(dissenting). Ernest Early Green was convicted of first-degree murder.1 The questions *300presented are: 1) Whether a prosecutor violates DR 7-104(A)(l) of the Code of Professional Responsibility in obtaining a statement from a defendant represented by a lawyer, during a conversation initiated by the defendant, without the advice, consent or presence of his lawyer; 2) If so, whether the statement should have been suppressed.
The Court of Appeals ruled that the prosecutor violated the rule but that suppression was not justified, one judge dissenting. This Court affirms.
We all agree that the rule was violated and that it is applicable in criminal as well as in civil cases. We disagree whether the statement should be suppressed.
The rule provides:
*301"During the course of his representation of a client a lawyer shall not:
"(1) Communicate or cause another to communicate on the subject of the representation with a party he knows to be represented by a lawyer in that matter unless he has the prior consent of the lawyer representing such other party or is authorized by law to do so.” Code of Professional Responsibility, DR 7-104(A)(l).
The prohibition of any communication with an adverse party represented by a lawyer makes irrelevant who sought the interview.
It is well-established in Michigan that old Canon 9,2 the forerunner of DR 7-104(A)(1), prohibited a prosecutor from interviewing a defendant without first obtaining the consent of his lawyer, even if the defendant requested the interview.3
A primary purpose of the rule is to protect *302persons represented by a lawyer from harming their cases by “statements to opposing lawyers. Only suppression of a statement obtained in violation of the rule will vindicate that interest which the rule was designed to protect. This is as true in criminal as civil cases. Disciplinary proceedings against a lawyer who violates the rule will not undo the harm done another lawyer’s client by violation of the rule.
I
The concept that persons are benefited by retention of and active representation by a lawyer is deeply ingrained in our legal system. The status we afford this belief is most evident in the development of the Sixth Amendment right to counsel in criminal proceedings.4
While many courts have ruled that a defendant who is represented by a lawyer may be deemed to have waived his lawyer’s assistance by waiving his Miranda rights,5 other courts, on the authority of the Supreme Court’s summary reversal in McLeod v Ohio, 381 US 356; 85 S Ct 1556; 14 L Ed 2d 682 (1965), have adopted a per se rule forbidding inter*303rogation of a defendant represented by a lawyer in his absence once adversary proceedings have commenced.6
Still other courts have indicated that the Sixth Amendment right to counsel can be waived by a represented individual, but that being read a standardized form of Miranda rights does not provide the necessary information for an intelligent and understanding waiver.7 The standardized form of Miranda rights states:
"You have a right to talk to a lawyer before answering any questions and you have the right to have a lawyer present with you while you are answering these questions. If you cannot afford to hire a lawyer, one will be appointed to represent you before any questions if you wish one.”
A pro forma offer to appoint a lawyer for a defendant who already has one indicates that advice in that form is perfunctory and inappropriate.8 These courts, stressing the Supreme Court’s statement in Brewer v Williams, 430 US 387, 404; 97 S Ct 1232; 51 L Ed 2d 424 (1977), "[t]his strict standard applies equally to an alleged waiver of the right to *304counsel whether at trial or at a critical stage of pretrial proceedings”, require an in-depth inquiry similar to that made when a defendant waives assistance of counsel at trial. "[The defendant] should be made aware of the dangers and disadvantages of self-representation, so that the record will establish that 'he knows what he is doing and his choice is made with eyes open’. Adams v United States ex rel McCann, 317 US [269,] 279 [63 S Ct 236; 87 L Ed 268; 143 ALR 435 (1942)].” Faretta v California, 422 US 806, 835; 95 S Ct 2525; 45 L Ed 2d 562 (1975).9 Adherents to this position would minimally require explanation to the defendant of the nature of the charges against him, the range of possible punishments, and how a lawyer can assist him.
This on-going constitutional debate reflects the high importance many attach to protecting a litigant, not only from the approaches of his adversary’s lawyer, but from the folly of his own well-meaning initiatives and the generally unfortunate consequences of his ignorance. The same concept is reflected in DR 7-104(A)(l).10
II
The lead opinion states that the Code of Professional Responsibility and the Disciplinary Rules are designed to protect "attorney[s]”, the "proper functioning of the legal system” and "the public”. *305The opinion avoids acknowledging that any citizen, any plaintiff, any defendant, any individual human being who is not a lawyer has an interest protected by the code. Having failed to acknowledge that anyone other than a lawyer has a protected interest, it need not come to grips with the effective protection of that interest.
A primary purpose of the rule is to "shield the adverse party”, not, as the lead opinion states, the "adverse party’s attorney”:
"The reasons for such a prohibition are equally clear. They arise out of the nature of the relation of attorney and client and are equally imperative in the right and interest of the adverse party and of his attorney. To preserve the proper functioning of the legal profession as well as to shield the adverse party from improper approaches the Canon is wise and beneficent and should be obeyed.” ABA Committee on Professional Ethics, Formal Opinion 108 (1934) (emphasis supplied).
The emphasis on the protection of people goes beyond abstract concerns about the public reputation of the bar and general harm to society; the code recognizes that individuals can be concretely harmed by violations of ethical standards. This is a recurrent theme throughout the code and the opinions of the ABA committee.11
*306The public is not an abstract entity; it consists of individuals who are the intended beneficiaries of the Court’s actions in regulating the conduct of the bar. It would be anomalous for the Court to claim to be acting for the "protection of the public” and in the interest of "the administration of justice” and then refuse in individual cases to assure that particular persons are not harmed by unethical practices; the Court cannot protect the public except by protecting individuals.
The code’s purpose of protecting individuals from becoming the victims of unethical behavior has led courts to assume an active role in its enforcement, going beyond mere review of disciplinary proceedings that may reach the courts. Rather than sit by and await possible disciplinary proceedings, the courts have exercised their supervisory power in particular cases to undo the damage caused individual human beings.
Courts have required counsel, on the authority of the disciplinary rules and canons,12 to choose *307between withdrawing from the case and having his otherwise admissible testimony on behalf of his client barred. This has been required not only in civil,13 but also in criminal cases where the rule has been applied to both defense14 and prosecuting attorneys.15
Courts have also acted pursuant to the disciplinary rules and canons, in both civil and criminal cases, to protect a former client when his lawyer subsequently represents an adverse interest.16 Law*308yers have been disqualified in such circumstances,17 and judgments in favor of the lawyer’s new client have been reversed when necessary to protect effectively the interests of the former client.18
*309In criminal cases, courts have found the Code of Professional Responsibility an independent basis for disqualifying a prosecutor from handling a case because of a personal or other relationship with the accused making it inappropriate for him to prosecute.19 Also, indictments have been quashed or dismissed, and convictions reversed or habeas corpus relief granted.20
Recently, in In re April 1977 Grand Jury Subpoenas, 573 F2d 936 (CA 6, 1978), a panel of the United States Court of Appeals for the Sixth Circuit found that the Attorney General’s appointment of an Internal Revenue Service lawyer to conduct a grand jury investigation of General Motors was violative of Canon 9 of the Code of *310Professional Responsibility. The panel stated that the IRS lawyer who had conducted a civil investigation of General Motors had
"been placed in a conflicting and intolerable position.
"[T]he function of the prosecutor * * * is also to protect citizens against unfounded criminal prosecution.
"In the present case the worry of GM is that [the IRS lawyer] has an axe to grind and is more interested in justifying his previous investigations, his recommendations, and the conduct of IRS agents than in protecting GM against unfounded criminal prosecution.” Id., p 943.
While the Sixth Circuit en banc reversed the panel’s opinion on the procedural ground that certification of the appeal was improvident,21 what is relevant for present purposes is the relief that the Sixth Circuit panel deemed appropriate. The panel ordered that the cause be remanded "with instructions to terminate the grand jury investigation as invalid, and to enter necessary protective orders relative to the use of the grand jury information". Id., p 945 (emphasis supplied).
The Court of Appeals, in In re Karabatian’s Estate, 17 Mich App 541, 546-547; 170 NW2d 166 (1969), held that a lawyer who drafted a will under which he was a substantial beneficiary was without standing to contest a later will: "[Apparently warnings do not suffice. If an attorney’s conduct so violates the spirit of the lawyer’s code of ethics, it also runs contrary to the public policy of this state. The bequest to contestant being void, he has no standing to contest the later will.” (Emphasis supplied.)
One theme runs through the varied factual cir*311cumstances and results of these cases: courts do not rely on disciplinary proceedings alone to effectuate the purposes of the Code of Professional Responsibility.22 They will do what is necessary to undo the results of unethical behavior and thereby protect individuals who may have been harmed by such behavior.
Ill
I have not found a single civil case in any jurisdiction in which a court has suggested that disciplinary proceedings are the only appropriate and available "remedy” for a party who has been directly harmed by conduct violative of DR 7-104(A)(1). In civil cases, the courts have acted to protect individuals who would otherwise have been victimized by violations of the rule.23
*312DR 7-104(A)(1)’s prohibitions apply equally in criminal and civil cases. There is no principled basis for enforcing the rule in civil, but not criminal, cases. Since the stakes in criminal cases are generally higher, and incarceration tends to put defendants under pressure to seek out the prosecutorial authorities in a generally hapless effort to extricate themselves,24 the need for protecting defendants in criminal cases is most compelling. Both the Michigan and ABA ethics committees have refused to draw any distinction between violations of the rule in criminal and civil cases.25
*313The heart of the matter is that if the rule’s purpose of protecting people is to be achieved, evidence obtained in violation of the rule must be suppressed. Disciplinary proceedings against a prosecuting attorney do not undo the harm caused an individual who otherwise might not have been convicted.
Further, it is uncertain what, if any, grievance action will be taken. It will often be left to the defendant or his attorney to report ethical violations and initiate disciplinary proceedings. It flies in the face of reason to expect a defendant to risk a prosecutor’s actual or imagined displeasure by instituting proceedings that cannot directly benefit him. The defendant may not unreasonably believe such action will adversely affect his case in subsequent proceedings at the trial, on appeal or at a retrial following an appeal, or his later chances for parole.
It is unlikely that a defendant has any cause of action for damages against a prosecutor.26 Even if a defendant has such a remedy, few will think that a loss of liberty can be adequately compensated, especially, as here, where the defendant has been imprisoned for life.
In McAvoy v H B Sherman Co, 401 Mich 419; 258 NW2d 414 (1977), this Court recognized the need for providing effective remedies. The Court *314sustained the action of the Worker’s Compensation Appeal Board in dismissing employer appeals for violation of a statute requiring payment during an employer’s appeal to a claimant of 70% of the weekly benefit rate ordered by a hearing referee. The statute did not explicitly require or authorize dismissal. Other remedies might have been employed, such as entry of an immediately enforceable monetary judgment. This Court held, however, that the purposes of the statute would be rendered meaningless unless the board could dismiss the appeals of those who violated the statute.
In the instant case the only meaningful remedy is suppression of the unethically obtained evidence. The Court cannot justify promulgation of DR 7-104(A)(l), designed to protect people, often from themselves, but, when actual abuse occurs, failure to enforce that protection in a meaningful manner.
An excuse is sometimes offered that the overriding importance of disclosing the truth justifies a court’s failure to suppress illicitly obtained evidence. But our legal system operates on the principle that the goal is the ascertainment of truth within the limitations imposed by law. Lawyers— prosecutors especially — play an important role in the administration of justice and thus the Code of Professional Responsibility regulating their conduct in relation to those who encounter the system is part of the very fabric of the law. There can be no ordered system of law if those for whose protection the code has been promulgated are not effectively protected from harm caused by its violation. No lawyer should be permitted to advance his client’s cause with evidence obtained from another lawyer’s client in violation of a rule designed as a safeguard against that very violation.
*315Courts have suppressed evidence in criminal cases where a violation of DR 7-104(A)(l) has occurred.
In United States v Thomas, 474 F2d 110, 112 (CA 10, 1973), a written statement was obtained from the defendant in the absence of and without the knowledge of his lawyer. The statement was obtained at an interview requested by the defendant at which he read and signed a Miranda-type waiver of rights form. The Court held that the ethical violation required suppression of the statement:
"[O]nce a criminal defendant has either retained an attorney or had an attorney appointed for him by the court, any statement obtained by interview from such defendant may not be offered in evidence for any purpose unless the accused’s attorney was notified of the interview which produced the statement and was given a reasonable opportunity to be present. To hold otherwise, we think, would be to overlook conduct which violated both the letter and the spirit of the Canons of Ethics. This is obviously not something which the defendant alone can waive.” (Emphasis supplied.)
The New York Court of Appeals in People v Hobson, 39 NY2d 479; 384 NYS2d 419; 348 NE2d 894 (1976), held that New York’s constitutional protections27 prevented a defendant in custody, represented by a lawyer, from waiving his right to counsel in the absence of his lawyer. The Court said that apart from the constitutional violation, the statements should have been excluded under the Code of Professional Responsibility:
*316"Moreover, an attempt to secure a waiver of the right of counsel in a criminal proceeding in the absence of a lawyer, already retained or assigned, would constitute a breach of professional ethics, as it would be in the least-consequential civil matter (see ABA Code of Professional Responsibility, DR 7-104, subd [A][l]) * * *. Since the Code of Professional Responsibility is applicable, it would be grossly incongruous for the courts to blink its violation in a criminal matter. ” Id., pp 484-485.
The Court then explained why it is important to enforce DR 7-104(A)(1):
"[T]he principle is not so much, important as that is, to preserve the civilized decencies, but to protect the individual, often ignorant and uneducated, and always in fear, when faced with the coercive police power of the State. The right to the continued advice of a lawyer, already retained or assigned, is his real protection against an abuse of power by the organized State. It is more important than the preinterrogation warnings given to defendants in custody. These warnings often provide only a feeble opportunity to obtain a lawyer, because the suspect or accused is required to determine his need, unadvised by anyone who has his interests at heart. The danger is not only the risk of unwise waivers of the privilege against self incrimination and of the right to counsel, but the more significant risk of inaccurate, sometimes false, and inevitably incomplete descriptions of the events described.” Id., p 485 (emphasis supplied).28
*317IV
I do not believe that the Court intends to circumscribe its powers to the extent that it cannot enforce the Code of Professional Responsibility except through disciplinary proceedings. Just a year ago, in Smith v Arc-Mation, Inc, 402 Mich 115; 261 NW2d 713 (1978), the Court indicated its willingness to enforce the canons in individual cases. Although we found no violation of the canons warranting the attorney’s disqualification, *318there was no hint that a court could not act in cases before it but must await disciplinary proceedings.
Adoption of such a limiting rule of law might prevent, for example, a court granting relief to an individual charged an excessive contingent fee in violation of GCR 1963, 928, adopted pursuant to the same supervisory authority as the Code of Professional Responsibility. The Court surely does not intend such far-reaching results and yet they are implicit in a holding that disciplinary proceedings are the only proper remedy for violations of Court-promulgated standards.
If the Court chooses later to avoid such results by holding that the code is enforceable in civil cases but not in criminal cases, or in some criminal cases but not first-degree murder cases, it will, I think, be extremely difficult to advance a principled basis for such a distinction.
DR 7-104(A)(l) was violated in this case. As a result, the prosecutor who violated the rule obtained statements he might not otherwise have obtained which were used against Green. DR 7-104(A)(1) is designed to protect people, not abstractions. This Court should effectuate that protection in the only way which would be meaningful in this case — by reversing Green’s conviction and ordering a new trial at which his statement would be suppressed.
On October 19, 1974 Phyllis McPhail left her home, accompanied by her six-month-old son, to get some milk at a market in Pontiac. When she failed to return, her husband went to look for her and found her car in the market parking lot with the milk and keys in it and the little boy asleep. The police were called. Two days later her body was found floating in a river approximately one mile from the market. An autopsy established that she had died from shock apd hemorrhage due to penetrating wounds of the heart and lung.
On October 24, 1974 Green was arrested and charged with the murder. Green was advised of his Miranda rights by a detective and questioned after he indicated that he waived them. Green denied knowledge of the murder. Four days later Green sent a message from the Oakland County Jail to the detective asking to speak with him about harassment by the jail guards. He visited Green that afternoon, advised him of his Miranda rights, and obtained a waiver. Green again denied having knowledge of the murder and gave the detective a detailed statement of his whereabouts that evening.
On October 31 counsel was appointed for Green.
On November 6 and 19 a preliminary examination was held, after which Green was bound over for trial. William Terry, Green’s homosexual lover until the day of his arrest, testified at the examination that he and Green had driven from Pontiac to Detroit and back on the night the crime was committed. Terry testified that when he and an acquaintance entered Green’s car to go to a party in Detroit, Green asked the acquaintance to hand him the coat lying on the back seat because "there [is] something in there that probably would be dangerous to him”. Terry further testified that upon their return to Pontiac, Green looked for something under the car seat, found a knife, indicated to Terry that he "had just killed his old lady” with the knife, and proceeded to detail the circumstances of the crime. Shortly after this conversation, according to Terry, he and Green entered another car with some friends who were taking one of the passengers home. Green asked the driver to take a detour that led past the market where Mrs. McPhail’s car was found so that he could "check out something”. As they drove past, Green said, "It’s gone.”
In November, 1974, Green again requested that the detective come *300to the jail. The detective and the assistant prosecuting attorney assigned to the case visited Green at the jail. After being advised of his Miranda rights Green indicated that he wished to talk to his lawyer before he talked to the detective.
On January 29, 1975, the detective and the assistant prosecuting attorney again came to the jail at Green’s request. They did not attempt- to communicate with Green’s attorney. The detective again advised Green of his Miranda rights. This time he waived his rights and said he wanted to discuss the case without his lawyer being there. The detective asked about the murder and Green proceeded to tell an exculpatory story about driving to a store on the night of the murder, meeting and giving a ride to a man who revealed a large knife and said something about "killing this bitch”, and later discovering that the man had slipped the knife under Green’s coat in the back seat of the car. He said he threw the knife into some bushes next to a restaurant parking lot in Detroit. He refused to identify the man he had allegedly met and given a ride to. At the completion of his statement, the assistant prosecuting attorney, who up to that point had only been taking notes, asked Green if he was telling the whole truth. Green said that he was.
Prior to trial a Walker hearing was held to determine the admissibility of Green’s statement of January 29. Green’s lawyer objected to admission of the statement on the grounds that it was obtained without granting Green his right to counsel and, specifically, without advising him prior to making his statements that the penalty for first-degree murder was mandatory life. The judge overruled the objection and the statements were introduced at trial.
Green was found guilty of first-degree murder and sentenced to serve the mandatory life term in prison.
"A lawyer should not in any way communicate upon the subject of controversy with a party represented by counsel; much less should he undertake to negotiate or compromise the matter with him, but should deal only with his counsel. It is incumbent upon the lawyer most particularly to avoid everything that may tend to mislead a party not represented by counsel, and he should not undertake to advise him as to the law.” Canons of Professional Ethics, Canon 9.
See Michigan State Bar Ethics Opinion 202, issued April 5, 1965 and approved by the Board of State Bar Commissioners November 18, 1966. The opinion is printed in 46 Mich St B J, No 5, pp 29-30 (1967), and in a special issue devoted to professional and judicial ethics, 57 Mich St B J, No 2A, pp 279-280 (1978).
The question, as stated in the opinion, is:
"The general counsel of the State Bar of Michigan inquires of the Committee concerning the ethical propriety of the interviewing of a defendant in a criminal case by a prosecuting authority without knowledge of his attorney. He notes that such usually arises in instances when a defendant himself has requested a private interview with the prosecutor without the knowledge or approval of his own counsel.”
The black letter response reads:
"It is unethical and improper for a prosecuting authority to interview a defendant in a criminal case without the knowledge and consent of his attorney of record.”
By informal opinion dated June 16, 1978, the Michigan committee ruled:
"An attorney for a defendant in a paternity suit may not communi*302cate with the plaintiff who is represented by a prosecuting attorney without first having obtained prior consent of the prosecuting attorney.” Informal Ethics Opinion CI-356, 57 Mich St B J 733 (1978).
See, e.g., Massiah v United States, 377 US 201; 84 S Ct 1199; 12 L Ed 2d 246 (1964); United States v Wade, 388 US 218; 87 S Ct 1926; 18 L Ed 2d 1149 (1967); Brewer v Williams, 430 US 387; 97 S Ct 1232; 51 L Ed 2d 424 (1977), reh den 431 US 925 (1977).
See, e.g., Moore v Wolff, 495 F2d 35 (CA 8, 1974); Coughlan v United States, 391 F2d 371 (CA 9, 1968); Arrington v Maxwell, 409 F2d 849 (CA 6, 1969); United States v Dority, 487 F2d 846 (CA 6, 1973); United States v Reynolds, 496 F2d 158 (CA 6, 1974); United States v De Loy, 421 F2d 900 (CA 5, 1970); Wilson v United States, 398 F2d 331 (CA 5, 1968), cert den 393 US 1069 (1969); United States v Springer, 460 F2d 1344 (CA 7, 1972), cert den 409 US 873 (1972); United States v Crisp, 435 F2d 354 (CA 7, 1971), cert den 402 US 947 (1971); United States v Crook, 502 F2d 1378 (CA 3, 1974); United States v Brown, 569 F2d 236 (CA 5, 1978).
See, e.g., United States v Durham, 475 F2d 208 (CA 7, 1973); United States ex rel O’Connor v New Jersey, 405 F2d 632 (CA 3, 1969), cert den sub nom Yeager v O’Connor, 395 US 923 (1969); United States v Smith, 379 F2d 628, 633 (CA 7, 1967), cert den 389 US 993 (1967); Hancock v White, 378 F2d 479 (CA 1, 1967). The Court in Brewer v Williams, supra, p 405, declined to decide whether the right to counsel could be waived without notice to counsel.
See Schantz v Eyman, 418 F2d 11 (CA 9, 1969); United States v Carlson, 423 F2d 431 (CA 9, 1970); United States v Satterfield, 417 F Supp 293 (SD NY, 1976), aff’d 558 F2d 655 (CA 2, 1976); United States v Miller, 432 F Supp 382 (ED NY, 1977); United States ex rel Lopez v Zelker, 344 F Supp 1050 (SD NY, 1972), aff'd 465 F2d 1405 (CA 2, 1972), cert den 409 US 1049 (1972); United States v Praetorius, 457 F Supp 329 (ED NY, 1978); Coughlan v United States, fn 5 supra (Hamley, J., dissenting); United States v Brown, fn 5 supra (Simpson, J., dissenting).
See United States ex rel Lopez v Zelker, supra, p 1054.
See People v Anderson, 398 Mich 361; 247 NW2d 857 (1976).
"[T]he same considerations of fairness that underline the concept of due process suggest that if a party does have a lawyer, that lawyer should be present during questioning of his client by an opposing attorney. DR 7-104 * * *, accordingly, protects a party against himself by ensuring that contacts with opposing attorneys will take place only through the party’s own counsel or in his presence.” Note, DR 7-104 of the Code of Professional Responsibility Applied to the Government "Party”, 61 Minn L Rev 1007, 1012 (1977).
In holding that it is improper for a prosecuting attorney to represent in a subsequent civil action one of the parties involved in an automobile accident which he had investigated in his official capacity, the committee said:
"The investigation of the prosecutor was ostensibly in the exercise of official authority; information was obtained from persons, who may have felt, quite naturally, under a sense of coercion or respect for actual or supposed power. The person later sued as a tortfeasor may thus have disclosed facts inimical to his best interests in a civil action. Unsuspecting, unshielded, and at serious disadvantage, he submitted to interrogation by one who later, as opposing counsel in a civil action, might use the knowledge thus acquired against him.
"Such approaches by an attorney in private practice are improper; they are calculated to mislead to his prejudice a party not repre*306sented by counsel, contrary to the provisions of Canon 9. The wisdom of this Canon is emphasized in Opinion 108.
“If the lawyer making the approach does so under sanction or color of official power, he thereby more certainly disqualifies himself from later participation as counsel in any civil litigation having its basis in or connected with the occurrence previously investigated as to its potential criminal aspects.” ABA Committee on Professional Ethics, Formal Opinion 135 (1935) (emphasis supplied).
See, also, Formal Opinion 95 (1933).
"A lawyer shall not accept employment in contemplated or pending litigation if he knows or it is obvious that he or a lawyer in his firm ought to be called as a witness, except that he may undertake the employment and he or a lawyer in his firm may testify:
"(1) If the testimony will relate solely to an uncontested matter.
“(2) If the testimony will relate solely to a matter of formality and there is no reason to believe that substantial evidence will be offered in opposition to the testimony.
"(3) If the testimony will relate solely to the nature and value of legal services rendered in the case by the lawyer or his firm to the client.
"(4) As to any matter, if refusal would work a substantial hardship *307on the client because of the distinctive value of the lawyer or his firm as counsel in the particular case.” DR 5-101(B).
See Anno: Attorney as Witness for Client in Federal Case, 9 ALR Fed 500; see, e.g., Christensen v United States, 90 F2d 152 (CA 7, 1937); United States v Clancy, 276 F2d 617 (CA 7, 1960), rev’d on other grounds 365 US 312; 81 S Ct 645; 5 L Ed 2d 574 (1961); United States v Porter, 139 US App DC 19; 429 F2d 203 (1970); United States v Buckhanon, 505 F2d 1079 (CA 8, 1974); United States v Phillips, 519 F2d 48 (CA 5, 1975), cert den 423 US 1059 (1976).
See Anno: Defense Counsel as Witness, 52 ALR3d 887. See, e.g., People v Smith, 13 Cal App 3d 897; 91 Cal Rptr 786 (1970); Fish v Commonwealth, 208 Va 761; 160 SE2d 576 (1968); People v Kuczynski, 23 Ill 2d 320; 178 NE2d 294 (1961); State v Bechtelheimer, 151 Kans 582; 100 P2d 657 (1940); People v Attaway, 41 Ill App 3d 837; 354 NE2d 448 (1976); State v Anonymous (1973-6), 30 Conn Supp 211; 309 A2d 135 (Superior Ct, 1973); People v Stratton, 64 Mich App 349; 235 NW2d 778 (1975); People v Johnson, 46 Mich App 212; 207 NW2d 914 (1973).
See Anno: Prosecuting Attorney as Witness, 54 ALR3d 100. See, e.g., State v McCuistion, 88 NM 94; 537 P2d 702 (Ct App, 1975); State v Hayes, 473 SW2d 688 (Mo, 1971); Wilkinson v People, 226 Ill 135; 80 NE 699 (1907); People v Schraeberg, 347 Ill 392; 179 NE 829 (1932); Adams v State, 202 Miss 68; 30 So 2d 593 (1947); State v Blydenburg, 135 Iowa 264; 112 NW 634 (1907).
"The comment may be made that an attorney’s misconduct is not so limited in its effect as to give rise only to questions involving the attorney’s professional status: the practice of law being, by its nature, representative, wrongful acts on the part of an attorney will inevitably touch upon the rights of his clients and of his adversaries.
"Thus, it may be noted that in at least one case it has been held that, where an attorney, in attaching a note, represented persons whose interests were adverse to those of a former client, the attachment was void as against public policy. See Malia v Giles, 100 Utah 562; 114 P2d 208 (1941).” Anno: Propriety and Effect of Attorney Representing Interest Adverse to that of Former Client, 52 ALR2d 1243, 1276 (emphasis supplied).
See, also, Anno: Representation of Conflicting Interests as Disqualifying Attorney From Acting in a Civil Case, 31 ALR3d 715, 720:
*308"Generally, it may be said that where an attorney represents two clients simultaneously and their interests are adverse, the court may disqualify him from appearing in the case * * *.”
See, e.g., Westinghouse Electric Corp v Kerr-McGee Corp, 580 F2d 1311 (CA 7, 1978); State v Latigue, 108 Ariz 521; 502 P2d 1340 (1972); Alpha Investment Co v Tacoma, 13 Wash App 532; 536 P2d 674 (1975); Wilson v Wahl, 182 Kans 532; 322 P2d 804 (1958); GAC Commercial Corp v Mahoney Typographers, Inc, 66 Mich App 186; 238 NW2d 575 (1975); State v Rizzo, 69 NJ 28; 350 A2d 225 (1975); Auseon v Reading Brass Co, 22 Mich App 505; 177 NW2d 662 (1970); Harmar Drive-In Theatre, Inc v Warner Bros Pictures, Inc, 239 F2d 555 (CA 2, 1956), reh den 241 F2d 937 (1957); Fullmer v Harper, 517 F2d 20 (CA 10, 1975); Wingilia v Ashman, 241 Mich 534; 217 NW 909 (1928).
In Emle Industries, Inc v Patentex, Inc, 478 F2d 562, 571, 575 (CA 2, 1973), the Court, on the basis of Canon 4 ("A lawyer should preserve the confidences and secrets of a client”), affirmed disqualification of a lawyer representing plaintiffs in patent litigation because of his previous representation of a part-owner of a defendant. Acknowledging that it is a serious step to deprive an individual of his choice of counsel and that some possibility of monopolization of the patent bar by the defendants existed, the court declared:
"The dynamics of litigation are far too subtle, the attorney’s role in that process is far too critical, and the public’s interest in the outcome is far too great to leave room for even the slightest doubt concerning the ethical propriety of a lawyer’s representation in a given case. These considerations require application of a strict prophylactic rule to prevent any possibility, however slight, that confidential information acquired from a client during a previous relationship may subsequently be used to the client’s disadvantage.
"* * * Nothing in the Code of Professional Responsibility or in the teaching of prior cases warrants such ethical relativity, for the Code, like its predecessor the Canons of Professional Ethics, 'set[s] up a high moral standard, akin to that applicable to a fiduciary. * * * Without firm judicial support, the Canons of Ethics would be only reverberating generalities’. Empire Linotype School, Inc v United States, 143 F Supp 627, 633 (SD NY, 1956).” (Emphasis added.)
See, e.g., Bugg v Chevron Chemical Co, 224 Ga 809; 165 SE2d 135 (1968); State v Burns, 322 SW2d 736 (Mo, 1959); People v Curry, 1 Ill App 3d 87; 272 NE2d 669 (1971); State v Chambers, 86 NM 383; 524 P2d 999 (Ct App, 1974); cert den 86 NM 372; 524 P2d 988 (1974); Sharplin v State, 330 So 2d 591 (Miss, 1976); Burkett v State, 131 Ga App 662; 206 SE2d 848 (1974); People v Kester, 33 Ill App 3d 262; 337 NE2d 44 (1975), aff'd 66 Ill 2d 162; 361 NE2d 569 (1977); State v *309Leigh, 178 Kans 549; 289 P2d 774 (1955); United States v Bishop, 90 F2d 65 (CA 6, 1937); Ward v State, 33 Okla Crim 182; 242 P 575 (1926); Baker v Farnsworth, 117 Neb 504; 221 NW 17 (1928); Tilley v King, 190 Ga 421; 9 SE2d 670 (1940).
See Anno: Disqualification of Prosecuting Attorney on Account of Relationship with Accused, 31 ALR3d 953. See, e.g., State v Leigh, 178 Kans 549; 289 P2d 774 (1955); State v Burns, 332 SW2d 736 (Mo, 1959); Corbin v Broadman, 6 Ariz App 436; 433 P2d 289 (1967); Young v State, 177 So 2d 345 (Fla App, 1965); State v Latigue, fn 17 supra; People v Rhymer, 32 Ill App 3d 431; 336 NE2d 203 (1975); State v Britton, — W Va —; 203 SE2d 462 (1974); Burkett v State, fn 18 supra; State v Chambers, fn 18 supra.
The California Supreme Court denied a writ to compel a trial court to permit a district attorney accused of a conflict of interest to prosecute a criminal charge. People v Superior Court of Contra Costa County, 19 Cal 3d 255; 137 Cal Rptr 476; 561 P2d 1164 (1977). The attorney general argued that the court could not disqualify the district attorney unless there would he a violation of "minimum due process standards”. Invoking the Rules of Professional Conduct and its supervisory power, the court affirmed the trial court’s order of disqualification. The court said:
"[I]f the trial court determines that a district attorney’s participation in the filing of a criminal complaint or the preliminary hearing on that complaint created a potential for bias or the appearance of a conflict of interest, it may conclude that defendant was not 'legally committed’ * * *. The Attorney General himself concedes the 'incongruity of ordering the district attorney removed from the prosecution but not setting aside the information filed by the district attorney.’ ” Id., p 263, fn 5.
Anno, fn 19 supra, 31 ALR3d 953, 984, 986.
584 F2d 1366 (CA 6, 1978).
The Ohio Supreme Court declared that disciplinary action against the violator is not the sole relief available in Cuyahoga County Board of Mental Retardation v Association of Cuyahoga County Teachers of the Trainable Retarded, 47 Ohio App 2d 28; 351 NE2d 777 (1975), arising under the Code of Judicial Conduct. The court ruled that the judge’s breach of the code rendered all of his actions null and void:
"In reaching this conclusion we begin with the fact that Rule IV of the Supreme Court Rules for the Government of the Bar of Ohio provides that the Canons of Judicial Ethics are 'binding’ upon all judicial officers of the state * * *.
"We are not persuaded that these 'mandatory’ and 'binding’ standards were intended to be empty admonitions which a trial judge could openly disregard subject only to retrospective disciplinary action against himself, with no effect upon the improper actions which the canons were designed to protect against. Rather, we find that the design and purpose of the Code was to impose a standard of conduct upon judges to which they must conform.” Id., pp 33-34.
In Mitton v State Bar of California, 71 Cal 2d 525; 78 Cal Rptr 649; 455 P2d 753 (1969), plaintiffs lawyer in an automobile accident case was accused of violating professional ethics by conferring with a defendant represented by a lawyer concerning defendant’s motion for a new trial after a jury verdict against her. It appears that with no notice given to defendant’s lawyer, plaintiffs lawyer in conjunction with defendant drew up a declaration stating that the motion for a new trial was without defendant’s consent and against her wishes. Defendant signed this declaration. The declaration was offered at the time the motion for new trial was set for hearing. The hearing judge *312not only called this incident to the attention of the state bar, but refused to accept or consider the declaration because defendant’s lawyer had not been notified or consulted.
'In Obser v Adelson, 96 NYS2d 817 (Sup Ct, 1949), aiFd 276 App Div 999; 95 NYS2d 757 (1950), a motion to suppress evidence was at issue. An action was brought on behalf of an infant injured as a result of alleged negligence. The infant’s father retained a lawyer who advised defendants of the infant’s claim. Defendants’ lawyer was also notified of the claim by plaintiffs lawyer. Subsequently, a representative of defendants’ lawyer obtained a statement from the infant’s mother. The court directed that the statement be "suppressed and that the defendants be not permitted to use the same for any purpose whatsoever.” Id., p 818.
See, also, Chilcutt v Baker, 355 SW2d 338 (Mo, St Louis Ct App, 1962).
Once a defendant has exercised his right to counsel, the question of waiver of his counsel’s assistance should not depend on the outcome of the "almost inevitable 'swearing contest’ over what happened behind the closed doors”. Kamisar, LaFave & Israel, Modern Criminal Procedure (4th ed), p 513. See, also, People v Hobson, 39 NY2d 479, 484-485; 384 NYS2d 419; 348 NE2d 894, 898 (1976); United States v Wade, 388 US 218, 229-231; 87 S Ct 1926; 18 L Ed 2d 1149 (1967); Commonwealth v Sparrow, 471 Pa 490, 514-515; 370 A2d 712, 725 (1977).
See fn 3, supra.
In Informal Opinion 1373 (1976) the ABA committee considered the propriety of a prosecuting attorney mailing a plea offer to both a defendant and his lawyer. The committee concluded:
"In the view of the committee, the sending of a copy of the offer to the defendant is unethical in that it violates DR 7-104(A)(l). * * *
"The committee had occasion recently in Informal Opinion 1348 to consider the rule in the context of a civil matter. The committee held that it was improper to send a copy of a settlement offer to the other party (the original going to the attorney) * * *. We see no valid *313reason for a different result in criminal matters. In fact, there are perhaps stronger policy considerations in criminal cases. A copy of a letter such as the sample furnished could have the effect of influencing a defendant to plead guilty to a crime for which no indictment might ever be returned. The defendant should have the advice of his counsel at hand when such an offer is transmitted to him.” (Emphasis supplied.)
Cf. Mallen & Levit, Legal Malpractice (1977), § 117; see, e.g., Merritt-Chapman & Scott Corp v Elgin Coal, Inc, 358 F Supp 17 (ED Tenn, 1972); Spencer v Burglass, 337 So 2d 596 (La App, 1976); Noble v Sears, Roebuck & Co, 33 Cal App 3d 654; 109 Cal Rptr 269 (1973); Tingle v Arnold, Cate & Allen, 129 Ga App 134; 199 SE2d 260 (1973).
The court identified the "State’s constitutional and statutory guarantees of the privilege against self-incrimination, the right to the assistance of counsel, and due process of law”. People v Hobson, supra, p 483. Michigan’s Constitution recognizes and protects the same values and interests. Const 1963, art 1, §§ 13, 17, 20.
In both Thomas and Hobson the statement was made to a police officer and the government’s lawyer was not present. The courts nevertheless concluded that the disciplinary rule had been violated, and that the statement should be suppressed. The rationale is that the police, after commencement of prosecution, are acting as investigators for the prosecutor. See ABA Opinion 95 and People v Patterson, 39 Mich App 467, 475; 198 NW2d 175 (1972) (Levin, P.J., dissenting).
See United States v Wedra, 343 F Supp 1183 (SD NY, 1972), where the defendant was questioned in the absence of and without the knowledge of his attorney. After being given Miranda warnings, the defendant was asked if he cared to make a statement. He replied in the negative, but did answer a series of questions. Defendant sought *317to suppress the answers, which the government contended were falsely exculpatory. The court suppressed, finding that defendant did not waive his constitutional right to counsel and to remain silent. The court offered as an independent ground ("[e]ntirely apart”) its supervisory power to suppress statements unethically obtained. After referring to old Canon 9 and the Code of Professional Responsibility, Ethical Consideration 7-18 and DR 7-104, the court said:
"I see little point in well-intentioned utterances denouncing in-custody interrogation of an accused person known to be represented by counsel without affording counsel an opportunity to be present, or in condemning prosecuting attorneys who take part in such interrogation in violation of professional ethics and then allowing the government to become the beneficiary of the condemned conduct. The only effective way to terminate this unfair and at times unethical practice is to prohibit the government from using its illicit fruits.” Id., pp 1188-1189.
See, also, United States v Brown, fn 5 supra (Simpson, J., dissenting); Coughlan v United States, fn 5 supra (Hamley, J., dissenting).
See, also, United States v Springer, fn 5 supra; and United States v Smith, fn 6 supra, where the courts recognized that they had the authority to exclude evidence obtained in violation of old Canon 9 but chose not to.
But see Reinke v United States, 405 F2d 228 (CA 9, 1968); State v Yatman, 320 So 2d 401 (Fla App, 1975); State v McConnell, 529 SW2d 185 (Mo App, 1975). In State v Richmond, 114 Ariz 186; 560 P2d 41 (1976), cert den 433 US 915 (1977); and State v Nicholson, 77 Wash 2d 415; 463 P2d 633 (1969), the courts refused in criminal cases to suppress unethically obtained evidence, finding that DR 7-104 is designed to afford protection only to civil litigants. In United States v Crook, fn 5 supra, the court held that it was precluded from exercising its supervisory power to exclude evidence unethically obtained in a criminal case by the Omnibus Crime Control and Safe Streets Act of 1968, PL 90-351; 18 USC 3501(a), which provides that "[i]f the trial judge determines that the confession was voluntarily made it shall be admitted in evidence * * *”.