significant federal district or circuit court practice, but there is a high incidence of late briefs in
the Second Circuit.

        Accordingly, DeMeH should be publicly reprimanded for his failures as set forth herein.
(A draft fonn of reprimand is attached). In addition, he should be required, in connection with
his practice in any federal court in the Second Circuit or in any federal administrative agency
whose action is subject to the Second Circuit's review, to submit to the Comminee sworn
statements identifying under oath each and every instance during each of the four reporting
periods described below in which (l) a submission is not filed or filed out 0 f time; or (2) an
application is made for pennission to make a late tiling only after the due date has passed. It is
expected that these reports will show no such instances absent exigent circumstance, which
circumstances should be attested to under oath in the respective report.

       In the event that a report is not timely filed or reveals deficiencies not justified by exigent
circumstance, the Committee may recommend the imposition of additional discipline. including

                                                   10
but not limited to suspension from the Second Circuit, without hearing further testimony.

        The following reporting periods and deadlines shaH be observed. The report for each
reporting period shall be mailed to the Committee Secretary within ten ( 10) days of the end of
that reporting period. The first reporting period shall commence 10 days after the Committee's
recommendation is mailed to DeMell and shall end six months after the Second Circuit issues its
order ofdisposition in this matter. Each of the three subsequent reporting periods shaU be for a
reporting period commencing at the end of the prior reporting and ending slx months later. A
total of four reports will be prepared and mailed to the Committee Secretary.




                                                11 

