State Farm Mutual Automobile Insurance Company v. Elite Health Centers Inc. et al
Filing
518
OPINION and ORDER Denying Elite Defendants' and Chintan Desai's letter requests for leave to file motion to disqualify State Farm's Counsel and Exclude Unethically Obtained Evidence 488 and 501 . Signed by Magistrate Judge Anthony P. Patti. (ATee)
UNITED STATES DISTRICT COURT
EASTERN DISTRICT OF MICHIGAN
SOUTHERN DIVISION
STATE FARM MUTUAL
AUTOMOBILE INSURANCE
COMPANY,
Plaintiff,
Case No. 2:16-cv-13040
District Judge Avern Cohn
Magistrate Judge Anthony P. Patti
v.
ELITE HEALTH CENTERS, INC.,
ELITE CHIROPRACTIC, P.C.,
ELITE REHABILITATION, INC.,
MIDWEST MEDICAL
ASSOCIATES, INC., PURE
REHABILITATION, INC., DEREK
L. BITTNER, D.C., P.C., MARK A.
RADOM, DEREK LAWRENCE
BITTNER, D.C., RYAN MATTHEW
LUKOWSKI, D.C., MICHAEL P.
DRAPLIN, D.C., NOEL H. UPFALL,
D.O., MARK J. JUSKA, M.D.,
SUPERIOR DIAGNOSTICS, INC.,
CHINTAN DESAI, M.D., MICHAEL
J. PALEY, M.D., DEARBORN
CENTER FOR PHYSICAL
THERAPY, L.L.C., MICHIGAN
CENTER FOR PHYSICAL
THERAPY, INC., and JAYSON
ROSETT
Defendants.
_________________________/
OPINION AND ORDER DENYING ELITE DEFENDANTS’ AND
CHINTAN DESAI’S LETTER REQUESTS FOR LEAVE TO FILE
MOTION TO DISQUALIFY STATE FARM’S COUNSEL AND EXCLUDE
UNETHICALLY OBTAINED EVIDENCE (DEs 488, 501)
I.
Introduction
This matter is before the Court for consideration of Defendants’ Elite Health
Centers, Inc., Elite Chiropractic, P.C., Elite Rehabilitation, Inc. (“The Elite
Defendants”), and Chintan Desai, M.D.’s letter requests for leave to file a motion
to disqualify State Farm Mutual Automobile Insurance Company’s (“State
Farm’s”) counsel and to exclude unethically obtained evidence, (DEs 488, 501),
and Plaintiff State Farm’s letter responses in opposition. (DEs 490, 492.)
II.
Background
A.
The Elite Defendants’ and Desai’s Requests for Leave to File a
Motion
On May 24, 2019, the Elite Defendants requested leave to file a motion to
disqualify Miller, Canfield, Paddock and Stone, PLC (“Miller Canfield”) and
Katten Muchin Rosenman LLP (“Katten”) as counsel for State Farm and to
exclude any evidence obtained by Miller Canfield from unethical or improper use
or disclosure of secrets or client confidences of its client, Joshua Katke. (DE 488.)
The Elite Defendants assert State Farm’s counsel should be disqualified and
evidence obtained as the result of Miller Canfield’s attorney-client relationship
with Katke should be excluded because: (1) the Michigan Rules of Professional
Conduct Rule 1.6 prohibits an attorney from revealing confidences or secrets to the
disadvantage of the client or the advantage of the attorney or a third party; and (2)
the Sixth Circuit test for disqualification of counsel is satisfied. (Id.) On June 11,
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2019, Defendant Chintan Desai, M.D. filed a letter joining the Elite Defendants’
request, concurring in the reasoning set forth by the Elite Defendants. (DE 501.)
B.
Katten’s and Miller Canfield’s Responses
State Farm contends the Defendants’ request for leave should be denied
because: (1) Miller Canfield did not reveal confidential information to Katten or
State Farm that arose out of Miller Canfield’s relationship with Katke; (2) the Elite
Defendants lack standing to move to disqualify Miller Canfield and Katten because
they have never been clients of either firm; and (3) courts should hesitate to
employ the drastic measure of attorney disqualification because such motions can
be used as a harassment technique. (DE 490.) Miller Canfield maintains that it has
not used or revealed to Katten or State Farm any confidential information relating
to Miller Canfield’s representation of Katke. (DE 492.)
III.
Discussion
The Elite Defendants and Desai lack standing to file a motion to disqualify
Miller Canfield and Katten as counsel for State Farm and to exclude evidence
obtained as a result of Miller Canfield’s potential disclosure of client confidences
because they do not have, and have never had, an attorney-client relationship with
Miller Canfield or Katten.
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A.
Motions to Disqualify are Highly Disfavored
Motions to disqualify counsel are highly disfavored and “disqualification is
considered a drastic measure which courts should hesitate to impose except when
absolutely necessary.” Glenn v. Nasscond, Inc., No. 15-10270, 2016 WL 409409
at *2 (E.D. Mich. Feb. 3, 2016) (quoting Valley-Vulcan Mold Co. v. AmpcoPittsburgh Corp., 237 B.R. 322, 337 (B.A.P. 6th Cir. 1999)). Courts should review
motions to disqualify counsel with “extreme caution because it can easily be
misused as a harassment technique.” Howard v. Wilkes & McHugh, P.A., No. 062833-JPM, 2007 WL 4370585 at *6 (W.D. Tenn. Dec. 3, 2007); see also Courser
v. Allard, No. 1:16-CV-1108, 2016 WL 10520134 at *1 (W.D. Mich. Nov. 28,
2016) (stating that these motions are “viewed with disfavor” and disqualification is
an extreme sanction that could be used as a “potent weapon” or a “harassment
technique”).
Last month, State Farm sought leave to compel the deposition of Joshua
Katke via letter request (DE 445), who, in turn, took the position that he has been a
client of Miller Canfield, and that a conflict of interest between Miller Canfield’s
representation of both Katke and State Farm made the pursuit of his deposition
objectionable. (DE 447.) Neither Desai nor the Elite Defendants filed a written
response to State Farm’s letter request, although, during a subsequent telephonic
status conference held on May 16, 2019, the Elite Defendants did suggest that they
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could somehow knock both of Plaintiff’s law firms off of the case because of
Miller Canfield’s supposed representation of Katke. State Farm subsequently
withdrew its letter request to compel Katke’s deposition (DE 480), thereby
rendering the request moot. These more recent requests by the Elite Defendants
and Desai do give the impression of opportunism by parties (who are not
represented by Miller Canfield) to exploit a potential conflict not pursued by Miller
Canfield’s ostensible client (Katke, a non-party) as a “potential weapon” or
“harassment technique” to deprive State Farm of not just its local counsel (Miller
Canfield) but of its lead counsel (Katten), rendering the continued prosecution of
this case either exceedingly difficult or downright impossible at this juncture.
These new requests read a lot like an attempt to “jump on board and see to what
advantageous shore this skiff will take us,” notwithstanding the fact that the owner
of the vessel has seemingly abandoned ship. The Court proceeds with “extreme
caution,” lest the “drastic measure” requested here be “misused.”
B.
Standard for Disqualification of Counsel
The Sixth Circuit recognizes a three-part test for attorney disqualification,
“(1) a past attorney-client relationship existed between the party seeking
disqualification and the attorney it seeks to disqualify; (2) the subject matter of
those relationships was/is substantially related; and (3) the attorney acquired
confidential information from the party seeking disqualification.” Dana Corp. v.
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Blue Cross & Blue Shield Mut. of Northern Ohio, 900 F.2d 882, 889 (6th Cir.
1990). At issue here is the first prong – establishing the existence of an attorneyclient relationship. The Court “must balance the interest of the court and the public
in upholding the integrity of the legal profession against the right of a party to
retain counsel of its choice.” MJK Family LLC v. Corp. Eagle Mgmt. Serv., Inc.,
676 F.Supp.2d 584, 592 (E.D. Mich. 2009).
Although a minority of courts permit a non-party to raise opposing counsel’s
conflicts, Courser, 2016 WL 10520134 at *1, the Sixth Circuit has held “plaintiff’s
standing to assert opposing counsel’s alleged conflict of interest is questionable at
best . . . .” Willis v. First Bank Nat’l Ass’n, Nos. 89-3834, 89-3838, 1990 WL
155366 at *1 (6th Cir. Oct. 15, 1990). In Frey v. Prior, the court held the plaintiff
lacked standing to assert a conflict of interest claim against the defendant’s
attorney and his firm because no attorney-client relationship ever existed between
the plaintiff and the defendant’s attorney. Nos. 91-3567, 91-3725, 1991 WL
253557 at *1 (6th Cir. Nov. 27, 1991).
The Elite Defendants and Desai do not claim that an attorney-client
relationship exists or existed between the Defendants and Miller Canfield or
Katten. The Defendants instead base their request on the relationship between
non-party Katke and Miller Canfield. The parties do not dispute that Katke has
had an express attorney-client relationship with Miller Canfield. However, the
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Sixth Circuit test requires that “a past attorney-client relationship existed between
the party seeking disqualification and the attorney it seeks to disqualify,” Dana
Corp., 900 F.2d at 889 (emphasis added), and, unlike Katke, there is no claimed
attorney-client relationship between the Elite Defendants or Desai and the law
firms they seek to disqualify. Similarly, the lack of attorney-client relationships
between the Elite Defendants and Desai with those same firms creates an issue
with respect to excluding evidence on the basis of allegedly unethical conduct on
the part of Miller Canfield.
C.
Excluding Evidence
“[A] district court is obliged to consider unethical conduct by an attorney in
connection with any proceedings before it.” DeBiasi v. Charter County of Wayne,
284 F.Supp.2d 760, 770 (E.D. Mich. 2003). This Court has adopted the Michigan
Rules of Professional Conduct as the applicable federal rules of professional
conduct. See U.S. District Court for the Eastern District of Michigan, Local Rule
83.22(b). According to Rule 1.6(b), “[a] lawyer shall not knowingly . . . (1) reveal
a confidence or secret of a client; (2) use a confidence or secret of a client to the
disadvantage of the client; or (3) use a confidence or secret of a client for the
advantage of the lawyer or of a third person, unless the client consents after full
disclosure.” MICH. R. PROF. COND. 1.6. The Sixth Circuit has utilized Rule 1.9
to assist in the interpretation of information that is protected under Rule 1.6.
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CenTra, Inc. v. Estrin, 538 F.3d 402, 422 (6th Cir. 2008) (referencing Michigan
Rule 1.9, which governs the information that may be disclosed from work with
former clients, to interpret the material Rule 1.6 covers).
Although Rules 1.6 and 1.9 bar the disclosure of information obtained by a
lawyer representing a client, “documents or information that are public or
published are not considered confidential under Michigan’s Rules of Professional
Conduct.” Id. at 423. Ultimately, the “primary concern is whether and to what
extent the attorney acquired confidential information.” Hutto v. Charter Twp. of
Clinton, No. 12-CV-12880, 2014 WL 1405216 at *4 (E.D. Mich. Apr. 11, 2014)
(quoting Factory Mut. Ins. Co. v. APComPower, Inc., 662 F.Supp.2d 896, 899
(W.D. Mich. 2009)).
Here, the Elite Defendants and Desai point to alleged improper disclosure of
client confidences of client Katke by Miller Canfield as the basis for excluding
related evidence. Kathy Josephson, a partner at Katten and counsel for State Farm,
stated in a declaration filed with the Court, “Neither I nor any other Katten attorney
representing SFMAIC in this case have any information about or arising out of
Miller Canfield’s representation of Mr. Katke, beyond that it pertains to corporate
formation work over the past four to five years, let alone confidential information
obtained by Miller Canfield in the course of its representation of Mr. Katke.” (DE
490-1 at 7.) Additionally, Josephson asserts, “No one at Miller Canfield has
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provided or disclosed to SFMAIC or Katten any documents referencing or relating
to Mr. Katke, or any entity he has formed.” (Id.)
Thomas Cranmer, a partner at Miller Canfield and local counsel for State
Farm in Detroit, supports Josephson’s statements and asserts in a separate
declaration filed with the Court, “No one [sic] at Miller Canfield has provided or
disclosed to SFMAIC or Katten any information about Mr. Katke or Miller
Canfield’s representation of him,” (DE 492 at 5), with the exception of notifying
Katten that “Mr. Katke was a current client of the firm and that Miller Canfield had
represented him on a handful of matters involving corporate formation work over
the past four to five years.” (DE 492 at 4.) However, Cranmer asserts, “We did
not describe the nature of that work, identify the corporations involved, or provide
any other information related to the firm’s representation of Mr. Katke.” (Id.)
For their part, the Defendants speculate that “it is all but certain that Miller
Canfield learned information about Defendants by virtue of its attorney-client
relationship with Katke, and according to Katke, then disclosed that information to
Katten, which it is using it [sic] to prosecute its case against Defendants.” (DE
488.) This statement is otherwise unsupported, with no attached declaration from
Katke, and no request to file one in rebuttal to Plaintiff’s two declarations.
Moreover, as the parties well know from the extensive record in this heavily
litigated case, State Farm has likely had multiple sources, including some publicly
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available ones, from which it was able to piece together the history of Katke’s
corporate dealings, without access to Miller Canfield’s files. The accusation being
leveled against Miller Canfield is a serious one, and very loose inferences will not
suffice to convince the Court that the law firm’s ethical integrity has been
breached. Nor will the Court condone turning this issue into an unnecessary
sideshow.
Nevertheless, the Court recognizes that the matter is before it on a mere
request for leave, not on a fully briefed motion; however, even assuming there is
evidence that a breach of client confidence has occurred between Miller Canfield
and Katke, Katke is not seeking to bring that claim to this Court. Thus, even if a
breach of confidence between Miller Canfield and Katke can be established, the
Elite Defendants and Desai lack standing to assert that claim. See United States v.
Baisen-Koning, No. 4:09-cr-3031, 2010 WL 3584383 at *1 (D. Neb. Sept. 7, 2010)
(Plaintiff’s motion to exclude evidence was denied because an attorney-client
relationship could not be established, and thus the plaintiff lacked standing); see
also Mallen & Smith, Legal Malpractice § 17:41 (2019 ed.) (Generally, to
establish standing, a confidential or fiduciary relationship must exist between the
attorney and complaining party). This is so because, “[i]n general, the attorneyclient privilege is personal and cannot be asserted by anyone other than the client.”
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U.S. v. Hatcher, 323 F.3d 666, 674 n. 2 (8th Cir.2003) (citing United States v.
Fortna, 796 F.2d 724, 732 (5th Cir.1986)).
D.
Defendants do not have Standing to Disqualify Counsel or
Exclude Evidence
Generally, “courts do not disqualify an attorney on the grounds of conflict of
interest unless the former client moves for disqualification.” In re Yarn Processing
Patent Validity Litig., 530 F.2d 83, 86-88 (5th Cir. 1976) (cited by Frey, 1991 WL
253557 at *1). However, if the former client does not move to disqualify or move
to exclude evidence obtained improperly, another party may not assert the rights of
the client to establish standing. “Ordinarily . . . a litigant ‘must assert his own legal
rights and interests, and cannot rest his claim to relief on the legal rights or
interests of third parties.” U.S. Dept. of Labor v. Triplett, 494 U.S. 715, 720
(1990) (quoting Warth v. Seldin, Inc., 422 U.S. 490, 499 (1975)).
In the present case, the Elite Defendants and Desai may not establish
standing through the potential injury of a non-party—in this case, Katke. Further,
the Elite Defendants and Desai may not move to disqualify State Farm’s counsel or
exclude evidence on the basis of a potential conflict of interest or improper
disclosure based on Katke’s attorney-client relationship with Miller Canfield.
Thus, because no attorney-client relationship exists between the Elite Defendants
and Desai on the one hand, and the counsel they seek to disqualify on the other, the
Elite Defendants and Desai lack standing to file a motion to disqualify counsel on
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the basis of conflict of interest or to exclude evidence on the basis of a breach of
confidentiality.
IV.
Conclusion
Accordingly, for the reasons set forth above, the Elite Defendants and Desai
lack standing to file their proposed motion(s). Therefore, their letter requests for
leave to file motion to disqualify State Farm’s counsel and exclude evidence
obtained by Miller Canfield (DEs 488, 501) are DENIED.
IT IS SO ORDERED.
Dated: June 24, 2019
s/Anthony P. Patti
Anthony P. Patti
UNITED STATES MAGISTRATE JUDGE
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