Rules of Professional Conduct – Comment Period Closed May 5, 2019

RPC.0804. Misconduct. Amend. Provides that it is professional misconduct for a lawyer to engage in conduct that is an unlawful, discriminatory, or retaliatory employment practice under Title VII of the Civil Rights Act of 1964 or the Utah Antidiscrimination Act. “Employer” means any person or entity that employs one or more persons. The amendments also provide that it is professional misconduct for a lawyer to egregiously violate, or engage in a pattern of repeated violations, of the Standards of Professionalism and Civility if such violations harm the lawyer’s client or another lawyer’s client or are prejudicial to the administration of justice.

This rule coordinates with Utah State Bar Rule 14-301, Standards of Professionalism and Civility.

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15 thoughts on “Rules of Professional Conduct – Comment Period Closed May 5, 2019
  1. Kenneth Lougee

    Why does the proposed amendment to 8.4 contain the qualifier about course of representing a client? Lawyers should always obey the law, whether or not their actions concern their practice. I would strike that language and hold lawyers ethically accountable to the law.

     
  2. Joshua Jewkes

    The change is urgently need by making is misconduct to repeatedly violate the rules of civility. Prior to this, the rules of civility appeared to be aspirational only, and, unfortunately, some counsel treated them as dispensable. It is critical to our justice system that counsel act professionally at all times towards opposing counsel and parties. Uncivil conduct causes emotional damage, unnecessarily enlarges and delays proceedings and reflects poorly on our profession. It is sad that we are at a point where civility needs to be enforced in this manner, but that is, nonetheless, the current state of affairs. While the vast majority of practitioners act professionally at all times, there is a growing number of “loud” practitioners who feel that harassment, dishonesty, abuse, prejudicial behavior, and other uncivil conduct outside the direct view of the court are warranted as long as a legal objective is sought. The ends DO NOT justify the means, and it is critical to the functioning of the state bar that these individuals be stopped and held accountable.

     
  3. Charles Schultz

    If the specified conduct is already unlawful under the provisions of Title VII of the Civil Rights Act of 1964 or the Utah Antidiscrimination Act and Title VII of the Civil Rights Act of 1964 or the Utah Antidiscrimination Act, why does the Bar feel the need to enact this Rule?

    Soon the Bar will make looking at someone in what is determined to be politically incorrect a violation of the Rules of Professional Conduct. Then thinking in a politically incorrect way will become violation of the Rules of Professional Conduct.

    Is breathing in politically correct way next?

     
  4. T M Willardson

    Why not really pile on and make it so that multiple traffic tickets is an ethical violation. Noise complaints, failure to obtain 100% refunds of rental deposits, and similar nefandous conduct should also be penalized by the bar.

     
  5. J. David Milliner

    Although I personally find the proscribed conduct to be reprehensible, I am concerned that the amendments to the rule open the door for abuse by employees of law firms, and apparently by clients as well, who have been reasonably disciplined, admonished or dropped by an attorney. As most attorneys know, dealing with a bar complaint is time consuming and, therefore, expensive. And, at least in my experience, most bar complaints are without merit. I would support the amendment if it required an appropriate due process finding of a violation by a court or administrative agency before a bar complaint could be filed, but as presently drafted it feels too much like a double jeopardy situation that is susceptible to abuse by employees or clients who may be looking for an inexpensive form of leverage or revenge.

     
  6. Dave Duncan

    I’m confused by a few of the deletions.
    Is it now ok to discriminate against a veteran? If not, why was that deleted?
    Is “casting aspersions on physical traits or appearance” no longer discouraged? Why delete the provision discouraging it?

     
  7. RANDALL EDWARDS

    While I welcome this rule, I must say that I am actually skeptical that it will make much of a difference so long as the district courts show the same reluctance that they always have to find the offending counsel either in contempt of court or to have engaged in sanctionable behavior. A case in point: A year ago I finally wrapped up a case in which opposing counsel accused me, on the record, of being part of an illegal conspiracy, accused counsel for another defendant of fraud and conspiracy as well as being dishonest (ultimately naming that lawyer as a party in the case), tried to pass off as genuine documents that he ultimately had to admit had been forged, abused the system by filing 14 motions for enlargement of time to respond to motions he didn’t want to respond to, filed a meritless bankruptcy filing to delay the case, accused one judge of “taint” and “bias” because the judge had ruled against him, and brought claims against non-existent parties. These actions were brought before the court numerous times, but in each instance the court seemed extremely reluctant to levy sanctions, (at one point, the judge said, “I’m very concerned about these forgeries,” and then did nothing to actually punish counsel for defrauding the court), and in the instance that it did finally get fed up with the shenanigans (after years of abuse by my opposing counsel), the sanction was minimal.

    I wish I could say that this case was an exception, but from my experience as a member of the Utah bar now for 36 years, I can say that it’s not. Despicable behavior in depositions goes undeterred; outright lies to the court go unpunished (as if an outright falsehood under oath is simply part of “advocacy” or “a conflict in the evidence”), and lawyers, well known for breaking the rules, continue to get away with it. (Ask any member of the bar for the names of misbehaving lawyers and you’ll notice that the same names keep cropping up).

    So … the bottom line for me is that it’s nice to have rules that define and condemn bad behavior on the part of lawyers, but unless and until the courts actually punish such behavior, these rules are simply eyewash.

     
  8. Alex Leeman

    I agree with the portion of the amendment relating to repeat violations of the Standards of Professionalism and Civility.

    I do not agree with the suggested amendments regarding Title VII employment claims. Do we really want OPC investigating employment discrimination claims? If you want to cover this concept in the rules of professional conduct, create a sort of “reciprocal discipline” rule that imposes a sanction if a lawyer or law firm is held liable by a court or administrative agency for a violation of Title VII. Then you can leave actual investigation and adjudication of the claims to the EEOC, UALD, and civil courts. OPC should not be tasked with investigating employment discrimination claims.

     
    1. Sam Goble

      I agree with Mr. Leeman’s opinion. The OPC can and does weigh in when other authorities find–after due process–attorneys engaged in behavior that violated the law, including discrimination claims. Formalizing that the OPC may act upon adverse adjudications for Title VII employment claims against an attorney seems appropriate. Anything more seems redundant and burdensome because it saps bar resources, raises issues of collateral estoppel, burdens of proof and risks conflicting outcomes amongst tribunals.

      The repeated misconduct Rule also seems too be redundant:

      “it is professional misconduct for a lawyer to egregiously violate, or engage in a pattern of repeated violations, of the Standards of Professionalism and Civility if such violations harm the lawyer’s client or another lawyer’s client or are prejudicial to the administration of justice.”

      This creates a new violation solely by recognizing other violations of existing rules. That seems unnecessary. If it is not the case already, I would consider the “repeated” and “harm to counsel or client” behavior merely as a aggravators that may be formally considered by OPC in the context of sanctioning a violation of an existing rule.

      I also agree with Randall’s point, that if attorney behavior toward opposing counsel or opposing client is a growing problem, a more active enforcement of existing rules is equipped to deal with it.

       
  9. Sam Goble

    I agree with Mr. Leeman’s opinion. The OPC can and does weigh in when other authorities find–after due process–attorneys engaged in behavior that violated the law, including discrimination claims. Formalizing that the OPC may act upon adverse adjudications for Title VII employment claims against an attorney seems appropriate. Anything more seems redundant and burdensome because it saps bar resources, raises issues of collateral estoppel, burdens of proof and risks conflicting outcomes amongst tribunals.

    The repeated misconduct Rule also seems too be redundant:

    “it is professional misconduct for a lawyer to egregiously violate, or engage in a pattern of repeated violations, of the Standards of Professionalism and Civility if such violations harm the lawyer’s client or another lawyer’s client or are prejudicial to the administration of justice.”

    This creates a new violation solely by recognizing other violations of existing rules. That seems unnecessary. If it is not the case already, I would consider the “repeated” and “harm to counsel or client” behavior merely as a aggravators that may be formally considered by OPC in the context of sanctioning a violation of an existing rule.

    I also agree with Randall’s point, that if attorney behavior toward opposing counsel or opposing client is a growing problem, a more active enforcement of existing rules is equipped to deal with it.

     
  10. Kim Colby

    Christian Legal Society (“CLS”) is an interdenominational association of Christian attorneys, law students, and law professors, founded in 1961, to network lawyers and law students nationwide, including members in Utah.

    2017 Proposal: In the previous comment period, which closed July 28, 2017, CLS filed its comment letter on July 18, 2017. Those comments addressed the proposed addition of Utah Rules of Professional Conduct Rule 8.4(g) that would essentially have adopted ABA Model Rule 8.4(g). Those comments continue to be applicable to several parts of the second proposed rule that are the subject of the current second comment period. The comments can be read at https://www.utcourts.gov/utc/rules-comment/2017/06/13/rules-of-professional-conduct-comment-period-closes-july-28-2017/.

    In its July 2017 comments, CLS explained that it opposed adoption of ABA Model Rule 8.4(g) because, if adopted, Model Rule 8.4(g) would have a chilling effect on lawyers’ expression of disfavored political, social, and religious viewpoints on a multitude of issues. If adopted, Model Rule 8.4(g) would create ethical concerns for attorneys who serve on nonprofit boards, speak publicly on legal topics, teach at law schools, advocate for legislation, or otherwise discuss current political, social, or religious issues. Because lawyers often serve as spokespersons for political, social, or religious movements, a rule that could be employed to discipline a lawyer for his or her speech on controversial issues should be rejected as a serious threat to freedom of speech, free exercise of religion, and freedom of political belief in a diverse society.

    United States Supreme Court Decisions in 2017 and 2018: On August 17, 2018, CLS filed with the Utah Supreme Court a supplemental comment letter in order to bring to the Court’s attention the United States Supreme Court’s decision in National Institute of Family and Life Advocates v. Becerra, 138 S. Ct. 2361 (2018) (“NIFLA”). https://www.clsreligiousfreedom.org/sites/default/files/site_files/Christian%20Legal%20Society%20Supplemental%20Comment%20Letter%20Submitted%202018-08-17%20UT.pdf

    Basically, since the ABA adopted Model Rule 8.4(g) in August 2016, the United States Supreme Court has issued two major free speech decisions that demonstrate the unconstitutionality of ABA Model Rule 8.4(g). First, under the Court’s analysis in NIFLA, ABA Model Rule 8.4(g) is an unconstitutional content-based restriction on lawyers’ speech. The NIFLA Court held that state restrictions on “professional speech” are presumptively unconstitutional and subject to strict scrutiny. Second, under the Court’s analysis in Matal v. Tam, 137 S. Ct. 1744 (2017), ABA Model Rule 8.4(g) is an unconstitutional viewpoint-based restriction on lawyers’ speech that cannot survive the strict scrutiny triggered by viewpoint discrimination.

    Recently, the ABA Section of Litigation published an article confirming that several section members see the Court’s NIFLA decision as raising serious concerns about the overall constitutionality of ABA Model Rule 8.4(g):

    Model Rule 8.4(g) “is intended to combat discrimination and harassment and to ensure equal treatment under the law,” notes Cassandra Burke Robertson, Cleveland, OH, chair of the Appellate Litigation Subcommittee of the Section’s Civil Rights Litigation Committee. While it serves important goals, “the biggest question about Rule 8.4(g) has been whether it unconstitutionally infringes on lawyers’ speech rights—and after the Court’s decision in Becerra, it increasingly looks like the answer is yes,” Robertson concludes.

    Thea Pitzen, First Amendment Ruling May Affect Model Rules of Professional Conduct: Is Model Rule 8.4(g) Constitutional?, ABA Section of Litigation Top Story, Apr. 3, 2019, https://www.americanbar.org/groups/litigation/publications/litigation-news/top-stories/2019/first-amendment-ruling-may-affect-model-rules-prof-cond/.

    Utah 2019 Revised Proposal: A second comment period is now open to consider a complicated revised proposal that would:

    1. Add new Utah Rules of Professional Conduct Rule 8.4(g) that is a confusing hybrid of elements of ABA Model Rule 8.4(g) with Title VII and the Utah Antidiscrimination Act;

    2. Add new Utah Rules of Professional Conduct Rule 8.4(h) that would make it professional misconduct to violate the Utah Standards of Professionalism and Civility in certain instances; and

    3. Amend the Utah Standards of Professionalism and Civility to regulate attorneys’ speech in ways that violate the First Amendment as analyzed by the United States Supreme Court in NIFLA and Matal.

    This revised proposal should be rejected if for no other reason than it is so complicated and confusing that lawyers cannot be sure which speech triggers disciplinary action. In addition to serious constitutional concerns, numerous other practical reasons for rejecting the revised proposal exist as well.

    I. This Court Should Not Subject Utah Attorneys to a Complicated and Confusing Set of Rules That Have Not Been Adopted by Any Other State Supreme Court.

    A. Utah Already has Rule of Professional Conduct 8.4(d) and Its Comment 3.

    Utah Rule of Professional Conduct 8.4(d) currently provides that it is professional misconduct for a lawyer to “engage in conduct that is prejudicial to the administration of justice.” Utah has adopted Comment 3 to that rule, which provides:

    A lawyer who, in the course of representing a client, knowingly manifests by words or conduct, bias or prejudice based upon race, sex, religion, national origin, disability, age, sexual orientation or socioeconomic status, violates paragraph (d) when such actions are prejudicial to the administration of justice. Legitimate advocacy respecting the foregoing factors does not violate paragraph (d). A trial judge’s finding that peremptory challenges were exercised on a discriminatory basis does not alone establish a violation of this rule.

    Utah R. Prof’l Conduct 8.4 cmt.3. Comment 3 is a verbatim adoption of Comment 3 that accompanied ABA Model Rule 8.4 from 1998 to 2016.

    Utah attorneys should not be made the subjects of the novel experiment that the revised proposal represents. This is particularly true when the Utah Supreme Court has the prudent option of waiting to see what other jurisdictions decide to do and then observing the real-world consequences for attorneys in those states. There is no need for haste because current Utah Rule 8.4(d) already prohibits a lawyer from engaging in conduct prejudicial to the administration of justice, and current Comment [3] to Rule 8.4 already deems bias and prejudice in the course of representing a client to be professional misconduct if the conduct is prejudicial to the administration of justice.

    B. No Jurisdiction has Adopted the Revised Proposal, and Only One Jurisdiction, Vermont, has Adopted ABA Model Rule 8.4(g).

    To the best of our knowledge, no state has adopted a rule like the revised proposal, which is a complex combination of elements of ABA Model Rule 8.4(g) with elements of some other states’ rules that require conduct be unlawful before it is subject to discipline. But as explained below, the revised proposal fails to track those other states’ rules in important ways. To add to the confusion, the revised proposal also amends the Utah Standards of Professionalism and Civility in troubling ways and subjects some violations of those standards to discipline for professional misconduct. The result is a set of rules, which if adopted, greatly expands the grounds upon which Utah lawyers may be subject to discipline.

    The Utah Supreme Court was wise to reject the 2017 proposal, which essentially called for adoption of ABA Model Rule 8.4(g). After nearly three years of deliberations in many states across the country, Vermont remains the only state to have adopted ABA Model Rule 8.4(g). In contrast, at least eleven states have concluded, after careful study, that ABA Model Rule 8.4(g) is both unconstitutional and unworkable.

    II. Official Entities in Arizona, Idaho, Illinois, Montana, North Dakota, South Carolina, Tennessee, and Texas Have Rejected ABA Model Rule 8.4(g), and Louisiana, Minnesota, and Nevada Have Abandoned Efforts to Impose It on Their Attorneys.

    One of federalism’s great advantages is that one state can reap the benefit of other states’ experience. Prudence counsels waiting to see whether other states adopt ABA Model Rule 8.4(g) and then observing the effects of its real-life implementation on attorneys in those states. This is particularly true when ABA Model Rule 8.4(g) has failed close scrutiny by official entities in many states. Michael S. McGinniss, Expressing Conscience with Candor: Saint Thomas More and First Freedoms in the Legal Profession, 42 Harv. J. L. & Pub. Pol’y 173, 213-217 (2019).

    A. Several State Supreme Courts Have Rejected ABA Model Rule 8.4(g).

    The Supreme Courts of Arizona, Idaho, Tennessee, South Carolina, and Montana have officially rejected adoption of ABA Model Rule 8.4(g). On August 30, 2018, after a public comment period, the Arizona Supreme Court rejected a petition from the Central Arizona Chapter of the National Lawyer Guild urging adoption of ABA Model Rule 8.4(g). A week later, on September 6, 2018, the Idaho Supreme Court rejected a resolution by the Idaho State Bar Association to adopt a modified version of ABA Model Rule 8.4(g).

    On April 23, 2018, after a public comment period, the Supreme Court of Tennessee denied a petition to adopt a slightly modified version of ABA Model Rule 8.4(g). The petition had been filed by the Tennessee Bar Association and the Tennessee Board of Professional Responsibility. The Tennessee Attorney General filed a comment letter, explaining that a black letter rule based on ABA Model Rule 8.4(g) “would violate the constitutional rights of Tennessee attorneys and conflict with the existing Rules of Professional Conduct.”

    On October 26, 2016, the Montana Supreme Court announced a public comment period through December 9, 2016, to consider adoption of ABA Model Rule 8.4(g), but then announced an extension of the comment period until April 21, 2017. In a memorandum dated March 1, 2019, the court noted that it “chose not to adopt the ABA’s Model Rule 8.4(g).”

    On September 25, 2017, the Supreme Court of Nevada granted the request of the Board of Governors of the State Bar of Nevada to withdraw its petition urging adoption of Model Rule 8.4(g). In a letter to the Court, dated September 6, 2017, the State Bar President explained that “the language used in other jurisdictions was inconsistent and changing,” and, therefore, “the Board of Governors determined it prudent to retract [the Petition] with reservation to refile [it] when, and if the language in the rule sorts out in other jurisdictions.”

    In June 2017, the Supreme Court of South Carolina rejected adoption of ABA Model Rule 8.4(g). The Court acted after the state bar’s House of Delegates, as well as the state attorney general, recommended against its adoption.

    On January 23, 2019, the ABA published a summary of the states’ consideration of ABA Model Rule 8.4(g) to date. By the ABA’s own count, nine states have declined to adopt Model Rule 8.4(g): Arizona, Idaho, Illinois, Louisiana, Minnesota, Montana, Nevada, South Carolina, and Tennessee. (We add Texas and North Dakota to that list.) The ABA lists Vermont as the only state to have adopted 8.4(g).

    B. State Attorneys General Have Identified Core Constitutional Issues with ABA Model Rule 8.4(g).

    On March 16, 2018, the Attorney General of Tennessee filed Opinion 18-11, American Bar Association’s New Model Rule of Professional Conduct Rule 8.4(g), attaching his office’s comment letter to the Supreme Court of Tennessee, opposing adoption of a proposed rule closely modeled on ABA Model Rule 8.4(g). The Attorney General concluded that the proposed rule “would violate the constitutional rights of Tennessee attorneys and conflict with the existing Rules of Professional Conduct.”

    In December 2016, the Texas Attorney General issued an opinion opposing ABA Model Rule 8.4(g). The Texas Attorney General stated that “if the State were to adopt Model Rule 8.4(g), its provisions raise serious concerns about the constitutionality of the restrictions it would place on members of the State Bar and the resulting harm to the clients they represent.” The Attorney General declared that “[c]ontrary to . . . basic free speech principles, Model Rule 8.4(g) would severely restrict attorneys’ ability to engage in meaningful debate on a range of important social and political issues.”

    In September 2017, the Louisiana Attorney General concluded that “[t]he regulation contained in ABA Model Rule 8.4(g) is a content-based regulation and is presumptively invalid.” Because of the “expansive definition of ‘conduct related to the practice of law’ and its “countless implications for a lawyer’s personal life,” the Attorney General found the Rule to be “unconstitutionally overbroad as it prohibits and chills a substantial amount of constitutionally protected speech and conduct.”

    Agreeing with the Texas Attorney General’s assessment of the unconstitutionality of ABA Model Rule 8.4(g), the Attorney General of South Carolina determined that “a court could well conclude that the Rule infringes upon Free Speech rights, intrudes upon freedom of association, infringes upon the right to Free Exercise of Religion and is void for vagueness.”

    On May 21, 2018, the Arizona Attorney General filed a comment letter urging the Arizona Supreme Court to heed the opposition of other states, state attorneys general, and state bar associations to adoption of ABA Model Rule 8.4(g). He also noted the constitutional concerns that ABA Model Rule 8.4(g) raises as to free speech, association, and expressive association. (Links to referenced documents can be found in CLS’ comment letter dated April 11, 2019, to the New Hampshire Supreme Court at 10-13, https://www.clsreligiousfreedom.org/sites/default/files/site_files/Christian%20Legal%20Society%20Comment%20Letter%202019.pdf).

    C. The Montana Legislature Recognized the Problems That ABA Model Rule 8.4(g) Might Create for Legislators, Witnesses, Staff, and Citizens.

    On April 12, 2017, the Montana Legislature adopted a joint resolution expressing its view that ABA Model Rule 8.4(g) would unconstitutionally infringe on the constitutional rights of Montana citizens and urging the Montana Supreme Court not to adopt ABA Model Rule 8.4(g). The impact of Model Rule 8.4(g) on “the speech of legislative staff and legislative witnesses, who are licensed by the Supreme Court of the State of Montana to practice law, when they are working on legislative matters or testifying about legislation before Legislative Committees” greatly concerned the Montana Legislature.

    D. Several State Bar Associations Have Rejected ABA Model Rule 8.4(g).

    On December 10, 2016, the Illinois State Bar Association Assembly “voted overwhelmingly to oppose adoption of the rule in Illinois.” On October 30, 2017, the Louisiana Rules of Professional Conduct Committee, which had spent a year studying a proposal to adopt a version of ABA Model Rule 8.4(g), voted “not to recommend the proposed amendment to Rule 8.4 to either the House of Delegates or to the Supreme Court.”

    On September 15, 2017, the North Dakota Joint Committee on Attorney Standards voted not to recommend adoption of ABA Model Rule 8.4(g), expressing concerns that it was “overbroad, vague, and imposes viewpoint discrimination” and that it might “have a chilling effect on free discourse by lawyers with respect to controversial topics or unpopular views.”

    III. Scholars Continue to Critique ABA Model Rule 8.4(g).
    Professor Eugene Volokh of UCLA School of Law, a nationally recognized First Amendment expert, has summarized his view that ABA Model Rule 8.4(g) is a speech code that will have a serious impact on attorneys’ speech in a short video for the Federalist Society at https://www.youtube.com/watch?v=AfpdWmlOXbA. Professor Volokh expanded on the many problems of ABA Model Rule 8.4(g) in a debate at the Federalist Society National Student Symposium at https://www.youtube.com/watch?v=b074xW5kvB8&t=50s.

    The late Professor Ronald Rotunda, a highly-respected scholar in both constitutional law and legal ethics, early warned that ABA Model Rule 8.4(g) threatens lawyers’ First Amendment rights. Ronald D. Rotunda, The ABA Decision to Control What Lawyers Say: Supporting ‘Diversity’ But Not Diversity of Thought, The Heritage Foundation (Oct. 6, 2016), http://thf-reports.s3.amazonaws.com/2016/LM-191.pdf. Professor Rotunda and Texas Attorney General Ken Paxton debated two proponents of Rule 8.4(g) at the 2017 Federalist Society National Lawyers Convention at https://www.youtube.com/watch?v=V6rDPjqBcQg.

    Regarding the new rule, he and Professor John S. Dzienkowski wrote, in the 2017-2018 edition of Legal Ethics: The Lawyer’s Deskbook on Professional Responsibility, “[t]he ABA’s efforts are well intentioned, but . . . raise problems of vagueness, overbreadth, and chilling protected speech under the First Amendment.” Ronald D. Rotunda & John S. Dzienkowski, Legal Ethics: The Lawyer’s Deskbook on Professional Responsibility, ed. April 2017, “§ 8.4-2(j) Racist, Sexist, and Politically Incorrect Speech” & “§ 8.4-2(j)-2. The New Rule 8.4 and the Free Speech Problems It May Raise” in “§ 8.4-2 Categories of Disciplinable Conduct.”

    Dean Michael S. McGinniss, who teaches professional responsibility, recently “examine[d] multiple aspects of the ongoing ABA Model Rule 8.4(g) controversy, including the rule’s background and deficiencies, states’ reception (and widespread rejection) of it, [and] socially conservative lawyers’ justified distrust of new speech restrictions.” Michael S. McGinniss, Expressing Conscience with Candor: Saint Thomas More and First Freedoms in the Legal Profession, 42 Harv. J. L. & Pub. Pol’y 173, 173 (2019). Professor Josh Blackman has explained that ABA Model “Rule 8.4(g) is unprecedented, as it extends a disciplinary committee’s jurisdiction to conduct merely ‘related to the practice of law,’ with only the most tenuous connection to representation of clients, a lawyer’s fitness, or the administration of justice.” Josh Blackman, Reply: A Pause for State Courts Considering Model Rule 8.4(g), 30 Geo. J. Legal Ethics 241, 243 (2017).

    In a thoughtful examination of the rule’s legislative history, practitioners Andrew Halaby and Brianna Long concluded that ABA Model Rule 8.4(g) “is riddled with unanswered questions, including but not limited to uncertainties as to the meaning of key terms, how it interplays with other provisions of the Model Rules, and what disciplinary sanctions should apply to a violation; as well as due process and First Amendment free expression infirmities.” They recommend that “jurisdictions asked to adopt it should think long and hard about whether such a rule can be enforced, constitutionally or at all.” And they conclude that “the new model rule cannot be considered a serious suggestion of a workable rule of professional conduct to which real world lawyers may be fairly subjected.” Andrew F. Halaby & Brianna L. Long, New Model Rule of Professional Conduct 8.4(g): Legislative History, Enforceability Questions, and a Call for Scholarship, 41 J. Legal. Prof. 201, 204, 257 (2017).

    The basic First Amendment concerns with the impact of a rule incorporating significant parts of ABA Model Rule 8.4(g) were explained in CLS’ 2017 comments and will not be repeated here. But there are at least four reasons the revised proposal exacerbates the already existing concerns about the chilling effect that proposed Rule 8.4(g) will have on attorneys’ speech.

    First, it is a major problem that the revised proposal retains many elements of ABA Model Rule 8.4(g)’s Comments [3], [4], and [5] in the revised proposal’s Comments [4] and [5]. Those comments are the source of many of the First Amendment concerns highlighted in CLS’ 2017 comments.

    Second, the proposed Rule 8.4(h) introduces a whole new set of concerns as to the chilling effect of the revised proposal on attorneys’ speech. By explicitly incorporating the Standards of Professionalism and Civility as a fertile source of professional misconduct claims, the revised proposal transforms a long list of largely aspirational standards into a breeding ground for professional misconduct claims.

    Third, the proposed Rule 8.4(h) would make it professional misconduct for a lawyer to fail to “avoid hostile, demeaning, humiliating . . . conduct” (Standards of Professionalism and Civility, Std. 3), which its comment makes clear includes “communications.” The same comment directs that lawyers “should refrain from expressing scorn, superiority, or disrespect.” This standard would seem to be unconstitutional under the Matal and NIFLA analyses. Other standards that apply to attorneys’ speech would seem to raise the same First Amendment concerns. For example, Standard 1 states that “[l]awyers are expected to refrain from inappropriate language . . . in telephone calls, email, and other exchanges.”

    Fourth, Comment [4a] applies only to proposed Rule 8.4(g) and not to proposed Rule 8.4(h). Even if it applied to both, however, its mere assertion that these new proposed rules “do[] not apply to expression or conduct protected by the First Amendment” is not enough to ameliorate the chilling effect of the revised proposal on lawyers’ speech. For all of these reasons, as well as those below, the revised proposal should be rejected.

    IV. Proposed Rule 8.4(g) Introduces Several New Problems.

    The revised proposal would adopt two new black letter rules. At first glance, the proposed Rule 8.4(g) seems to be like state rules, such as Illinois, that require that conduct be found to be “unlawful” before it can trigger a charge of professional misconduct. But on closer examination that is not the case, and the revised proposal lacks key elements of the Illinois rule.

    First, the proposed Rule 8.4(g) would make it professional misconduct for a lawyer to “engage in conduct that is an unlawful, discriminatory, or retaliatory employment practice under Title VII of the Civil Rights Act of 1964 or the Utah Antidiscrimination Act.” Confusion is created by the fact that the proposed rule seems to punish more than an “unlawful” employment practice, but seems also to punish “discriminatory, or retaliatory” employment practices. The use of the disjunctive “or” reinforces that it is not limited to “unlawful” employment practices. Yet a superficial reading of the revised proposal sounds as if it is intended to be limited solely to “unlawful” employment practices. If the revised proposal is intended to be so limited, then the modifiers “discriminatory, or retaliatory” need to be deleted. If it is not intended to be so limited, then there needs to be more explanation regarding which “discriminatory, or retaliatory employment practice[s]” that are not “unlawful” will be considered professional misconduct.

    Second, relatedly, proposed Comment [4] states that the “substantive law of antidiscrimination and anti-harassment statutes and case law guides the application” of proposed Rule 8.4(g). This adds to the confusion because if the purpose is to limit proposed Rule 8.4(g) to conduct that is “unlawful” under Title VII and the Utah Antidiscrimination Act, the substantive law should govern, not guide, the application. Otherwise, the limitation to “unlawful” conduct is meaningless.

    Third, and perhaps most importantly, the Illinois rule requires a judicial or administrative tribunal, other than a state bar tribunal, find that an attorney committed unlawful discrimination before the state bar may entertain a disciplinary complaint against the attorney. This requirement ensures that the attorney has been found to have engaged in unlawful conduct in a tribunal that provides the attorney with greater due process rights, access to discovery, and evidentiary protections than may typically be found in the bar disciplinary process. Any black letter rule should include the requirement that any conduct found to be professional misconduct have been first adjudicated to be “unlawful” by a tribunal other than the screening panel of the Ethics and Discipline Committee. Proposed Rule 8.4(g) lacks this requirement.

    Fourth, the re-definition of “employer” means that solo practitioners and small firms will be particularly vulnerable to complaints of professional misconduct. A person who wishes to complain regarding the conduct of a firm of 15 or more lawyers will have a choice to pursue a remedy in federal court under Title VII, in state court under the Utah Antidiscrimination Act, or lodge a disciplinary complaint. But if the subject of a complaint is a solo practitioner or a small firm, the new – but only – option is to lodge a disciplinary complaint.

    Fifth, additional confusion is created by the attempt to meld an Illinois-type rule with comments based on ABA Model Rule 8.4(g). If the proposed Rule 8.4(g) is not ABA Model Rule 8.4(g), then why attach comments that accompany the ABA Model Rule 8.4(g) to a black letter rule that is not ABA Model Rule 8.4(g)?

    V. Proposed Rule of Professional Conduct 8.4(g) Could Limit Utah Lawyers’ Ability to Accept, Decline, or Withdraw from a Representation.

    The proponents of ABA Rule 8.4(g) generally claim that it will not affect a lawyer’s ability to refuse to represent a client. They point to the language in the Rule that it “does not limit the ability of a lawyer to accept, decline or withdraw from a representation in accordance with Rule 1.16.” (The revised proposal states that proposed Rule 8.4(g) “does not limit the ability of a lawyer to accept, decline, or in accordance with Rule 1.16, withdraw from a representation.”)

    But in the one state to have adopted ABA Model Rule 8.4(g), the Vermont Supreme Court explained in its accompanying Comment [4] that “[t]he optional grounds for withdrawal set out in Rule 1.16(b) must also be understood in light of Rule 8.4(g). They cannot be based on discriminatory or harassing intent without violating that rule.” The Vermont Supreme Court further explained that, under the mandatory withdrawal provision of Rule 1.16(a), “a lawyer should withdraw if she or he concludes that she or he cannot avoid violating Rule 8.4(g).”

    Professional ethics experts agree that this is a genuine concern with ABA Model Rule 8.4(g) despite its inclusion of reassuring language. As Professor Rotunda and Professor Dzienkowski explain, Rule 1.16 actually “deals with when a lawyer must or may reject a client or withdraw from representation.” Rotunda & Dzienkowski, supra, in “§ 8.4-2(j)-2. The New Rule 8.4 and the Free Speech Problems It May Raise” (emphasis in original). Rule 1.16 does not address accepting clients. Moreover, as Professor Rotunda and Professor Dzienkowski have observed, Comment [5] to ABA Model Rule 8.4(g) would seem to limit any right to decline representation, if permitted at all, to “limiting the scope or subject matter of the lawyer’s practice or by limiting the lawyer’s practice to members of underserved populations.”

    Dean Michael McGinniss agrees that “[d]espite its ostensible nod of non-limitation, Model Rule 8.4(g) offers lawyers no actual protection against charges of ‘discrimination’ based on their discretionary decision to decline representation of clients, including ones whose objectives are fundamentally disagreeable to the lawyer.” McGinniss, supra, at 207-209. Because Model Rule 1.16 “addresses only when lawyers must decline representation, or when they may or must withdraw from representation” but not when they “are permitted to decline client representation,” Model Rule 8.4(g) seems to only allow what was already required, not declinations that are discretionary. Professor McGinniss warns that “if state bar authorities consider a lawyer’s declining representation . . . as ‘manifest[ing] bias or prejudice,’ they may choose to prosecute the lawyer for violating their codified Model Rule 8.4(g).” Id. at 207-208 & n.146.

    The New York State Bar Association Committee on Professional Ethics issued an opinion in January 2017 that concluded that “[a] lawyer is under no obligation to accept every person who may wish to become a client unless the refusal to accept a person amounts to unlawful discrimination.” N.Y. Eth. Op. 1111, N.Y. St. Bar Assn. Comm. Prof. Eth., 2017 WL 527371 (Jan. 7, 2017) (emphasis supplied.). The facts before the Committee were that a lawyer had been requested to represent a claimant against a religious institution. Because the lawyer was of the same religion as the institution, he or she was unwilling to represent the claimant against the institution. Calling the definition of “unlawful discrimination” for purposes of New York’s Rule 8.4(g) a question of law beyond its jurisdiction, the Committee declined to “opine on whether a lawyer’s refusal to represent a prospective client in a suit against the lawyer’s own religious institution constitutes ‘unlawful discrimination’” for purposes of New York’s Rule 8.4(g).

    In Stropnicky v. Nathanson, the Massachusetts Commission Against Discrimination found a law firm that specialized in representing women in divorce cases had violated state nondiscrimination law when it refused to represent a man. 19 M.D.L.R. 39 (M.C.A.D. 1997), affirmed, Nathanson v. MCAD, No. 199901657, 2003 WL 22480688, 16 Mass. L. Rptr. 761 (Mass. Super. Ct. 2003). As these examples demonstrate, reasonable doubt exists that Rule 1.16 provides adequate protection for attorneys’ ability to accept, decline, or withdraw from a representation.

    Conclusion
    The revised proposal is an amalgamation of elements of ABA Model Rule 8.4(g), an Illinois-type rule, and the Utah Standards of Professionalism and Civility that suffers from both constitutional and practical shortcomings.

    The revised proposal should be rejected because it is so complicated and confusing that lawyers cannot be sure whether or not any particular speech would trigger disciplinary action. In addition to serious constitutional concerns, numerous other practical reasons exist for rejecting the revised proposal. CLS urges the Utah Supreme Court to reject the revised proposal and thanks the Court for considering its comments.

     
  11. Judy Barking

    The comment by Kim Colby and Christian Legal Society outlines serious concerns with this proposed change which I think must be given serious consideration. This change is not necessary and may create problems for practitioners who are genuinely trying to practice appropriately, while no action is taken under the currently-existing rules for egregious offenders. Please do not adopt the proposed changes.

     
  12. Office of Legislative Research and General Counsel

    We comment as members of the Utah Bar and do not speak for, or represent the views of, the Utah Legislature or any of its individual members. We support efforts by the Utah Supreme Court’s Advisory Committee on the Rules of Professional Conduct to foster civility and professionalism in the practice of law, but we are concerned with how the Standards of Professionalism and Civility (Standards) will be enforced under proposed Rule 8.4(h) of the Rules of Professional Conduct, which provides that it is “professional misconduct for a lawyer to egregiously violate, or engage in a pattern of repeated violations” of the Standards.

    First, there is no definition for the Standards in Rule 8.4(h). Because an “egregious” violation, or a “pattern of repeated violations,” of the Standards is misconduct under Rule 8.4(h), lawyers need to know whether the Standards include the preamble, numbered provisions, comments, and cross-references, or only the numbered provisions. Rule 8.4(h) would be clearer if the Utah Supreme Court provided a definition for the Standards in the definitions section of the Rules or in the comment for Rule 8.4.

    Second, our understanding is that the Standards are aspirational, as indicated by the preamble and comments of the Standards. If the Standards were drafted with aspirational intent, how can the Standards now be interpreted as enforceable? Certain Standards could be subject to a variety of interpretations and cover a broad range of conduct, including conduct beyond the practice of law. See, e.g., Utah Standards of Prof’l & Civility 14-301, Preamble (“A lawyer’s conduct should be characterized at all times by personal courtesy and professional integrity in the fullest sense of those terms.”).

    We recognize that “civility” and “professionalism” are needed in the practice of law, but how should they be enforced? By incorporating the Standards into the Rules of Professional Conduct, lawyers will have an obligation to report violations of the Standards under Rule 8.3. See Utah R. of Prof’l Conduct 8.3 cmt. 1 (“Self-regulation of the legal profession requires that members of the profession initiate disciplinary investigation when they know of a violation of the Rules of Professional Conduct.”). But the Standards themselves do not offer much guidance on what should be reported. For example, Standard #1 directs lawyers to “treat all other counsel, parties, judges, witnesses, and other participants in all proceedings in a courteous and dignified manner.” The comment explains that dignity and professionalism are not limited to the courtroom, but extend to telephone calls, emails, meetings, and other exchanges and that lawyers must refrain from “inappropriate language, maliciousness, or insulting behavior” in those interactions. Similarly, Standard #3 states that “[l]awyers shall avoid hostile, demeaning, humiliating, intimidating, harassing, or discriminatory conduct with all other counsel, parties, judges, witnesses, and other participants in all proceedings.” The comment for Standard #3 incorporates communications and expressions by lawyers, including expressions of “scorn, superiority, or disrespect.” Yet, terms such as “dignity,” “inappropriate,” “insulting,” “intimidating,” “scorn,” “superiority,” and “disrespect” are vague and subjective, leaving lawyers to guess the Standards’ meaning and application.

    The following scenarios highlight the potential effects of the ambiguities in the Standards:

    1. During a trial, a defense lawyer criticizes how the police and the prosecutor handled the case, suggesting that the police and prosecutor acted dishonestly. As the defense lawyer cross-examines police officers, the defense lawyer’s statements and questions attempt to demonstrate that the police and prosecutor have engaged in questionable behavior. This is a frequent strategy used by the defense lawyer when defending the defense lawyer’s clients, although there is a lack of evidence of any dishonesty or mishandling of a case. Has the defense lawyer violated Standard #3 by attributing improper conduct to the prosecutor, or by disparaging the ethics or integrity of the prosecutor and police officers who were participants in the proceedings?

    2. A client calls Lawyer 1 multiple times a week at work and home, leaving malicious messages for Lawyer 1. Lawyer 1 contacts Lawyer 2 who represents the client. Lawyer 2 admits that Lawyer 2 has not advised the client not to engage in uncivil behavior. Lawyer 2 also admits that it is Lawyer 2’s practice to advise clients about engaging in civil and appropriate conduct only when there is evidence that the client has engaged in uncivil or inappropriate conduct. Has Lawyer 2 violated the obligation to advise clients on civility, courtesy, and fair dealing under Standard #2 because it is not Lawyer 2’s practice to advise clients beforehand? Should Lawyer 1 report Lawyer 2 for misconduct?

    3. In city council meetings, Lawyer 1, a city attorney, observes Lawyer 2, a city council member, openly criticize other city council members and launch into tirades about individuals or groups protesting decisions made by the City Council. When Lawyer 2 disagrees with a participant in a meeting, Lawyer 2 aggressively questions the participant. Would the Standards apply to Lawyer 2 in Lawyer 2’s capacity as an elected official, and if so, does Lawyer 1 have an obligation to report Lawyer 2 for violations of Standards #1 and #3?

    4. Lawyer 1 frequently works opposite Lawyer 2. Lawyer 2 makes abrasive and spiteful statements about Lawyer 1 in the presence of Lawyer 1’s clients during settlements and depositions. Lawyer 1 finally lashes out in a settlement, making negative statements, including the use of profanity, about Lawyer 2. Lawyer 1 tells Lawyer 2 that Lawyer 1 is going to report Lawyer 2 to the Office of Professional Conduct for Lawyer 2’s repeated uncivil and unprofessional conduct. Lawyer 2 responds that Lawyer 2 is also going to report Lawyer 1 to the Office of Professional Conduct for Lawyer 1’s negative and obscene statements during the settlement. Have Lawyer 1 and Lawyer 2 violated Standards #1 and #3?

    Because the proposed rule would modify the Standards from aspirational to enforceable, we recommend that, before enacting the rule, the Utah Supreme Court and its Advisory Committee consider revising the Standards to address the concerns we have raised. Those revisions might include: (1) defining what is a Standard for purposes of Rule 8.4(h), (2) evaluating whether certain Standards should be removed, and (3) amending the Standards to eliminate vague provisions and to add definitions or more specific directives, including examples, on the civil and professional conduct required under each Standard. This would give lawyers a better understanding of the type of misconduct under Rule 8.4(h) that is subject to enforcement and that must be reported to the Office of Professional Conduct. Thank you for considering our comments regarding the proposed Rule 8.4(h).

    John L. Fellows
    General Counsel

    Eric N. Weeks
    Deputy General Counsel

    Andrea Valenti Arthur
    Associate General Counsel

    Victoria Ashby
    Associate General Counsel

    Peter Asplund
    Associate General Counsel

    Jacqueline Carlton
    Associate General Counsel

    Esther D. Chelsea-McCarty
    Associate General Counsel

    Daniel M. Cheung
    Associate General Counsel

    Michael E. Curtis
    Associate General Counsel

    Ericka A. Evans
    Associate General Counsel

    Kurt P. Gasser
    Associate General Counsel

    Christine Gilbert
    Associate General Counsel

    Chelsea Grant
    Associate General Counsel

    Shannon C. Halverson
    Associate General Counsel

    Lee A. Killian
    Associate General Counsel

    Tracy J. Nuttall
    Associate General Counsel

    Patricia Owen
    Associate General Counsel

    Robert H. Rees
    Associate General Counsel

    Thomas R. Vaughn
    Associate General Counsel

    Amy L. West
    Associate General Counsel

     
  13. Office of Legislative Research and General Counsel

    We comment as members of the Utah Bar and do not speak for, or represent the views of, the Utah Legislature or any of its individual members. We support efforts by the Utah Supreme Court’s Advisory Committee on the Rules of Professional Conduct to foster civility and professionalism in the practice of law, but we are concerned with how the Standards of Professionalism and Civility (Standards) will be enforced under proposed Rule 8.4(h) of the Rules of Professional Conduct, which provides that it is “professional misconduct for a lawyer to egregiously violate, or engage in a pattern of repeated violations” of the Standards.

    First, there is no definition for the Standards in Rule 8.4(h). Because an “egregious” violation, or a “pattern of repeated violations,” of the Standards is misconduct under Rule 8.4(h), lawyers need to know whether the Standards include the preamble, numbered provisions, comments, and cross-references, or only the numbered provisions. Rule 8.4(h) would be clearer if the Utah Supreme Court provided a definition for the Standards in the definitions section of the Rules or in the comment for Rule 8.4.

    Second, our understanding is that the Standards are aspirational, as indicated by the preamble and comments of the Standards. If the Standards were drafted with aspirational intent, how can the Standards now be interpreted as enforceable? Certain Standards could be subject to a variety of interpretations and cover a broad range of conduct, including conduct beyond the practice of law. See, e.g., Utah Standards of Prof’l & Civility 14-301, Preamble (“A lawyer’s conduct should be characterized at all times by personal courtesy and professional integrity in the fullest sense of those terms.”).

    We recognize that “civility” and “professionalism” are needed in the practice of law, but how should they be enforced? By incorporating the Standards into the Rules of Professional Conduct, lawyers will have an obligation to report violations of the Standards under Rule 8.3. See Utah R. of Prof’l Conduct 8.3 cmt. 1 (“Self-regulation of the legal profession requires that members of the profession initiate disciplinary investigation when they know of a violation of the Rules of Professional Conduct.”). But the Standards themselves do not offer much guidance on what should be reported. For example, Standard #1 directs lawyers to “treat all other counsel, parties, judges, witnesses, and other participants in all proceedings in a courteous and dignified manner.” The comment explains that dignity and professionalism are not limited to the courtroom, but extend to telephone calls, emails, meetings, and other exchanges and that lawyers must refrain from “inappropriate language, maliciousness, or insulting behavior” in those interactions. Similarly, Standard #3 states that “[l]awyers shall avoid hostile, demeaning, humiliating, intimidating, harassing, or discriminatory conduct with all other counsel, parties, judges, witnesses, and other participants in all proceedings.” The comment for Standard #3 incorporates communications and expressions by lawyers, including expressions of “scorn, superiority, or disrespect.” Yet, terms such as “dignity,” “inappropriate,” “insulting,” “intimidating,” “scorn,” “superiority,” and “disrespect” are vague and subjective, leaving lawyers to guess the Standards’ meaning and application.

    The following scenarios highlight the potential effects of the ambiguities in the Standards:

    1. During a trial, a defense lawyer criticizes how the police and the prosecutor handled the case, suggesting that the police and prosecutor acted dishonestly. As the defense lawyer cross-examines police officers, the defense lawyer’s statements and questions attempt to demonstrate that the police and prosecutor have engaged in questionable behavior. This is a frequent strategy used by the defense lawyer when defending the defense lawyer’s clients, although there is a lack of evidence of any dishonesty or mishandling of a case. Has the defense lawyer violated Standard #3 by attributing improper conduct to the prosecutor, or by disparaging the ethics or integrity of the prosecutor and police officers who were participants in the proceedings?

    2. A client calls Lawyer 1 multiple times a week at work and home, leaving malicious messages for Lawyer 1. Lawyer 1 contacts Lawyer 2 who represents the client. Lawyer 2 admits that Lawyer 2 has not advised the client not to engage in uncivil behavior. Lawyer 2 also admits that it is Lawyer 2’s practice to advise clients about engaging in civil and appropriate conduct only when there is evidence that the client has engaged in uncivil or inappropriate conduct. Has Lawyer 2 violated the obligation to advise clients on civility, courtesy, and fair dealing under Standard #2 because it is not Lawyer 2’s practice to advise clients beforehand? Should Lawyer 1 report Lawyer 2 for misconduct?

    3. In city council meetings, Lawyer 1, a city attorney, observes Lawyer 2, a city council member, openly criticize other city council members and launch into tirades about individuals or groups protesting decisions made by the City Council. When Lawyer 2 disagrees with a participant in a meeting, Lawyer 2 aggressively questions the participant. Would the Standards apply to Lawyer 2 in Lawyer 2’s capacity as an elected official, and if so, does Lawyer 1 have an obligation to report Lawyer 2 for violations of Standards #1 and #3?

    4. Lawyer 1 frequently works opposite Lawyer 2. Lawyer 2 makes abrasive and spiteful statements about Lawyer 1 in the presence of Lawyer 1’s clients during settlements and depositions. Lawyer 1 finally lashes out in a settlement, making negative statements, including the use of profanity, about Lawyer 2. Lawyer 1 tells Lawyer 2 that Lawyer 1 is going to report Lawyer 2 to the Office of Professional Conduct for Lawyer 2’s repeated uncivil and unprofessional conduct. Lawyer 2 responds that Lawyer 2 is also going to report Lawyer 1 to the Office of Professional Conduct for Lawyer 1’s negative and obscene statements during the settlement. Have Lawyer 1 and Lawyer 2 violated Standards #1 and #3?

    Because the proposed rule would modify the Standards from aspirational to enforceable, we recommend that, before enacting the rule, the Utah Supreme Court and its Advisory Committee consider revising the Standards to address the concerns we have raised. Those revisions might include: (1) defining what is a Standard for purposes of Rule 8.4(h), (2) evaluating whether certain Standards should be removed, and (3) amending the Standards to eliminate vague provisions and to add definitions or more specific directives, including examples, on the civil and professional conduct required under each Standard. This would give lawyers a better understanding of the type of misconduct under Rule 8.4(h) that is subject to enforcement and that must be reported to the Office of Professional Conduct. Thank you for considering our comments regarding the proposed Rule 8.4(h).

    John L. Fellows
    General Counsel

    Eric N. Weeks
    Deputy General Counsel

    Andrea Valenti Arthur
    Associate General Counsel

    Victoria Ashby
    Associate General Counsel

    Peter Asplund
    Associate General Counsel

    Jacqueline Carlton
    Associate General Counsel

    Esther D. Chelsea-McCarty
    Associate General Counsel

    Daniel M. Cheung
    Associate General Counsel

    Michael E. Curtis
    Associate General Counsel

    Ericka A. Evans
    Associate General Counsel

    Kurt P. Gasser
    Associate General Counsel

    Christine Gilbert
    Associate General Counsel

    Chelsea Grant
    Associate General Counsel

    Shannon C. Halverson
    Associate General Counsel

    Lee A. Killian
    Associate General Counsel

    Tracy J. Nuttall
    Associate General Counsel

    Patricia Owen
    Associate General Counsel

    Robert H. Rees
    Associate General Counsel

    Thomas R. Vaughn
    Associate General Counsel

    Amy L. West
    Associate General Counsel