                                                                    [DO NOT PUBLISH]

                      IN THE UNITED STATES COURT OF APPEALS

                                   FOR THE ELEVENTH CIRCUIT
                                    ________________________               FILED
                                                                  U.S. COURT OF APPEALS
                                            No. 11-12247            ELEVENTH CIRCUIT
                                        Non-Argument Calendar           MAY 30, 2012
                                      ________________________           JOHN LEY
                                                                          CLERK
                                D.C. Docket No. 5:04-cv-00080-CAR

GEORGE W. MCGRIFF,
ERIC EMANUEL WYATT,

llllllllllllllllllllllllllllllllllllllll                         Movants - Appellants,

                                               versus

ARTHUR P. CHRISTIE,
Individually, and in his Official Capacity as the
Administrator of Houston Medical Center,
ANTHONY L. ALFORD,
Individually, and in his Official Capacity as
Executive Director for Medical Affairs of Houston Medical Center,
DANIEL A. DEIGHTON,
Individually and in his Official Capacity as Chief of Staff and
in his Official Capacity as a Member of the Medical Executive Committee
at Houston Medical Center,
FREDERICK W. JENNART,
Individually, and in his Official Capacity as a member of the
Medical Executive Committee at Houston Medical Center,
DAVID N. HARVEY, Individually, and in his Official Capacity as a
member of the Medical Executive Committee at Houston Medical Center, et al.,

lllllllllllllllllllllllllllllllllllllll                          lDefendants - Appellees.
                           ________________________

                    Appeal from the United States District Court
                        for the Middle District of Georgia
                          ________________________

                                   (May 30, 2012)

Before MARCUS, PRYOR and KRAVITCH, Circuit Judges.

PER CURIAM:

      Movants-Appellants George W. McGriff and Eric Emanuel Wyatt (“Counsel”)

appeal following the final order of the district court granting summary judgment in

favor of Defendants-Appellees, in a discrimination suit brought by Plaintiff Russell

Adkins, MD. Specifically, Counsel appeal from the district court’s earlier order

granting the Defendants’ motion to disqualify Counsel from representing Dr. Adkins.

On appeal, Counsel argue: (1) the Defendants lacked standing to move to disqualify

Counsel; (2) the district court erred in applying Georgia Rules of Professional

Conduct 1.7 and 1.9; and (3) the district court erred in finding a clear appearance of

impropriety warranting disqualification. After thorough review, we affirm.

      We review the district court’s factual findings in a counsel disqualification case

for clear error. Kleiner v. First Nat’l Bank, 751 F.2d 1193, 1207 n.30 (11th Cir.




                                           2
1985). We review de novo a district court’s application of the Rules of Professional

Conduct. Schlumberger Tech., Inc. v. Wiley, 113 F.3d 1553, 1558 (11th Cir. 1997).1

       The relevant facts are these. On July 15, 2003, Dr. Adkins, a urologist,

operated on patient Sharon Kornegay at Houston Medical Center (“HMC”). The next

day, Ms. Kornegay bled profusely and returned to HMC. Staff called Dr. Adkins,

who informed Ms. Kornegay that he was out of town but would have a doctor see her.

During the next eleven hours, while Ms. Kornegay lay bleeding and in pain, nurses

told her that Dr. Adkins was not responding to their pages and did not believe their

descriptions of her condition. They also said they could not call another physician

because Dr. Adkins had not asked anyone to cover his patients before he left town.

That evening, urologist Dr. Daniel Deighton arrived and performed another surgery

on Ms. Kornegay. He confirmed that Dr. Adkins had not asked him for coverage.

       About two months later, Ms. Kornegay filed a complaint with HMC about the

care she had received following an initial surgery Dr. Adkins had performed on her

on June 23, 2003, and during her visit on July 16, 2003. Ms. Kornegay questioned

whether Dr. Adkins had engaged in malpractice and described his unavailability,

unprofessional conduct, and failure to arrange for a back-up physician.


       1
         We review the district court’s ruling de novo because the main attorney conduct at issue
occurred before the case was filed and was not of a type to disrupt in-court proceedings, and
because the decision turned on an application of the Rules. See Schlumberger, 113 F.3d at 1558.

                                                3
      In October 2003, Dr. Adkins’s privileges at HMC were summarily suspended

on grounds that his practice reflected a pattern of problems regarding: availability and

timely response to emergency room call and consultation in-house; timely completion

of medical records; compliance with protocol for pre-admission of surgical patients;

and attendance of meetings. By way of example, the letter referenced Dr. Adkins’s

treatment of Sharon Kornegay. Dr. Adkins then called Ms. Kornegay, told her about

the suspension and asked to see her complaints. Dr. Adkins advised that they were

both victims of race discrimination at HMC, and that she should talk to his attorney.

Within days, Dr. Adkins formally secured the legal representation of Counsel.

      Counsel then visited the Kornegays. Ms. Kornegay told Counsel that she had

contacted a few lawyers about a malpractice claim against Dr. Adkins and that she

was uncomfortable talking to Counsel unless he agreed to represent her. Counsel said

that Dr. Adkins had done nothing wrong in treating her and that two physicians had

confirmed this. Counsel further said that HMC was targeting Dr. Adkins because of

his race and that Ms. Kornegay likely also had a race-based claim against HMC. At

this point, Counsel suggested that he represent Ms. Kornegay. The Kornegays asked

whether Counsel’s representation of both Ms. Kornegay and Dr. Adkins would create




                                           4
a conflict of interest, which Counsel denied, reiterating that Dr. Adkins had done

nothing wrong. Ms. Kornegay finally agreed to Counsel’s representation.2

       Thereafter, the Kornegays repeatedly expressed concerns to McGriff about

whether he suffered from a conflict of interest and about his insistence that she had

no malpractice claim against Dr. Adkins. Counsel brought in a nurse to convince Ms.

Kornegay that hospital staff had not repeatedly called Dr. Adkins on July 16th, as she

believed, and that Dr. Adkins was guilty of no wrongdoing. Counsel never requested

a retainer from Ms. Kornegay, never conducted any investigation into the merits of

any potential malpractice or abandonment claims, and never advised Ms. Kornegay

that she may have potential claims against Dr. Adkins.

       About six months after filing this suit, Counsel McGriff told Ms. Kornegay that

attorney Dwight Johnson should represent her in her state-court fall claim against

HMC, while McGriff would consider moving for her to intervene in Dr. Adkins’s

federal civil rights case. Ms. Kornegay agreed, and Counsel McGriff later admitted

that at this time (late 2004), he was representing Ms. Kornegay “with Mr. Johnson.”

       Around this time, HMC sought to depose Ms. Kornegay, and Counsel

requested that Ms. Kornegay sign a waiver of conflict. Ms. Kornegay, however,


       2
         Ms. Kornegay then gave Counsel her complaints, which Counsel claimed they did not
receive until May 2005. The district court found Ms. Kornegay’s testimony more credible on this
issue and found that Counsel had them by November 2003. Counsel do not dispute this finding.

                                              5
refused and specifically informed Counsel that the Kornegays did not consent to the

use of any of their communications with Counsel in Dr. Adkins’s federal litigation.

In April 2005, attorney Melanie Webre notified Counsel that the Kornegays had

retained new counsel to pursue any claims they had against Dr. Adkins and HMC.3

       In May 2005, Counsel moved to withdraw from the present case, identifying

a conflict of interest that had been created by his joint representation of Dr. Adkins

and Ms. Kornegay. In the motion, Counsel cited concerns about Georgia Rules of

Professional Conduct 1.7 and 1.9, regarding conflicts of interests between current and

former clients, and conceded that withdrawal “was necessary to avoid using

confidential information of a former client.” The district court granted the motion.

       Dr. Adkins secured new representation, but four years later, Dr. Adkins’s new

counsel was unable to continue due to illness and also withdrew. Counsel then served

an Entry of Appearance in this case. The Defendants moved to disqualify Counsel,

claiming that the conflict still existed. The district court granted the motion to

disqualify, and this timely appeal follows.

       First, we are unpersuaded that the Defendants lacked standing to move for

Counsel’s disqualification. A party who is not a former client of opposing counsel



       3
         In June 2005, just before her statute of limitations ran, Ms. Kornegay, through the new
counsel, sued Dr. Adkins in state court, based on his conduct on July 16th and related issues.

                                                6
nevertheless has standing to raise the issue of opposing counsel’s conflict of interest

if there is “a violation of the rules which is sufficiently severe to call in question the

fair and efficient administration of justice.” Bernocchi v. Forcucci, 614 S.E.2d 775,

779 (Ga. 2005). As the district court reasoned, it is clearly improper for a lawyer to

simultaneously represent two clients when he is unable to maintain loyalty to both

clients and may need to breach client confidentiality. Because this circumstance

breeds prejudice and delay and undermines the credibility of our judicial system, we

agree that the Defendants identified a violation of the Georgia Rules of Professional

Conduct severe enough to call into question the fair and efficient administration of

justice. Counsel have offered nothing to dispute the seriousness of these allegations.

      Counsel argue, however, that the Defendants lack standing to move for

disqualification because the Georgia Bar found no “probable cause” to believe that

Counsel violated the Georgia Rules of Professional Conduct in this case. However,

it is unclear from the record before us exactly what proceedings the Bar held and what

evidence it considered. As best as we can tell, Counsel never provided the district

court with any documents pertaining to the Bar investigation or hearing (other than

brief letters bringing the situation to the Bar’s attention, and informing Ms. Weber of




                                            7
the Bar’s one-line finding).4 On this barren record, we cannot conclude that the Bar’s

review of the matter diminishes the seriousness of the allegations, or otherwise affects

the Defendants’ standing to move for Counsel’s disqualification.

       We next find no merit to Counsel’s claim that the district court erred in

applying Rule 1.7(a) of the Georgia Rules of Professional Conduct, which provides:

       A lawyer shall not represent or continue to represent a client if there is
       a significant risk that the lawyer’s own interests or the lawyer’s duties
       to another client, a former client, or a third person will materially and
       adversely affect the representation of the client.

In applying this rule, we assess “the likelihood that a conflict will eventuate and, if

it does, whether it will materially interfere with the lawyer’s independent professional

judgment in considering alternatives or foreclose courses of action that reasonably

should be pursued on behalf of the client. Consideration should be given to whether

the client wishes to accommodate the other interest involved.” Id. at cmt. 4.

       Counsel now argue that the district court clearly erred in finding that the scope

of Counsel’s representation of Ms. Kornegay included potential claims against Dr.



       4
         Moreover, the one case involving the Georgia Bar that Counsel cite to, Hook v. Bergen,
649 S.E.2d 313, 317 (Ga. App. 2007), merely mentions in passing that the Bar had rejected a
complaint against an attorney; it is unclear what significance the Bar’s finding had on the merits
of the court case. And as for Counsel’s claim that Ms. Kornegay’s testimony “clearly refutes”
the Defendants’ arguments for disqualification, Counsel do not specify which of Ms. Kornegay’s
testimony does so, and have therefore waived this argument. See Continental Tech. Servs., Inc.,
v. Rockwell Int’l Corp., 927 F.2d 1198, 1199 (11th Cir. 1991) (holding that a glancing reference
without citation to the record or authority does not fairly present an issue to this Court).

                                                8
Adkins. But, according to Ms. Kornegay’s deposition and affidavit, she hired

Counsel McGriff in 2003 to represent her “[f]or any and all claims [she] had against

[HMC] . . . [a]nd whoever else that [she] had claims against.” She advised Counsel

that she “wanted to file claims against any and all interested parties that were a part

of my treatment or lack thereof on July 15th and 16th, including Dr. Adkins.”

       This is sufficient clear and convincing evidence in support of the district

court’s finding that Counsel’s former representation of Ms. Kornegay and current

representation of Dr. Adkins violated Rule 1.7. Indeed, her testimony clearly

supports the finding that Counsel agreed to represent any and all of Ms. Kornegay’s

claims, including potential ones against Dr. Adkins.5

       As for Counsel’s argument that Ms. Kornegay had no reasonable basis to

believe that Counsel would represent her in claims against Dr. Adkins since she knew

Counsel represented Dr. Adkins, we are unpersuaded. Rather, she said she knew Dr.

Adkins was probably going to hire Counsel, but did not think it had happened yet;

and in any event, we cannot assume she knew that Counsel’s representation of Dr.

Adkins would preclude Counsel’s representation of her claims against Dr. Adkins,




       5
         Counsel’s assertion that there was no conflict because Ms. Kornegay had no viable
claim against Dr. Adkins is unpersuasive -- especially since, among other things, they admit in
the reply brief that issues of fact about a potential malpractice claim exist.

                                                9
since she believed Counsel was representing any and all of her claims, and since

counsel repeatedly reassured her that no conflict of interest existed.

      We are also unpersuaded that the fact that Ms. Kornegay might have given

testimony favorable to Dr. Adkins resolved any conflict in their representation of both

the Kornegays and Dr. Adkins. In fact, Counsel acknowledge that “Ms. Kornegay

may have provided testimony that could be construed as unfavorable” to Dr. Adkins

and/or Counsel. That statement alone recognizes that she may have had some

complaints, and potentially, claims, against Dr. Adkins. Thus, on this record, we

cannot find any error, much less clear error, in the district court’s findings, nor in the

evidence it relied upon to making those findings.

      Next, we find no merit to Counsel’s claim that the district court erred in

applying Rule 1.9(a) of the Georgia Rules of Professional Conduct, which provides:

      A lawyer who has formerly represented a client in a matter shall not
      thereafter represent another person in the same or a substantially related
      matter in which that person’s interests are materially adverse to the
      interests of the former client unless the former client consents after
      consultation.

A violation of this rule depends on whether: (1) there was a previous attorney-client

relationship and, if so, (2) that relationship involved a matter substantially related to

the current proceeding. Jones v. InfoCure Corp., 2003 WL 22149656, at *2 (N.D. Ga.

May 13, 2003); see also Cox v. Am. Cast Iron Pipe Co., 847 F.2d 725, 728 (11th Cir.

                                           10
1988). It is clear, as the district court found, that there was a “previous attorney-client

relationship” between Counsel and Ms. Kornegay, and that Counsel’s representation

of Ms. Kornegay and Dr. Adkins is “not only logically and materially related, but the

two involved exactly the same events, and both involved the present litigation.”

       On appeal, Counsel claim that Ms. Kornegay waived confidentiality with

respect to the previous communications she had with Counsel because she filed an

affidavit with the district court detailing Counsel’s conflict of interest, because she

filed a Georgia Bar complaint alleging ethical violations by Counsel, and because she

filed a case in state court against Dr. Adkins. However, Counsel do not detail for us

what confidences necessarily were revealed, how public these proceedings were, or

how far they progressed. See Continental Tech., 927 F.2d at 1199.

       Counsel also claim that Ms. Kornegay had no reasonable expectation when she

hired Counsel that her communications would not be shared with Dr. Adkins.

Counsel rely on Ms. Kornegay’s statement that, “I assumed that [McGriff’s] reason

for coming to me and inquiring was because later on down the road he intended to file

a discrimination suit for Dr. Adkins. But when I agreed to give him private

information surrounding me, at that point I felt like he was going to do the same for

me too.” Yet this is not evidence that she authorized Counsel to share all her

confidences with Dr. Adkins, nor even that she understood that McGriff would bring

                                            11
a single lawsuit for both Ms. Kornegay and Dr. Adkins and that Dr. Adkins would be

privy to every communication between McGriff and Ms. Kornegay. Indeed, McGriff

could have secured a written waiver from Ms. Kornegay and a joint representation

agreement with all parties, but did not. Further, when Ms. Kornegay terminated her

representation with Counsel, she specifically refused to consent to the use of any of

the Kornegays’ communications with Counsel in Dr. Adkins’s federal litigation.

       Counsel further claim that they would not be taking a position “materially

adverse” to Ms. Kornegay’s interests by representing Dr. Adkins. However, Ms.

Kornegay is adversely affected if information she previously disclosed to Counsel is

used to undermine her trial testimony. The key issues in Dr. Adkins’s federal case

include whether he was available on July 16th, contrary to Ms. Kornegay’s position

that he told her that he was out of town, and whether he provided sufficient coverage

for his patients in his absence (and indeed, Counsel admits that the facts surrounding

this dispute -- including why HMC did not immediately treat Ms. Kornegay that day

-- were “amongst the ultimate facts to be decided by the factfinder in this case”).6




       6
          Counsel’s claim that Ms. Kornegay’s testimony does not show that anyone contacted
Dr. Adkins after she was admitted on July 16th is without merit. She specifically testified that
after her admission that day, the nurse “said she paged him and he wasn’t answering his pages.”
Further, Counsel have not provided us with any authority suggesting that the interests are not
materially adverse simply because Ms. Kornegay’s testimony may be inadmissible hearsay.

                                               12
What’s more, the fact that some of Dr. Adkins’s and Ms. Kornegay’s interests are

aligned does not make up for the fact that they are materially adverse in other ways.

      Counsel also contend that any injury to Ms. Kornegay’s confidentiality can be

remedied by having another attorney cross-examine Ms. Kornegay at trial. But the

district court did not find this approach practical, and we agree. Counsel’s use of Ms.

Kornegay’s confidential information may also be used in strategy and argument. We

therefore find no error in the district court’s findings or conclusions about Rule 1.9.

      Finally, we reject Counsel’s claim that the district court violated their right to

due process by basing the disqualification decision in part on finding a clear

appearance of impropriety because the “appearance of impropriety” factor was not

argued in the Defendants’ motion. As the record shows, the district court first found

that Counsel had violated Georgia Rules of Professional Conduct 1.7 and 1.9, and

then -- approaching the disqualification motion “with caution” -- considered a number

of other factors, including the appearance of impropriety, before ordering

disqualification. However, the notion of “appearance of impropriety” is in the case

law surrounding Rule 1.9, see, e.g., Snapping Shoals Elec. Membership Corp. v. RLI

Ins. Corp., 2006 WL 1877078, at *6 (N.D. Ga. July 5, 2006), and in one of the very

cases the Defendants cited to the district court in the motion for disqualification --

Glover v. Libman, 578 F. Supp. 748, 766 (N.D. Ga. 1983). Because we have held

                                          13
that a party receives fair notice sufficient for due process through “case law, court

rules, or the codes of professional conduct,” In re BellSouth Corp., 334 F.3d 941, 959

n.13 (11th Cir. 2003), we cannot conclude that Counsel were not apprised of this

issue before the hearing. Moreover, to the extent that Counsel broadly assert that

there was no appearance of impropriety, their argument does not specify why the

issue surrounding Ms. Kornegay’s knowledge of Dr. Adkins’s whereabouts on July

16th was insufficient to create an appearance of impropriety, or how the district court

otherwise erred in finding an appearance of impropriety. Accordingly, we affirm.

      AFFIRMED.




                                          14
