delivered the opinion of the court
in which PHILLIPS, Chief Justice, and GONZALEZ, CORNYN, SPECTOR, OWEN and ABBOTT, Justices, joined.Two questions are raised by this original mandamus proceeding. One is whether a *124lawyer is disqualified from representing plaintiffs in a lawsuit against a corporation if another lawyer in the same firm, who, while retained by the corporation to represent an ex-employee in matters substantially related to the lawsuit, received from the corporation information that he is obliged to treat as confidential. The other is whether, in the circumstances before us, the lawsuit against the corporation is adverse to the ex-employee though he is not named as a party. The district court answered both questions no. We disagree with the district court on a question of law and thus conclude that rela-tors are entitled to relief by mandamus.
I
National Medical Enterprises, Incorporated, Psychiatric Institutes of America, Incorporated, and other related entities, to which we refer collectively as NME, have for several years been targets of criminal investigations and defendants in civil lawsuits arising out of their operation of more than seventy psychiatric hospitals in Texas and across the United States. Broadly speaking, the accusations against NME have been that it mistreated psychiatric patients and defrauded their insurers, public and private, to obtain payment for treatment without medical justification. These charges, and the numerous criminal and civil cases they have spawned, have drawn widespread publicity. Psychiatric Institutes has pleaded guilty to federal criminal charges.
A corporation acts only through its human agents, but its liability for their misconduct does not absolve the agents from individual liability. The employees and former employees of NME who were involved in its alleged misconduct have faced the threat of personal liability, creating the potential for conflicts of interest between one employee and another, and between them and NME. For example, a former NME employee facing criminal indictment might choose, in exchange for immunity or a recommendation of leniency, to cooperate with law enforcement authorities, contrary to NME’s interests or those of former co-workers. For persons in such circumstances, NME retained independent counsel to represent them at NME’s expense, something not uncommon for employers in similar situations.
NME retained Ed Tomko, then with the law firm of Doke & Riley and later with the firm of Baker & Botts, to represent Ronald L. Cronen, who had been NME’s regional administrator for Texas for eleven months before he left its employ, and who had previously been the administrator of a NME hospital in Texas. Tomko advised Cronen concerning criminal investigations into NME’s activities and discovery in various related civil lawsuits. At the time Cronen’s employment with NME terminated, he stated to NME under oath that he had not been involved in any wrongdoing. He has steadfastly maintained this position since, as have Tomko and Baker & Botts. Cronen has never been indicted and has never received a letter from law enforcement authorities stating that he was a target of investigation, but he has received information from time to time indicating that he was, and still is, within the scope of such investigations. Cronen’s present attorney — not Tomko — testified:
I have had numerous conversations with government agents and government attorneys regarding the scope of their investigation. The scope of the investigation is extremely broad, encompassing all aspects of [NME’s] psychiatric hospital business including patient admission, billing, treatment and discharge and inducements to referral sources. Ron Cronen is considered to be a “target” of the investigation. Ron Cronen is at risk in the investigation by virtue of his position alone.
Cronen’s immediate predecessor as Texas regional administrator, Peter Alexis, was indicted and pleaded guilty to federal criminal charges. Cronen was named a defendant in at least thirty-three civil lawsuits, but in each case the claims against him were dismissed. Tomko and Baker & Botts never represented Cronen in any lawsuit. No judgment has ever been rendered against Cronen, and he has never paid money to settle any claim, based upon his employment with NME.
NME also retained Tomko to provide legal counsel on similar matters to Dr. James Wi-coff, formerly the Medical Director of NME’s hospital in San Antonio. Wieoff, like Cronen, *125was named as a defendant in several civil proceedings and was the subject of a federal grand jury investigation, but it does not appear that a judgment was ever rendered against him or that he was ever indicted.
Tomko represented Cronen and Wicoff for about a year. For the first seven months, before he joined Baker & Botts, he billed NME about $18,000 for his work. For the last five months he billed only about $700. Whether Tomko’s work was sensitive in nature or significant in the scheme of things is disputed. What is undisputed, however, is that while Tomko represented Cronen and Wicoff he received confidential information not only from them but from NME as well in conferences and meetings at which a joint defense was discussed. Tomko has expressed doubt about whether the information was of much importance and whether it has not since been made public in all the various legal proceedings, but he has not denied that he has information from NME and Cronen that remains confidential. To the contrary, he has taken pains to prevent every lawyer at Baker & Botts, other than those assisting him, from obtaining any access to such information.
Tomko’s discourse with NME, its employees and former employees, and their counsel was subject to a written joint defense agreement. (Although Cronen never signed the agreement, Tomko and Wicoff did, and Cro-nen and NME acknowledge that the same agreement applied to them.) By signing the agreement, Tomko agreed with NME and others who were parties to the following:
1. Unless expressly stated in writing to the contrary, any communications between or among any of the client members and/or the attorney members concerning the [investigations and litigation involving NME] are confidential and are protected from disclosure to any third party by the joint defense privilege, the attorney-client privilege and the work product doctrine.
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3. None of the information obtained by any client member or attorney member pursuant to this agreement shall be disclosed to any third party without the consent of the attorney member who disclosed the information in the first instance.
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6. Each client member understands and acknowledges ... that he or she is represented only by his or her own attorney in this matter; that while the attorneys representing the other members have a duty to preserve the confidences disclosed to them pursuant to this agreement, they will not be acting as his or her attorney in this matter; and that the attorney representing the other client members will owe a duty of loyalty to their own respective clients only. Each client member further understands and acknowledges that the attorney members representing other client members have the right, and may well have the obligation, to take actions against his or her own interest....
Over NME’s objections, Tomko and Baker & Botts withdrew from representing Cronen and Wicoff for reasons that have no bearing on any matter now before us. About seventeen months later, Baker & Botts lawyers who had not been involved in representing Cronen and Wicoff filed suit against NME on behalf of a large number of former patients at NME’s psychiatric hospitals. Kelly A, et al. v. National Medical Enterprises, Inc., et al., No. 94-10808 (160th D.Ct., Dallas County, Texas, filed Oct. 17, 1994). The current petition names more than ninety plaintiffs and summarizes their allegations as follows:
As a result of a fraudulent, illegal scheme devised and executed by the Defendants, Plaintiffs were lured or forced to psychiatric treatment centers operated for profit by the -Defendants. Once confined there, Plaintiffs, mainly adolescents and children, some as young as six years old, were subjected to outrageous physical and mental abuse by Defendants....
Defendants were motivated — not by a desire to provide competent and appropriate psychiatric care to Plaintiffs — but by greed. They typically admitted only patients who were well-insured and only for as long as their insurance lasted. By manipulating diagnoses and paying kickbacks to a network of referral doctors, Defendants were able to force Plaintiffs’ confine*126ment in psychiatric hospitals and reap the reward of insurance benefits when there was no legitimate medical justification for such confinement. Defendants collected hundreds of millions of dollars from insurance companies duped into subsidizing services Defendants claimed to have provided and from taxpayers through fraudulent Medicare reimbursements. Defendants’ unconscionable conduct and the greed that motivated [them] only recently have been exposed by Congress, state legislatures, law enforcement authorities and courts. In connection with the activities that are the subject matter of this lawsuit, Defendants have plead guilty to federal criminal charges of conspiracy and fraud and have admitted paying kickbacks in exchange for patient referrals. This lawsuit seeks recover of actual and exemplary damages for the children and the adults directly victimized by Defendants’ outrageous conduct.
Plaintiffs’ Second Amended Petition at 2-4.
At least twenty-one plaintiffs were patients in NME’s hospitals in its Texas region while Cronen was regional administrator. One plaintiff was a patient in a NME hospital while Cronen was administrator there. Cro-nen is not named as a defendant in the case because, according to Baker & Botts, there is no basis for asserting that Cronen has any liability to plaintiffs. Baker & Botts asserts that no plaintiff knows Cronen or ever dealt with him. However, Cronen’s immediate predecessor as regional administrator, Peter Alexis, is named as a defendant. (Wicoff was never involved in the operation of any of the hospitals in which plaintiffs were admitted, and he is not named as a party in the suit.)
NME moved almost immediately to disqualify Baker & Botts from representing plaintiffs on the ground that Tomko possessed information obtained from NME that he was obliged to treat as confidential and to which all Baker & Botts lawyers must be presumed to have access. Although plaintiffs did not sue Cronen, he nevertheless intervened to file his own motion to disqualify Baker & Botts on the ground that its representation of plaintiffs violated Rule 1.09 of the Texas Disciplinary Rules of Professional Conduct, which states in pertinent part:
(a) Without prior consent, a lawyer who personally has formerly represented a client in a matter shall not thereafter represent another person in a matter adverse to the former client:
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(2) if the representation in reasonable probability will involve a violation of Rule 1.05; or
(3) if it is the same or a substantially related matter.
(b) Exeept to the extent authorized by Rule 1.10 [relating to former government lawyers], when lawyers are or have become members of or associated with a firm, none of them shall knowingly represent a client if anyone of them practicing alone would be prohibited from doing so by paragraph (a).
Tex.Disciplinary R.Prof.Conduct 1.09, reprinted in Tex.Gov’t Code, tit. 2, subtit. G app. (Vernon Supp.1996) (All references to rules in this opinion are to the Texas Disciplinary Rules of Professional Conduct.). The parties submitted evidence in the form of affidavits, and the district court heard argument of counsel.
The district court accompanied its ruling with an extensive opinion, which greatly assists us in considering the issues. Concerning NME’s motion, the district court reasoned that the Baker & Botts lawyers who possessed NME’s confidences could not be presumed to have shared them with other lawyers in the firm so as to disqualify the firm unless Baker & Botts (1) had actually represented NME, or (2) owed NME a duty of loyalty because of its representation of Cronen and Wicoff or the joint defense agreement, or (3) was actually misusing NME’s confidences. Concluding that the first two conditions did not exist, and noting that NME had offered no evidence that its confidences had been misused, the district court denied NME’s motion.
Concerning Cronen’s motion, the district court concluded that the pending lawsuit is substantially related to the matters in which Baker & Botts represented Cronen, but that *127this suit is not adverse to Cronen, and Baker & Botts’ representation of plaintiffs will not in reasonable probability result in a misuse of Cronen’s confidences. Accordingly, the district court denied Cronen’s motion. The controversy among the parties centers on the issue of adversity, and so we set out the district court’s findings and conclusions on this matter in more detail.
For guidance in determining the meaning of “adverse” in Rule 1.09(a), the district court looked to the definition of “directly adverse” in the related setting of Rule 1.06(b)(1), which provides that “... a lawyer shall not represent a person if the representation of that person ... involves a substantially related matter in which that person’s interests are materially and directly adverse to the interests of another client of the lawyer or the lawyer’s firm”. Comment 6 to Rule 1.06 states:
Within the meaning of Rule 1.06(b), the representation of one client is “directly adverse” to the representation of another client if the lawyer’s independent judgment on behalf of a client or the lawyer’s ability or willingness to consider, recommend or carry out a course of action will be or is reasonably likely to be adversely affected by the lawyer’s representation of, or responsibilities to, the other client. The dual representation also is directly adverse if the lawyer reasonably appears to be called upon to espouse adverse positions in the same matter or a related matter. On the other hand, simultaneous representation in unrelated matters of clients whose interests are only generally adverse, such as competing economic enterprises, does not constitute the representation of directly adverse interests. Even when neither paragraph (a) [barring a lawyer from representing opposing parties to the same litigation] nor (b) is applicable, a lawyer should realize that a business rivalry or personal differences between two clients or potential clients may be so important to one or both that one or the other would consider it contrary to its interests to have the same lawyer as its rival even in unrelated matters; and in those situations a wise lawyer would forego the dual representation.
The district court concluded that an action against a former client would, as a matter of law, be adverse to the former client; that an action which did not fall within comment 6 to Rule 1.06 would, as a matter of law, not be adverse to the former client; and that anything in between, as the present case is, would be a question of fact. The court determined to resolve this question by considering all relevant, present, circumstances, without regard to possible future changes in those circumstances. Among the factors the court found important were
the likelihood that any detriment that would result to the former client from the current representation, the kind of detriment that would result to the former client from the current representation, the likelihood that client confidences from the prior representation would be used in the current representation, whether this particular potential conflict was or in the exercise of reasonable diligence should have been known, and whether this type of conflict in one that as a general matter could easily be discovered in the exercise of reasonable diligence.
(Footnote omitted.)
Cronen contends that vigorous prosecution of the pending lawsuit on behalf of plaintiffs who were patients in hospitals he administered is bound to develop evidence that could be used against him in civil or criminal actions. Baker & Botts responds that Cronen has denied all wrongdoing, that he has never been found to have engaged in any misconduct despite the numerous investigations and lawsuits involving NME’s operations, that uncovering any new evidence now that would reflect badly on Cronen is highly unlikely, and that it has no intention of naming Cro-nen as a party in this litigation. The district court found:
The Court finds that it is wrong to assume that prosecution of claims against NME and NME personnel other than Mr. Cronen inherently poses a significant risk to Mr. Cronen. The Court finds that the risk to Mr. Cronen from Baker & Botts’ prosecution of this action is small given that he is not a defendant and is not even *128alleged by any party to have committed any misconduct. Nonetheless, there is still some risk that Baker & Botts’ diligent development of this case will bring to public light information adverse to Mr. Cro-nen that is not presently publicly known and that otherwise would have passed unnoticed to governmental or media investigations or other civil litigants with less available resources. Based on the current record, the Court finds that risk to be minimal, given the large volume of information presently known and the number of other parties investigating these subjects.
The Court finds that the kind of detriment to which Mr. Cronen could be subjected is serious, and includes possible criminal liability, as well as possible civil liability. While it seems likely that criminal prosecution of Mr. Cronen would already have commenced were it going to do so, the Court understands that some criminal investigations are still proceeding. Although no prosecutor has advised Mr. Cronen that he is a “target” of an investigation, that fact does not remove all risk of criminal prosecution.
The Court finds ... that Baker & Botts’ representation of plaintiffs is not likely to result in the use of confidential information obtained in the course of representing Mr. Cronen. The Court finds that Baker & Botts was actually aware of this possible conflict at or before the time it undertook the representation of plaintiffs in this action. The Court also finds that this is a category of potential conflict — possible detriment to former client arising out of possible development of adverse facts during course of litigation to which former client is not a party — that generically would be difficult to discover and thus would make an imprudent basis for a prescriptive rule.
Based on the foregoing, the Court finds that Baker & Botts’ representation of plaintiffs here is not “directly adverse” to Mr. Cronen within the meaning of Rule 1.06. That is, Baker & Botts’ independent judgment on behalf of plaintiffs and Baker & Botts’ ability or willingness to consider, recommend or carry out a course of action will not be and is not reasonably likely to be adversely affected by Baker & Botts’ prior representation of, or responsibilities to, Mr. Cronen; nor does Baker & Botts reasonably appear to be called upon to espouse positions adverse to Mr. Cronen in this matter. Thus that representation cannot be adverse for purposes of Rule 1.09 since it does not meet the more protective standard of Rule 1.06. Without reference to Rule 1.06 or “directly adverse,” the Court further finds that considering all of the surrounding facts and circumstances, together with all of the facts discussed above, Baker & Botts’ representation of plaintiffs here is not adverse to Mr. Cro-nen for purposes of Rule 1.09.
The Court emphasizes that its findings on adversity are based on the present state of the pleadings and the record before the Court on discovery. If it should later develop that Baker & Botts in its prosecution of this action is developing substantial evidence that poses a specific threat to Mr. Cronen, the Court would certainly take that information into consideration in revisiting this ruling.
(Footnotes omitted.)
NME and Cronen seek review of the district court’s rulings by mandamus. The court of appeals denied leave to file. We granted leave. 39 Tex. Sup.Ct. J. 20 (Oct. 27, 1995). To obtain mandamus relief, NME and Cronen must show that the district court’s refusal to disqualify Baker & Botts as plaintiffs’ counsel in the pending litigation was a clear abuse of discretion for which there is no adequate remedy by appeal. Walker v. Packer, 827 S.W.2d 833, 842 (Tex.1992). Accordingly, we consider whether the district court abused its discretion, first in denying NME’s motion, and then in denying Cronen’s. We hold that both should have been granted. We then consider whether NME and Cronen have an adequate legal remedy and conclude that they do not.
II
To determine whether NME’s disclosure of confidences to Tomko disqualifies Baker & Botts from representing plaintiffs in the pending action, we must first consider wheth*129er Tomko would be disqualified. Baker & Botts is not disqualified unless Tomko would be.
A
The pending action is substantially related to the prior investigations and lawsuits involving NME and Cronen, as the district court found. The allegations throughout are identical in all material respects. See Texaco, Inc. v. Garcia, 891 S.W.2d 255, 257 (Tex.1995)(holding two distinct claims were substantially related due to the existence of similar liability issues, scientific issues, and defenses). Had Tomko represented NME in the same matters in which he represented Cronen and Wicoff, both he and Baker & Botts would be disqualified from representing plaintiffs in the pending action against NME. See NCNB Texas Nat’l Bank v. Coker, 765 S.W.2d 398, 399-400 (Tex.1989).
But Tomko did not represent NME, either by virtue of his representation of Cronen and Wicoff or otherwise. The joint defense agreement is quite clear on this subject:
Each client member understands and acknowledges ... that he or she is represented only by his or her own attorney in this matter; that while the attorneys representing the other members have a duty to preserve the confidences disclosed to them pursuant to this agreement, they will not be acting as his or her attorney in this matter; and that the attorney representing the other client members will owe a duty of loyalty to their own respective clients only.
This does not mean, however, that under the joint defense agreement Tomko and other attorneys had no duty at all to non-clients. Tomko, like the other attorneys and clients participating in the joint defense, agreed to undertake “a duty to preserve the confidences disclosed”. This did not preclude an attorney and client from acting in their own best interests, even to the point of using information disclosed by others in ways that conflicted with the others’ interests. For example, the parties recognized that situations could arise in which it would become necessary for them to cross-examine each other in court. But Tomko and the other parties strictly promised not to disclose information shared in the joint defense with third parties under any circumstances. Thus, Tomko agreed that any communications from other participants in the joint defense were “confidential and ... protected from disclosures to any third party by the joint defense privilege, the attorney-client privilege and the work product privilege.” Cf. United States v. McPartlin, 595 F.2d 1321, 1337 (7th Cir.1979)(diseussing the joint defense privilege). Tomko agreed not to disclose any information he obtained “to any third party without the consent of the attorney member who disclosed the information in the first instance.”
Tomko, by his own admission, obtained confidential information from NME’s counsel, and NME has not consented to disclosure of this information. Could he represent plaintiffs in the pending suit against NME, consistent with his obligations under the joint defense agreement? We have not previously faced this question, but we think the answer is obvious: he could not. Even though Tom-ko never represented NME, he was admitted into its confidences with his pledge to preserve them. To honor this pledge, Tomko has taken precautions to keep the information he received from NME secret from any attorney at Baker & Botts who was not involved in representing Cronen and Wicoff, and specifically, from the attorneys representing plaintiffs in the pending case against NME. To represent plaintiffs himself, Tom-ko would be required to be equally cautious in keeping from them the confidences of an opposing party, thereby compromising his duty to represent plaintiffs vigorously. Tom-ko simply could not honor his obligations under the joint defense agreement and, at the same time, prosecute the pending claims against NME. Even if there were a way to do so, such conduct by an attorney would give a strong appearance of impropriety.
Every authority of which we are aware— they are few but venerable — concurs in this view. The circumstances in Wilson P. Abraham Construction Corp. v. Armco Steel Corp., 559 F.2d 250 (5th Cir.1977)(per curiam)(before Goldberg & Fay, JJ., & Dum-*130bauld, D.J.), were very similar to those here. An attorney who had represented one of several co-defendants in connection with a federal grand jury investigation of antitrust law violations in the rebar steel industry later sought to represent plaintiffs in a civil antitrust action against his former client’s co-defendants. Although his former client was not a party to the civil action, the Fifth Circuit held that the attorney would be disqualified if he received confidential information from the defendants in the civil action during the joint defense of the criminal investigation. The court held
that when information is exchanged between various eo-defendants and their attorneys that this exchange is not made for the purpose of allowing unlimited publication and use, but rather, the exchange is made for the limited purpose of assisting in the common cause. In such a situation, an attorney who is the recipient of such information breaches his fiduciary duty if he later, in his representation of another client, is able to use this information to the detriment of one of the co-defendants. Just as an attorney would not be allowed to proceed against his former client in a cause of action substantially related to the matters in which he previously represented that client, an attorney should also not be allowed to proceed against a co-defendant of a former client wherein the subject matter of the present controversy is sub-stantialy related to the matters in which the attorney was previously involved, and wherein confidential exchanges of information took place between the various co-defendants in preparation of a joint defense.
Id. at 253. Although the court described the relationship between the attorney and his client’s co-defendants as resembling an attorney-client relationship, that quasi-relationship was not the basis of the court’s holding. Rather, the court based its disqualification analysis on a duty to preserve confidences implied in the circumstances of a joint defense. Id.; see also ABA Comm, on Ethics and Professional Responsibility, Formal Op. 95-395 (1995). In the case before us, no implication is necessary; Tomko expressly assumed a duty to preserve NME’s confidences, despite the fact that it did not represent NME. Nor is there any question in this case, as there was in Armco Steel, about whether confidential information was shared. Tomko acknowledged obtaining confidences from NME. In Armco Steel, on remand, the district court found that the attorney’s participation in the joint defense arrangement had been brief, that he had not received confidential information from the defendants in the civil action, and that an exchange of confidential information could not be presumed because the civil action was not substantially related to the criminal investigation. Wilson P. Abraham Constr. Corp. v. Armco Steel Corp., 1979-1 Trade Cas. (CCH) ¶ 62,569, 1979 WL 1614 (E.D.La. March 28, 1979).
In Westinghouse Electric Corp. v. Kerr-McGee Corp., 580 F.2d 1311 (7th Cir.)(Sprecher, C.J.), cert. denied, 439 U.S. 955, 99 S.Ct. 353, 58 L.Ed.2d 346 (1978), a law firm represented a trade organization of corporations in the oil and gas industry. The firm agreed to keep information obtained from association members in strict confidence. After the firm prepared a report on various aspects of the industry, including uranium production, it undertook representation of a plaintiff in an antitrust suit against three association members. Although the firm never represented the three defendants individually, but only the trade association to which they belonged, the court held that the firm was disqualified from representing the plaintiff in the suit against the members because confidential information the firm had received was directly related to the claims in the lawsuit. The court held that the firm had an obligation to association members even though it never represented them. The court observed that an attorney might be disqualified from suing non-clients in a number of situations:
There are several fairly common situations where, although there is no express attorney-client relationship, there exists nevertheless a fiduciary obligation or an implied professional relation:
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*131... When information is exchanged between co-defendants and their attorneys in a criminal case, an attorney who is the recipient of such information breaches his fiduciary duty if he later, in his representation of another client, is able to use this information to the detriment of one of the co-defendants, even though that co-defendant is not the one which he represented in the criminal case. Wilson P. Abraham Const. Corp. v. Armco Steel Corp., 559 F.2d 250 (5th Cir.1977)(disqualification case).
Id. at 1319; see Glueck v. Jonathan Logan, Inc., 653 F.2d 746, 750 (2d Cir.1981)(“Dis-qualifieation will ordinarily be required whenever the subject matter of a suit is sufficiently related to the scope of the matters on which a firm represents an association as to create a realistic risk either that the plaintiff will not be represented with vigor or that unfair advantage will be taken of the defendant.”).
In Analytica, Inc. v. NPD Research, Inc., 708 F.2d 1263 (7th Cir.1983)(Posner, J.), a lawyer was retained by a corporation’s employee to structure a stock transaction between the employee and the corporation. The corporation provided the lawyer the confidential financial, sales and management information he needed and paid his bill. Later, the lawyer’s firm undertook representation of one of the corporation’s competitors in an antitrust suit against the corporation. Although it was not clear whether the firm had represented the corporation or its employee in the earlier transaction, the court held that the firm was disqualified from suing the corporation. Id. at 1267-1268. Whether the attorney had represented only the client and not the corporation was inconsequential; what mattered, as in Westinghouse, was that the corporation had furnished the attorney confidential information that the law firm was bound to protect. Having shown the attorney its confidences, the corporation “had a right not to see [the firm} on the opposite side of a litigation to which that data might be highly pertinent.” Id. at 1269.
In each of these cases disqualification was based, not on the attorney’s former representation of an opposing party, but on the attorney’s duty to the party to preserve its confidences. Tomko assumed that duty to NME expressly, and he could not honor it and sue NME at the same time.
B
Given that Tomko could not represent plaintiffs in the pending case, the question remains whether the other attorneys in the firm of Baker & Botts are disqualified. NME has offered no evidence that Tomko has disclosed its confidences to the Baker & Botts lawyers representing plaintiffs. Those lawyers deny ever having had access to the information Tomko possesses, and Tomko has testified about the lengths he has gone to screen the information from being disclosed. The district court found “that there is no reasonable probability that Baker & Botts will knowingly or unknowingly” disclose confidential information in the course of its representation of plaintiffs in the pending case. We agree.
Still, if Tomko had represented NME, Baker & Botts would be disqualified from representing plaintiffs suing NME, irrespective of the evidence and the district court’s finding. Henderson v. Floyd, 891 S.W.2d 252, 254 (Tex.1995)(per curiam); see Rule 1.09(b); see also Phoenix Founders, Inc. v. Marshall, 887 S.W.2d 831, 834 (Tex.1994)(involving a paralegal). The attorney’s knowledge is imputed by law to every other attorney in the firm. There is, in effect, an irrebuttable presumption that an attorney in a law firm has access to the confidences of the clients and former clients of other attorneys in the firm. One reason for this presumption is that it would always be virtually impossible for a former client to prove that attorneys in the same firm had not shared confidences. Henderson, 891 S.W.2d at 254. Another reason for the presumption is that it helps clients feel more secure. Analytica, 708 F.2d at 1266. Also, the presumption helps guard the integrity of the legal practice by removing undue suspicion that clients’ interests are not being fully protected. The issue is whether this same presumption applies when, as in the present case, an attorney is obliged to preserve another’s confi*132dences, not because the other was a client, but because the attorney promised to do so just as if the other had been a client.
We perceive no reason why the presumption should not apply. The attorney’s duty to preserve confidences shared under a joint defense agreement is no less because the person to whom they belong was never a client. The attorney’s promise places him in the role of a fiduciary, the same as toward a client. Armco Steel, 559 F.2d at 253; Westinghouse, 580 F.2d at 1319. The difficulty in proving a misuse of confidences, and the anxiety that a misuse may occur, is no less for the non-client. The doubt cast upon the integrity of the legal profession is the same in either situation. Because the reasons for the presumption apply equally in both situations, and there are no other bases for differentiating between them, we hold that an attorney’s knowledge of a non-client’s confidential information that he has promised to preserve is imputed to other attorneys is the same law firm.
It follows that NME’s motion should have been granted. As the law allows no other ruling, denial of the motion was an abuse of discretion.
III
Cronen’s motion to disqualify Baker & Botts is premised on Rule 1.09. The Texas Disciplinary Rules of Professional Conduct do not determine whether counsel is disqualified in litigation, but they do provide guidelines and suggest the relevant considerations. Henderson, 891 S.W.2d at 254; Spears v. Fourth Court of Appeals, 797 S.W.2d 654, 656 (Tex.1990); Ayres v. Canales, 790 S.W.2d 554, 556 n. 2 (Tex.1990). Since the parties in this case confine their arguments to the rule, we direct our focus there.
We have quoted Rule 1.09 above. There is no question that it applies to Tomko, and perforce to Baker & Botts, in every particular save one. Tomko personally represented Cronen and Wicoff formally in matter substantially related to the pending action, and they have not consented to Baker & Botts’ representing plaintiffs in that action. The only question is whether the pending matter is adverse to . Cronen (we omit further consideration of Wicoff, since he has not moved to disqualify Baker & Botts). Baker & Botts cannot be disqualified on Cronen’s motion unless the answer is yes.
Rule 1.09 does not define “adverse”, so the district court turned, correctly, we think, to the dictionary definition of the word, and to the definition of “directly adverse” in Rule 1.06, comment 6. The court applied those definitions to the evidence before it and found that: (1) “there is still some risk that Baker & Botts’ diligent development of this case will bring to public light information adverse to Mr. Cronen that is not presently publicly known and that otherwise would have passed unnoticed to governmental or media investigations or other civil litigants with less available resources”; (2) “the kind of detriment to which Mr. Cronen could be subjected is serious, and includes possible criminal liability, as well as possible civil liability”; and (3) “the risk to Mr. Cronen from Baker & Botts’ prosecution of this action is small given that he is not a defendant and is not even alleged by any party to have committed any misconduct”, and the risk is “minimal, given the large volume of information presently known and the number of other parties investigating these subjects.” These findings are well supported by the evidence, and we accept them, as of course we must. From them the district court concluded that the pending action is not adverse to Cronen (although the court expressed concern that this could change). The issue, then, is whether the small but serious risk to Cronen posed by the pending action makes it adverse to him.
We think it does, as a matter of law. Adversity is a product of the likelihood of the risk and the seriousness of its consequences. Here, the probability that Cronen will be affected by the prosecution of the pending litigation is small, but it is not nonexistent. Cronen was regional administrator of hospital in which plaintiffs were patients. Allegations of misconduct in the operation of the hospitals would naturally be expected to implicate him, but for the fact that he has already survived extensive investigations to *133date. However, his immediate predecessor pleaded guilty to criminal charges and is a named defendant in the pending case. What has befallen his predecessor illustrates the seriousness of the consequences to Cronen if additional information is uncovered or further charges made. Even if Baker & Botts is correct that resolution of the pending case will leave Cronen unscathed, Cronen’s anxiety that his former law firm is now vigorously advancing the same allegations that have swirled around him for so long is certainly understandable. The chances of being struck by lightning are slight, but not slight enough, given the consequences, to risk standing under a tree in a thunderstorm. Cronen is not likely to be struck by lightning in the pending case, even though he is in the midst of a severe thunderstorm, but he is entitled to object to being forced by his former lawyer to stand under a tree while the storm rages on.
The risk found by the district court makes the pending action adverse to Cronen. Therefore, the district court had no discretion but to grant Cronen’s motion to disqualify Baker & Botts.
IV
In the several cases in which we have granted mandamus relief to disqualify counsel we have not addressed the prerequisite that relief by appeal be inadequate. Texaco, 891 S.W.2d at 257; Henderson, 891 S.W.2d at 255; Grant v. Thirteenth Court of Appeals, 888 S.W.2d 466, 468 (Tex.1994)(per curiam); Mauze v. Curry, 861 S.W.2d 869, 870 (Tex.1993)(per curiam). This omission is attributable, not to oversight and certainly not to a view that inadequate appellate relief is not a prerequisite in disqualification cases, but to the obviousness of the issue. Plainly, NME is not required to simply hope that the pending case is concluded without disclosure of its confidences, nor is Cronen required to wait until any damage will have been done and will be irremediable. A new criminal investigation into Cronen’s activities, sparked by discovery in the pending case, cannot be reversed on appeal of this case. Moreover, the injury to the legal profession from representation by lawyers who are disqualified cannot be cured by appeal.
Baker <& Botts argues that inasmuch as Cronen has intervened solely for the purpose of moving to disqualify Baker & Botts, the order on his motion could be severed from the pending case and made final, so that it could be appealed. The same argument can be made for the order on NME’s motion, even though NME would remain a party to the case. Indeed, the same argument goes for all orders on motions to disqualify. While we require that procedure in some circumstances, e.g., Tex.R.Civ.P. 76a, we do not do so here. We have found mandamus to provide a workable review mechanism for orders on motions to disqualify, and we see no reason to depart from it. This is not to say that appeal from a severed and therefore final order would be improper, only that relief can also be obtained by mandamus.
V
We must add a brief word in response to the dissent.
Distilled of rhetoric, the dissent disagrees with us on two crucial points: whether Tom-ko’s knowledge of NME’s confidences must be presumptively imputed to Baker & Botts, and whether the adversity to Cronen is too slight to warrant disqualification. Besides saying why it disagrees, the dissent repeatedly generalizes that we have ignored evidence, reweighed evidence, and employed improper standards for mandamus review.
It does not appear to have occurred to the dissent that one can disagree about the legal conclusions to be drawn from certain facts without disagreeing about the facts themselves. We have cited and discussed all the evidence the dissent says is relevant. We have quoted and adopted the district court’s fact findings. Our conclusions are based on the evidence and findings, not despite them. Our differences with the dissent should be over legal principles, not allegations of impropriety.
* * * * * *
The district court’s analysis of the issues was thorough and thoughtful. Never*134theless, we cannot defer to a lower court’s judgment on matters of law. Walker, 827 S.W.2d at 840. For the reasons given, we conclude that Baker & Botts must be disqualified in the pending action. We are confident that the district court will promptly comply with our opinion. Our writ of mandamus will issue only if that confidence proves misplaced.
BAKER, J., files a dissenting opinion, in which ENOCH, J., joins.