IN THE SUPREME COURT OF THE STATE OF KANSAS
No. 111,425
In the Matter of IRA DENNIS HAWVER,
Respondent.
ORIGINAL PROCEEDING IN DISCIPLINE
Original proceeding in discipline. Opinion filed November 14, 2014. Disbarment.
Alexander M. Walczak, Deputy Disciplinary Administrator, argued the cause, and was on the
brief for the petitioner.
Ira Dennis Hawver, respondent, argued the cause pro se.
Per Curiam: This is a contested attorney discipline proceeding against Ira Dennis
Hawver, who was admitted to practice law in Kansas in 1975. A panel of the Kansas
Board for Discipline of Attorneys made findings of fact and concluded Hawver violated
the Kansas Rules of Professional Conduct (KRPC) in several respects while representing
a client in a death penalty case. The panel majority and the office of Disciplinary
Administrator recommend disbarment. One panel member recommends indefinite
suspension. Additional background may be found in State v. Cheatham, 296 Kan. 417,
292 P.3d 318 (2013) (reversing convictions and remanding for new trial due to
ineffective assistance of counsel).
The panel unanimously determined that Hawver violated KRPC 1.1 (2013 Kan.
Ct. R. Annot. 446) (competence); 1.5 (2013 Kan. Ct. R. Annot. 503) (fees); 1.7(a)(2)
(2013 Kan. Ct. R. Annot. 517) (conflict of interest); 1.16(a)(1) (2013 Kan. Ct. R. Annot.
569) (declining representation); 8.4(d) (2013 Kan. Ct. R. Annot. 655) (engaging in
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conduct prejudicial to the administration of justice); 8.4(g) (2013 Kan. Ct. R. Annot. 655)
(engaging in conduct adversely reflecting on lawyer's fitness to practice law). It further
found Hawver failed to timely file an answer in the disciplinary proceeding in violation
of Kansas Supreme Court Rule 211(b) (2013 Kan. Ct. R. Annot. 356). Hawver challenges
some factual findings and conclusions, as well as the recommended discipline.
We hold that clear and convincing evidence establishes attorney misconduct and
that disbarment is the appropriate discipline.
PROCEDURAL BACKGROUND
On August 20, 2013, the office of the Disciplinary Administrator filed a formal
complaint against Hawver. A supplement to that complaint was filed October 8, 2013.
Hawver filed an untimely answer to the formal complaint on October 30, 2013. Hawver
appeared at the panel's November 19, 2013, hearing, after which the panel made the
following findings of fact and conclusions of law, together with its recommendation for
discipline:
"Findings of Fact
....
"8. In August, 2003, the respondent entered his appearance on behalf of
Phillip Cheatham, in a pending criminal case, which included two felony drug charges.
On December 12, 2003, the respondent advised Cheatham to leave town because the
respondent believed the police were looking for an excuse to arrest Cheatham.
"9. On December 13, 2003, Annette Roberson, Gloria Jones, and Annetta
Thomas were shot. Ms. Roberson and Ms. Jones died from the gunshot wounds. Ms.
Thomas survived.
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"10. After the shooting, Cheatham called the respondent and told the
respondent that he was being implicated in the shooting. The respondent told Cheatham,
'Well, you know that's ridiculous because you're in Chicago and were headed that way.'
"11. Thereafter, the State of Kansas charged [ ] Cheatham with two counts of
murder, attempted murder, aggravated battery, and felon in possession of a firearm.
"12. Later, in April 2005, Cheatham retained the respondent to represent him
in the murder case. Cheatham agreed to pay the respondent a fee of $50,000. However,
Cheatham did not pay the fee.
"13. On June 24, 2005, the State amended its complaint to add one count of
capital murder for the deaths of Roberson and Jones and, alternatively, a count of first-
degree premeditated murder for each killing. The other charges were unchanged.
"14. The respondent agreed to represent Cheatham in a capital murder case
even though the respondent had not previously tried a capital murder case and he had not
tried a murder case for 20 years.
"15. Patricia Scalia, of the Kansas Board of Indigent Defense Services,
contacted the respondent after he was retained to represent Cheatham. Ms. Scalia offered
support to the respondent's representation. Ms. Scalia offered to retain co-counsel,
investigators, consultants, and expert witnesses for the defense of Cheatham. The
respondent declined Ms. Scalia's offer of assistance.
"16. The respondent did not have and did not seek proper training to defend a
capital murder case. Specifically, the respondent was unfamiliar with the ABA
Guidelines for the Appointment and Performance of Defense Counsel in Death Penalty
Cases (hereinafter 'ABA Guidelines'). The ABA Guidelines establish standards for an
attorney defending a death penalty case. The respondent failed to comply with the ABA
Guidelines. Further, the respondent was not familiar with death-qualifying and life-
qualifying the jury.
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"17. The respondent failed to properly investigate potential alibi witnesses
and the respondent failed to file a notice of alibi defense, under K.S.A. 22-3218.
"18. Prior to trial, the respondent did not reduce his regular case load in his
practice. Additionally, the respondent was running for Governor of the State of Kansas.
"19. All totaled, the respondent spent approximately 60 hours preparing for
the capital murder trial.
"20. Prior to trial, as part of the evidence of the felon in possession of a
firearm charge, the prosecution agreed to enter into a stipulation that Cheatham had
previously been convicted of a felony, rather than seek the admission of the details of
Cheatham's voluntary manslaughter conviction. Despite the stipulation, during voir dire
and again during his direct examination of Cheatham, the respondent informed the jury
that Cheatham had previously been convicted of voluntary manslaughter. During trial, the
respondent described Cheatham as a 'professional drug dealer' and a 'shooter of people.'
"21. Regarding this issue, in this subsequent appellate decision, the Kansas
Supreme Court stated:
'During the Van Cleave proceedings, Hawver gave conflicting
explanations as to why he introduced details about the prior conviction.
In a deposition prior to the evidentiary hearing, he testified that he
informed the jury of the conviction because he believed the State would
be able to introduce it during the guilt phase of trial because it was an
aggravating factor the State would attempt to prove during the penalty
phase. This misconception is evident by the following exchange:
'A. [Hawver]: Well, I made the decision that, in a
sense, it was a capital case, and since the jury
would be informed that he had done what he had
to do in capital cases, unlawfully, feloniously,
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intentionally and with premeditation, kill more
than one person, that's a capital murder
requirement. Um, let's see. Um, where he would
be—it would be stated that he had committed a
crime that would bring him into the capital
realm, I thought it was better to explain to them
what the deal was rather than let them wonder
what he had done.
'Q. [Cheatham's counsel]: And so if I understand
you, please correct me if I misstate this, you
understood that one of the aggravating factors
that the State would attempt to prove if the
penalty phase occurred was that Mr. Cheatham
had on a prior occasion been convicted of this
involuntary manslaughter?
'A. [Hawver]: I thought they would be able to do
that during the guilt phase, the guilt phase.
'Q. [Cheatham's counsel]: And can you tell me
under what theory you believed that evidence of
involuntary manslaughter would have been
admissible in the first phase?
'A. [Hawver]: The fact that it was a capital case.
....
'A. [Hawver]: And in order to get a capital case, my
understanding you have to have done something
like that prior.
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'Q. [Cheatham's counsel]: All right. And so you
believe that because they charged it as a capital
case, that would give them the right to produce
aggravating factors in the first phase of the trial?
'A. [Hawver]: Correct.'
'Hawver then said he attempts to win cases by "telling the truth
and letting the facts set, an understanding of the full scope of the
presentation."'
"22. During the closing argument, the respondent 'conceded that asking the
jury to ignore Cheatham's background when determining guilt required "some sort of
superhuman fiction."'
"23. The jury convicted Cheatham of all the charges. During the closing
argument of the penalty phase of the trial, the respondent told the jury that the killer
should be executed. The jury sentenced Cheatham to death. Cheatham appealed, asserting
that he was provided with ineffective assistance of counsel.
"24. The Kansas Supreme Court bifurcated the ineffectiveness arguments
from other issues on appeal and remanded the case to the district court for a Van Cleave
hearing.
"25. The respondent signed an affidavit prepared by Cheatham's new counsel.
The respondent testified that the contents of the affidavit are accurate. The affidavit
provided:
'1. I am over the age of 18 and if called upon to do so, I am
competent to testify to the things discussed in this affidavit.
'2. I am an attorney in good standing in the State of Kansas.
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'3. In 2005 I was a practicing lawyer with a solo practice in
Ozakawie [sic], Kansas in Jefferson County.
'4. In April, 2005, I met with the accused Phillip Cheatham in the
County jail where he was being held on murder charges in case
number 03 CR 2635 in the Shawnee County, Kansas, District
Court. The State had charged Mr. Cheatham with two counts of
Murder in the first degree, Assault in the first degree, as well as
other lesser charges. Mr. Cheatham requested that I represent
him in the murder case.
'5. In April 2005, I was a private attorney with a general trial
practice. I had a busy practice in which I represented people in
civil and criminal matters in Jefferson, Shawnee, Douglas, and
other counties. In addition, I was a candidate for governor of the
State of Kansas, and as such I was spending considerable time
attending public appearances throughout the state of Kansas. I
appeared at all political functions dress[ed] as President Thomas
Jefferson. In the year preceding my run for Governor, I ran for
Congress, and in each instance, I was in the race to educate the
public about the war in Iraq.
'6. At the time I entered my appearance to represent Mr. Cheatham
in his capital murder case I had considerable experience in a
courtroom, but I had little experience in the preparation and trial
of a murder case (the last murder case I handled was in 1985)
and NO experience working on a capital murder case. I did not
appreciate the differences between handling a murder case and a
capital murder case when I agreed to represent Mr. Cheatham.
'7. At the time I entered my appearance I did not consult with the
BOARD OF INDIGENTS' DEFENSE to explore whether
funding might be available to support my representation of the
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client. Nor did I meet with any person with experience in the
pretrial investigation of a capital case nor did I meet with any
person about the complexities of trying a capital case. In truth, I
should not have accepted the case given my lack of capital trial
experience, and the unavailability of necessary funding which I
now understand is required in the preparation and trial of cases,
such as this one in which the client faces a possible death
sentence.
'8. At the time I entered my appearance I did not review any
standards for the performance of defense counsel in a capital
case. More specifically, I did not review the American Bar
Associations Guidelines for the Appointment and Performance
of Defense Counsel in Death Penalty Cases. I did not read state
or federal cases, such as Wiggin v. Smith, 539 U.S. 510 (S. Ct.
2003) which would have provided guidance regarding the
requirements under the law for the pretrial investigation of
mitigating evidence, and the requirements under the law for the
trial presentation of mitigating evidence.
'9. Mr. Cheatham did not have any funds with which to pay for my
services nor did he have funds to pay for any investigation of his
case. I agreed to represent Mr. Cheatham on the murder charges
in exchange for his promise to pay $50,000 for my time, if he
was found not guilty on the charges.
'10. On June 30, 2005 the prosecuting attorney filed notice to seek
the death penalty in the case. This occurred following the client's
failure to accept a plea offered by the prosecuting attorney.
Given the lurid publicity and the history of the accused, I was
not surprised when the State made the case against Mr.
Cheatham a capital case.
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'11. After the State designated the case a capital case I understand
that I received a call from Pat Scalia, director of the Board of
Indigents' Defense, who offered to assist with funding. I do not
have a specific memory of this call but I would not contest Ms.
Scalia's assertion that this offer was made. I did not talk to her at
any other time during my representation of Mr. Cheatham.
'12. At the time of my entry of the case, I was generally aware of the
Marsh decision, in which the Kansas Supreme Court struck
down the statutory scheme in death penalty cases on or about
December 17, 2004.
'13. However, I never filed a motion asking the trial court to dismiss
the death penalty pursuant to the 2004 Marsh decision. This was
not a strategic decision, it was an oversight, and therefore in
error. My failure to raise this issue before the trial began in
August 2005 prejudiced my client.
'14. On June 30, 2005 the preliminary hearing was held in the above
captioned case. I represented Mr. Cheatham at the hearing. A
young lawyer who was interning at my office attended the
hearing with me. This was the only opportunity I would have to
see the State's witnesses as I was without funds to conduct a
pretrial investigation of the case. It was the only point in the
pretrial phase or the trial phase when I had co-counsel. His role
was limited to attending the hearing and taking notes.
'15. Based on my review of the police reports, the character of the
witnesses and a possible alternative suspect, I did not believe
that State had a strong case against my client. I considered only
one theory of defense and failed to explore other possible
theories of defense. I now understand that this decision falls
short of the expectations of counsel in a capital case.
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'16. My theory before trial and at trial was that my client was
innocent and that a man named Todd Atkins was guilty. In my
case, I took on the burden of proving the guilt of another man. I
believed it was in the client's best interest to get to trial as soon
as possible. I did not see how time or investigation would change
the theory of the case; therefore I never asked the court for time
to investigate the case or to conduct an investigation of the
client's life history. I believe if I had asked for additional time to
prepare the case the judge would have granted such a request.
'17. Therefore, this capital murder trial began less than 3 months
after preliminary hearing. I now understand that on average
capital cases take 20 months to prepare for trial.
'18. The truth is I banked on winning the case, and therefore I failed
to prepare any case in the event of a finding of guilt by the jury.
My decision to go forward as fast as we could was motivated by
a false sense of strength of my theory, but should not be
considered as a well thought through strategy. Proceeding as I
did was done in error and my decision to forego a thorough first
and second phase investigation prejudiced my client. In fact, I
now know it made it more likely than not that a jury faced with
no meaningful mitigation would render death sentences in a
double homicide.
'19. My decision not to hire an investigator to assist in the
investigation of the trial facts was because I had no funds with
which to hire an investigator. Truthfully, I did not see what I
could have asked an investigator to do as my theory was Todd
Atkins committed the murder in a jealous rage. I did not have
any co-counsel to consult with or to assist in testing my theory of
defense. I now understand that my failure to consider other trial
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strategies was prejudicial to my client. In addition, I failed to
consider how my defense might impact a penalty phase of the
case.
'20. The client did identify a possible alibi witness, but without funds
to hire an investigator I was unable to locate this potential
witness. I failed to ask for time to find this potential exonerating
witness. I failed to ask the court or the BOARD OF
INDEGENTS' DEFENSE to provide the funds to locate
witnesses th[at] may have been able to account for the time of
the accused in the critical time frame and therefore permitted the
jury to here [sic] the evidence of alibi.
'21. I was not able to evaluate the strength of my theory of defense
by employing an investigator and putting him into the field to
question the scores of witnesses which may have had
information to share about the day of the crime, the credibility of
certain key witnesses, the relationship of my client with the
Topeka Police department and the resulting prejudice, the
potential alibi witnesses or other critical evidence which would
have uncovered with the help of competent investigator. I admit
that I did not provide effective assistance of counsel when I
decided to forgo a comprehensive investigation of the trial facts.
'22. The trial in this case lasted approximately 10 days, and I spent
long days working on the case in the days leading to the trial,
and during the trial. The trial began on August 29, 2005, and the
jury returned a sentencing verdict on September 12, 2005. I
would estimate I spent at least 200 hours on the preparation and
in the trial of the first phase of the case. Many of these hours
were accrued during the approximately 10 day trial as the days
which required 14-16 hour days.
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'23. I did not have co-counsel during either the pretrial or the trial
stages of this case. I did not know that it is standard practice for
the accused in a capital case to have two lawyers who are
assigned to work on his case. I had not read the applicable case
law or reviewed practice standards before concluding I would
not seek the assistance of competent and experienced co-counsel.
My failure to seek co-counsel in a capital murder case was below
any reasonable professional standard as set out in Guideline 4.1
of the ABA Guidelines for the Appointment and Performance of
Defense Counsel in Capital Cases.
'24. Prior to this case, I had never selected a jury in a capital case. I
had never seen a jury selected in a capital case. I did not prepare
for the capital jury selection and approached the process with a
single goal in mind which was to challenge the State's case and
lead the jury to an acquittal of the client.
'25. I did not become familiar with the requirements of "death
qualification" questioning. At the time of the trial I was not
familiar with the techniques to 1) expose those prospective jurors
who would automatically impose the death penalty following a
murder conviction or finding that the client was death eligible,
regardless of the individual circumstances of my case; 2)
uncover those prospective jurors who would be unable to give
meaningful consideration to mitigating evidence; and 3)
rehabilitate potential jurors whose initial indications of
opposition to the death penalty made them possibly excludable.
'26. I neither considered nor contacted a capital jury expert to assist
with the jury selection. I now know such experts are available in
Lawrence, Kansas. I did not seek funding for this type of expert
from the court or from the Kansas Board of Indigents' Defense.
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'27. In truth, I was not aware of the obligations of defense counsel in
questioning jurors to determine their views on the death penalty
versus life in prison. I was not prepared to challenge jurors based
on the capital case law. My failure to adequately prepare for
capital jury selection prejudiced my client's case, and was a
grievous error.
'28. I did not seek assistance from the Kansas capital unit, to
determine whether or not they could have provided competent
and/or learned co-counsel, nor did I seek help from the judge to
assist me in finding learned capital co-counsel. As I saw it, the
client did not have funds to pay for co-counsel, so the only
option I had was to try the case alone or turn the case down.
'29. I did not have a Legal Representation Plan as outlined in 4.1 of
the ABA Guidelines of the Appointment and Performance of
Defense Counsel in Capital Cases. Today, I understand that the
ABA guidelines have been recognized by the U.S. Supreme
Court in the Wiggins decision as the standards of representation
for all capital defense counsel. I did not consider co-counsel, my
lack of experience or the need for funds to pay for the
representation as obstacles that should have prohibited my
representation of the client.
'30. I failed to conduct a penalty phase investigation. After the jury
returned a verdict of guilty on the murder charges, I contacted
Phillip Cheatham's mother in Kansas City, and asked her to
travel from Kansas City to Topeka so that she could tell the jury
she loved her son and would suffer if he was executed. Although
I asked Mr. Cheatham's mother to gather up other possible
witnesses and bring them to court the next morning she was the
only witness to appear 12 hours after my call to her. Mr.
Cheatham and his mother were therefore the only witnesses I
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was able to present in the penalty phase of the trial. My failure to
conduct a penalty phase investigation fell below the standards of
practice and caused grievous harm to my client.
'31. I admit I used a flawed and prejudicial argument in the penalty
phase with a jury that had just determined my client had killed
two women, and then attempted to kill a third. Despite my
knowledge that the jury had found my client guilty beyond a
reasonable doubt of double murder, I told the jury I thought the
killer should be executed for the crimes. This argument was
clearly prejudicial to my client, who the jury believed, as
evidenced by their verdict, was the killer.
'32. I had a single mitigator to offer the jury in sentencing, and that
was my argument that my client was innocent. I admit that this
was all I could offer given the failure to conduct any
investigation into the life of my client. I admit that a jury, which
had just decided my client was in fact guilty of the murders, had
already rejected my theory of the case. I admit that my decision
to present INNOCENCE as a mitigator was prejudicial to the
client and may have even angered the jurors. I admit I did not
have sufficient time or experience to weigh the advantages
and/or disadvantages of this course of action.
'33. In my experiences as a trial lawyer, I had never been called on to
investigate the client's life history, analyze the information and
then form a trial strategy based on the client's life history. I
lacked the knowledge and the experience to present a competent
mitigation case or to form the persuasive arguments that would
assist the jury in forming a sentencing decision that would allow
a sentence in prison for life without parole. The truth is I would
not know how to begin such an investigation, nor would I know
how to use the information to assist the jury in its job.
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'34. I did not attend training at either the local or at the national level
to gather information about how to conduct a penalty phase
investigation.
'35. Prior to this case I was not aware that there were mitigation
specialists who are trained to conduct life investigations, and
work with the trial teams to interview mitigation witnesses,
prepare witnesses for trial, find experts, gather documents and in
some cases testify. I did not contact or hire any mitigations [sic]
investigator or mitigation specialist to assist me in the
preparation and presentation of the case. I now understand that
my failure to hire a mitigation specialist was below the
professional standards set out for lawyers who accept capital
appointments and/or take on capital cases.
'36. I failed to hire a mitigation specialist and I failed to seek the
necessary funding from the court or from the BOARD OF
INDIGENTS' DEFENSE. My failure to conduct an investigation
was a grievous error and was in violation of the standards for the
performance of defense counsel in capital cases.
'37. I did not collect any education, medical, mental health,
employment, juvenile, criminal justice or other records of Mr.
Cheatham's during the 5 months I represented him. In all
honesty, I did not know it was standard practice in the defense of
capital cases to collect the client's records.
'38. I did not conduct interviews of the family of my client to learn
about his birth, education, parental absence, parental crime and
addiction, traumas in his life, criminalization by family and/or
community, the impact of poverty and/or the impact of a violent
inner city community on his development. I did not know that an
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in-depth social history is standard practice in a death penalty
case.
'39. I did not consider seeking the help of any expert in this case. I
did not know it was standard practice in a mitigation
investigation to investigate intelligence, brain damage, and
mental health issues. I admit I do not have the necessary
expertise to evaluate or assess a client to determine if he is
mentally ill or brain damaged without the assistance of experts.
'40. I was not familiar with capital instructions prior to this case, and
therefore was not familiar with how to prepare mitigation
instructions nor did I appreciate the fact that a jury may consider
any fact about the client's life as mitigating, or in other words, as
a reason to give a life sentence and not a death sentence. If I had
understood the law and the range of possible mitigators which
existed in my client's life, I would have submitted additional
evidence to support a host of other possible mitigation
instructions. My failure to offer more than one mitigator was
very prejudicial to my client, and left the jury with a false
impression about his life. In the end it gave the jury nothing
upon which to base a life verdict.'
"26. During the Van Cleave hearing, the State stipulated that the respondent
provided ineffective assistance of counsel to Cheatham during the sentencing phase of the
trial but disputed that Cheatham received ineffective assistance of counsel during the
guilt phase of the trial. The Van Cleave court upheld the convictions but reversed the
death sentence.
"27. On January 25, 2013, the Kansas Supreme Court issued an opinion,
overturning Cheatham's conviction based on ineffective assistance of counsel.
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"28. After the Kansas Supreme Court's opinion in State v. Cheatham, was
released, the disciplinary administrator docketed a complaint against the respondent.
Thereafter, on March 2, 2013, the respondent provided a response to the initial complaint.
In his response, the respondent denied violating the Kansas Rules of Professional
Conduct.
"29. On August 20, 2013, Mr. Walczak filed a formal complaint. The
respondent failed to provide a written answer to the formal complaint within 20 days.
Thereafter, on October 8, 2013, Mr. Walczak filed a supplement to the formal complaint,
alleging that the respondent failed to file an answer to the formal complaint.
"30. On October 30, 2013, the respondent filed a 'second answer to formal
complaint and answer to the supplement to formal complaint.' Rather than admit or deny
the allegations contained in the formal complaint and the supplement to the formal
complaint, the respondent's pleading was more akin to a trial brief.
"Conclusions of Law
"31. While the Kansas Supreme Court has previously determined that the
respondent provided ineffective assistance of counsel in his defense of Cheatham, the
standard for determining whether the respondent engaged in misconduct and, thus,
violated the Kansas Rules of Professional Conduct, requires a different analysis.
"32. In order to determine whether the respondent violated the Kansas Rules
of Professional Conduct, the hearing panel must determine whether clear and convincing
evidence supports the conclusions of specific violations of the Kansas Rules of
Professional Conduct.
"33. The hearing panel concludes, based upon the above findings of fact,
specifically including the affidavit executed by the respondent, that clear and convincing
evidence supports the conclusions that the respondent violated KRPC 1.1, KRPC 1.5,
KRPC 1.7(a)(2), KRPC 1.16(a)(1), KRPC 8.4(d), KRPC 8.4(g), and Kan. Sup. Ct. R.
211(b), as detailed below.
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"KRPC 1.1
"34. Lawyers must provide competent representation to their clients. KRPC
1.1. 'Competent representation requires the legal knowledge, skill, thoroughness and
preparation reasonably necessary for the representation.' The respondent was not
competent to represent Cheatham.
'a. The respondent had not tried a murder case for 20 years and had
no experience in death penalty cases.
'b. The respondent did not appreciate the differences between trying
a murder case and trying a capital murder case.
'c. The respondent did not obtain any training to defend a capital
murder case.
'd. The respondent did not reduce his other caseload in order to
devote additional time to the representation of Cheatham.
'e. Throughout the period of representation, the respondent was
running for Governor of the State of Kansas.
'f. The respondent was unfamiliar with the ABA Guidelines.
'g. The respondent failed to hire co-counsel, an investigator,
consultants, a capital jury expert, a mitigation specialist, and
expert witnesses.
'h. The respondent did not accept assistance from the Board of
Indigents' Defense Services.
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'i. The respondent failed to conduct a thorough investigation of the
facts.
'j. The respondent failed to assemble a trial team.
'k. Rather than hire a mental health professional and without any
experience, the respondent judged Cheatham to be mentally
healthy.
'l. The respondent did not know that he could compel the
attendance of out-of-state witnesses.
'm. The respondent failed to track the cell phone to determine
Cheatham's location at the time of the murders.
'n. The respondent failed to properly investigate possible alibi
witnesses. Additionally, the respondent failed to file a notice of
alibi.
'o. The respondent was not familiar with how to death-qualify and
life-qualify a jury.
'p. While the respondent was familiar with the Marsh decision, he
failed to file a motion challenging the death penalty.
'q. The respondent did not prepare a legal representation plan.
'r. The respondent spent approximately 60 hours preparing for the
capital murder trial.
's. During trial, the respondent described Cheatham as a
"professional drug dealer" and a "shooter of people."
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't. The respondent believed that the manslaughter conviction would
be admitted during the guilt phase of the trial.
'u. The respondent was not familiar with capital jury instructions.
'v. The respondent did not conduct investigation for the sentencing
phase.
'w. During the sentencing phase of the trial, the respondent
presented only one mitigator—Cheatham's innocence.
'x. In the closing argument of the sentencing phase, after the same
jury had concluded Cheatham was guilty of the murders, the
respondent told the jury that they ought to execute the killer.'
The respondent failed to represent Cheatham with the legal knowledge, skill,
thoroughness, and preparation reasonably necessary for the representation. Accordingly,
the hearing panel concludes that the respondent violated KRPC 1.1.
"KRPC 1.5 and KRPC 1.7(a)(2)
"35. KRPC 1.5 provides that '[a] lawyer's fee shall be reasonable.' KRPC
1.7(a)(2) provides:
'(a) Except as provided in paragraph (b), a lawyer shall not
represent a client if the representation involves a concurrent conflict of
interest. A concurrent conflict of interest exists if:
....
(2) there is a substantial risk that the representation
of one or more clients will be materially limited
by the lawyer's responsibilities to another client,
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a former client or a third person or by a personal
interest of the lawyer.'
"36. The respondent charged Cheatham a fee of $50,000. The Kansas
Supreme Court previously concluded that the fee was not a contingent fee, but rather a
flat fee. Charging a flat attorney fee in a capital murder defense was unreasonable and
created a conflict of interest.
"37. The ABA Guidelines 'unequivocally disapprove of flat fees in death
penalty cases precisely because such fee arrangements pit the client's interests against the
lawyer's interest in doing no "more than what is minimally necessary to qualify for the
flat payment."' Despite the fact that Cheatham did not pay the fee, charging a flat fee in
this case became a disincentive to the respondent to do more than what is minimally
necessary to qualify for the flat payment. Accordingly, the hearing panel concludes that
the respondent's flat fee was unreasonable and created a concurrent conflict of interest, in
violation of KRPC 1.5 and KRPC 1.7(a)(2).
"KRPC 1.16(a)(1)
"38. A 'lawyer shall not represent a client . . . if the representation will result
in a violation of the Kansas Rules of Professional Conduct.' KRPC 1.16(a)(1). In this
case, accepting the representation of Cheatham resulted in a violation of KRPC 1.1. By
accepting the representation of Cheatham, the respondent violated KRPC 1.1, as the
respondent was not competent to represent a defendant in a capital murder case, as
detailed in paragraph 34 above. The hearing panel concludes that the respondent violated
KRPC 1.16(a)(1) in this regard.
"KRPC 8.4(d)
"39. KRPC 8.4(d) provides that '[i]t is professional misconduct for a lawyer to
. . . engage in conduct that is prejudicial to the administration of justice.' The respondent
engaged in conduct that is prejudicial to the administration of justice when he
incompetently represented Cheatham in a capital murder case. As a direct result of the
21
respondent's ineffectiveness, the Kansas Supreme Court reversed Cheatham's conviction
for capital murder and the case will have to be tried again. Causing a retrial in a capital
murder case is significant prejudice. Thus, the hearing panel concludes that the
respondent violated KRPC 8.4(d).
"KRPC 8.4(g)
"40. 'It is professional misconduct for a lawyer to . . . engage in any other
conduct that adversely reflects on the lawyer's fitness to practice law.' KRPC 8.4(g). The
respondent engaged in conduct that adversely reflects on his fitness to practice law when
he informed the jury during the guilt phase that Cheatham was a 'professional drug dealer'
and a 'shooter of people.' Further, the respondent engaged in conduct that adversely
reflects on his fitness to practice law when, during the sentencing phase of the jury trial,
the respondent told the jury that they ought to execute the killer. The hearing panel
concludes that the respondent violated KRPC 8.4(g).
"Kan. Sup. Ct. R. 211(b)
"41. The Kansas Supreme Court Rules require attorneys to file answers to
formal complaints. Kan. Sup. Ct. R. 211(b) provides the requirements:
'The respondent shall serve an answer upon the Disciplinary
Administrator within twenty days after the service of the complaint
unless such time is extended by the Disciplinary Administrator or the
hearing panel.'
Kan. Sup. Ct. R. 211(b). The respondent violated Kan. Sup. Ct. R. 211(b) by failing to
file a timely written answer to the formal complaint. The respondent's response to the
initial complaint was not an answer to the formal complaint. The respondent did not file
an answer to the complaint until October 30, 2013, 71 days after the formal complaint
was filed. Accordingly, the hearing panel concludes that the respondent violated Kan.
Sup. Ct. R. 211(b).
22
"American Bar Association
Standards for Imposing Lawyer Sanctions
"42. In making this recommendation for discipline, the hearing panel
considered the factors outlined by the American Bar Association in its Standards for
Imposing Lawyer Sanctions (hereinafter 'Standards'). Pursuant to Standard 3, the factors
to be considered are the duty violated, the lawyer's mental state, the potential or actual
injury caused by the lawyer's misconduct, and the existence of aggravating or mitigating
factors.
"43. Duty Violated. The respondent violated his duty to his client to provide
competent representation. The respondent violated his duty to his client to refrain from
engaging in conflicts of interest. The respondent violated his duty to the public and to the
legal profession to maintain his personal integrity.
"44. Mental State. The respondent intentionally violated his duties.
"45. Injury. As a result of the respondent's misconduct, the respondent caused
actual injury to the administration of justice. As a result of the respondent's misconduct, a
capital murder case has been remanded for a second trial.
"Aggravating and Mitigating Factors
"46. Aggravating circumstances are any considerations or factors that may
justify an increase in the degree of discipline to be imposed. In reaching its
recommendation for discipline, the hearing panel, in this case, found the following
aggravating factors present:
"47. Prior Disciplinary Offenses. In 2003, the respondent participated in the
attorney diversion program, under Kan. Sup. Ct. R. 203(d), for having violated KRPC 1.1
(competence).
23
"48. A Pattern of Misconduct. Throughout the representation of Cheatham,
the respondent engaged in misconduct. As such, the hearing panel concludes that the
respondent engaged in a pattern of misconduct.
"49. Multiple Offenses. The respondent violated KRPC 1.1, KRPC 1.5(a),
KRPC 1.7(a)(2), KRPC 1.16(a)(1), KRPC 8.4(d), KRPC 8.4(g), and Kan. Sup. Ct. R.
211(b). The hearing panel concludes that the respondent engaged in multiple offenses.
"50. Substantial Experience in the Practice of Law. The Kansas Supreme
Court admitted the respondent to practice law in the State of Kansas in 1975. At the time
of the misconduct, the respondent had been practicing law for nearly 30 years.
"51. Mitigating circumstances are any considerations or factors that may
justify a reduction in the degree of discipline to be imposed. In reaching its
recommendation for discipline, the hearing panel, in this case, found the following
mitigating circumstances present:
"52. Absence of a Dishonest or Selfish Motive. The respondent's misconduct
was not motivated by dishonesty or selfishness.
53. The Present and Past Attitude of the Attorney as Shown by the Attorney's
Cooperation During the Hearing and the Attorney's Full and Free Acknowledgment of
the Transgressions. By signing the affidavit, the respondent acknowledged engaging in
misconduct. Further, during the formal hearing, the respondent acknowledged that he
violated the Kansas Rules of Professional Conduct and the Kansas Supreme Court Rules.
However, during the hearing on the formal complaint, the respondent repeatedly testified
that the reason the hearing was being held was because Cheatham was convicted and that
had Cheatham been acquitted, no hearing would have been held.
"54. In addition to the above-cited factors, the hearing panel has thoroughly
examined and considered the following Standards:
24
'4.51 Disbarment is generally appropriate when a lawyer's
course of conduct demonstrates that the lawyer does not
understand the most fundamental legal doctrines or
procedures, and the lawyer's conduct causes injury or
potential injury to a client.'
"Recommendation
"55. At the hearing on the formal complaint, the deputy disciplinary
administrator recommended that the respondent be disbarred. The respondent
recommended that he be directed not to take any additional murder cases and that he be
allowed to continue to practice law.
"56. After careful consideration of the facts and rule violations, a majority of
the hearing panel recommends that the Kansas Supreme Court enter an order of
disbarment.
"57. Costs are assessed against the respondent in an amount to be certified by
the Office of the Disciplinary Administrator."
The panel's presiding officer, Philip D. Ridenour, filed a separate concurring
opinion. David H. Moses, a panel member, filed a separate concurring and dissenting
opinion, agreeing with the findings and conclusions regarding the violations, but
recommending indefinite suspension as the appropriate discipline.
DISCUSSION
In a disciplinary proceeding, this court considers the evidence, the disciplinary
panel's findings, and the parties' arguments to determine whether KRPC violations exist
and, if they do, what discipline should be imposed. Attorney misconduct must be
established by clear and convincing evidence. In re Foster, 292 Kan. 940, 945, 258 P.3d
25
375 (2011); see Supreme Court Rule 211(f) (2013 Kan. Ct. R. Annot. 356). Clear and
convincing evidence is "'evidence that causes the factfinder to believe that "the truth of
the facts asserted is highly probable."'" In re Lober, 288 Kan. 498, 505, 204 P.3d 610
(2009) (quoting In re Dennis, 286 Kan. 708, 725, 188 P.3d 1 [2008]).
Hawver was given adequate notice of the formal complaint and the supplement to
the formal complaint. He was also given adequate notice of the panel's hearing and the
hearing before this court.
Exceptions to the panel's report
Hawver filed exceptions to portions of the panel's final hearing report. See
Supreme Court Rule 212(c)(2) (2013 Kan. Ct. R. Annot. 376). We consider those first.
When a respondent does not take exception to a finding it is deemed admitted. In
re Woodring, 289 Kan. 173, 174-75, 210 P.3d 120 (2009). But when an exception is
taken, the panel's findings are not typically deemed admitted, so the court must determine
whether the disputed findings are supported by clear and convincing evidence. In re
Bishop, 285 Kan. 1097, 1106, 179 P.3d 1096 (2008). In making this determination, the
court does not weigh conflicting evidence, assess witness credibility, or redetermine
questions of fact. In re Kline, 298 Kan. 96, 113-14, 311 P.3d 321 (2013). If a disputed
finding is supported by clear and convincing evidence, it will not be disturbed. In re
Mintz, 298 Kan. 897, 902, 317 P.3d 756 (2014); In re Frahm, 291 Kan. 520, 525, 241
P.3d 1010 (2010); 285 Kan. at 1106.
Hawver's pleadings make it difficult at times to decipher exactly what exceptions
he has to the panel's specific findings and conclusions. For example, he broadly states
exception "to each and every finding that he violated the Kansas Rules of Professional
26
Conduct (KRPC) to a degree requiring discipline." (Emphasis added.) This could mean
the facts are admitted and the only dispute is about the panel's recommendations for
discipline. Hawver takes further exception "to any disciplinary finding that he committed
improper conduct at the direction of a client, which should be subject to disciplinary
action." (Emphasis added.) This could mean the dispute centers only on those aspects of
the case defense in which Cheatham participated or, again, only the recommended
discipline. Hawver offers this explanation:
"When the client retained respondent, the client was exercising his rights to select
counsel of his choice, not state appointed counsel, and to exercise his decisions in his
defense tactics against the state's charges of murder of capital murder. Respondent takes
constitutional exception to the state's action that the state can lawfully censor, punish, or
deprive the respondent of a property right in the practice of law for his defense of his
client, as directed by his client, under the First and Sixth Amendments of the United
States Constitution."
Hawver also makes generalized exceptions to some of the panel's specific
findings. These are: Paragraph 16 (failure to comply with ABA death penalty guidelines);
Paragraph 17 (failure to properly investigate potential alibi witnesses and file the
statutorily required notice of alibi defense); Paragraph 19 (total hours preparing for
capital murder trial); Paragraph 20 (informing potential jury pool that client had prior
voluntary manslaughter conviction, was a "professional drug dealer" and a "shooter of
people"); Paragraph 21 (quoting from this court's Cheatham decision); Paragraph 22
(quoting from Hawver's closing argument during Cheatham's trial); Paragraph 29 (noting
Hawver's failure to timely file answer to August 2013 formal complaint); and Paragraph
30 (noting Hawver's October 2013 answer to supplemental formal complaint failed to
admit or deny allegations and was "more akin to a trial brief"). But little detail is offered
to explain the exception, and there is insufficient citation to the evidentiary record from
which to base an attack against a specific finding.
27
Supreme Court Rule 212(e)(4) (2013 Kan. Ct. R. Annot. 377) provides that a
respondent who files exceptions to the final hearing report, but does not file a brief, "will
be deemed to have conceded that the findings of fact made by the hearing panel are
supported by the evidence." See also Bishop, 285 Kan. at 1106 (exception deemed
abandoned or waived if respondent's brief advances argument without proper citation to
the record to support that exception). Hawver's briefing lacks this required argument and
citation to the record to appropriately pursue his exceptions. He does not reference—as
he must—the evidence presented at the hearing that might support his exceptions.
For example, the statement of facts in Hawver's brief simply repeats what he stated
in a prehearing "Second Answer to Formal Complaint and Answer to the Supplement to
Formal Complaint"—a pleading prepared before the evidentiary hearing. This is wholly
inadequate to preserve Hawver's enumerated exceptions to the panel's factual findings.
Similarly, Hawver's brief is devoid of proper citation to the hearing panel's evidentiary
record.
We hold the panel's findings of fact are deemed admitted to the extent they are not
implicated by the legal arguments Hawver raises in his brief. See In re Small, 296 Kan.
759, 793, 294 P.3d 1165 (2013).
The record fully supports the panel's findings of misconduct
Even if we ignore Hawver's procedural failures due to his failure to properly
challenge his enumerated exceptions, we note he did not take specific exception to other
specific findings made by the panel, which by themselves are sufficient to establish clear
and convincing evidence of attorney misconduct. Those unchallenged findings are:
Paragraph 12 (fee agreement with Cheatham); Paragraph 14 (no prior experience in a
28
death penalty case); Paragraph 15 (Scalia phone call); Paragraph 18 (failure to reduce his
regular caseload); Paragraph 23 (statement to the jury during the penalty phase that the
killer should be executed); and, most notably, Paragraph 25 (Hawver's affidavit, prepared
before Cheatham's Van Cleave hearing that admits the substantive facts relied on by the
disciplinary panel, including Hawver's admissions of professional incompetence in
handling Cheatham's case).
The Van Cleave affidavit recited in Paragraph 25 in particular provides clear and
convincing evidence of attorney misconduct. In it, Hawver admitted the essential facts
comprising the allegations of misconduct against him, e.g., "I did not appreciate the
differences between handling a murder case and a capital murder case when I agreed to
represent Mr. Cheatham." (Affidavit ¶ 6); "In truth, I should not have accepted the case
given my lack of capital trial experience, and the unavailability of necessary funding
which I now understand is required in the preparation and trial of cases, such as this one
in which the client faces a possible death sentence." (Affidavit ¶ 7); "Proceeding as I did
was done in error and my decision to forego a thorough first and second phase
investigation prejudiced my client. In fact, I now know it made it more likely than not
that a jury faced with no meaningful mitigation would render death sentences in a double
homicide." (Affidavit ¶ 18); "I now understand that my failure to consider other trial
strategies was prejudicial to my client. In addition, I failed to consider how my defense
might impact a penalty phase of the case." (Affidavit ¶ 19); "I admit that I did not provide
effective assistance of counsel when I decided to forgo a comprehensive investigation of
the trial facts." (Affidavit ¶ 21); "In truth, I was not aware [of] the obligations of defense
counsel in questioning jurors to determine their views on the death penalty versus life in
prison. I was not prepared to challenge jurors based on the capital case law. My failure to
adequately prepare for capital jury selection prejudiced my client's case, and was a
grievous error." (Affidavit ¶ 27); "My failure to conduct a penalty phase investigation fell
below the standards of practice and caused grievous harm to my client." (Affidavit ¶ 30);
29
"Despite my knowledge that the jury had found my client guilty beyond a reasonable
doubt of double murder, I told the jury I thought the killer should be executed for the
crimes. This argument was clearly prejudicial to my client, who the jury believed, as
evidenced by their verdict, was the killer." (Affidavit ¶ 31); "I now understand that my
failure to hire a mitigation specialist was below the professional standards set out for
lawyers who accept capital appointments and/or take on capital cases." (Affidavit ¶ 35);
and "My failure to conduct an investigation was a grievous error and was in violation of
the standards for the performance of defense counsel in capital cases." (Affidavit ¶ 36).
At the panel's hearing, Hawver repeatedly confirmed this affidavit's accuracy, e.g.,
"[Hawver]: Well, it isn't false. I don't see anything in here is false." And adding to these
admissions from the affidavit are: (1) the unchallenged testimony presented by the
Disciplinary Administrator's office of Patricia Scalia, state director for the Board of
Indigents' Defense Services, and Ron Evans, chief defender for the State of Kansas Death
Penalty Unit; (2) Hawver's sworn testimony in the Van Cleave proceeding; and (3) the
panel's findings, which are deemed admitted due to Hawver's failure to properly
challenge them in his exceptions.
Taken together, the record supports the panel's factual findings and establishes by
clear and convincing evidence that Hawver violated KRPC 1.1 (2013 Kan. Ct. R. Annot.
446) (competence); 1.5 (2013 Kan. Ct. R. Annot. 503) (fees); 1.7(a)(2) (2013 Kan. Ct. R.
Annot. 517) (conflict of interest); 1.16(a)(1) (2013 Kan. Ct. R. Annot. 569) (declining
representation); 8.4(d) (2013 Kan. Ct. R. Annot. 655) (engaging in conduct prejudicial to
the administration of justice); 8.4(g) (2013 Kan. Ct. R. Annot. 655) (engaging in conduct
adversely reflecting on lawyer's fitness to practice law); and Kansas Supreme Court Rule
211(b) (2013 Kan. Ct. R. Annot. 356). Each of the panel's findings is fully supported by
the record under the applicable standard.
30
Hawver's First Amendment Challenge
Moving next to Hawver's legal challenges, he first claims attorney discipline in
this case would infringe his First Amendment rights. He argues attorney advocacy "is
among the purest forms of protected First Amendment advocacy"; that the United States
Supreme Court has "recognized the unlawfulness of a state court using the power of
attorney discipline to punish [a] criminal defendant's attorney's lawful exercise of
constitutional speech protections"; and "[t]he US Supreme Court has determined that the
constitution protects the respondent's conduct in precisely the circumstances that the
disciplinary tribunal has recommended that the respondent be disbarred."
Hawver's argument appears to be that his conduct in representing Cheatham was
protected speech under the First Amendment, which in turn protects him from
disciplinary action for engaging in it. But this argument is without merit because neither
the nonexpressive aspects of the Cheatham representation nor Hawver's in-court
advocacy are protected speech under these facts.
An attorney's speech is limited both in and outside the courtroom. See Gentile v.
State Bar of Nevada, 501 U.S. 1030, 1071, 111 S. Ct. 2720, 115 L. Ed. 2d 888 (1991)
(opinion of Rehnquist, C.J.). "It is unquestionable that in the courtroom itself, during a
judicial proceeding, whatever right to 'free speech' an attorney has is extremely
circumscribed." 501 U.S. at 1071. And even a lawyer's out-of-court advocacy may be
subject to limitation when it conflicts with ethics rules that serve substantial government
interests, such as guaranteeing criminal defendants' rights to fair trials, or protecting
public confidence in the legal system. See 501 U.S. at 1071, 1075-76 (government
interest in preserving right to fair trial prevailed over attorney's First Amendment interest
in statements to press substantially likely to affect trial's outcome or prejudice veniere
panel); In re Landrith, 280 Kan. 619, 638-39, 124 P.3d 467 (2005) (First Amendment not
31
defense to discipline for attorney's false and inflammatory accusations in pleadings filed
with the court against judges, attorneys, court staff, and others).
Hawver's First Amendment argument is easily addressed simply by determining
whether the conduct at issue is protected speech, and, if so, whether the rule that punishes
it serves a substantial State interest that outweighs the lawyer's First Amendment interest
in the speech. See Gentile, 501 U.S. at 1034-35, 1076. If the conduct at issue is not
protected speech, then the second analysis is unnecessary.
Many of the deficiencies the panel found involved nonexpressive conduct,
including Hawver's failure to investigate for the guilt and penalty phases of Cheatham's
case, inadequately preparing for trial, failure to file an alibi notice, failure to seek out or
accept financial assistance for trial preparation, and failure to devote sufficient time to the
case. The free speech guarantee extends to the spoken and written word and to conduct
"'sufficiently imbued with elements of communication . . . .'" Texas v. Johnson, 491 U.S.
397, 404, 109 S. Ct. 2533, 105 L. Ed. 2d 342 (1989). But whether conduct is so imbued
depends on whether the actor intended to convey a particular message and whether "'the
likelihood was great that the message would be understood by those who viewed it.'"
Johnson, 491 U.S. at 404. The nonexpressive conduct in this case clearly was not
intended to convey any particular message, so it is not protected speech. Imposing
attorney discipline for this nonexpressive conduct does not implicate First Amendment
concerns.
On the other hand, some of the deficiencies involved expressive conduct,
including telling potential jurors that Cheatham was a drug dealer and had previously
been convicted of voluntary manslaughter for shooting and killing another person; telling
the jury during the guilt phase it would take "superhuman" efforts to see past Cheatham's
criminal history to find him not guilty; and telling the jury during the penalty phase that it
32
should execute the person who committed the crimes for which it had just found
Cheatham guilty. But this expressive conduct also was not protected speech.
A lawyer who undertakes a duty to act only in the client's best interests possesses
no First Amendment interest in such in-court speech. See Mezibov v. Allen, 411 F.3d 712,
720 (6th Cir. 2005), cert. denied 126 S. Ct. 1911 (2006) (attorney retains no personal
First Amendment rights when representing clients in courtroom proceedings); see also In
re Sawyer, 360 U.S. 622, 646-67, 79 S. Ct. 1376, 3 L. Ed. 2d 1473 (1959) (Stewart, J.,
concurring) (reasoning a lawyer's "[o]bedience to ethical precepts may require abstention
from what in other circumstances might be constitutionally protected speech").
In Mezibov, the court faced the question whether an attorney may claim First
Amendment protection on his own behalf for certain courtroom statements attacking the
prosecutor and prosecution witnesses made while defending his client in a criminal case.
In answering this question in the negative, the court explained that an attorney
"voluntarily accept[s] almost unconditional restraints on his personal speech rights, since
his sole raison d'etre [is] to vindicate his client's rights." 411 F.3d at 720. The court
reasoned that this undertaking is "in absolute conflict with [the attorney] exercising free
speech," noting the attorney's duty within the attorney-client relationship is to make
arguments only for the client's benefit. 411 F.3d at 719. As the Mezibov court noted, an
attorney's challenge of a restriction on speech during a judicial proceeding is "grounded
in the rights of the client, rather than any independent rights of the attorney." 411 F.3d at
718.
We hold that the First Amendment provides no protection for Hawver's
misconduct in the Cheatham case. This makes it unnecessary to consider whether the
rules at issue serve a substantial State interest that outweighs the lawyer's First
Amendment interest in the speech. But even if we were to take that analytical path for
33
some of Hawver's statements during the trial, this court has held that the State may
restrict a lawyer's exercise of personal rights when "a lawyer's unbridled speech amounts
to misconduct that threatens a significant state interest." In re Landrith, 280 Kan. at 638-
39 (First Amendment not defense to discipline for attorney's false and inflammatory
accusations in pleadings filed with the court against judges, attorneys, court staff, and
others).
In Hawver's case, discipline is being imposed for his statements as failing to
satisfy professional standards for competence as outlined in the KRPC. The State
possesses a substantial interest in regulating the practice of law within its borders. See
Railroad Trainmen v. Virginia Bar, 377 U.S. 1, 6, 84 S. Ct. 1113, 12 L. Ed. 2d 89 (1964);
Sperry v. Florida, 373 U.S. 379, 383, 83 U.S. 1322, 10 L. Ed. 2d 428 (1963).
"Disciplinary proceedings are for the protection and benefit of the public at large." State
v. Callahan, 232 Kan. 136, 142, 652 P.2d 708 (1982).
The KRPC safeguards the public's confidence that licensed attorneys are "fit to be
entrusted with professional and judicial matters, and to aid in the administration of justice
as an attorney and as an officer of the court." See Rule 202 (2013 Kan. Ct. R. Annot.
296). Attorney competence directly affects the fairness of our criminal proceedings. See
Strickland v. Washington, 466 U.S. 668, 685, 104 S. Ct. 2052, 80 L. Ed. 2d 674 (1984).
Hawver's misconduct in violation of KRPC 1.1, therefore, may properly be seen as a
significant State interest, and restriction of his personal First Amendment rights by
imposing attorney discipline would be appropriate.
Hawver's Sixth Amendment Challenge
Hawver next contends disciplining him for his conduct in representing Cheatham
would infringe upon Cheatham's Sixth Amendment rights because it would deprive
34
Cheatham of the right to counsel of his choice and interfere with Cheatham's defense.
This argument is without merit because a lawyer cannot raise a client's Sixth Amendment
rights as a defense in a disciplinary proceeding.
"[T]he right to the effective assistance of counsel is recognized not for its own
sake, but because of the effect it has on the ability of the accused to receive a fair trial.
Absent some effect of challenged conduct on the reliability of the trial process, the Sixth
Amendment guarantee is generally not implicated." United States v. Chronic, 466 U.S.
648, 658, 104 S. Ct. 2039, 80 L. Ed. 2d 657 (1984). Government intrusion into the
attorney-client relationship does not violate the Sixth Amendment guarantee unless "the
intrusion substantially prejudices the defendant." United States v. Irwin, 612 F.2d 1182,
1186-87 (9th Cir. 1980); see also Mickens v. Taylor, 535 U.S. 162, 168, 122 S. Ct. 1237,
152 L. Ed. 2d 291, reh. denied 535 U.S. 1074 (2002) (defendant must demonstrate at
least adverse effect on representation to obtain reversal based on lawyer's conflict of
interest, except in limited circumstances of attorney's representation of codefendants);
Strickland, 466 U.S. at 692 (prejudice required for violation of right to effective
assistance of counsel based on deficient attorney performance).
Notably, Hawver makes no allegation that his disciplinary action will or is likely
to prejudice Cheatham, nor do we perceive such a threat is possible. See Partington v.
Gedan, 961 F.2d 852 (9th Cir. 1992) (holding Sixth Amendment did not permit attorney
to withhold privileged client communications from attorney discipline investigators). In
fact, the contrary is true in this instance because it was Hawver's ethical misconduct that
created the violation of Cheatham's Sixth Amendment right to the effective assistance of
counsel. See State v. Cheatham, 296 Kan. 417, 292 P.3d 318 (2013) (reversing
convictions and remanding for new trial due to ineffective assistance of counsel).
35
A criminal defendant's choice of counsel is properly constrained by regulations
governing the practice of law. In other words, the right to counsel of one's choosing is not
unlimited. See United States v. Gonzalez-Lopez, 548 U.S. 140, 144, 126 S. Ct. 2557, 165
L. Ed. 2d 409 (2006) ("[A]n element of [the right to assistance of counsel] is the right of
a defendant who does not require appointed counsel to choose who will represent him.");
Wheat v. United States, 486 U.S. 153, 159, 108 S. Ct. 1692, 100 L. Ed. 2d 140 (1988)
("[A] defendant may not insist on representation by an attorney he cannot afford or who
for other reasons declines to represent the defendant."). For example, the choice is limited
to counsel who is admitted to practice law. Wheat, 486 U.S. at 159. And even during a
pending criminal proceeding, ethical violations may override a defendant's choice and
permit counsel's disqualification. See United States v. Nolen, 472 F.3d 362, 375-76 (5th
Cir. 2006) (reversing district court's revocation of out-of-state defense counsel's pro hac
vice admission because court failed to balance defendant's Sixth Amendment rights
against interests underlying ethics rules violated by defense counsel); United States v.
Collins, 920 F.2d 619, 627 (10th Cir. 1990).
The Sixth Amendment does not prohibit discipline in this case. Hawver's failure to
comply with the KRPC is not excused simply because Cheatham asked Hawver to
represent him in a criminal matter. As presiding officer Ridenour explained in his
concurring opinion in this case:
"Under the provisions of KRPC 1.1 (Competence) and 1.16 (Declining or Terminating
Representation), I have a professional duty to my client to decline to represent him on
legal issues on which I am unqualified; correspondingly, I also have the unstated but
universally understood duty to recognize those legal issues on which I am unqualified to
represent my client."
36
Hawver's ethical duties were no less. Cheatham's decision to have Hawver
represent him does not insulate Hawver from discipline resulting from the course of that
representation; nor is discipline an infringement on Cheatham's Sixth Amendment rights.
Hawver's challenges to the panel's KRPC 1.1 conclusions
Hawver appears to raise three additional arguments to attack the panel's
conclusion that he violated KRPC 1.1 (competence): (1) He is shielded from discipline
because Cheatham approved his strategy decisions; (2) He was free to make judgments
about whether to pursue investigations; and (3) ABA guidelines on the performance of
death penalty defense counsel cannot be used as conclusive measures of attorney
competence. We consider each argument in turn and hold each to be without merit.
A lawyer must undertake a client's objectives competently
Hawver argues discipline is inappropriate because he was merely carrying out the
defense strategy Cheatham directed. According to Hawver, the defense theory Cheatham
approved was:
"Because Cheatham was an experienced and highly street smart and intelligent criminal,
who dealt cocaine for a living, and had already been convicted of killing another dope
dealer who pulled a gun during a dope deal, if he had murdered the two women, he would
not have left an eye witness alive to identify him."
To support his argument, Hawver attaches a one-page, handwritten document
purporting to be directions from Cheatham regarding the case. Hawver includes this
document as an appendix to his brief to this court, but it was not introduced at the panel
hearing and is not in the record. So in addition to objecting to Hawver producing the
37
document now, the Disciplinary Administrator also argues the document is silent on
much of Hawver's misconduct, such as his lack of knowledge and experience necessary
to defend a death penalty case, failure to accept BIDS assistance or to investigate the
facts of the case, inadequate jury selection technique, and inadequate mitigation case. The
Disciplinary Administrator further argues Hawver cannot hide behind Cheatham's
strategy choices because Hawver failed to adequately investigate the case and explain all
potential problems with the chosen courses of action. The Disciplinary Administrator is
correct on all points.
The document attached to Hawver's brief is not properly before this court because
it is not part of the record. Rule 6.02(b) (2013 Kan. Ct. R. Annot. 39). "Material which is
annexed to an appellate brief by way of an appendix . . . cannot be considered on appeal."
See also In re Gershater, 270 Kan. 620, 633, 17 P.3d 929 (2001) (declining to consider
exhibits to lawyer's brief because exhibits not part of record from disciplinary
proceedings). Accordingly, we have not considered the letter, although this is of little
substantive effect because Hawver's testimony to the panel contains frequent references
to what Hawver described as Cheatham's consent to the defense strategy and we have
taken that testimony into account. But Hawver cannot avoid discipline even if Cheatham
approved the defense theory and strategy pursued at trial.
In a criminal case, a defendant has a right to decide specific aspects of the case,
i.e., what plea to enter, whether to waive a jury trial, and whether to testify. Flynn v.
State, 281 Kan. 1154, 1163, 136 P.3d 909 (2006). Beyond these matters, "defense
counsel is responsible for strategical and tactical decisions like preparation, scheduling,
and the type of defense." Flynn, 281 Kan. at 1163 (citing State v. Rivera, 277 Kan. 109,
117, 83 P.3d 169 [2004]); KRPC 1.2, comment 1 (2013 Kan. Ct. R. Annot. 460) ("[T]he
lawyer should assume responsibility for technical and legal tactical issues, but should
defer to the client regarding such questions as the expense to be incurred and concern for
38
third persons who might be adversely affected."). In carrying out his responsibility,
Hawver was duty-bound to perform "inquiry into and analysis of the factual and legal
elements of the problem, and use of methods and procedures meeting the standards of
competent practitioners," as well as explaining the "matter to the extent reasonably
necessary to permit the client to make informed decisions regarding the representation."
KRPC 1.1, comment 5 (2013 Kan. Ct. R. Annot. 447); KRPC 1.4(b) (2013 Kan. Ct. R.
Annot. 484).
Hawver was required to conduct himself in conformity with the KRPC both in
counseling Cheatham on the decisions within Cheatham's purview and in implementing
them once they were made. But even so, Hawver's "consent to strategy" argument against
these ethical charges does not account for his failure to obtain training to defend a capital
murder case, failure to track Cheatham's cell phone to determine its location at the time
of the murders, failure to file the statutorily required notice of alibi, failure to death-
qualify and life-qualify the jury, failure to challenge the death penalty's constitutionality
in light of then-existing caselaw, failure to present more than one mitigator in the case's
penalty phase, and closing argument during which Hawver told the jury it ought to
execute the killer.
Cheatham's approval of Hawver's general theory of defense—assuming it was
given—would not immunize Hawver from responsibility for his KRPC violations in the
course of this representation.
Decisions about pretrial investigations must be informed
Hawver next argues he cannot be disciplined for his investigative shortcomings
because "counsel must be free to make judgments about whether or not to pursue
investigations." He argues:
39
"Disregarding their duty to base disciplinary recommendations on clear and substantial
evidence, and without any evidence or testimony from Cheatham (which certainly cannot
be disclosed where Cheatham is being retried), the tribunal has invented injuries to
Cheatham including the failure to track down the alleged alibi witnesses and the failure to
provide the state ample opportunity to probe Cheatham's psyche and otherwise explore
substantiations to overcome his plea of innocence. This conduct by the panel is an
invitation for this court to violate the law as it has been clearly established by our nation's
highest court . . . ."
While counsel is free to make strategy decisions, including those concerning case
investigation, that discretion is not unfettered. Such decisions are constrained by the
attorney's obligation to conduct the investigation reasonably necessary for the
representation. KRPC 1.1, comment 5 (2013 Kan. Ct. R. Annot. 447) states:
"Competent handling of a particular matter includes inquiry into and analysis of
the factual and legal elements of the problem, and use of methods and procedures
meeting the standard of competent practitioners. It also includes adequate preparation.
The required attention and preparation are determined in part by what is at stake; major
litigation and complex transactions ordinarily require more elaborate treatment than
matters of lesser consequence."
An attorney's decisions regarding the scope of pretrial investigation and
preparation must be informed. See In re Samad, 51 A.3d 486, 495-96, 501 (D.C. 2012)
(imposing discipline on attorney who made uninformed decision to forgo pretrial
investigation and preparation, and instead intended to rely on defense formulated based
on review of file and general discussions with client); see also Flynn, 281 Kan. at 1157
(under standard for measuring effective assistance of counsel, strategic choices based on
thorough investigation "virtually unchallengeable," and those based on less than complete
40
investigation reasonable only to extent "reasonable professional judgment" supports
limitation on investigation).
Hawver's investigative efforts failed to meet the standard of competence. Based on
his affidavit and testimony at the disciplinary hearing, the panel found Hawver spent
approximately 60 hours preparing for Cheatham's trial, failed to investigate a potential
alibi witness, failed to interview witnesses, and failed to conduct any penalty-phase
investigation. The evidence established these were not reasoned strategic decisions. The
limited time Hawver spent preparing the case was due to his political activities and need
to attend to profit-generating legal matters for other clients. His failure to investigate for
the guilt phase of Cheatham's case was based on lack of funds, despite having been
offered financial assistance from the Board of Indigents' Defense Services. The extent of
his investigation into potential alibi witnesses Cheatham had identified was a phone call
to Cheatham's mother and reviewing an unspecified police report.
In addition, Hawver was unaware he could subpoena out-of-state witnesses and
that cell phone locations might be tracked. And he did not investigate at all for the
penalty phase of his client's capital murder case because he was unfamiliar with the
substantive and procedural law governing the death penalty, "banked" on winning
acquittal for Cheatham, and failed to familiarize himself with standard practices
employed in death penalty cases, such as those described in the ABA guidelines. Finally,
Hawver's suggestion that Cheatham's testimony was necessary during the disciplinary
proceeding to prove injury is meritless because injury to the client is not an element of
KRPC 1.1 or any other KRPC violations the panel found.
Hawver's investigative failings were not based on reasonable professional
judgment. The panel properly concluded that Hawver violated KRPC 1.1 in this regard.
41
The panel's conclusions were not based solely on ABA guidelines
Hawver next argues the panel erred when it considered the American Bar
Association Guidelines for the Appointment and Performance of Defense Counsel in
Death Penalty Cases, asserting that "an attorney cannot be restrained by ABA guidelines
and that the particular form of unlawful state interference with the conduct of a criminal
defense by imposing standards threatens the fundamental liberty and Due Process rights
of a defendant." We construe this as a claim that the panel erred by finding misconduct
solely based on a failure to conform to ABA guidelines. This argument is without merit.
The guidelines do not establish mandatory standards for attorney conduct.
Cheatham, 296 Kan. at 433. But Hawver's argument is factually wrong because the panel
did not conclude Hawver committed misconduct by failing to conform to the guidelines.
Instead, it considered that fact along with Hawver's other conduct in ultimately
concluding Hawver did not competently represent Cheatham. The panel's findings that
Hawver lacked the experience necessary to litigate a death penalty case; failed to devote
sufficient time to overcome that deficiency and adequately prepare for the case; failed to
conduct a sufficiently thorough fact investigation for either phase of Cheatham's trial; and
presented damaging arguments are amply supported by the record—most notably by
Hawver's own affidavit. The ABA guidelines were merely one touchstone with which the
panel assessed the facts before it.
In the end, with or without the ABA guidelines, the panel was led by the totality of
evidence to the virtually inescapable conclusion that Hawver violated KRPC 1.1.
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Hawver's Fee Agreement
Hawver argues the panel erred when it
"adopted this court's finding 'that respondent's flat fee arrangement, under the facts of this
case, resulted in a conflict of interest as it 'provided a financial disincentive for
respondent to actively investigate or promote Cheatham's defense' and respondent's
'personal and business interests were contrary to Cheatham's and that conflict adversely
affected respondent's representation of Cheatham.''"
He contends the panel assumed this finding
"without a hearing and testimony providing clear and convincing proof of the same . . .
which would also include factual evidence on whether the requirements imposed by the
Kansas Supreme Court in the [Cheatham] decision would have the real and practical
effect of violating the clearly established Sixth Amendment rights of indigent defendants
to plead guilty and to choose a defense attorney not approved or controlled by the state
. . . ."
The panel's record dispels any merit to this contention. The panel conducted a
hearing and received evidence on this issue, including Hawver's testimony. Its conclusion
that Hawver violated KRPC 1.7 is supported by clear and convincing evidence.
"[A] lawyer shall not represent a client if the representation involves a concurrent
conflict of interest. A concurrent conflict of interest exists if . . . there is a substantial risk
that the representation . . . will be materially limited . . . by a personal interest of the
lawyer." KRPC 1.7(a)(2) (2013 Kan. Ct. R. Annot. 517). "[A] conflict of interest exists if
there is a significant risk that a lawyer's ability to consider, recommend or carry out an
appropriate course of action for the client will be materially limited as a result of the
lawyer's other responsibilities or interests." KRPC 1.7, comment 8 (2013 Kan. Ct. R.
43
Annot. 518). The phrase "other responsibilities or interests" in that rule includes the
lawyer's business and financial interests. See In re Davidson, 285 Kan. 798, 803, 175
P.3d 855 (2008) (KRPC 1.7 violated when lawyer from whom client sought advice on a
business lease dispute obtained a financial interest in client's business).
The record before us in Hawver's disciplinary case similarly leads us to conclude
the fee agreement created a conflict of interest in violation of KRPC 1.7. Hawver testified
that he "didn't think there was much chance if [he] lost [Cheatham's] case that [he] was
going to be paid" and that he in fact received no money for his work. He said he
maintained his legal practice during his representation of Cheatham because he needed
the fees to earn a living and Cheatham knew he was "putting in the amount of time [he]
could on this thing . . . ."
The combination of the flat-fee agreement, Cheatham's inability to pay, and
Hawver's need to devote his time to fee-generating matters supports the panel's
conclusion that Hawver's personal interests created a conflict of interest, causing him to
materially limit Cheatham's representation. Hawver had a financial disincentive under the
circumstances to devote the necessary time and resources to Cheatham's case.
Manifestations of this risk are found in the approximately 60 pretrial hours
Hawver spent preparing for the case and, when coupled with his knowledge he was
unlikely to be paid if Cheatham was convicted, Hawver's admitted failure "to prepare any
case in the event [the jury found Cheatham] guilty." In short, there was clear and
convincing evidence to support the panel's conclusion Hawver violated KRPC 1.7.
44
Hawver's failure to answer the complaint
Hawver claims he answered the Disciplinary Administrator's formal complaint.
The record demonstrates otherwise.
In January 2013, the Disciplinary Administrator notified Hawver by letter that it
had docketed a complaint against him. See Rule 209 (2013 Kan. Ct. R. Annot. 355)
(complaints to be filed with Disciplinary Administrator, who must docket all complaints
not determined frivolous or meritless). Hawver responded to this docketing notice by
letter, dated March 2, 2013. In June 2013, the Disciplinary Administrator advised Hawver
that a review committee had found probable cause to believe he violated the KRPC and a
formal complaint would be filed. See Rule 210(c) (2013 Kan. Ct. R. Annot. 356) (after
investigation, Disciplinary Administrator to recommend action on complaint to review
committee). The Disciplinary Administrator filed that formal complaint on August 20,
2013, and advised Hawver of his obligation to file an answer. Hawver did not respond.
The Disciplinary Administrator then filed a supplemental complaint on October 8,
2013, alleging a violation of Rule 211(b), which requires an attorney against whom a
formal complaint is filed to answer the complaint within 20 days. Hawver responded to
that supplemental complaint with a document titled "Second Answer to Formal
Complaint and Answer to the Supplement to Formal Complaint," in which he alleged he
actually answered the original August 20 formal complaint with his earlier March 2 letter.
Hawver continues on that same claim in this court, contending the panel erred
when it concluded he violated Rule 211(b) by failing to answer the formal complaint. He
contends he "answered the original formal complaint in written answer dated March [2],
2013, and hand delivered to [the] Disciplinary Administrator . . . ." He further asserts
punishing him for failing to answer the complaint is a pretext to retaliate against him for
45
exercising his First Amendment rights. Hawver's contention that he timely answered the
formal complaint is without merit.
The March 2 letter does not constitute a response to the formal complaint because
it was written and delivered to respond only to the notice. The formal complaint consisted
of separately numbered paragraphs to which Hawver was required under our rules to
address directly. The specifics in the formal complaint were not detailed prior to
Hawver's March 2 letter, so it obviously could not constitute an answer to the formal
complaint. The panel's findings regarding the Rule 211(b) violation are supported by
clear and convincing evidence.
APPROPRIATE DISCIPLINE
Hawver does not advance any argument as to what discipline should be imposed.
At the disciplinary hearing, he requested that he should simply be restricted from taking
any more murder cases. The Disciplinary Administrator argued disbarment was
appropriate because Hawver intentionally violated his duties in the Cheatham case and
had previously entered into a diversion agreement for another prior violation of KRPC
1.1 (competence) during the time he was representing Cheatham.
The panel unanimously found Hawver intentionally violated duties owed to his
client and to the legal system. It also found Hawver's conduct "caused actual injury to the
administration of justice" because it necessitated Cheatham's retrial. And it was
unanimous in its determination that several aggravating and mitigating factors existed.
The panel determined the aggravating factors were: (1) Hawver entered a
diversion agreement for a prior disciplinary offense (a violation of KRPC 1.1 for which
Hawver entered a diversion agreement); (2) Hawver engaged in a pattern of misconduct
46
because he engaged in misconduct throughout his representation of Cheatham; (3)
Hawver engaged in multiple offenses; and (4) at the time of misconduct, Hawver had
substantial experience in the practice of law. The mitigating factors the panel found were:
(1) Hawver's conduct was not motivated by dishonesty or selfishness; and (2) Hawver
acknowledging his misconduct. In his brief, Hawver does not challenge the panel's
aggravating and mitigating findings.
In addition to the injury to the legal system found by the panel, it is important to
note Hawver's misconduct actually injured Cheatham, who was "improperly advised by
[an] unqualified lawyer[ ]" resulting in a deprivation of Cheatham's constitutional right to
assistance of counsel. See In re Phillips, 226 Ariz. 112, 114-15, 118, 244 P.3d 549 (2010)
(supervising attorney, among other things, allowed employee attorneys, and
nonattorneys, not familiar with practice areas at issue to "close" retainer agreements with
clients and advise clients on prospects of success). Moreover, Hawver's inadequate
performance—particularly as to the penalty phase of Cheatham's trial—might have
caused or contributed to the jury sentencing Cheatham to death.
In deciding that disbarment is the appropriate sanction under the circumstances,
this court is mindful that one panel member recommended indefinite suspension, while
the remaining two recommended disbarment. We also recognize there may be some
tension in reconciling the panel's conflict of interest findings with its determination of a
lack of selfishness as a mitigating factor.
But in this court's view the essentially uncontroverted findings and conclusions
regarding Hawver's previous disciplinary history, his refusal to accept publicly financed
resources to aid in his client's defense, and his inexplicable incompetence in handling
Cheatham's case in the guilt and penalty phases of the trial are more than sufficient to
require disbarment. See ABA Standard 4.51 (disbarment generally appropriate when a
47
lawyer's course of conduct demonstrates "the lawyer does not understand the most
fundamental legal doctrines or procedures, and the lawyer's conduct causes injury or
potential injury to a client"). We hold that disbarment is the appropriate discipline.
CONCLUSION
IT IS THEREFORE ORDERED that Ira Dennis Hawver be disbarred in accordance
with Supreme Court Rule 203(a)(1) (2013 Kan. Ct. R. Annot. 300).
IT IS FURTHER ORDERED that the respondent shall comply with Supreme Court
Rule 218 (2013 Kan. Ct. R. Annot. 406).
IT IS FURTHER ORDERED that the costs of these proceedings be assessed to the
respondent and that this opinion be published in the official Kansas Reports.
LUCKERT, J., not participating.
HILL, J., assigned. 1
MICHAEL J. MALONE, Senior Judge, assigned. 2
1
REPORTER'S NOTE: Judge Hill, of the Kansas Court of Appeals, was appointed to
hear case No. 111,425 vice Justice Luckert pursuant to the authority vested in the
Supreme Court by K.S.A. 20-3002(c).
2
REPORTER'S NOTE: Senior Judge Malone was appointed to hear case No. 111,425
to fill the vacancy on the court created by the appointment of Justice Nancy Moritz to the
United States 10th Circuit Court of Appeals.
48