IN THE SUPREME COURT OF APPEALS OF WEST VIRGINIA
September 2022 Term FILED
____________ November 17, 2022
released at 3:00 p.m.
EDYTHE NASH GAISER, CLERK
No. 20-0233 SUPREME COURT OF APPEALS
____________ OF WEST VIRGINIA
LAWYER DISCIPLINARY BOARD,
Petitioner
v.
GREGORY H. SCHILLACE, a member of the West Virginia State Bar,
Respondent
________________________________________________________________________
Lawyer Disciplinary Proceeding
Nos. 18-03-093, 18-03-199, 18-03-261, 18-02-362, 18-03-556, 19-03-211, and 19-03-253
LAW LICENSE SUSPENDED AND OTHER SANCTIONS IMPOSED
________________________________________________________________________
Submitted: September 28, 2022
Filed: November 17, 2022
Rachael L. Fletcher Cipoletti, Esq. Timothy J. Manchin, Esq.
Chief Lawyer Disciplinary Counsel Manchin Injury Law Group, P.L.L.C.
Office of Lawyer Disciplinary Counsel Fairmont, West Virginia
Charleston, West Virginia Respondent’s Counsel
Petitioner’s Counsel
JUSTICE WALKER delivered the Opinion of the Court.
JUSTICE WOOTON dissents and reserves the right to file a separate opinion.
SYLLABUS BY THE COURT
1. “A de novo standard applies to a review of the adjudicatory record
made before the [Hearing Panel Subcommittee of the Lawyer Disciplinary Board (“HPS”)]
as to questions of law, questions of application of the law to the facts, and questions of
appropriate sanctions; this Court gives respectful consideration to the [HPS’s]
recommendations while ultimately exercising its own independent judgment. On the other
hand, substantial deference is given to the [HPS’s] findings of fact, unless such findings
are not supported by reliable, probative, and substantial evidence on the whole record.”
Syllabus Point 1, LDB v. Cain, 245 W. Va. 693, 865 S.E.2d 95 (2021) (quoting Syl. Pt. 3,
Comm. on Legal Ethics v. McCorckle, 192 W. Va. 286, 452 S.E.2d 377 (1994)).
2. “This Court is the final arbiter of legal ethics problems and must make
the ultimate decisions about public reprimands, suspensions[,] or annulments of attorneys’
licenses to practice law.” Syllabus Point 2, LDB v. Cain, 245 W. Va. 693, 865 S.E.2d 95
(2021) (quoting Syl. Pt. 3, Comm. on Legal Ethics v. Blair, 174 W. Va. 494, 327 S.E.2d
671 (1984)).
3. “Rule 3.16 of the West Virginia Rules of Lawyer Disciplinary
Procedure enumerates factors to be considered in imposing sanctions and provides as
follows: (1) whether the lawyer has violated a duty owed to a client, to the public, to the
legal system or to the profession; (2) whether the lawyer acted intentionally, knowingly or
i
negligently; (3) the amount of the actual or potential injury caused by the lawyer’s
misconduct; and (4) the existence of any aggravating or mitigating factors.” Syllabus Point
4, Off. Law. Disc. Couns. v. Jordan, 204 W. Va. 495, 513 S.E.2d 722 (1998).
4. “Aggravating factors in lawyer disciplinary proceedings are any
considerations or factors that may justify an increase in the degree of discipline to be
imposed.” Syllabus Point 4, LDB v. Scott, 213 W. Va. 209, 579 S.E.2d 550 (2003).
5. “In deciding on the appropriate disciplinary action for ethical
violations, this Court must consider not only what steps would appropriately punish the
respondent attorney, but also whether the discipline imposed is adequate to serve as an
effective deterrent to other members of the Bar and at the same time restore public
confidence in the ethical standards of the legal profession.” Syllabus Point 3, Comm. on
Legal Ethics v. Walker, 178 W. Va. 150, 358 S.E.2d 234 (1987) (citing W. Va. R. Law.
Disc. P. 3.16).
ii
WALKER, Justice:
Over the course of several years, Gregory H. Schillace repeatedly agreed to
represent clients but then abandoned his duties and responsibilities, leaving them with
virtually no legal representation. His misconduct cost his former clients their legal rights,
property, peace of mind, and trust in the legal system; he also contributed to public distrust
of the legal profession. A hearing panel subcommittee of the Lawyer Disciplinary Board
found that he committed fifty-three ethics violations but recommends we impose no active
suspension of his law license. It reasoned that Respondent’s diagnosed mental impairment
mitigates against harsher sanctions.
We recognize how Respondent’s mental impairment affected his client
representation, and we afford it due mitigating weight. We also commend his actions to
address it, and we acknowledge his continued efforts toward mental health recovery. But
his impairment does not insulate him from meaningful sanctions. We find that it mitigates
his sanction to a two-year suspension, among other sanctions. Without significant
mitigation, Respondent’s misconduct would warrant more than a two-year suspension. 1
I. FACTUAL AND PROCEDURAL BACKGROUND
1
See e.g. LDB v. Rossi, 234 W. Va. 675, 686, 769 S.E.2d 464, 475 (2015)
(suspending a lawyer’s license for three years for, among other things, being “unresponsive
to his clients in . . . six matters and caused them real injuries.”).
1
Respondent has practiced law in West Virginia since 1990. On March 16,
2020, the Lawyer Disciplinary Board filed a seven-count Statement of Charges against
him, alleging dozens of ethics violations. A subcommittee of the Board’s Hearing Panel
(the Hearing Panel Subcommittee or HPS) conducted hearings on the charges on
November 24, 2020, November 25, 2020, and March 2, 2021. Respondent, aggrieved
clients, a circuit court judge who witnessed some of Respondent’s misconduct, and several
mitigation witnesses testified at the hearings. The mitigation witnesses discussed, among
other things, Respondent’s adjustment disorder and how it affected his client
representation. Based on the evidence, the HPS made the following findings for each
count. 2
A. Count I
The HPS found that clients retained Respondent sometime in 2016 to
represent them in a claim against their home contractor. Respondent never reduced the
2
After the HPS issued its report and recommended disposition to this Court, the
Office of Disciplinary Counsel (ODC) filed an objection to the HPS’s recommended
disposition. In response, Respondent consented to the recommended disposition, but he
noted his objections to certain findings of facts and rule violations found. On appeal, he
restates his objections but presents no argument explaining why we should disturb the
HPS’s findings as to facts or rule violations. Instead, he presents, with no supporting
arguments, the statement of facts and rule violations he claims the HPS should have
adopted for each count. “The filing of any objection to the report of the Hearing Panel
Subcommittee shall constitute commencement of proceedings . . . before the Supreme
Court of Appeals[,]” but it does not carry a party’s burden of proving error below. See W.
Va. R. Law. Disc. P. 3.13. In the absence of arguments by Respondent, we decline to
disturb the HPS’s factual findings or the rule violations it found; clear and convincing
evidence supports the findings.
2
scope or terms of his representation to writing. Respondent filed suit on the clients’ behalf
on June 7, 2016. The contractor filed a counterclaim, but Respondent never responded to
it or informed the clients of it. As the case proceeded, Respondent failed to communicate
with them about the case. By the close of discovery, Respondent had failed to answer
interrogatories, so the circuit court ordered that he file the discovery responses by July 21,
2017. Respondent filed the responses ten days late, on July 31, 2017. When opposing
counsel moved for sanctions, Respondent did not respond, and the court ordered
Respondent to pay attorney fees as a sanction. On November 30, 2017, opposing counsel
moved for sanctions again, citing Respondent’s systematic failure to obey the court’s
orders or the discovery rules. This time, opposing counsel requested that the court dismiss
the clients’ claims due to Respondent’s pattern of misconduct. Respondent never
responded to the motion. The circuit court dismissed the clients’ claims with prejudice but
allowed the opposing party’s counterclaim to proceed.
Respondent did not inform his clients that the court dismissed their claims
and continued to withhold information about the counterclaim—despite the clients’
extensive efforts to get status updates on their case. By January 31, 2018, Respondent still
had not responded to the counterclaim. The defense moved for a default judgment, and the
circuit court granted it on March 1, 2018. Shortly before the damages trial for the default
judgment, Respondent informed the clients of the counterclaim and that the circuit court
dismissed their claims. The clients retained new counsel and settled the counterclaim for
3
$20,000 before trial. Respondent’s professional malpractice insurance carrier eventually
made the clients financially whole by settling a malpractice lawsuit.
Based on these findings, the HPS found that Respondent violated Rules 1.1,
1.2(a), 1.3, 1.4, 1.5(b), 1.5(c), 3.2, 3.4, 8.4(c), and 8.4(d) of the West Virginia Rules of
Professional Conduct.
B. Count II
The HPS found that a client retained Respondent sometime around January
2017 to represent her in a suit against her former employer, which her previous attorney
filed on October 26, 2015. After the client and Respondent entered into a contingency fee
agreement, Respondent failed to communicate with the client or respond to her requests
for status updates on her case. On December 8, 2017, the client learned that opposing
counsel filed a motion to dismiss for Respondent’s failure to prosecute. She attempted to
contact Respondent about the motion, but he never responded. After Respondent failed to
respond when the court ordered him to do so, the court dismissed the client’s lawsuit.
Respondent baselessly assured the client that the circuit court would reinstate the case, but
he made no effort toward reinstatement.
The client then filed an ethics complaint against Respondent, which
Respondent initially ignored. When he responded to the ODC’s second demand for a
4
response, he denied any ethics violations and said he would have the case reinstated. In
response, the client reiterated to the ODC that Respondent made no effort to reinstate the
case and had done nothing in the seven months following the dismissal.
Based on these findings, the HPS found that Respondent violated Rules 1.1,
1.2(a),1.3, 1.4, 3.2, 3.4, 8.4(c), and 8.4(d) of the West Virginia Rules of Professional
Conduct.
C. Count III
The HPS found that a client retained Respondent to represent him in a
divorce action. After the family court entered a final order in the case on December 21,
2016, Respondent appealed it to the circuit court. The family court then scheduled a May
1, 2017 hearing on a contempt motion filed against the client for allegedly violating the
family court’s order. At the hearing, Respondent argued that the family court lacked
jurisdiction while the case was pending in the circuit court. The family court continued the
hearing to May 2. On May 1, the circuit court stayed proceedings in the family court. So,
Respondent did not attend the continued May 2 hearing.
After the parties settled the underlying case, the family court issued an order
to show cause against Respondent for his failure to appear at the May 2 hearing.
Respondent filed a complaint for declaratory relief and petition for writ of prohibition in
5
the circuit court against the family court judge related to the order to show cause, but
Respondent failed to serve the family court judge with the complaint. So, the circuit court
continued a hearing for the case and ordered Respondent to serve the family court judge
before the next hearing. The circuit court also ordered Respondent to prepare an order
reflecting its directives. The family court judge filed a motion to dismiss the petition for
writ of prohibition. Respondent failed to appear for a hearing on that motion. Respondent
also failed to serve the family court judge or prepare the order. So, the circuit court
imposed a monetary sanction on Respondent, halted proceedings in the client’s case until
Respondent paid the sanction, and filed an ethics complaint against him.
The ODC sent Respondent the ethics complaint and demanded a response
within twenty days, but Respondent failed to respond to the ODC by the initial deadline.
When he responded late, he assured the ODC that he would pay the monetary sanctions so
that the circuit court would allow the client’s case to proceed. But the circuit court provided
the ODC with a transcript of a later hearing where Respondent admitted he had not paid
the sanction and refused to do so. After Respondent refused to pay the sanction, the circuit
court reduced it to a civil judgment. Respondent appealed the sanction to this Court. We
reversed, in part, finding that the circuit court abused its discretion by issuing the contempt
6
sanction without a jury trial. 3 The HPS found insufficient evidence to find any ethics
violations related to this count because of this Court’s decision to invalidate the sanction.
D. Count IV
The HPS found that a client retained Respondent to defend her in a contract
dispute related to an equipment purchase for her business. The equipment supplier sued
her sometime around May 2, 2014, for an alleged failure to pay. She requested that
Respondent file a counterclaim alleging breach of contract for the supplier’s alleged failure
to tender the goods in working condition. But Respondent never asserted the counterclaim.
After the circuit court set the case for trial, Respondent never served discovery requests or
took depositions. And Respondent never filed any pretrial motions, exhibits, or jury
instructions, and he missed a February 10, 2017, docket call for the case.
Before trial, the plaintiff presented a settlement offer to Respondent, but
Respondent failed to communicate it to his client before it expired. At trial, the circuit
court sanctioned Respondent for his discovery misconduct by excluding the client’s
testimony. And the client learned at the trial that Respondent failed to assert the
counterclaim. The jury awarded $31,500 to the plaintiffs. Even though Respondent
promised the client that he would appeal, he never did. The client filed an ethics complaint,
and Respondent failed to respond to the ODC’s first request for a response. The client filed
3
Rector v. Ross, 245 W. Va. 352, 360, 859 S.E.2d 295, 303 (2021).
7
a legal malpractice claim against Respondent. She testified below that Respondent never
apologized to her for his misconduct.
Based on these findings, the HPS found that Respondent violated Rules 1.1,
1.2(a), 1.3, 1.4, 3.2, 3.4, 3.4(d), 8.4(c), and 8.4(d) of the West Virginia Rules of
Professional Conduct.
E. Count V
The HPS found that clients retained Respondent to represent them in an
August 15, 2016, partition lawsuit related to jointly inherited property. Respondent’s
associate attorney attended a December 12, 2016 status conference on his behalf. At the
conference, the circuit court emphasized that Respondent failed to respond to the lawsuit
or participate in discovery. On December 27, 2016, the circuit court entered an order
directing Respondent to respond to the lawsuit within 20 days. Respondent did not, and
on January 23, 2017, the plaintiffs filed a Motion to Appoint Commissioners and Adopt
Factual Matters for the partition action. Respondent never responded to the motion, and
the circuit court granted it.
The circuit court ordered that the partition commissioners ignore any
evidence on the clients’ behalf because Respondent abandoned the case. The
commissioners issued recommended findings, leaving the clients with an undesirable
8
portion of the property. Respondent did not provide a copy to the clients, and he withheld
the adverse ruling from them. On July 23, 2018, the circuit court adopted the recommended
findings. The clients only learned of the adverse rulings when they tried to pay property
taxes to an opposing party who informed them that the circuit court ruled on the case. The
clients demanded an explanation from Respondent who assured them he would “look at
it.” The clients also demanded their client file, but Respondent withheld it.
The clients filed an ethics complaint and hired counsel to recover the client
file, but Respondent still withheld it. Respondent ignored the ODC’s first request for a
response. He answered the ODC’s second request and claimed he acted ethically in the
matter. Respondent’s malpractice insurance carrier settled a malpractice suit, arguably
making the clients financially whole. But the clients testified that the settlement proceeds
failed to provide them with sufficient redress because they still lacked access to their
beloved family property.
Based on these findings, the HPS found that Respondent violated Rules 1.1,
1.2(a), 1.3, 1.4, 1.16(d), 1.5, 1.15(d), 1.16(d), 3.2, 3.4, 8.4 (c), and 8.4 (d) of the West
Virginia Rules of Professional Conduct.
F. Count VI
9
The HPS found that a client retained Respondent in September 2018 to
represent her in a real estate suit against an adjoining property owner. The client paid
Respondent a $3,500 retainer, but Respondent never reduced the fee agreement to writing.
He assured the client that he would file suit, but he then ignored the client’s
communications over the next several months.
On April 12, 2019, the client contacted the circuit court clerk’s office and
learned that Respondent never filed the complaint. On April 17, 2019, the client mailed
Respondent a letter terminating his representation and requesting a retainer refund and her
client file. Respondent met with the client four days after receiving her termination letter.
To the client’s dismay, he conducted an intake with her like he had at their initial meeting.
The client informed Respondent that she had no more money to replenish her retainer.
Respondent convinced her that he would file the suit and represent her under a contingency
fee agreement. He also assured her that he would file suit by April 29, 2019, but he did
not. He later promised that he would file it by May 6, 2019, and the client tried to contact
him to confirm that he had, but he ignored her. The client went to the clerk’s office on
May 10, 2019, where she learned that Respondent still had not filed the complaint. The
client again requested a refund of her retainer and her client file, but Respondent returned
neither.
10
The client filed an ethics complaint, and Respondent ignored the ODC’s
request for a response. When Respondent responded to ODC’s second request, he denied
committing any ethics violations.
Based on these findings, the HPS found that Respondent violated Rules
1.2(a), 1.3, 1.4, 1.5(b), 1.5, 1.15(b), 1.15(d), 1.16(d), 8.4(c) and 8.4(d) of the West Virginia
Rules of Professional Conduct.
G. Count VII
The HPS found that a client retained Respondent to represent him in an April
15, 2016, lawsuit against his former employer. Respondent failed to disclose witnesses or
respond to discovery requests, as the circuit court’s order required. Opposing counsel
repeatedly attempted to contact Respondent about his failures, but Respondent ignored the
attempts. On August 7, 2017, opposing counsel filed a motion for sanctions and,
alternatively, a motion to compel the discovery. Respondent did not respond.
Respondent failed to instruct his client to attend an August 28, 2017, pretrial
hearing. When Respondent attended the hearing, he admitted that he failed to prosecute
the case, and the circuit court dismissed it. Respondent never informed the client that the
circuit court dismissed the case. The client only learned about it when he hired a new
lawyer to represent him.
11
The client filed an ethics complaint against Respondent. Respondent ignored
ODC’s first request for a response. He responded to ODC’s second request and denied
committing any ethics violations. His malpractice insurance carrier eventually made the
clients financially whole by settling a malpractice claim.
Based on these findings, the HPS found that Respondent violated Rules 1.1,
1.2(a), 1.3, 1.4, 3.2, and 3.4 of the West Virginia Rules of Professional Conduct.
H. Recommended Sanction
In all, the Hearing Panel Subcommittee found that Respondent committed
fifty-three ethics violations. As discipline for the misconduct, the HPS recommends that
we impose various sanctions against him, including a stay of a two-year suspension of his
law license:
[The HPS recommends]
A. That Respondent’s law license be suspended for a period
of two years, provided that the imposition of that suspension is
stayed and the Respondent [be] placed on a period of [t]hree
(3) years of probation and supervised practice;
B. That Respondent must maintain [p]rofessional [l]iability
[i]nsurance in the amount of [o]ne [m]illion [d]ollars
($1,000,000) per claim and in the aggregate and provide proof
of the same upon request of the Office of Disciplinary Counsel;
C. That Respondent should continue in the therapy regimen
and undergo an independent psychological evaluation to
determine his compliance with his therapy regiment at his
12
expense and at the request of the Office of Disciplinary
Counsel;
D. Respondent should undergo an audit of his law office to
determine if he is compliant with the prior directives of the
retained office consultant, and be ordered to implement any
and all necessary changes in his law office management
procedures to ensure that the pattern of misconduct is less
likely to occur; and
E. That Respondent be ordered to pay the costs of these
proceedings pursuant to Rule 3.15 of the Rules of Lawyer
Disciplinary Procedure.
The ODC objects to the recommended sanctions, mainly the stayed
suspension. It advocates for (1) two years’ active suspension of Respondent’s law license,
(2) Respondent’s compliance with Rule 3.28 of the Rules of Lawyer Disciplinary
Procedure, (3) Respondent’s continued therapy, (4) an independent psychological
evaluation of Respondent and a law office audit before reinstatement, (5) Respondent to
carry $1,000,000 of professional liability insurance per claim and in the aggregate, if
reinstated, and (6) Respondent to bear the costs of his disciplinary proceedings.
II. STANDARD OF REVIEW
In lawyer discipline cases, we review questions of law de novo, defer to the
HPS’s supported factual findings, and exercise our independent judgment to determine
appropriate sanctions:
A de novo standard applies to a review of the
adjudicatory record made before the [Hearing Panel
Subcommittee of the Lawyer Disciplinary Board (“HPS”)] as
13
to questions of law, questions of application of the law to the
facts, and questions of appropriate sanctions; this Court gives
respectful consideration to the [HPS’s] recommendations
while ultimately exercising its own independent judgment. On
the other hand, substantial deference is given to the [HPS’s]
findings of fact, unless such findings are not supported by
reliable, probative, and substantial evidence on the whole
record.[4]
We respectfully consider the HPS’s recommended sanctions, but “[t]his Court is the final
arbiter of legal ethics problems and must make the ultimate decisions about public
reprimands, suspensions[,] or annulments of attorneys’ licenses to practice law.”5
III. ANALYSIS
The Rules of Lawyer Disciplinary Procedure contemplate a variety of
possible disciplinary sanctions, ranging in severity from an admonishment to law license
annulment:
A Hearing Panel Subcommittee may recommend or the
Supreme Court of Appeals may impose any one or more of the
following sanctions for a violation of the Rules of Professional
Conduct or pursuant to Rule 3.14: (1) probation; (2) restitution;
(3) limitation on the nature or extent of future practice; (4)
supervised practice; (5) community service; (6)
admonishment; (7) reprimand; (8) suspension; or (9)
annulment . . . .[6]
4
Syl. Pt. 1, LDB v. Cain, 245 W. Va. 693, 865 S.E.2d 95 (2021) (quoting Syl. Pt.
3, Comm. on Legal Ethics v. McCorckle, 192 W. Va. 286, 452 S.E.2d 377 (1994)).
5
Syl. Pt. 2, Cain, 245 W. Va. at 693, 865 S.E.2d at 95 (quoting Syl. Pt. 3, Comm.
on Legal Ethics v. Blair, 174 W. Va. 494, 327 S.E.2d 671 (1984)).
6
W. Va. R. Law. Disc. P. 3.15.
14
To determine appropriate sanctions, we consider a lawyer’s professional duties, culpable
mental state, injury inflicted, and any mitigating or aggravating factors:
Rule 3.16 of the West Virginia Rules of Lawyer
Disciplinary Procedure enumerates factors to be considered in
imposing sanctions and provides as follows: (1) whether the
lawyer has violated a duty owed to a client, to the public, to the
legal system or to the profession; (2) whether the lawyer acted
intentionally, knowingly or negligently; (3) the amount of the
actual or potential injury caused by the lawyer’s misconduct;
and (4) the existence of any aggravating or mitigating
factors.[7]
The HPS found that (1) “Respondent’s pattern and course of misconduct
breached his duties to his clients, the legal system, and to the profession[,]” (2) he acted
negligently, (3) he caused harm to his clients and the legal profession, and (4) that his
mental impairment heavily mitigated his misconduct. The HPS found no aggravating
factors.
We disagree with the HPS’s assessment of several factors and independently
analyze all factors below. But first, we briefly highlight the HPS’s erroneous insufficient
evidence finding for Respondent’s conduct in Count III; Respondent committed several
ethics violations unrelated to the merits of the contempt action against him. His successful
appeal based on procedural defects in the contempt proceedings fails to excuse his
7
Syl. Pt. 4, Off. Law. Disc. Couns. v. Jordan, 204 W. Va. 495, 513 S.E.2d 722
(1998) (citing W. Va. R. Law. Disc. P. 3.16).
15
disrespectful and dishonest conduct before the circuit court or the ODC. We even
acknowledged his misconduct when we decided the appeal. As now-Chief Justice
Hutchison noted in his concurrence,
the record shows that despite the sanction, Mr. Schillace
continued to defy the circuit court, claiming in one instance
that he believed the sanction was prophylactic in nature, and
therefore, he did not need to pay it. Moreover, Mr. Schillace
continued to argue that he had submitted the December 11,
2017, hearing order to the circuit court prior to March 30, 2018,
hearing, offering an unsigned letter at a July 13, 2018, hearing
that he had obviously just printed from his computer as proof.
Based on what had occurred at the March 30, 2018, hearing,
the circuit court knew that he had not previously submitted the
order.[8]
Respondent disregarded the circuit court’s orders to serve the family court judge or prepare
an order. He violated the ODC’s response deadline. And he misrepresented to the ODC
that he would pay the sanction to avoid further prejudicing his client but took the opposite
position before the circuit court. For these reasons, we find clear and convincing evidence
to support the ODC’s charged rule violations for this count; Respondent violated Rules 1.1,
3.3(a)(1), 8.4(c), and 8.4(d) of the West Virginia Rules of Professional Conduct.
A. Professional Duties
8
Ross, 245 W. Va. at 362, 859 S.E.2d at 304 (Hutchison, J. concurring).
16
With the framework for our analysis established and Respondent’s rule
violations clarified, we move to discussion of the first Jordan factor: Respondent’s
professional duties. As we have explained, lawyers owe basic duties to their clients, the
public, and the legal profession:
A lawyer owes an ethical duty to clients including the
duty of candor, loyalty, diligence, and competence. Lawyers
also owe duties to the public who rely on lawyers to protect
their interests. The general public deserves lawyers with the
highest standards of honesty and integrity. As officers of the
court, lawyers owe duties to the legal system whereby they
must conduct themselves within the bounds of the law and
abide by the rules of substance and procedure which afford the
administration of justice. As to the legal profession, lawyers
owe an ethical duty to maintain the integrity of the
profession.[9]
Respondent admits he violated duties to his clients, the legal system, and the profession,
and we agree. Specifically, Respondent repeatedly violated his duties of candor, loyalty,
diligence, and competence owed to his clients; over and over, he promised to represent
their interests but failed to pursue them. For the same reason, he violated his duties to the
public which depends on lawyers to navigate the legal system. And he breached his duties
to the legal profession and system by violating our Rules of Professional Conduct.
B. Culpable Mental State
9
LDB v. Blyler, 237 W. Va. 325, 341, 787 S.E.2d 596, 612 (2016).
17
There being no issue as to Respondent’s violations of duties as a lawyer, we
next turn to his culpability. In lawyer discipline cases, we deem intent the most culpable
mental state and negligence the least culpable; a knowing mental state demonstrates
culpability somewhere between the two:
the most culpable mental state is that of intent, which consists
of conduct by the lawyer with a conscious objective or purpose
to achieve a particular result. The next most culpable mental
state is that of knowledge when there are acts by the lawyer
with awareness of the nature of the acts or the potential
consequences of the conduct. However, with the state of
knowledge there is no conscious effort to attain a particular
result. The least culpable mental state is negligence, which
involves a failure to be aware of substantial risks at issue.[10]
The HPS found that Respondent acted negligently because “his course of
conduct occurred during a time when [he] suffered a series of medical and mental health
issues which were temporary in nature and for which he has taken substantial steps to
correct.” The ODC argues that Respondent acted knowingly and that he failed to present
evidence showing that his mental impairment prevented him from appreciating the nature
of his misconduct.
We agree with the ODC; based on the indisputable evidence presented to the
HPS, we must conclude that Respondent acted knowingly. We acknowledge that a clinical
10
Id.
18
social worker evaluated Respondent and assessed him with an adjustment disorder. And
the social worker testified that with the disorder, Respondent “developed the capacity to
avoid [and] became less productive.” But he never deemed Respondent incapable of
understanding his action’s consequences. Respondent’s mental impairment may mitigate
the degree of discipline for his conduct, but it fails to rebut the evidence showing he
understood the adverse effects his clients suffered when he lied to and abandoned them.
Throughout the underlying cases, courts issued sanctions against Respondent, clients
complained to him about his misconduct, and the ODC sent him multiple complaints
related to it. Respondent’s decades of law practice should have apprised him of his
misconduct’s consequences. But if it did not, the non-approval from the courts, his clients,
and the ODC brought them to his attention.
We find that Respondent acted knowingly when he consistently disregarded
his clients’ interests and the lower courts’ authority. He may have acted negligently in
some circumstances, but his continuous pattern, over the course of many years and cases,
demonstrates that he understood the consequences of his misconduct.
C. Injury Inflicted
19
When determining an appropriate sanction, we consider actual and potential
injury to the client, the public, and the legal system. 11 As another state supreme court
noted, “The level of injury can range from ‘serious’ injury to ‘little or no’ injury.” 12 When
a lawyer insists that remedial measures cured their former clients’ injuries, we have
emphasized that case delay and understandable frustration with the system establish actual
injury. 13
The HPS found that Respondent caused damage, but it minimized the harm’s
magnitude by finding, “Respondent has been financially responsible for his malpractice[,]
and it appears . . . that settlements were reached with the clients that filed suit against him.”
We disagree with the HPS’s suggestion that Respondent’s malpractice
insurance settlements negated his inflicted injuries. For one, a former client testified that
Respondent assured her that his insurance company would compensate her for her financial
injuries. But she explained,
I had to file multiple Freedom of Information requests
to get the names of his insurance company. He told us multiple
times that he was going to contact them and get the claim filed.
11
See W. Va. R. Law. Disc. P. 3.16.
12
In re Vanderslice, No. 261, 2015, 2015 WL 3858865, at *12 (Del. June 19, 2015).
13
See e.g. LDB v. Munoz, 240 W. Va. 42, 49, 807 S.E.2d 290, 297 (2017)
(“Although [the lawyer] attempts to minimize any client [injury], the obvious injury to
them was the delay of resolution of their cases and their understandable frustration with
the system.”).
20
He was going to do that himself. He refused. He would not do
that. I asked him for the names of his insurance carrier. He
refused to supply that information. I took it upon myself to
submit FOIA requests to get that information.
And she emphasized, “His insurance company settled. He did nothing to help promote
that.” Likewise, she testified, “the amount of stress and just anxiety that we had to go
through to get to that point, [the insurance] settlement nowhere near covered it.” The client
who lost his rights in the partition action testified, “at nighttime I wake up in the middle of
the night and I start crying because my kids loved to go there . . . .” Another former client
testified, “I’m hurt. I just—from a professional ethics standpoint, I just don’t think that
you should be allowed to ignore people and to not do what you’re supposed to do to
represent them. So—and it’s been—it’s difficult to accept.”
The record in this case is full of similar stories, but these emphasize the point:
a lawyer can inflict more than financial injury when he violates our Rules of Professional
Conduct. Malpractice insurance settlements do not unilaterally cure the injuries.
Respondent inflicted actual, serious harm.
D. Mitigating Factors
We next turn to mitigating factors, which we have explained are “any
considerations or factors that may justify a reduction in the degree of discipline to be
21
imposed.” 14 We have also adopted the American Bar Association’s proposed mitigating
factors as a baseline for our application. The factors include:
(1) absence of a prior disciplinary record; (2) absence of a
dishonest or selfish motive; (3) personal or emotional
problems; (4) timely good faith effort to make restitution or to
rectify consequences of misconduct; (5) full and free
disclosure to disciplinary board or cooperative attitude toward
proceedings; (6) inexperience in the practice of law; (7)
character or reputation; (8) physical or mental disability or
impairment; (9) delay in disciplinary proceedings; (10) interim
rehabilitation; (11) imposition of other penalties or sanctions;
(12) remorse; and (13) remoteness of prior offenses.[15]
We consider mental impairments as mitigating factors when medical evidence establishes
the mental impairment and that it caused the lawyer’s misconduct; the lawyer must also
prove a “meaningful and sustained” rehabilitation period, that he has ceased the
misconduct, and that he is unlikely to reoffend:
[w]e hold that in a lawyer disciplinary proceeding, a mental
disability is considered mitigating when: (1) there is medical
evidence that the attorney is affected by a mental disability; (2)
the mental disability caused the misconduct; (3) the attorney’s
recovery from the mental disability is demonstrated by a
meaningful and sustained period of successful rehabilitation;
and (4) the recovery arrested the misconduct and recurrence of
that misconduct is unlikely.[16]
LDB v. Scott, 213 W. Va. 209, 214, 579 S.E.2d 550, 555 (2003) (citing American
14
Bar Association, Standards for Imposing Lawyer Sanctions, 9.31 (1992)).
15
Scott, 213 W. Va. at 214, 579 S.E.2d at 550 (quoting Standards for Imposing
Lawyer Sanctions, supra note 14, at 9.32).
16
LDB v. Dues, 218 W. Va. 104, 112, 624 S.E.2d 125, 133 (2005) (quoting
Standards for Imposing Lawyer Sanctions, supra note 14, at 9.32).
22
We afford mental impairments varying weight as mitigation, depending on the causal
connection between the impairment and the misconduct:
If the offense is proven to be attributable solely to a
[mental] disability . . ., it should be given the greatest weight.
If it is principally responsible for the offense, it should be given
very great weight; and if it is a substantial contributing cause
of the offense, it should be given great weight. In all other cases
in which the [mental] disability . . . is considered as mitigating,
it should be given little weight.[17]
In this case, the HPS found that Respondent’s mental impairment, counseling
regimen, and law office remediation measures constituted mitigating factors. The HPS
found that Respondent’s mental impairment served as a “substantial cause” of his
misconduct, that his client representation since receiving the Statement of Charges showed
his rehabilitation, and that his counselor’s testimony proved him unlikely to reoffend.
Respondent asks us to find as mitigating factors his (1) absence of prior
discipline, (2) absence of dishonest or selfish motive, (3) personal and emotional problems,
(4) restitution, (5) participation in disciplinary proceedings, (6) character and reputation,
(7) mental disability, (8) interim rehabilitation, (9) imposition of other penalties or
sanction, and (10) remorse. 18 But we deem as mitigating factors only his personal and
17
Dues, 218 W. Va. at 112, 624 S.E.2d at 133 (quoting BA/BNA Lawyers’ Manual
on Professional Conduct, at 01:840 (2005)).
18
We reject many of Respondent’s proposed mitigating factors. Respondent’s
disciplinary record does not represent a mitigating factor. The Investigative Panel
23
emotional problems, mental impairment, interim rehabilitation, and character and
reputation.
Respondent’s mental impairment, personal and emotional problems, and
interim rehabilitation substantially overlap, so we will discuss them together.
Respondent’s mental health counselor established that Respondent suffered from an
adjustment disorder. He attributed the mental impairment to Respondent’s grief, stress,
and other emotional challenges. He testified that he has treated Respondent weekly since
assessing him with the adjustment disorder, that Respondent’s counseling has improved it,
and that continued treatment will likely prevent his misconduct from reoccurring. Because
the counselor also established how Respondent’s mental impairment served as a substantial
contributing factor to his misconduct, we afford it great mitigating weight. We also afford
admonished him in 2015, and it did not deter the misconduct underlying this disciplinary
action that soon followed. Respondent presented insufficient evidence to show that he
acted without a dishonest or selfish motive. Instead, he acted dishonestly in many cases
by withholding crucial, detrimental information from his clients until he could no longer
hide it. Respondent’s “restitution” or imposition of other “penalties” do not constitute
mitigating factors. He argues that his malpractice insurance settlements should mitigate
his discipline. For the reasons stated above, we reject this argument. And Respondent’s
participation in the disciplinary proceedings does not mitigate in this case; he ignored
numerous ODC response requests issued prior to the Statement of Charges. Finally,
Respondent failed to demonstrate remorse sufficient to mitigate his misconduct. He may
have acted remorsefully during the HPS hearing, but we find it telling a former client
testified that Respondent never apologized to her. Respondent should have directed his
remorse towards his injured clients, not the HPS.
24
mitigating weight to his interim rehabilitation and the personal and his emotional problems
related to the adjustment disorder.
Finally, we deem Respondent’s character and reputation a mitigating factor.
He presented United States Magistrate Michael J. Aloi as a mitigation witness. Judge Aloi
met with Respondent in early 2018 in his capacity as volunteer for the West Virginia
Judicial and Lawyers’ Assistance Program (WVJLAP). 19 Judge Aloi knew Respondent
for many years before meeting with him then. He testified about Respondent’s reputation
as a friend and great lawyer, and he emphasized that Respondent’s misconduct appeared
uncharacteristic of the character and reputation he established in the years preceding. We
find the testimony persuasive and afford Respondent’s character and reputation mitigating
weight.
E. Aggravating Factors
We have held that “[a]ggravating factors in lawyer disciplinary proceedings
are any considerations or factors that may justify an increase in the degree of discipline to
19
Magistrate Judge Aloi testified that he met with Respondent after the WVJLAP
received referrals from persons concerned about Respondent’s well-being. The record
contains no indication that Respondent sought assistance from the WVJLAP on his own
initiative or has any ongoing involvement with it.
25
be imposed.” 20 The American Bar Association’s Standards for Imposing Lawyer
Sanctions lists the following as aggravating factors in lawyer disciplinary cases:
(a) prior disciplinary offenses;
(b) dishonest or selfish motive;
(c) a pattern of misconduct;
(d) multiple offenses;
(e) bad faith obstruction of the disciplinary proceedings by
intentionally failing to comply with rules or orders of the
disciplinary agency;
(f) submission of false evidence, false statements, other
deceptive practices during the disciplinary process;
(g) refusal to acknowledge wrongful nature of conduct;
(h) vulnerability of victim;
(i) substantial experience in the practice of law;
(j) indifference to making restitution;
(k) illegal conduct, including the use of controlled
substances.[21]
In this case, the HPS found no aggravating factors. In contrast, the ODC
asserts as aggravating factors Respondent’s (1) 2015 admonishment by the Lawyer
Disciplinary Board, (2) selfish motive as reflected by his misleading statements to clients,
(3) pattern of misconduct, (4) multiple offenses, and (5) substantial legal experience. But
we find as aggravating factors only Respondent’s selfish motive, pattern of misconduct,
multiple offenses, and substantial legal experience.
20
Syl. Pt. 4, Scott, 213 W. Va. at 209, 579 S.E.2d at 550.
21
American Bar Association, Standards for Imposing Lawyer Sanctions, 9.22
(2019).
26
First, we find that in the circumstances of this case, Respondent’s prior
admonishment does not represent an aggravating factor. But we agree with the ODC’s
other asserted aggravating factors. Respondent’s conduct demonstrates selfish and
dishonest motives, the seven counts against him establish a course of misconduct and
multiple offenses, and he committed the misconduct despite his nearly three decades
practicing law.
The record contains clear and convincing evidence showing that Respondent
acted dishonestly and selfishly in many instances. For one, he withheld damaging
information from his clients until he could no longer hide it. He also incorrectly assured
several former clients that he could cure adverse rulings against them but took no action to
do so. We find his actions reflected in Count VI illustrative. Respondent accepted the
client’s case and assured her that he would file suit. He depleted her $3,500 retainer
without filing a complaint, as promised, and he ignored her extensive efforts to contact
him. When she mailed a letter terminating his representation and requesting a retainer
refund, he promptly arranged a meeting with her and convinced her to keep him retained
on a contingency basis—despite his preexisting and unfulfilled duties under the unwritten
retainer fee agreement. The record highlights countless times when Respondent abdicated
his duties and ignored communications, but when his money was at stake, he acted
promptly.
27
We find that Respondent’s selfish and dishonest motives, course of
misconduct, multiple offense, and substantial legal experience are aggravating factors.
F. Sanctions
We craft sanctions to punish attorneys, protect the public, and restore
confidence in the legal profession:
In deciding on the appropriate disciplinary action for
ethical violations, this Court must consider not only what steps
would appropriately punish the respondent attorney, but also
whether the discipline imposed is adequate to serve as an
effective deterrent to other members of the Bar and at the same
time restore public confidence in the ethical standards of the
legal profession.[22]
In LDB v. Grafton, we suspended the lawyer’s license for two years after he
“continued in a pattern and practice of repeatedly failing to communicate with and for his
clients, and not responding to requests of the ODC . . . . [And he] also deceived his client
by allowing her to believe that he was acting diligently and an appeal had been perfected
in her case.”23 To determine the appropriate discipline, we considered the lawyer’s
significant physical impairment and remorse as mitigating factors; as aggravating factors,
we considered his pattern of misconduct, significant legal experience, dishonest motive,
22
Syl. Pt. 3, Comm. on Legal Ethics v. Walker, 178 W. Va. 150, 358 S.E.2d 234
(1987).
23
227 W. Va. 579, 587, 712 S.E.2d 488, 496 (2011).
28
and violation of this Court’s order related to a trustee’s inventory of his client files. 24
Similarly, in LDB v. Hardin, we suspended the lawyer’s license for two years for
disobeying discovery orders, missing hearings, and ignoring circuit court sanctions. 25 To
determine the appropriate discipline, we considered as mitigating factors the lawyer’s clean
disciplinary record, lack of dishonest motives, and remorseful conduct; we considered no
aggravating factors. 26
Respondent’s conduct compares to the lawyers’ conduct in Grafton and
Hardin. Like the lawyer in Grafton, Respondent knowingly ignored communications from
his clients and the ODC. Like the lawyer in Hardin, Respondent knowingly violated
several court orders and failed to represent his clients diligently. In both cases, we imposed
two-year, active suspensions after considering mitigating evidence; in Hardin we
suspended the lawyer without finding any aggravating circumstances. We recognize that
“[t]here is no ‘magic formula’ for this Court to determine how to weigh the host of
mitigating and aggravating circumstances to arrive at an appropriate sanction . . . .”27 But
given our previous decisions and the countervailing aggravating factors present in this case,
24
Id.
25
217 W. Va. 659, 661, 619 S.E.2d 172, 174 (2005) (per curiam).
26
Id.
27
LDB v. Sirk, 240 W. Va. 274, 282, 810 S.E.2d 276, 284 (2018).
29
we find that Respondent’s mental impairment and other mitigating factors reduce his
sanction to an active, two-year suspension, among other sanctions. The HPS’s suggestion
that his mental impairment mitigated the sanction to no active suspension is not consistent
with our precedent. And without imposing substantial consequences, we fail to deter
similar attorney misconduct or restore confidence in the profession.
IV. CONCLUSION
For the above reasons, we impose the following sanctions: (1) we suspend
Respondent’s law license for two years; (2) we refer Respondent to the WVJLAP for
evaluation, treatment recommendation, and monitoring, if deemed necessary, and
reinstatement shall be conditioned on full compliance with any such recommendations 28;
(3) as a condition of reinstatement, Respondent must demonstrate that he has satisfied and
paid in full pay any outstanding sanctions, penalties, or obligations owed to any tribunal in
28
While we include this condition as a sanction, we do not intend it as punishment.
The WVJLAP’s purposes align with the objectives to protect the public, and we believe it
possesses resources to aid Respondent’s continued recovery from his mental impairment.
Indeed, this Court established the WVJLAP for, among other things, the following
purposes:
(1) To protect the interests of clients and the general
public from harm caused by impaired members of the legal
profession; [and]
(2) To assist impaired members of the legal profession
to begin and continue recovery[.]
R. W. Va. Jud. and Law. Assist. Program 1(b)(1)-(2).
30
this State and all expenses related to the underlying disciplinary proceedings; and (4) if
reinstated, Respondent shall maintain $1,000,000 in professional malpractice insurance,
per claim, and in the aggregate.
Law license suspended and other sanctions imposed.
31