2024 WI 16
SUPREME COURT OF WISCONSIN
CASE NO.: 2022AP35-D
COMPLETE TITLE: In the Matter of Disciplinary Proceedings
Against Roger G. Merry, Attorney at Law:
Office of Lawyer Regulation,
Complainant,
v.
Roger G. Merry,
Respondent.
DISCIPLINARY PROCEEDINGS AGAINST MERRY
OPINION FILED: April 24, 2024
SUBMITTED ON BRIEFS:
ORAL ARGUMENT:
SOURCE OF APPEAL:
COURT:
COUNTY:
JUDGE:
JUSTICES:
Per curiam. ZIEGLER, C.J., filed a concurring opinion, in which
REBECCA GRASSL BRADLEY, HAGEDORN, KAROFSKY, and PROTASIEWICZ,
JJ., joined.
NOT PARTICIPATING:
ATTORNEYS:
2024 WI 16
NOTICE
This opinion is subject to further
editing and modification. The final
version will appear in the bound
volume of the official reports.
No. 2022AP35-D
STATE OF WISCONSIN : IN SUPREME COURT
In the Matter of Disciplinary Proceedings
Against Roger G. Merry, Attorney at Law:
Office of Lawyer Regulation, FILED
Complainant,
APR 24, 2024
v.
Samuel A. Christensen
Clerk of Supreme Court
Roger G. Merry,
Respondent.
ATTORNEY disciplinary proceeding. Attorney's license
revoked.
¶1 PER CURIAM. We review the report of Referee Edward
E. Leineweber, issued after an evidentiary hearing, in which he
concludes that Attorney Roger G. Merry committed two counts of
professional misconduct as alleged by the Office of Lawyer
Regulation (OLR). Referee Leineweber recommends that the court
suspend Attorney Merry's license for a period of one year and
No. 2022AP35-D
that we order Attorney Merry to pay the full costs of this
disciplinary proceeding.
¶2 Neither party has appealed from the referee's report
so we review this matter pursuant to Supreme Court Rule (SCR)
22.17(2).1 After completing our review, we approve the referee's
findings and conclusions. With respect to the discipline to be
imposed, we consider the recommended one-year suspension to be
too light a sanction. Revocation is in order for Attorney
Merry's egregious misconduct. We order Attorney Merry to pay
the full costs of this proceeding. We accede to the OLR's
conclusion that restitution is not warranted.
¶3 Attorney Merry was admitted to practice law in
Wisconsin in 1981. He has a lengthy disciplinary history. In
1990, Attorney Merry was privately reprimanded for engaging in a
conflict of interest. Private Reprimand, No. 1990–26.2 In 1993,
Attorney Merry was publicly reprimanded for client fund and
trust account violations, as well as making at least six
intentional misrepresentations to the former Board of Attorneys
Professional Responsibility, the OLR's predecessor. Public
1SCR 22.17(2) provides: "If no appeal is filed timely, the
supreme court shall review the referee's report; adopt, reject
or modify the referee's findings and conclusions or remand the
matter to the referee for additional findings; and determine and
impose appropriate discipline. The court, on its own motion,
may order the parties to file briefs in the matter."
2 Electronic version not available.
2
No. 2022AP35-D
Reprimand of Roger G. Merry, No. 1993–3.3 In 1994, Attorney
Merry was privately reprimanded for failing to keep a client
reasonably informed about the status of a matter. Private
Reprimand, No. 1994–8.4 In 1999, Attorney Merry was publicly
reprimanded for engaging in a conflict of interest. Public
Reprimand of Roger G. Merry, No. 1999–1.5 In 2008, Attorney
Merry was publicly reprimanded for making a false statement to a
tribunal; offering false evidence; and engaging in conduct
involving dishonesty, fraud, deceit, or misrepresentation.
Public Reprimand of Roger G. Merry, No. 2008–9.6 Attorney
Merry's law license is also subject to administrative
suspensions for failure to pay Wisconsin State Bar dues and
failure to file a trust account certification.
¶4 This disciplinary matter concerns Attorney Merry's
publication of a book regarding his former client, M.S. This
matter began with three counts, one of which the referee
dismissed before the evidentiary hearing at the OLR's request.
3 Electronic version available at
https://compendium.wicourts.gov/app/51417a2b8d566b1c706f83303424
783b34565c38.continue.
4 Electronic version not available.
5 Electronic version available at
https://compendium.wicourts.gov/app/12575b0f2a8b1a496c420a41151a
8e486b127922.continue.
6 Electronic version available at
https://compendium.wicourts.gov/app/334e1203175d7659478d85166513
148f3883286a.continue.
3
No. 2022AP35-D
The referee's report and the exhibits received at the
evidentiary hearing may be summarized as follows.
¶5 Attorney Merry served as M.S.'s defense attorney in
her 2006 trial on charges including first-degree intentional
homicide. M.S. was convicted and sentenced and remains in
prison to this day.
¶6 In November 2013, Attorney Merry sent M.S. a letter,
received into evidence at the evidentiary hearing, stating the
following:
There remains a debt for my representation of you
of approximately $19,000.00. I am willing to call it
even if you would sign a release so the public
defender could give me their copy of the transcript,
and also sign a waiver of attorney/client privilege.
The reason I am willing to write off the bill in
exchange for the above, is I am planning on publishing
a book about the case.
If you are unwilling to sign these two documents,
I will have no choice but to sue your grandparents for
the balance of the fee. Accordingly, if this meets
with your approval, please sign both originals before
a witness, have the witness sign it, and return it to
me in the enclosed, self-addressed stamped envelope.
The extra copies are for your file.
¶7 Attorney Merry enclosed with this letter an
"Authorization for Release of Transcripts" from the State Public
Defender's Office (SPD) to him, as well as a "Waiver of
Attorney-Client Privilege," which called for M.S. to "waive all
attorney-client privilege" and to "authorize my former attorney,
Roger Merry, to publish any and all information he has regarding
me, including, but not limited to, everything I have said to him
4
No. 2022AP35-D
which might have been privileged by the attorney-client
relationship." M.S. did not sign either document.
¶8 In March 2015, Attorney Merry sent the SPD's Office a
letter, received into evidence at the evidentiary hearing,
stating that he knew the SPD's Office considered transcripts to
be the property of its clients; that he wanted a copy of M.S.'s
trial transcripts; that she "did not consent to give me a copy
since I obtained a judgment against her in [circuit court] for
$18,000"; and that he was "hoping to execute the judgment and
obtain a copy or the original of the transcripts." He asked
where the transcripts might be, and whether the SPD's Office
"had a preferred method of delivery to me pursuant to an
execution." Attorney Merry copied M.S. on this letter.
¶9 The SPD's Office responded with a letter, received
into evidence at the evidentiary hearing, informing Attorney
Merry that it could not send documents from M.S.'s file without
her permission.
¶10 Ultimately, in August 2020, Attorney Merry self-
published a book about his representation of M.S. The book was
available at public libraries and for purchase at a local book
store and an online book retailer. Attorney Merry used
information relating to his representation of M.S. to write the
book. To provide details about the case in the book, Attorney
Merry drew from his own review of court records located at the
circuit courthouse, as well as from his own recollection of
events, chambers discussions or sidebars, and discussions with
the prosecutor, other attorneys, experts, or private
5
No. 2022AP35-D
individuals——some of which might have occurred in the presence
of others, but were not made in open court or in media coverage
of the case at the time of the prosecution or its immediate
aftermath.7
¶11 While the crime and the subsequent criminal
prosecution had generated much publicity and discussion within
the local community, it had generally subsided in the 14 years
between those events and the publication of the book.
Publication of the book revived public discussion of the events
surrounding the crime and M.S.'s criminal prosecution.
¶12 M.S. suffered psychological harm from Attorney Merry's
unsuccessful attempt to obtain her consent to his use of
information concerning her case, as well as from his publication
of the book about her case without her consent. The effects of
the publication of the book included:
damage to her relationships with her children, mother,
siblings, and other family members who, previous to the
publication of the book, were supportive of her;
fear that the book would be available in the prison
library and be read and discussed by prison staff and
7 We note that excerpts of Attorney Merry's book were
received into evidence at the evidentiary hearing. In the
"Acknowledgements" section of his book, Attorney Merry wrote
that "[a]ll matters in this book not derived from my own
observation were taken from over five thousand pages of police
reports and over two thousand five hundred pages of court
reporter transcripts. All statements made by myself and others
were made in anticipation of litigation."
6
No. 2022AP35-D
fellow inmates, disrupting her relationships in the
institution and undermining her well-being there;
revelation of intimate private details of her personal
and family history;
reviving the stress of events from the commission of the
crime through her trial, conviction, and sentencing;
concern that the book would circulate in her home
community and subject her children and family to social
ostracism or abuse; and
concern that the publication of the book would adversely
affect her chances of eventually obtaining some form of
relief through further court proceedings.
¶13 M.S. sought and received psychological treatment to
address the emotional trauma caused by the contacts from
Attorney Merry prior to publication and from circulation of the
book in the community following the publication.
¶14 As pertinent here, the OLR's complaint alleges that:
by using information to write and publish a book relating
to his representation of M.S. that was not generally
known, Attorney Merry violated SCR 20:1.9(c)(1) (Count
1); and
by revealing in the book information relating to his
representation of M.S. without her permission, Attorney
Merry violated SCR 20:1.9(c)(2) (Count 2).
¶15 After holding an evidentiary hearing, the referee
determined that the OLR had proven the misconduct alleged in
both counts. The applicable Wisconsin Supreme Court Rule is SCR
7
No. 2022AP35-D
20:1.9, "Duties to former clients." That rule reads, in
pertinent part:
(c) A lawyer who has formerly represented a
client in a matter or whose present or former firm has
formerly represented a client in a matter shall not
thereafter:
(1) use information relating to the
representation to the disadvantage of the former
client except as these rules would permit or require
with respect to a client, or when the information has
become generally known; or
(2) reveal information relating to the
representation except as these rules would permit or
require with respect to a client.
¶16 In disputing the claimed SCR 20:1.9(c)(1) violation
alleged in Count 1 before the referee, Attorney Merry argued
that the information relating to the representation of M.S. that
he relied upon in writing his book had become "generally known,"
and therefore fell outside the scope of the rule. The referee
disagreed, noting that in Wisconsin Formal Ethics Opinion EF-20-
02,8 the State Bar Professional Ethics Committee explained that
information is "generally known" for purposes of the rule only
if widely recognized by members of the public in the relevant
geographic area or within the former client's industry,
profession, or trade. Id. at 6 (citing American Bar Association
Standing Committee on Ethics and Professional Responsibility
Formal Opinion 479). The referee wrote that "[a]t best the
8 Full text of the Wisconsin Formal Ethics Opinion EF-20-02
is found here:
https://www.wisbar.org/formembers/ethics/Ethics%20Opinions/EF-
20-02%20Former%20Client%20Cross%20Examination%20-%20FINAL.pdf.
8
No. 2022AP35-D
record in this matter might demonstrate that some of the
personal information and detail [used by Attorney Merry in the
book] was previously known by some others, but it does not
support a finding that it was 'generally known.'"
¶17 The referee additionally rejected Attorney Merry's
argument that his use of information relating to the
representation of M.S. in his book did not "disadvantage" M.S.,
as is required for an SCR 20:1.9(c)(1) violation, because the
book asserted her innocence of the underlying crimes, and
because she allegedly suffered from mental health issues prior
to publication of the book. The referee reasoned that,
regardless of the particulars of Attorney Merry's account of the
crimes in the book or the status of M.S.'s mental health prior
to publication of the book, M.S. was disadvantaged by the
psychological harm she suffered from his use of information
relating to his representation of her.
¶18 The referee also rejected Attorney Merry's claim that
he neither used nor revealed former-client confidences under SCR
20:1.9(c) in that the information related to his representation
of M.S. in his book fell outside the scope of the attorney-
client privilege. The referee disagreed, reasoning that an
attorney's ethical duty to keep client confidences is broader
than the evidentiary concern of attorney-client privilege.
¶19 Ultimately, the referee recommended that a one-year
suspension of Attorney Merry's law license is merited based on
his disciplinary history, the "egregious facts of this case,"
9
No. 2022AP35-D
the precedent cited by OLR in its briefing to the referee, and
the court's policy of progressive discipline.
¶20 Attorney Merry has not appealed the referee's report
and recommendation. Accordingly, this court reviews the matter
pursuant to SCR 22.17(2), which provides that if no appeal is
timely filed, the court shall review the referee's report;
adopt, reject, or modify the referee's findings and conclusions
or remand the matter to the referee for additional findings; and
determine and impose appropriate discipline.
¶21 When we review a referee's report, we will affirm a
referee's findings of fact unless they are found to be clearly
erroneous, but we review the referee's conclusions of law on a
de novo basis. In re Disciplinary Proceedings Against Inglimo,
2007 WI 126, ¶5, 305 Wis. 2d 71, 740 N.W.2d 125. We determine
the appropriate level of discipline to impose given the
particular facts of each case, independent of the referee's
recommendation, but benefiting from it. In re Disciplinary
Proceedings Against Widule, 2003 WI 34, ¶44, 261 Wis. 2d 45, 660
N.W.2d 686.
¶22 Upon careful review of the matter, we adopt the
referee's findings of fact and conclusions of law. Attorney
Merry has not contested the facts found by the referee, and
after reviewing the record ourselves, we find no basis in the
record to conclude that the referee's findings are clearly
erroneous. And for the reasons set forth below, we agree with
the conclusions of law that flow from the referee's findings of
10
No. 2022AP35-D
fact; namely, that the OLR established by clear and convincing
evidence that Attorney Merry violated SCR 20:1.9(c)(1) and (2).
¶23 Our ethical rules make clear that attorneys owe a duty
of confidentiality to both current and former clients. Supreme
Court Rule 20:1.6, titled "Confidentiality," prohibits a lawyer
from revealing information relating to the representation of a
client unless the client gives informed consent, or the
disclosures are impliedly authorized to carry out the
representation, or the disclosures are authorized by SCR
20:1.6(b)9 or (c).10 Supreme Court Rule 20:1.9, quoted above,
9 SCR 20:1.6(b) provides: "A lawyer shall reveal
information relating to the representation of a client to the
extent the lawyer reasonably believes necessary to prevent the
client from committing a criminal or fraudulent act that the
lawyer reasonably believes is likely to result in death or
substantial bodily harm or in substantial injury to the
financial interest or property of another."
10 SCR 20:1.6(c) provides:
(c) A lawyer may reveal information relating to
the representation of a client to the extent the
lawyer reasonably believes necessary:
(1) to prevent reasonably likely death or
substantial bodily harm;
(2) to prevent, mitigate or rectify substantial
injury to the financial interests or property of
another that is reasonably certain to result or has
resulted from the client's commission of a crime or
fraud in furtherance of which the client has used the
lawyer's services;
(3) to secure legal advice about the lawyer's
conduct under these rules;
(4) to establish a claim or defense on behalf of
the lawyer in a controversy between the lawyer and the
11
No. 2022AP35-D
extends this duty of confidentiality to former-clients'
confidential information.
¶24 Supreme Court Rule 20:1.9(c)(1) governs an attorney's
use of former clients' confidential information. It prohibits
an attorney from using information relating to the
representation of a former client "to the disadvantage of the
former client except as these rules would permit or require with
respect to a client, or when the information has become
generally known."
¶25 Supreme Court Rule 20:1.9(c)(2) governs an attorney's
revelation of a former client's confidential information. It
prohibits an attorney from revealing information relating to the
representation of a former client "except as these rules would
permit or require with respect to a client."
¶26 Applying these provisions to the referee's well-
supported factual findings, it is clear that Attorney Merry both
revealed M.S.'s confidential information and used it to her
disadvantage. He did the latter when he drafted a book
containing M.S.'s confidences after she refused to assist him in
client, to establish a defense to a criminal charge or
civil claim against the lawyer based upon conduct in
which the client was involved, or to respond to
allegations in any proceeding concerning the lawyer's
representation of the client;
(5) to comply with other law or a court order; or
(6) to detect and resolve conflicts of interest,
but only if the revealed information would not
compromise the attorney-client privilege or otherwise
prejudice the client.
12
No. 2022AP35-D
the endeavor, causing her psychological harm. As for the
former, he revealed the confidential information when he made
the book available for public distribution and purchase.
¶27 It is further clear, based on the referee's well-
supported factual findings, that none of the exceptions to the
duty of former-client confidentiality apply. M.S. never
provided informed consent to Attorney Merry's use or revelation
of her confidential information. The "generally known"
exception allowing use of confidential information does not
apply given that, as found by the referee, the information used
by Attorney Merry was not widely recognized by members of the
public in the relevant geographical area. See State Bar of
Wisconsin Professional Ethics Committee, Formal Opinion EF-20-02
(June 25, 2020). There has been no claim that any of the
exceptions contained within SCR 20:1.6(b) and (c) apply. See
n.9-10. And the referee correctly observed that the scope of
information protected by the ethical duty of confidentiality is
broader than that protected by the evidentiary doctrine of
attorney-client privilege.11 Thus, Attorney Merry's insistence
11 See SCR 20:1.6, cmt. 3, which explains, in pertinent
part:
The attorney-client privilege and work-product
doctrine apply in judicial and other proceedings in
which a lawyer may be called as a witness or otherwise
required to produce evidence concerning a client. The
rule of client-lawyer confidentiality applies in
situations other than those where evidence is sought
from the lawyer through compulsion of law. The
confidentiality rule, for example, applies not only to
matters communicated in confidence by the client but
13
No. 2022AP35-D
to the referee that he never violated the attorney-client
privilege, even if true, does not prove that he satisfied his
more robust ethical duty of confidentiality.
¶28 We therefore conclude that this record clearly
establishes that Attorney Merry committed the charged
misconduct. Our rules prohibited him from revealing M.S.'s
confidential information or using it to her disadvantage (he did
both) unless special circumstances apply (none do).
¶29 We turn now to the appropriate level of discipline to
impose. Sources of guidance in determining appropriate
sanctions include prior case law, the American Bar Association
Standards for Imposing Lawyer Sanctions, and aggravating and
mitigating factors. See Matter of Disciplinary Proc. Against
DeLadurantey, 2023 WI 17, ¶52, 406 Wis. 2d 62, 985 N.W.2d 788.
¶30 Turning first to our own prior case law, we discover
that the misconduct here is in a league of its own. In In re
Disciplinary Proceedings Against Harman, 2001 WI 71, 244 Wis. 2d
438, 628 N.W.2d 351, we imposed a six-month suspension on an
attorney for eight counts of misconduct that included revealing
his client's medical records to a prosecutor who was prosecuting
the client's cohabitant; we found a violation of the duty of
client confidentiality even though the records had been publicly
filed in a prior lawsuit. The attorney had been reprimanded
three times previously. In In re Disciplinary Proceedings
also to all information relating to the
representation, whatever its source.
14
No. 2022AP35-D
Against Marick, 204 Wis. 2d 280, 554 N.W.2d 204 (1996), we
imposed a nine-month suspension, as reciprocal discipline
identical to that imposed by the Minnesota Supreme Court, for an
attorney's use of confidential information concerning a client's
proposed business acquisition to profit in the stock market.
The attorney had no prior discipline. Finally, in In re Peshek,
2011 WI 47, 334 Wis.2d 373, 798 N.W.2d 879, 881, we imposed a
60-day suspension, as reciprocal discipline identical to that
imposed by the Illinois Supreme Court, for an attorney's
misconduct that included writing blog posts about her job that
contained confidential information about her clients, whose
identities she made inadequate efforts to conceal. The attorney
had no prior discipline.
¶31 Here, Attorney Merry's conduct is considerably more
serious, and his disciplinary history considerably more
troubling, than that involved in Harman, Marick, and Peshek. It
is bad indeed for an attorney to share a client's confidential
medical information with another attorney (Harman), or to use a
client's confidential business information to profit from a
stock transaction (Marick), or to expose client confidences in
personal blog posts (Peshek). But it is hard to imagine a more
flagrant violation of 20:1.9(c)(1) and (2) than an attorney
attempting to both publicize and profit from his client's
confidences against the client's express wishes, as Attorney
Merry did here. Such actions destroy the trust that is vital to
the client-lawyer relationship and erode public confidence in
the integrity of the legal profession. And Attorney Merry's
15
No. 2022AP35-D
disciplinary history——which at five previous reprimands is more
extensive than any of those involved in the above cases——clearly
shows that his misbehavior was not a one-off incident.
Considerably more discipline is therefore merited than what we
imposed in Harman, Marick, and Peshek.
¶32 We turn next to the American Bar Association Standards
for Imposing Lawyer Sanctions ("ABA Standards"). Although these
standards are in no way binding on this court, they provide
helpful direction in assigning an appropriate sanction.
Standard 4.21 applies here. It reads:
4.21 Disbarment is generally appropriate when a
lawyer, with the intent to benefit the lawyer or
another, knowingly reveals information relating to
representation of a client not otherwise lawfully
permitted to be disclosed, and this disclosure causes
injury or potential injury to a client.
Annotated Standards for Imposing Lawyer Sanctions, Standard 4.21
(Ellyn S. Rosen ed., 2nd ed. 2019). The Annotation to ABA
Standard 4.21 explains that disbarment is warranted when a
lawyer "knowingly abuses" the client's trust and "knowingly
reveals confidential client information improperly with the
intent of achieving personal benefit and causing injury or
potential injury to the client."
¶33 That is precisely what happened here. Attorney Merry
improperly revealed M.S.'s confidential information and used it
to her disadvantage, causing her extensive psychological harm——
all so that he could self-publish and sell a book devoted to his
musings about the case in which he represented her. This was an
intentional, self-benefitting violation of client confidences
16
No. 2022AP35-D
within the meaning of the standard. We therefore make an
initial determination that revocation12 is the appropriate
sanction in this case, subject to modification as a result of
aggravating or mitigating factors.
¶34 Several aggravating factors are present. As noted
above, Attorney Merry has a considerable disciplinary history.
See ABA Standard 9.22(a). His motivation was selfish; he
prioritized his interest in self-publishing a book above M.S.'s
confidentiality interest and his ethical duty to protect it.
See ABA Standard 9.22(b). He has not acknowledged the wrongful
nature of his conduct, see ABA Standard 9.22(g); to the
contrary, he portrayed himself to the referee as a past and
present victim of an unfair disciplinary system and insisted
that "I don't care what the likes of OLR or judges or lawyers
say about me and my ethics because they're wrong. It's
motivated for improper purposes, and it doesn't add to the
discussion. And it, in fact, disgraces the practice of law."
M.S., as an inmate, was a vulnerable victim. See ABA Standard
9.22(h). Finally, Attorney Merry had decades of experience in
the practice of law, and thus should have known better than to
act as he did. See ABA Standard 9.22(i).
¶35 There is little on the mitigating side of the scale.
Attorney Merry appears to have generally cooperated with the OLR
during this disciplinary process. See ABA Standard 9.32(e).
The ABA Standards use the term "disbarment"; Wisconsin
12
uses the term "revocation." See SCR 21.16(1m)(a).
17
No. 2022AP35-D
And his disciplinary history is relatively remote in time. See
ABA Standard 9.32(m).
¶36 Although there is no mathematical formula for weighing
these factors, we conclude that the many aggravating factors
outweigh the few mitigating factors present in this case. We
therefore conclude that revocation is appropriate under the
facts of this case.
¶37 We note that this result is consistent with that
reached in an out-of-state case with reasonably analogous facts.
In In re Smith, 991 N.E.2d 106 (Ind. 2013), the Indiana Supreme
Court disbarred an attorney who wrote a book that purported to
be a true account of his personal and professional relationship
with a former client, who was active in politics and at one
point held a high-level job in the federal government. See id.
at 107. The attorney's professed motivation for writing the
book was at least in part to recoup legal fees the former client
owed him and money the former client had obtained from him over
the years. Id. The Indiana Supreme Court determined that the
attorney committed multiple ethical violations in writing the
book, including the improper disclosure of details of his
representation of the former client. The court wrote:
In the book, Respondent revealed personal and
sensitive information about [the former client] that
was obtained in confidence as her attorney, and its
revelation had the potential of causing her public
embarrassment and other injury, such as impairment of
her employment opportunities. Respondent's selfish
motivation in deliberately attempting to reveal this
confidential information to a wide audience for
monetary gain, his false statements in the book and in
18
No. 2022AP35-D
this disciplinary matter, and his lack of any remorse
lead us to conclude that that disbarment is
appropriate for Respondent's misconduct.
The court cited ABA Standard 4.21, discussed above, as support
for this result. Id. at 110.
¶38 We acknowledge that all of Attorney Merry's previous
disciplinary matters resulted in reprimands, not license
suspensions. Under different facts, a suspension, rather than
revocation, might be considered a reasonable next step in the
progressive discipline process. But when the circumstances have
called for it, we have revoked an attorney's law license for
misconduct even where (quite unlike here) the attorney had no
prior disciplinary history. In In re Disciplinary Proceedings
Against Wright, 180 Wis. 2d 492, 509 N.W.2d 290 (1994), for
example, we concluded that an attorney's conversion of client
funds warranted license revocation, even though the attorney had
never been disciplined before. Here, Attorney Merry's
misconduct was arguably far more serious than that involved in
Wright: client funds can be replaced, but the harm caused by
Attorney Merry's improper use and very public revelation of
M.S.'s confidences cannot be undone; that bell cannot be
unrung. We therefore impose revocation as the next disciplinary
step for Attorney Merry.
¶39 We turn now to the issue of costs, which total
$16,853.92 as of December 20, 2023. Attorney Merry does not
dispute them. As is our normal practice, we deem it appropriate
to impose the full costs of this proceeding on him. See SCR
22.24(1m).
19
No. 2022AP35-D
¶40 We note that the OLR does not seek restitution. None
is ordered.
¶41 Finally, we note that, on August 3, 2022, several
months after the OLR filed its disciplinary complaint against
him, Attorney Merry filed a petition to voluntarily surrender
his law license. The court has not yet taken action on this
petition. We hereby deny it. See In re Disciplinary
Proceedings Against Snyder, 127 Wis. 2d 446, 380 N.W.2d 367
(1986) (voluntary resignation is an inappropriate disposition of
a disciplinary proceeding).
¶42 IT IS ORDERED that the license of Roger G. Merry is
revoked, effective the date of this order.
¶43 IT IS FURTHER ORDERED that Roger G. Merry's August 3,
2022 petition to voluntarily surrender his law license is
denied.
¶44 IT IS FURTHER ORDERED that, within 60 days of the date
of this order, Roger G. Merry must pay to the Office of Lawyer
Regulation the costs of this proceeding totaling $16,853.92.
¶45 IT IS FURTHER ORDERED that Roger G. Merry shall comply
with the requirements of SCR 22.26 pertaining to the duties of a
person whose license to practice law in Wisconsin has been
revoked.
¶46 IT IS FURTHER ORDERED that the administrative
suspensions of Roger G. Merry to practice law in Wisconsin for
failure to pay Wisconsin State Bar dues and failure to file a
trust account certification will remain in effect until each
20
No. 2022AP35-D
reason for the administrative suspension has been rectified,
pursuant to SCR 22.28(1).
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No. 2022AP35-D.akz
¶47 ANNETTE KINGSLAND ZIEGLER, C.J. (concurring). I
concur in the court's order revoking Attorney Merry's license to
practice law in Wisconsin. I write separately to point out that
in Wisconsin the "revocation" of an attorney's law license is
not truly revocation because the attorney may petition for
reinstatement after a period of five years. See SCR 22.29(2).
I believe that when it comes to lawyer discipline, courts should
say what they mean and mean what they say. We should not be
creating false perceptions to both the public and to the lawyer
seeking to practice law again. See In re Disciplinary
Proceedings Against Moodie, 2020 WI 39, 391 Wis. 2d 196, 942
N.W.2d 302 (Ziegler, J., dissenting). And, as I stated in my
dissent to this court's order denying Rule Petition 19-10, In
the Matter of Amending Supreme Court Rules Pertaining to
Permanent Revocation of a License to Practice Law in Attorney
Disciplinary Proceedings, I believe there may be rare and
unusual cases that would warrant the permanent revocation of an
attorney's license to practice law. See S. Ct. Order 19-10
(issued Dec. 18, 2019) (Ziegler, J., dissenting).
¶48 I am authorized to state that Justices REBECCA GRASSL
BRADLEY, BRIAN HAGEDORN, JILL J. KAROFSKY, and JANET C.
PROTASIEWICZ join this concurrence.
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No. 2022AP35-D.akz
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