In Re Ivy , 374 P.3d 374 ( 2016 )


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    THE SUPREME COURT OF THE STATE OF ALASKA
    In the Disciplinary Matter Involving               )
    )    Supreme Court No. S-15450
    DEBORAH IVY, Attorney.                             )    ABA File No. 2010D233
    )
    )    OPINION
    )
    )    No. 7106 – May 20, 2016
    Appeal from the Alaska Bar Association Disciplinary Board.
    Appearances: Charles E. Cole, Law Offices of Charles E.
    Cole, Fairbanks, for Deborah Ivy. Kevin G. Clarkson, Brena,
    Bell & Clarkson, P.C., Anchorage, for Alaska Bar
    Association.
    Before: Fabe, Chief Justice, Winfree, Stowers, and Bolger,
    Justices. [Maassen, Justice, not participating.]
    BOLGER, Justice.
    FABE, Chief Justice, dissenting.
    I.    INTRODUCTION
    After remand the Alaska Bar Association Disciplinary Board again
    recommends disbarring an attorney who testified falsely in private civil litigation and in
    these disciplinary proceedings. Previously we directed the Board to reconsider sanctions
    in light of our holding that the attorney violated Alaska Rule of Professional Conduct 8.4
    and Alaska Bar Rule 15, but not Rules of Professional Conduct 3.3 and 3.4, because the
    misconduct did not arise in a representative capacity. After independently reviewing the
    record, we now conclude that the severity of this misconduct warrants disbarment.
    II.   FACTS AND PROCEEDINGS
    We set out the facts and proceedings relevant to this bar matter in In re Ivy.1
    Here we recapitulate those facts most relevant to the imposition of sanctions.
    Deborah Ivy and her brother, David Kyzer, were involved for several years
    in now-settled litigation over the dissolution and unwinding of business organizations
    and joint property holdings of Ivy, Kyzer, their two sisters, and others. During that
    litigation, relations between Kyzer and Ivy grew so acrimonious that a no-contact order
    was issued in December 2007. This order prohibited in-person or telephone contact
    between Ivy and Kyzer without an attorney present and prohibited each party from
    coming within 500 feet of the other’s residence. Ivy subsequently testified that Kyzer
    made improper contact with her on three occasions after this order issued. In response
    Kyzer filed an ethics grievance with the Alaska Bar Association, claiming that Ivy
    fabricated these incidents, in violation of the Alaska Rules of Professional Conduct.
    Two of the alleged incidents bear on the sanctions inquiry. First, on
    January 7, 2008, Ivy provided a 30-minute statement to a police officer, claiming that
    Kyzer had stalked her at a women’s clothing store about ten days earlier. Based on Ivy’s
    statement and because Ivy claimed to be in hiding and did not want to come to the
    courthouse, the officer offered to request a telephonic hearing for a domestic violence
    restraining order. The day Ivy made the police report was the same day she was
    scheduled to give a deposition in the litigation with Kyzer. A few days before, on
    January 3, the superior court had denied Ivy’s motion to stay the deposition, and on
    January 4 we denied Ivy’s emergency motion to stay the superior court order denying
    her request. Ivy did not appear at the January 7 deposition despite having been ordered
    to do so. In response to a follow-up order to appear for the deposition, Ivy’s attorney
    1
    
    350 P.3d 758
     (Alaska 2015).
    -2-                                        7106
    reported the alleged stalking incident to the superior court. Ivy ultimately was deposed
    on March 13. At that deposition, Ivy testified about the alleged stalking incident. She
    described in great detail her movements among the various racks of clothing and the
    dressing rooms, Kyzer’s allegedly menacing use of his vehicle, and her response. The
    second incident occurred in July 2010 when Ivy claimed that Kyzer assaulted her in a
    courtroom and that his actions constituted criminal sexual assault. To support this claim,
    Ivy filed a Notice of Sexual Assault with the court accompanied by an affidavit
    describing the alleged incident.
    In December 2010 Kyzer filed an ethics grievance with the Alaska Bar
    Association, alleging that Ivy violated several Alaska Rules of Professional Conduct by
    falsely testifying that Kyzer stalked her and assaulted her in the courtroom. After an
    investigation by a special bar counsel and a hearing, the Area Hearing Committee found
    that Ivy knowingly provided false testimony at the deposition, in her affidavit, and
    during the disciplinary proceedings.
    Specifically the Committee found that Ivy’s testimony about the stalking
    incident was “not credible,” that her description of how Kyzer moved his vehicle in the
    clothing store parking lot was “not physically possible,” and that when confronted with
    this physical impossibility during cross-examination, Ivy “fabricated a new story,”
    continued to testify falsely, and did not acknowledge that her account was flawed. The
    Committee also found that courtroom video accurately depicted the alleged assault and
    largely contradicted Ivy’s claims. It further found it “not reasonably possible for
    someone to have experienced the inadvertent and minor bump of a brother attempting
    to be excused . . . and then to honestly or mistakenly believe that they had been sexually
    assaulted.” The Committee also noted that Ivy testified that she had not been mistaken
    and that she had not imagined or hallucinated the alleged courtroom assault.
    -3-                                      7106
    Based on clear and convincing evidence, the Committee concluded that Ivy
    violated Rules of Professional Conduct 3.3(a)(1) and (3); 3.4(b); 8.4(a), (b), and (c); and
    Bar Rule 15(a)(3). Applying this court’s three-step attorney sanctions inquiry,2 the
    Committee recommended disbarment given the ethical violations, Ivy’s intentional
    mental state, the serious actual or potential injury caused by her misconduct, the
    recommended sanction under the American Bar Association Standards for Imposing
    Lawyer Sanctions,3 and the balance of aggravating and mitigating factors. The
    Committee also recommended awarding $61,282.75 in attorney’s fees and costs, about
    $26,000 less than bar counsel requested. The Board adopted the Committee’s findings
    and recommendations in full. Ivy appealed.
    In that initial appeal we agreed with the Board’s findings about both the
    alleged stalking incident and the alleged courtroom assault.4 We also agreed that
    sufficient circumstantial evidence established that Ivy’s testimony was objectively false
    and that Ivy knew her testimony was not true.5 Accordingly we concluded that Ivy
    violated Rule of Professional Conduct 8.4 and Bar Rule 15.6 However because Ivy’s
    misconduct arose in a purely personal capacity, we concluded that Ivy did not violate
    2
    See In re Shea, 
    273 P.3d 612
    , 622 (Alaska 2012).
    3
    STANDARDS FOR IMPOSING LAWYER SANCTIONS, AM. BAR ASS’N (1992)
    [hereinafter ABA STANDARDS], http://www.americanbar.org/content/dam/aba/
    administrative/professional_responsibility/corrected_standards_sanctions_may2012_
    wfootnotes.authcheckdam.pdf.
    4
    In re Ivy, 350 P.3d at 761-62.
    5
    Id. at 762.
    6
    Id. at 759.
    -4-                                      7106
    Rules of Professional Conduct 3.3 and 3.4.7 Therefore we remanded the matter to the
    Board to reconsider sanctions.8 Finally we “f[ou]nd no fault” with the attorney’s fees
    and costs award.9 We indicated only that the Board “may revise the award if it
    determines that reconsideration . . . is warranted.”10
    Upon reconsideration, the Board again recommends disbarment and the
    same fee and cost award. Ivy again appeals.
    III.   STANDARD OF REVIEW
    We independently review the entire record in attorney disciplinary
    proceedings, but we give “great weight” to findings of fact made by the Board.11 When
    an attorney appeals the Board’s findings of fact, the attorney must demonstrate that such
    findings are erroneous.12 When reviewing questions of law and questions concerning the
    appropriateness of sanctions, we apply our independent judgment.13
    7
    Id. at 762-65.
    8
    Id. at 766.
    9
    Id.
    10
    Id.
    11
    In re Miles, 
    339 P.3d 1009
    , 1018 (Alaska 2014) (quoting In re Shea,
    
    273 P.3d 612
    , 619 (Alaska 2012)).
    12
    
    Id.
    13
    
    Id.
    -5-                                     7106
    IV.    DISCUSSION
    A.     Ivy’s Misconduct Warrants Disbarment.
    When sanctioning an attorney for misconduct, we seek to “ensure a level
    of consistency necessary for fairness to the public and the legal system.”14 “Our
    paramount concern . . . must be the protection of the public, the courts, and the legal
    profession.”15
    The American Bar Association Standards for Imposing Lawyer Sanctions
    (ABA Standards) and our prior cases guide us.16 First we characterize the attorney’s
    conduct in light of three variables: the ethical violation(s), the attorney’s mental state at
    the time of the misconduct, and the actual or potential injury the attorney’s misconduct
    caused.17 This three-variable characterization yields a presumptive sanction under the
    ABA Standards, which we then adjust in light of aggravating and mitigating factors18 and
    14
    In re Buckalew, 
    731 P.2d 48
    , 52 (Alaska 1986).
    15
    
    Id.
     at 56 (citing In re Preston, 
    616 P.2d 1
    , 6 (Alaska 1980); ABA
    STANDARDS, supra note 3, at § III.A.1.1).
    16
    In re Shea, 273 P.3d at 622.
    17
    Id. (citing In re Cyrus, 
    241 P.3d 890
    , 893 (Alaska 2010)).
    18
    
    Id.
     (citing In re Cyrus, 241 P.3d at 893).
    -6-                                       7106
    our prior cases.19 Throughout this inquiry we exercise our independent judgment,20 and
    we recognize the fact-specific nature of each case.21
    Ivy contends that her misconduct warrants a two-year suspension rather
    than the Board’s recommended sanction of disbarment. Applying our independent
    judgment, we agree with the Board.
    1.     Step one: ethical violation(s), mental state, and injury
    a.     Ethical violation(s)
    Previously we concluded that Ivy violated Bar Rule 15 and Rule of
    Professional Conduct 8.4.22 Nonetheless the parties dispute which subsections of these
    rules Ivy violated, specifically whether Ivy violated Rule 8.4(b).23 The nature of Ivy’s
    19
    See In re Wiederholt, 
    877 P.2d 765
    , 769 (Alaska 1994) (“[S]anctions in
    other cases can be no more than indicators of appropriate sanctions in a given case
    because of inevitable factual differences concerning not only the offense but the
    offender.” (first citing In re Buckalew, 731 P.2d at 57 nn.10-11; then citing In re Minor,
    
    658 P.2d 781
    , 784 (Alaska 1983))).
    20
    In re Shea, 273 P.3d at 623 (citing In re Cyrus, 241 P.3d at 892-93).
    21
    In re Wiederholt, 877 P.2d at 769 (first citing In re Buckalew, 731 P.2d
    at 57 nn.10-11; then citing Minor, 658 P.2d at 784).
    22
    In re Ivy, 
    350 P.3d 758
    , 759 (Alaska 2015).
    23
    As relevant here, Rule of Professional Conduct 8.4 provides:
    It is professional misconduct for a lawyer to:
    (a) violate or attempt to violate the Rules of Professional
    Conduct, knowingly assist or induce another to do so, or do
    so through the acts of another;
    (b) commit a criminal act that reflects adversely on the
    lawyer’s honesty, trustworthiness or fitness as a lawyer in
    other respects;
    (continued...)
    -7-                                      7106
    violation, which determines the subsections of Rule 8.4 Ivy violated, bears on how we
    characterize Ivy’s misconduct and accordingly affects our analysis of sanctions.
    We conclude, as the Board did, that Ivy violated Rule 8.4(b) — as well as
    (a) and (c) — because her false testimony constitutes a criminal act that reflects poorly
    on her integrity as an attorney. Under Rule 8.4(b) it is professional misconduct for an
    attorney to “commit a criminal act that reflects adversely on the lawyer’s honesty,
    trustworthiness or fitness as a lawyer in other respects.”24 Ivy argues that the Board has
    no authority to conclude that she violated Rule 8.4(b) because she was never convicted
    of perjury.
    Neither the text of Rule 8.4(b) nor the commentary to it requires an
    underlying criminal conviction. Rather, as In re Friedman demonstrates,25 Rule 8.4(b)
    contemplates the criminal nature of an attorney’s misconduct. In In re Friedman we
    concluded that an attorney violated former Disciplinary Rule 1–102(A)(3); that rule
    deemed it professional misconduct to “[e]ngage in illegal conduct involving moral
    turpitude.”26 We explained that, though the attorney had not been convicted of a crime,
    the attorney’s misconduct would have constituted criminal misapplication of property
    under Alaska law if he had committed the underlying acts in Alaska rather than in
    23
    (...continued)
    (c) engage in conduct involving dishonesty, fraud, deceit, or
    misrepresentation.
    24
    Alaska R. Prof. Conduct 8.4(b).
    25
    
    23 P.3d 620
     (Alaska 2001).
    26
    
    Id.
     at 629 n.32 (alteration in original) (quoting former Disciplinary Rule
    1–102(A)).
    -8-                                      7106
    California.27 But because the misconduct occurred elsewhere, it was beyond the reach
    of our penal laws.28 Like former Disciplinary Rule 1–102(A)(3), Rule 8.4(b) does not
    require an underlying criminal conviction for a violation to occur. Violating the rule
    requires only that an attorney engage in dishonest conduct that would be criminal under
    Alaska law.29
    Under AS 11.56.200 a person commits criminal perjury, a class B felony,30
    when “the person makes a false sworn statement which the person does not believe to
    be true.”31 The statement must be objectively false, and the person must know that the
    statement is false.32 The statute encompasses all false sworn statements, not just those
    27
    
    Id.
     at 629 n.33.
    28
    
    Id.
    29
    See Alaska R. Prof. Conduct 8.4(b) (“It is professional misconduct for a
    lawyer to . . . commit a criminal act that reflects adversely on the lawyer’s honesty,
    trustworthiness or fitness as a lawyer in other respects . . . .”); In re Friedman, 23 P.3d
    at 629 & nn.32-33.
    30
    AS 11.56.200(c).
    31
    AS 11.56.200(a).
    32
    LaParle v. State, 
    957 P.2d 330
    , 335 (Alaska App. 1998); Alaska Criminal
    Pattern Jury Instruction 11.56.200 (2009). Pattern Jury Instruction 11.56.200 provides:
    To prove that the defendant committed [the] crime [of
    perjury], the state must prove beyond a reasonable doubt each
    of the following elements:
    (1) the defendant knowingly made a sworn statement;
    (2) the statement was false; and
    (3) the defendant did not believe the sworn statement to be
    true.
    -9-                                     7106
    made in court.33 Under the Rules of Professional Conduct, the word “knowingly”
    “denotes actual knowledge of the fact in question.”34
    We already concluded that Ivy acted knowingly when she testified falsely,
    that Ivy’s testimony was objectively false, that circumstantial evidence supported the
    finding that Ivy knew her testimony was untrue, and that Ivy “did not credibly explain
    that she mistakenly believed it was true.”35 Such conclusions satisfy the elements of
    criminal perjury. Because perjury is a dishonest act, we conclude that Ivy violated
    Rule 8.4(b).
    We further conclude that Ivy violated Rules of Professional Conduct 8.4(a)
    and (c) and Bar Rule 15(a)(3). Our previous decision supports these conclusions: Ivy
    breached the Rules of Professional Conduct, which constitutes a violation of Rule of
    Professional Conduct 8.4(a); she engaged in dishonest conduct, which violates Rule of
    33
    AS 11.56.240(2) (defining “sworn statement”); Joseph v. State, 
    315 P.3d 678
    , 686 (Alaska App. 2013). AS 11.56.240 broadly defines statements to include
    “representation[s] of fact[,] . . . opinion, belief, [and] other state[s] of mind” when the
    statement “clearly relates to state of mind apart from or in addition to any facts that are
    the subject of the representation.” AS 11.56.240(1). Sworn statements include
    statements “knowingly given under oath . . . , including a notarized statement” and
    statements “knowingly given under penalty of perjury under AS 09.63.020.”
    AS 11.56.240(2). AS 09.63.020 governs certified documents.
    34
    Alaska R. Prof. Conduct 9.1(h); see also In re Ivy, 
    350 P.3d 758
    , 762
    (Alaska 2015) (explaining that “ ‘knowingly’ making false statement for purposes of
    Rules [of Professional Conduct] requires both that statement be false and that speaker
    know so”).
    35
    In re Ivy, 350 P.3d at 762.
    -10-                                    7106
    Professional Conduct 8.4(c); and she knowingly misrepresented facts and circumstances
    in this grievance proceeding, which violates Bar Rule 15(a)(3).36
    b.     Mental state
    The record supports the finding that Ivy acted intentionally when she
    testified falsely in the litigation with Kyzer and in these disciplinary proceedings.
    Neither the Rules of Professional Conduct nor the Bar Rules define “intentional”
    conduct. The ABA Standards, which we follow, define “intent” as “the conscious
    objective or purpose to accomplish a particular result.”37 Intent does not require
    malfeasance,38 and circumstantial evidence can support a finding of intent.39
    We previously concluded that Ivy acted, at minimum, knowingly when she
    testified falsely.40 We cited Ivy’s motive to lie, the “incredibility of [her] testimony,” the
    strong evidence contradicting her accounts, her persistence in asserting her claims
    despite such evidence, and her failure to demonstrate that her ability to perceive was
    compromised.41 These facts and others also support the finding that Ivy acted with
    intent: Ivy made a police report accusing Kyzer of stalking on the same day she was
    scheduled to give a deposition in the litigation with him — and after her requests to stay
    36
    See id. at 761-62, 766.
    37
    ABA STANDARDS, supra note 3, at § III (definitions).
    38
    In re West, 
    805 P.2d 351
    , 356 (Alaska 1991) (citing the ABA Standards).
    39
    In re Ivy, 350 P.3d at 762 & n.11 (citing Adams v. Adams, 
    131 P.3d 464
    ,
    466-67 (Alaska 2006)); In re Friedman, 
    23 P.3d 620
    , 626 (Alaska 2001) (“[I]t is
    permissible to infer that an accused intends the natural and probable consequences of his
    or her knowing actions.” (quoting In re Triem, 
    929 P.2d 634
    , 648 (Alaska 1996))).
    40
    In re Ivy, 350 P.3d at 762.
    41
    Id.
    -11-                                        7106
    that deposition already had been denied. She subsequently testified about the alleged
    stalking in great detail. And, in this appeal, she admits acting with a selfish motive when
    giving that testimony. She also continues to rationalize her previous stories rather than
    acknowledge their incredibility.
    Such circumstantial evidence supports the finding that Ivy sought to
    manipulate the litigation with Kyzer and these disciplinary proceedings. Therefore we
    agree with the Board that Ivy acted intentionally.
    c.      Injury and potential injury
    We also conclude that Ivy’s misconduct caused serious actual or potential
    injury to Kyzer and to the legal system, but not to the public or to the legal profession.
    The ABA Standards define injury according to the type of duty violated and the extent
    of actual or potential harm.42 Harm ranges from “serious” to “little or no” injury.43
    Potential injury is harm that is “reasonably foreseeable at the time of the lawyer’s
    misconduct, and which, but for some intervening factor or event, would probably have
    resulted from the lawyer’s misconduct.”44
    Ivy contends that she did not cause serious harm to Kyzer, citing a lack of
    “clear and convincing evidence” in the record. She further contends that whatever
    potential injury she caused to him was “limited.”
    As an initial matter, evidence of injury and potential injury need not reach
    the clear and convincing evidentiary threshold. The ABA Standards, which guide us in
    42
    ABA STANDARDS, supra note 3, at §§ II, III.
    43
    Id.
    44
    Id. at § III.
    -12-                                      7106
    assessing sanctions,45 “are designed for use in imposing a sanction or sanctions following
    a determination by clear and convincing evidence” of an ethical violation.46 Accordingly
    we engage in a two-part inquiry. First we ask if clear and convincing evidence supports
    concluding that an attorney violated the ethical rules.47 If we answer in the affirmative,
    we then consider what level of discipline to impose.48 We have never before applied the
    clear and convincing evidentiary threshold to this latter inquiry.
    The extreme nature of Ivy’s accusations supports our conclusion that Ivy
    caused Kyzer serious actual or potential injury. Ivy accused Kyzer of criminal sexual
    assault, a class B felony,49 and filed an affidavit with the court supporting the allegation.
    Ivy also enlisted the justice system by making a police report accusing Kyzer of stalking,
    a class A misdemeanor.50 She subsequently testified about the alleged stalking incident
    in detail.
    However incredible, such accusations threaten to impose a considerable toll
    on the accused. A class B felony conviction for criminal sexual assault could result in
    45
    In re Friedman, 
    23 P.3d 620
    , 625 (Alaska 2001).
    46
    ABA STANDARDS, supra note 3, at § III.A.1.3 (emphasis added).
    47
    Alaska Bar R. 22(e) (“Bar Counsel will have the burden at any hearing of
    demonstrating by clear and convincing evidence that the Respondent has . . . committed
    misconduct as provided in [Bar] Rule 15.”).
    48
    See Alaska Bar R. 15 (defining grounds for attorney discipline); see also
    In re Buckalew, 
    731 P.2d 48
    , 52 (Alaska 1986) (adopting ABA framework for imposing
    attorney discipline sanctions).
    49
    AS 11.41.420(b).
    50
    AS 11.41.270(c).
    -13-                                       7106
    a ten-year prison sentence.51 A class A misdemeanor conviction for criminal stalking
    could result in a one-year prison sentence.52 Threats of criminal sanctions stand to
    tarnish the reputation of the accused and to cause emotional distress for the accused and
    his or her loved ones. For protection a person might reasonably seek legal advice, as
    Kyzer apparently did here. Moreover Ivy’s false accusation about the stalking delayed
    the litigation; her deposition scheduled for January was conducted in March. This delay
    could have caused Kyzer to incur substantial, and unnecessary, legal costs.
    We also conclude that Ivy’s misconduct caused serious injury or serious
    potential injury to the legal system. An attorney’s duties to the legal system include
    abiding by the substantive and procedural rules that “shape the administration of justice,”
    not using or creating false evidence, and generally refraining from illegal and other
    improper conduct.53
    Ivy argues that neither the deposition nor the affidavit caused serious harm
    to the legal system because the litigation settled “[s]oon after” she testified falsely at the
    deposition. But Ivy misconstrues the timeline of the litigation. After she testified falsely
    about the alleged stalking incident at the deposition, the litigation continued for at least
    another two years; in mid-2010 she falsely alleged that Kyzer assaulted her in a
    courtroom. And as explained, Ivy’s false testimony about the stalking incident delayed
    the litigation with Kyzer. This delay, at minimum, threatened to impose a substantial and
    unnecessary burden on the judicial system. We recognize that “lengthy and duplicative
    51
    AS 12.55.125(d).
    52
    AS 12.55.135(a).
    53
    ABA STANDARDS, supra note 3, at § II (theoretical framework).
    -14-                                        7106
    filings,” similar to those here, can impose significant costs.54 And failing to timely
    comply with discovery requests, as Ivy did, can seriously interfere with proceedings.55
    Further, as the Board concluded, Ivy’s false testimony about Kyzer could have led the
    court to reach false conclusions about the credibility of witnesses. Such a risk also poses
    serious injury to the legal system.
    However the record does not support concluding that Ivy caused serious
    actual or potential injury to either the public or the legal profession. Duties that attorneys
    owe to the public emphasize the public’s right “to trust lawyers to protect their property,
    liberty, and lives” and the expectation that lawyers act honestly and refrain from conduct
    that interferes with the administration of justice.56 Duties to the legal profession similarly
    include maintaining the integrity of the profession.57
    We recognize that actions falling below the ABA’s standard of conduct
    diminish the public’s confidence in attorneys.58 Such conduct also threatens the integrity
    of the legal profession.59 But here there was little risk of such harm. The record does not
    suggest that the public was aware of Ivy’s misconduct. And Ivy claims that she has not
    practiced law in 15 years. If this is true, then she has no current clients who would
    54
    In re Shea, 
    273 P.3d 612
    , 622 (Alaska 2012).
    55
    In re Rice, 
    260 P.3d 1020
    , 1032 (Alaska 2011).
    56
    ABA STANDARDS, supra note 3, at § II.
    57
    Id.
    58
    In re Hanlon, 
    110 P.3d 937
    , 947 (Alaska 2005) (“[E]ven minor violations
    of law by a lawyer may tend to lessen public confidence in the legal profession.”
    (quoting In re West, 
    805 P.2d 351
    , 355 (Alaska 1991))).
    59
    
    Id.
    -15-                                        7106
    become aware of this disciplinary action.60 Therefore the record does not support serious
    actual or potential injury to the public or to the legal profession.
    2.     Step two: presumptive sanction
    If there are multiple instances of misconduct, “[t]he ultimate sanction
    imposed should at least be consistent with the sanction for the most serious instance of
    misconduct . . . and generally should be greater than the sanction for the most serious
    misconduct.”61 The ABA Standards favor disbarment in this case. For example,
    Standard 5.11(b) recommends disbarment when an attorney intentionally engages in
    dishonest conduct that “seriously adversely reflects on the lawyer’s fitness to practice
    [law],” as Ivy did here. Similarly Standard 6.11 recommends disbarment when an
    attorney acts “with the intent to deceive the court, makes a false statement, [or] submits
    a false document . . . [that] causes serious or potentially serious injury,” as Ivy also did.
    Therefore disbarment, the most severe sanction under the ABA Standards, is the baseline
    against which we weigh aggravating and mitigating factors62 — a starting point which
    the dissent does not appear to dispute.63
    60
    The Bar Association did not refute Ivy’s claim, and no evidence in the
    record suggests otherwise.
    61
    ABA STANDARDS, supra note 3, at § II (theoretical framework).
    62
    The parties dispute whether ABA Standard 5.11(a) also favors disbarment.
    This dispute is not material to our analysis; the ABA Standards already point to the most
    severe sanction. See In re Schuler, 
    818 P.2d 138
    , 142 (Alaska 1991) (concluding that
    it made “no difference” whether misconduct violated ABA Standard 5.11(a) or 5.11(b)
    because both standards recommend disbarment); ABA STANDARDS, supra note 3, at § II
    (“The ultimate sanction imposed should at least be consistent with the sanction for the
    most serious instance of misconduct.”).
    63
    See Dissent at 31-44.
    -16-                                       7106
    3.     Step three: aggravating and mitigating factors
    The ABA Standards provide a nonexclusive list of aggravating and
    mitigating factors that, on balance, may counsel in favor of modifying the presumptive
    sanction.64 When the ABA Standards recommend disbarment, aggravating factors are
    relevant “only to the extent that they neutralize the mitigating factors.”65
    The Bar Association and Ivy dispute which aggravating and mitigating
    factors exist and how the factors affect the appropriate sanction. The Board cited several
    aggravating factors but only one mitigating factor and accordingly concluded that the
    aggravating factors outweighed the single mitigating factor.66
    “We independently review the entire record in attorney disciplinary
    proceedings, though findings of fact made by the Board are entitled to great weight.”67
    We agree with the Board’s ultimate conclusion: The aggravating factors outweigh the
    single mitigating factor. However we disagree with some of the Board’s analysis.
    Like the Board, we conclude that the record supports several aggravating
    factors. As explained, the record establishes that Ivy acted selfishly. Ivy admits that she
    64
    See ABA STANDARDS, supra note 3, at § III.C.9.0.
    65
    In re Friedman, 
    23 P.3d 620
    , 632 (Alaska 2001).
    66
    The Board found aggravating factors including a dishonest and selfish
    motive; a pattern of misconduct; multiple offenses; Ivy’s repeated false statements in the
    disciplinary hearing; Ivy’s failure to acknowledge any wrongful conduct; Ivy’s
    experience as an attorney (noting her admission in 1984 and her work at a law firm); a
    failure to make any restitution efforts until Kyzer’s motion for them in the disciplinary
    proceedings; and Kyzer’s potential vulnerability as a result of psychological issues. On
    appeal the Bar Association claims many of the same factors except it does not claim
    Ivy’s apparent failure to make restitution or Kyzer’s vulnerability.
    67
    In re Miles, 
    339 P.3d 1009
    , 1018 (Alaska 2014) (quoting In re Shea, 
    273 P.3d 612
    , 619 (Alaska 2012)).
    -17-                                      7106
    acted selfishly in her briefing; her persistent pattern of behavior, the timing of her false
    accusations, and her failure to acknowledge past wrongs further support the conclusion.68
    These same facts and circumstances also support several other aggravating factors: a
    pattern of misconduct, multiple offenses, repeatedly making false statements in the
    disciplinary proceedings, refusing to acknowledge past wrongs, and illegal conduct.69
    But the record does not support the Board’s conclusion that psychological
    issues made Kyzer vulnerable. Rather the Committee noted that the Committee
    prevented Ivy from discovering her brother’s “personal information.” And we find no
    evidence that might otherwise support the finding. “[T]he Bar has the burden of
    demonstrating its initial charges against a respondent attorney.”70 Ivy’s experience
    practicing law also should not be considered an aggravating factor. The mere facts that
    Ivy was admitted to practice in 1984 and once worked at a law firm bear little weight,
    particularly when nothing in the record refutes Ivy’s claim that she has not practiced in
    15 years.
    As for mitigating factors the Board found one, no prior disciplinary
    offenses. And it explained why it gave little weight to Ivy’s claims that she suffered
    personal or emotional problems: Ivy “unequivocally denied any past delusional thinking
    or hallucinatory episodes”; she “offered no evidence from any mental health
    professional”; and given her conduct in the proceedings, the validity of her claims about
    the “past altercations she had been subject to at the hands of her brother” could not be
    ascertained — “her testimony . . . standing alone . . . was not credible.” Accordingly the
    68
    See supra Part IV.A.1.b.
    69
    See ABA STANDARDS, supra note 3, at § III.C.9.22.
    70
    In re Rice, 
    260 P.3d 1020
    , 1033 (Alaska 2011).
    -18-                                       7106
    Board determined it was “not qualified to assess how [the alleged] problems may (or may
    not) have contributed to Ms. Ivy’s wrongful actions.”
    We agree with the Board’s conclusions on mitigating factors. The record
    lacks evidence of a disciplinary history; this absence qualifies as a mitigating factor.71
    But, as the Board found, the record also lacks evidence of personal or emotional
    problems. Ivy affirmatively denied such problems, and she produced no evidence
    supporting how her alleged fear of her brother might support the finding. We give “great
    weight” to the Board’s factual findings;72 on appeal the respondent attorney “bears the
    burden of proof in demonstrating that such findings are erroneous.”73 The record
    supports the Board’s findings, and Ivy does not demonstrate how the Board’s findings
    are erroneous. Accordingly we conclude, like the Board, that this mitigating factor is
    entitled to little, if any, weight. Finally, Ivy’s pattern of dishonesty also does not support
    her claim to good character, an available mitigating factor under the ABA Standards.74
    71
    See ABA STANDARDS, supra note 3, at § III.C.9.32(a).
    72
    In re Miles, 339 P.3d at 1018 (quoting In re Rice, 260 P.3d at 1027); see
    also In re Triem, 
    929 P.2d 634
    , 640 (Alaska 1996) (“As a general rule . . . we ordinarily
    will not disturb findings of fact made upon conflicting evidence.” (quoting In re West,
    
    805 P.2d 351
    , 353 n.3 (Alaska 1991))); 
    id.
     at 643 & n.12 (“The committee’s finding of
    dishonesty by Triem during the disciplinary process is adequately supported by the
    record and we do not find it to be clearly erroneous.”).
    73
    In re Miles, 339 P.3d at 1018 (quoting In re Rice, 260 P.3d at 1027).
    74
    See ABA STANDARDS, supra note 3, at § III.C.9.32(g). Ivy also claims
    several other mitigating factors such as an apparent delay in the filing of the grievance,
    the attorney’s fees and cost award, the fact she likely will not commit similar misconduct
    again, and the non-representative context in which her misconduct arose. We find no
    support under our prior cases or in the record for Ivy’s claims.
    -19-                                        7106
    We now weigh these aggravating and mitigating factors against the ABA-
    recommended sanction of disbarment. “[T]here is no ‘magic formula’ ” for balancing
    aggravating and mitigating factors.75 Each case demands an independent inquiry76 in
    light of the “nature and gravity of the lawyer’s misconduct.”77 In balancing the factors,
    we are sensitive to the risk of double counting.78 This double-counting risk can arise
    between the factors themselves; it also can arise when the ABA-recommended sanction
    or underlying ethical violation turns on the same facts as an aggravating or mitigating
    factor. We account for this double-counting risk by weighing the factors in light of the
    circumstances.
    We conclude, similar to the dissent,79 that several of the aggravating factors
    are repetitious under the circumstances here. For example, Ivy’s misconduct —
    repeatedly lying under oath — supports several aggravating factors: a pattern of
    misconduct, multiple offenses, a dishonest motive, deceptive practices during the
    disciplinary proceedings, a refusal to acknowledge misconduct, and illegal conduct.80
    75
    In re Hanlon, 
    110 P.3d 937
    , 942 (Alaska 2005) (quoting In re Friedman,
    
    23 P.3d 620
    , 633 (Alaska 2001)).
    76
    Id. at 943.
    77
    In re Buckalew, 
    731 P.2d 48
    , 54 (Alaska 1986).
    78
    Cf. Juneby v. State (Juneby II), 
    665 P.2d 30
    , 36 (Alaska App. 1983)
    (“[P]resumptive terms are intended to be applicable in typical cases, and not in
    aggravated or mitigated cases . . . .”); Juneby v. State (Juneby I), 
    641 P.2d 823
    , 838-39
    (Alaska App. 1982), opinion modified and superseded on reh’g on other grounds,
    
    665 P.2d 30
     (Alaska App. 1983) (explaining how to apply aggravating and mitigating
    factors when imposing criminal sanctions).
    79
    See Dissent at 32-35.
    80
    See ABA STANDARDS, supra note 3, at § III.C.9.22.
    -20-                                       7106
    To avoid doubly aggravating the sanction for precisely the same acts,81 we consider the
    repetitious nature of these factors and weigh them accordingly. Here because Ivy’s
    pattern of misconduct and multiple offenses (both aggravating factors) turn on precisely
    the same conduct, we give only Ivy’s pattern of misconduct — but not multiple offenses
    — weight at the balancing stage. By contrast, we give some weight to factors that do not
    turn on exactly the same facts; here this includes Ivy’s pattern of misconduct, her
    dishonest motive, the illegal nature of her misconduct, deceptive practices in the
    disciplinary process, and her refusal to acknowledge the wrongfulness of her conduct.
    We also account for repetition between the facts supporting an aggravating
    factor and the facts supporting an element of the presumptive sanction or the underlying
    ethical violation. But the mere existence of repetition does not mean we ignore the
    aggravating factor at the balancing stage. “[P]resumptive terms are intended to be
    applicable in typical cases, and not in aggravated or mitigated cases.”82 When an
    attorney’s misconduct exceeds the typical case, we give some weight to the aggravating
    factor.
    Ivy’s misconduct exceeds the typical case: She lied in a complex lawsuit
    involving multiple parties, she falsely reported that her brother had committed criminal
    acts against her, and she lied in these proceedings to evade discipline for that
    misconduct. Thus though repetition exists between the aggravating factors and the
    elements of the presumptive sanction (e.g., Ivy’s selfish motive)83 and between the
    81
    Cf. Juneby I, 
    641 P.2d at 842
     (“precisely the same acts” should not be used
    to “doubly aggravate[]” offense).
    82
    Juneby II, 
    665 P.2d at 36
    .
    83
    For example, ABA Standards 5.11(b) and 6.11 apply only when an attorney
    acts intentionally. We concluded that Ivy acted intentionally in part because we found
    (continued...)
    -21-                                   7106
    aggravating factors and the elements of the underlying ethical violations (e.g., Ivy’s
    dishonest conduct),84 we give some weight to these aggravating factors at the balancing
    stage. But in doing so we account for the double-counting risk, which arises from the
    similarity of the factual circumstances, by appropriately weighing the factors.
    Acknowledging the risk of double counting, we conclude that the five
    aggravating factors — Ivy’s pattern of misconduct, its illegal nature, her dishonest
    motive, deceptive practices during the disciplinary process, and refusal to acknowledge
    the wrongfulness of her actions — outweigh the single mitigating factor, Ivy’s lack of
    disciplinary record.       Therefore we do not reduce the presumptive sanction of
    disbarment.85
    4.     Our case law
    Our prior cases also support disbarment.86 Previously we have reduced an
    ABA-recommended sanction given the presence of several compelling mitigating factors,
    83
    (...continued)
    she acted selfishly; Ivy’s selfish motive is also an aggravating factor. If Ivy’s
    misconduct reflected the typical case, we would not give Ivy’s selfish motive any weight
    at the balancing stage.
    84
    For example, Alaska Rule of Professional Conduct 8.4(c) and Bar
    Rule 15(a)(3) are violated only when an attorney engages in dishonest conduct. Here
    such dishonest conduct also supports several aggravating factors, including a pattern of
    misconduct, multiple offenses, and obstruction of the disciplinary process. But because
    Ivy’s misconduct exceeds the typical case, we give these factors some weight at the
    balancing stage.
    85
    See In re Friedman, 
    23 P.3d 620
    , 632 (Alaska 2001) (when ABA Standards
    recommend disbarment, aggravating factors are relevant “only to the extent that they
    neutralize the mitigating factors.”).
    86
    See In re Buckalew, 
    731 P.2d 48
    , 52 (Alaska 1986) (We consider our
    precedents to “ensure a level of consistency necessary for fairness to the public and the
    legal system.”).
    -22-                                   7106
    such as evident remorse, active efforts to remedy the problems caused, and voluntarily
    notifying authorities about the misconduct soon after it occurred.87 Such compelling
    mitigating factors are entirely absent here. Instead Ivy continues her fabrications, and
    she actively denies any misconduct. Further the only factor counseling against
    disbarment is Ivy’s lack of disciplinary record. Even for a practicing attorney this factor
    is not particularly compelling. Yet here Ivy apparently has not practiced for 15 years;
    accordingly the fact that she has not faced any discipline during this period is
    unremarkable. And though we have explained that we “place a great deal of weight on
    the absence of dishonest and selfish motives,”88 such circumstances are not present
    here.89
    87
    See, e.g., In re Friedman, 23 P.3d at 632-34 (suspending attorney for three
    years, despite ABA-recommended disbarment, for mismanaging client funds and felony
    conduct given compelling mitigating factors including remorse, evidence that attorney
    had taken “significant measures” to remedy the problems caused, and good character);
    In re Mann, 
    853 P.2d 1115
    , 1117-20 (Alaska 1993) (suspending attorney for three years,
    despite ABA-recommended disbarment, for misappropriating client funds given
    compelling mitigating factors including strong evidence of remorse, well-established
    personal and emotional problems, and voluntarily turning himself in to police within one
    month of misconduct when misconduct likely would have gone undiscovered).
    88
    In re Rice, 
    260 P.3d 1020
    , 1033 (Alaska 2011).
    89
    Given the absence of compelling mitigating factors, we find the dissent’s
    reliance on cases like In re Schuler and In re Stump misplaced. Dissent at 38-40. In re
    Schuler reduced the presumptive sanction of disbarment for a conviction of misdemeanor
    theft because of the absence of any aggravating factors and the presence of several
    compelling mitigating factors, including the lack of a prior disciplinary record, personal
    and emotional problems for which the attorney was treated by a psychiatrist, criminal
    sanctions that imposed a 1.5-year probation and 100 hours of community service, the
    attorney’s evident remorse, and fact the attorney’s misconduct arose from a self-
    destructive motive — not from a desire for personal gain, as here. 
    818 P.2d 138
    , 139-45
    (Alaska 1991).
    (continued...)
    -23-                                      7106
    By contrast, when aggravating factors outweigh mitigating factors we
    impose the more severe sanction, including disbarment.90 A “lack of cooperation” in the
    disciplinary proceedings — or deliberate interference, as here — merits “additional
    disciplinary action.”91 We also have found disbarment warranted when the attorney’s
    misconduct threatens significant injury and when it is part of a larger scheme to defraud,
    as we did in In re Buckalew.92 Under such circumstances, disbarment may be warranted
    even if compelling mitigating factors might otherwise favor a lesser sanction.93 Ivy’s
    89
    (...continued)
    Similarly in In re Stump the attorney admitted to the alleged acts of
    professional misconduct, and he presented evidence of several mitigating factors,
    including emotional concerns arising from his wife’s health and notification to counsel
    of his misconduct. 
    621 P.2d 263
    , 263-66 (Alaska 1980). Moreover, though In re Stump
    cited a preliminary draft of the ABA Standards, as the dissent notes, dissent at 40 n.30,
    the court’s reliance on the draft standards was minimal. It cited the draft only to frame
    the respondent attorney’s argument, 
    id.
     at 265 & n.6, and to support the rather
    fundamental assertion that we consider the facts of each case. 
    Id.
     at 265-66 & n.10. We
    adopted the ABA Standards six years after In re Stump; that 1986 version recommended
    sanctions based on cases decided between 1980 and 1984, data which post-dates our
    decision in In re Stump. In re Buckalew, 
    731 P.2d 48
    , 51 & n.10 (Alaska 1986).
    90
    See, e.g., In re Miles, 
    339 P.3d 1009
    , 1018-20 (Alaska 2014) (disbarring
    attorney for defrauding client and committing criminal theft, per ABA recommendation,
    when several aggravating factors neutralized the single mitigating factor, cooperation in
    disciplinary proceedings).
    91
    In re Rice, 260 P.3d at 1036.
    92
    
    731 P.2d 48
    , 53-56 (Alaska 1987) (rejecting five-year suspension as
    insufficient for knowing conversion of client funds and forging of a judge’s signature
    despite compelling mitigating factors, including mental and emotional problems, given
    significant risk of serious injury to client and legal system); see also In re Rice, 260 P.3d
    at 1036 (explaining In re Buckalew, 
    731 P.2d 48
    ).
    93
    See, e.g., In re Buckalew, 731 P.2d at 53-56 (identifying as mitigating
    (continued...)
    -24-                                       7106
    misconduct threatened substantial injury, it was calculated to influence the litigation with
    Kyzer and these disciplinary proceedings, and the record lacks evidence of any
    compelling mitigating factors.
    To conclude that disbarment is too severe, the dissent analogizes to our
    brief order in In re Purdy approving a stipulated five-year suspension.94 But simply
    because we approved the stipulation does not mean we agree with all of its analysis.
    Contrary to the stipulation’s conclusion, the non-representative context does not
    constitute a mitigating factor. Like aggravating factors, we do not mitigate a presumptive
    sanction when the presumptive sanction and the mitigating factor turn on exactly the
    same facts.95 Under the ABA Standards the presumptive sanction accounts for the non-
    representative context. Similar to the Alaska Rules of Professional Conduct,96 the
    Standards categorize recommended sanctions based on the context in which an attorney’s
    misconduct arises. For example, ABA Standards 4.0 to 4.6 guide the presumptive
    sanction when an attorney’s misconduct implicates duties owed to clients; the more
    93
    (...continued)
    factors mental and emotional problems, cooperation and disclosure after law partner
    discovered misconduct, and no record of prior misconduct). The dissent distinguishes
    In re Buckalew and other cases in which we have imposed disbarment on the grounds
    that the attorneys’ conduct in those cases was far more culpable. Dissent at 41-42.
    While this may be true, extreme cases do not establish the minimum threshold for
    imposing a sanction. Rather our case law guides us in evaluating the ABA-
    recommended baseline.
    94
    Dissent at 38-39 (citing In re Purdy, No. S-08996 (Alaska Supreme Court
    Order, Mar. 26, 1999)).
    95
    See supra Part IV.A.3.
    96
    See In re Ivy, 
    350 P.3d 758
    , 762-65 (Alaska 2015) (holding that Rules 3.3
    and 3.4 did not apply to Ivy’s misconduct “because these rules are intended to govern
    attorneys when they are acting as advocates and not in their personal capacities”).
    -25-                                       7106
    severe the conduct with respect to a client, the more severe the sanction. By contrast,
    and as here,97 ABA Standards 5.0 to 5.2 guide the presumptive sanction when the
    misconduct implicates duties owed to the public, and ABA Standards 6.0 to 6.3 guide
    the presumptive sanction when the misconduct violates duties owed to the legal system.
    Sanctions for such violations may include disbarment regardless of whether the
    misconduct relates to client matters.98 The context in which an attorney’s misconduct
    arises also might affect our evaluation of the severity of harm, as it did here;99 this
    variable may affect the presumptive sanction.100 Under our framework, we account for
    the context before we arrive at the presumptive sanction.101
    97
    See supra Part IV.A.2.
    98
    See, e.g., ABASTANDARDS, supra note 3, at § III.C.5.11(b) (recommending
    disbarment when attorney engages in “intentional conduct involving dishonesty . . . that
    seriously adversely reflects on the lawyer’s fitness to practice”); id. § III.C.6.11
    (recommending disbarment when attorney, “with the intent to deceive the court, makes
    a false statement . . . and causes serious or potentially serious injury to a party, or causes
    a significant or potentially significant adverse effect on the legal proceeding”).
    99
    See supra Part IV.A.1.c.
    100
    Compare ABA STANDARDS, supra note 3, at § III.C.5.11(b)
    (recommending disbarment regardless of whether misconduct presents risk of serious
    harm), with id. § III.C.6.11 (recommending disbarment only if misconduct presents risk
    of serious harm).
    101
    At most, In re Purdy presents another example of mitigating factors
    outweighing aggravating factors. The stipulation in In re Purdy, unlike here, found
    evidence of several mitigating factors, which we previously have found compelling:
    cooperation in the disciplinary proceedings (assisting bar counsel in its investigation,
    consenting to discipline), a good reputation for sound judgment, honesty, and public
    service (as evidenced by letters of public support), other sanctions (criminal sentence,
    extended probation at place of employment, harmful publicity), and evident remorse. In
    re Purdy, No. S-08996 (Stipulation for Suspension, filed Mar. 8, 1999, at 10-11). The
    (continued...)
    -26-                                        7106
    Further the severity of Ivy’s misconduct and the lack of compelling
    mitigating factors distinguishes In re Purdy. Purdy lied in an administrative matter
    involving only herself in an effort to get a personal advantage vis-à-vis the
    government.102 Ivy lied in a complex lawsuit involving multiple parties, including her
    brother; she lied to the police, in a deposition, and to the court in an affidavit — all in an
    effort to get her brother in trouble and to obtain an unfair advantage over her brother in
    that litigation. Given the seriousness of and risk of harm from Ivy’s lies about her
    brother, Purdy’s lies pale in comparison. The important distinction is that without
    discussing Purdy’s stipulated facts and the three-step ABA analysis for Purdy’s
    suspension, including aggravating and mitigating factors, drawing useful comparisons
    is difficult. Only if the analytic framework — including the ABA starting point and the
    aggravating and mitigating factors — is irrelevant does In re Purdy’s outcome become
    relevant to the result here.103
    We demand that attorneys act with integrity whether or not they are
    representing a client:
    Once admitted [to the bar], the requirement of good moral
    character does not cease to exist. . . . Society allows the legal
    profession the privilege of self-regulation. Thus, it is of the
    101
    (...continued)
    stipulation cited only three aggravating factors, two of which overlap with the
    presumptive sanction and the ethical violation: a dishonest/selfish motive, a pattern of
    misconduct, and a prior private admonition for misconduct. Id.
    102
    In re Purdy, No. S-08156 at 1-4 (Alaska Supreme Court Order, Nov. 18,
    1998).
    103
    In re Purdy, No. S-08996. The dissent also points to In re Stepovich,
    
    143 P.3d 963
     (Alaska 2006). Dissent at 41-42. But like In re Purdy, the brief decision
    in In re Stepovich does not provide insight into the court’s rationale; thus that case also
    does not facilitate meaningful comparison.
    -27-                                       7106
    utmost importance that the public have confidence in the
    profession’s ability to discipline itself . . . .[104]
    Under the ABA Standards and our case law, Ivy’s lack of integrity, self-interested
    motives, and evident disregard for how her misconduct gravely threatened others and the
    legal system warrants disbarment.
    B.     The Record Supports The Board’s Attorney’s Fees And Costs Award.
    Ivy contends that, at minimum, the Board’s attorney’s fees and costs award
    should be “dramatically reduced.” Previously we found “no fault with the attorney’s fees
    award.”105 We determined that the Board complied with Alaska Bar Rule 16(c)(3),
    which authorizes disciplinary boards to award attorney’s fees and costs upon
    consideration of ten statutorily enumerated factors.106 And we explained that even if Ivy
    had properly raised the issue of attorney’s fees and costs, it was “not apparent from th[e]
    record how the Bar Association’s fees and costs would have been different had it based
    its investigation and proceeding solely on Ivy’s violation of Rule 8.4.”107            We
    accordingly acknowledged that the Board “may revise the award,” but we did not require
    the Board to do so.108
    As before Ivy does not demonstrate why the Board’s award is flawed.
    Under Bar Rule 16(c)(3), the amount of an award does not turn on who prevailed on a
    given issue. Instead the Rule requires the Board to consider, among other factors, “the
    104
    In re Buckalew, 731 P.2d at 56.
    105
    In re Ivy, 
    350 P.3d 758
    , 766 (Alaska 2015).
    106
    
    Id.
     at 765-66 & n.35.
    107
    
    Id.
     at 765-66 & n.34 (issue of attorney’s fees waived because it was not
    addressed in opening brief).
    108
    
    Id. at 766
    .
    -28-                                      7106
    reasonableness of the number of hours expended by Bar Counsel and the reasonableness
    of the costs incurred”109 as well as “the relationship between the amount of work
    performed by Bar Counsel and the significance of the matters at stake.”110 The Bar
    Association made sound arguments that related to an issue of first impression: Never
    before had we considered whether Rules of Professional Conduct 3.3 and 3.4 apply in
    the non-representative context, neither rule refers to a client relationship, and neither
    necessarily implies a representative context.      Simply because Ivy prevailed in her
    argument that Rules 3.3 and 3.4 did not apply does not render the attorney’s fee and cost
    award too high.
    Moreover, under Bar Rule 16(c)(3), the Board also shall consider “the
    duration of the case,”111 “the reasonableness of the defenses raised by the Respondent,”112
    and the respondent’s “vexatious or bad faith conduct.”113 We give “great weight” to the
    Board’s findings of fact;114 such findings include facts related to the attorney’s conduct
    in the disciplinary proceedings. Here the Board found that the disciplinary matter had
    lasted for more than two years and that Ivy had acted unreasonably, including by
    refusing “to admit the falsity of her affidavit and deposition testimony” and by asserting
    a “defense of not ‘knowingly’ . . . offer[ing] false testimony” — despite presenting no
    109
    Alaska Bar R. 16(c)(3)(C) (emphases added).
    110
    
    Id.
     (H).
    111
    
    Id.
     (B).
    112
    
    Id.
     (F).
    113
    
    Id.
     (G).
    114
    In re Miles, 
    339 P.3d 1009
    , 1018 (Alaska 2014) (quoting In re Shea, 
    273 P.3d 612
    , 619 (Alaska 2012)).
    -29-                                      7106
    credible evidence in that regard. Such actions, as the Board found, undoubtedly
    increased Bar Counsel’s expenses and made the proceedings unnecessarily complex.
    Therefore, as before, we uphold the fee and cost award.
    V.    CONCLUSION
    Deborah Ivy is DISBARRED from the practice of law effective 30 days
    from today. Ivy must also comply with the Board’s fee and cost award.
    -30-                                 7106
    FABE, Chief Justice, dissenting.
    I respectfully disagree with the court’s decision to disbar Deborah Ivy. I
    agree that Ivy violated Alaska Rules of Professional Conduct 8.4(a), (b), and (c) by lying
    about the stalking incident in the parking lot and the alleged sexual assault by her brother
    in the courtroom. And she violated Alaska Bar Rule 15 by continuing to maintain her
    fabricated version of these events before the Board. But it is my view that disbarment
    of Ivy for being untruthful in the course of her own highly emotional personal family
    litigation is unnecessarily severe.
    All of the various aggravators applied by the court essentially boil down to
    this: Ivy was untruthful during her combative personal family dispute and consistently
    maintained her false account during the Bar proceedings. Thus the very falsehoods that
    were necessary elements of the two core violations of the rules have impermissibly
    provided the basis for the aggravating factors.
    Moreover, the court has ignored the significant mitigating factor of Ivy’s
    personal and emotional problems, resulting from years of a contentious personal
    relationship with her brother. And Ivy’s falsehoods did not arise in the context of her
    representation of a client. Finally, there is no example in all of our prior disciplinary
    decisions that would support disbarment in Ivy’s case. Though Ivy’s conduct is
    unworthy of our profession and merits the severe sanction of a five-year suspension, it
    does not warrant disbarment.
    As a separate matter, Ivy’s attorney’s fee obligation should be reduced in
    light of the fact that she prevailed on the issue of the application of Rules of Professional
    Conduct 3.3 and 3.4.
    -31-                                       7106
    I.	    IVY’S CONDUCT WARRANTS A SUSPENSION OF FIVE YEARS
    INSTEAD OF DISBARMENT.
    A.	    The Aggravating Factors Applied Against Ivy Were Necessary
    Elements Of Her Violation.
    The court concludes that “five aggravating factors — Ivy’s pattern of
    misconduct, its illegal nature, her dishonest motive, deceptive practices during the
    disciplinary process, and refusal to acknowledge the wrongfulness of her actions —
    outweigh the single mitigating factor, Ivy’s lack of disciplinary record.”1 But all of
    these aggravating factors are based on the same conduct for which Ivy is being
    disciplined and thus are not properly applied as aggravators. The sole basis for the
    conclusion that Ivy violated Alaska Rules of Professional Conduct 8.4(a), (b), and (c)
    and Alaska Bar Rule 15(a)(3) is the finding that Ivy lied about the alleged instances of
    stalking and assault both in her court case and before the Bar once the grievance was
    filed.2 And the aggravating factors rely on precisely the same conduct as that for which
    Ivy is being disciplined: (1) a “pattern of misconduct” (by lying under oath on more than
    one occasion in the course of her personal litigation with her brother); (2) the “illegal
    1
    Op. at 22.
    2
    Rule 8.4(a) states that it is professional misconduct for a lawyer to “violate
    or attempt to violate the Rules of Professional Conduct.” Here, she allegedly violated
    the rules only by lying under oath about the alleged incidents with her brother.
    Rule 8.4(b) designates it misconduct to “commit a criminal act that reflects adversely on
    the lawyer’s honesty, trustworthiness, or fitness as a lawyer in other respects.” Again,
    the criminal act reflecting adversely on Ivy’s honesty and trustworthiness was her perjury
    regarding those same incidents. Rule 8.4(c) similarly prohibits attorneys from
    “engag[ing] in conduct involving dishonesty, fraud, deceit, or misrepresentation.” Yet
    again, Ivy’s alleged lies are the only conduct involving dishonesty. Finally, Bar
    Rule 15(a)(3) prohibits “knowing misrepresentation of any facts or circumstances
    surrounding a grievance.” Ivy committed this violation by continuing to lie. But for her
    lying about the incidents with her brother, Ivy could not have been found to have
    violated any of these Rules; her lying is therefore a necessary element of each offense.
    -32-	                                      7106
    nature” of her conduct (by lying under oath in the course of her personal litigation with
    her brother); (3) a “dishonest motive” (by lying under oath in the course of her personal
    litigation with her brother in which monetary relief was at stake); (4) “deceptive practices
    during the disciplinary process” (by maintaining the truth of her false statements made
    in the course of her personal litigation with her brother during the disciplinary process);
    and (5) a “refusal to acknowledge the wrongfulness of her actions” (by maintaining the
    truth of her false statements made in the course of her personal litigation with her brother
    during the disciplinary process).3 These aggravating factors do little more than restate
    the underlying violation: that Ivy lied about the stalking incident in the parking lot and
    the alleged sexual assault both in the courtroom and during the disciplinary process.
    Both of Ivy’s falsehoods are therefore necessary elements of Ivy’s two
    disciplinary violations and the basis of all of the aggravating factors applied by the court.
    In the criminal law context, the legislature has directed that “[i]f a factor in aggravation
    is a necessary element of the present offense . . . that factor may not be used to impose
    a sentence above the high end of the presumptive range.”4 Thus, conduct that constitutes
    an element of the offense itself cannot be applied against the offender as an aggravating
    factor. The same rationale should apply in the attorney discipline context. When an
    attorney misappropriates funds, we do not apply “misappropriation of funds” as an
    aggravating factor in the violation. Relying on dishonesty as an aggravating factor when
    the underlying offense is dishonesty is also impermissible.
    Other jurisdictions have explicitly applied this reasoning to attorney
    discipline cases. For example, in People v. Kolhouse, a case from Colorado, the court
    refused to count a respondent’s failure to comply with requests for information and
    3
    Op. at 22.
    4
    AS 12.55.155(e).
    -33-                                       7106
    refusal to acknowledge the wrongful nature of her conduct as aggravating factors
    because those factors were “based on the same conduct underlying one of Respondent’s
    rule violations” and there were “no additional allegations or evidence” that supported
    application of those factors.5 And in In re Whitt, the Supreme Court of Washington held
    that because submission of false evidence was part of the factual basis for one of the
    respondent’s violations, it could not also be applied against the respondent as a “separate
    aggravating factor.”6
    5
    
    309 P.3d 963
    , 966 (Colo. O.P.D.J. 2013).
    6
    
    72 P.3d 173
    , 180 (Wash. 2003). The appellate level of the State Bar Court
    of California has also consistently adhered to the “long established principle that it is
    inappropriate to use the same conduct relied on to establish a disciplinary violation to
    establish an aggravating circumstance.” In re Silverton, Nos. 95-O-10829, 99-O-13251,
    
    2004 WL 60709
    , at *16 (Review Dep’t of the State Bar Ct. of Cal., Jan. 6, 2004); see
    also In re Sampson, No. 90-O-17703, 
    1994 WL 454888
    , at *12 (Review Dep’t of the
    State Bar Ct. of Cal., Aug. 16, 1994) (“It appears that the hearing judge used the same
    conduct constituting the . . . violation as a finding in aggravation of the same charge.
    This is inappropriate.”); In re Burckhardt, No. 88-O-15079, 
    1991 WL 16498
    , at *6
    (Review Dep’t of the State Bar Ct. of Cal., Feb. 4, 1991) (holding that because a finding
    of aggravation for conduct involving bad faith, dishonesty, and concealment “reflect[ed]
    the same conduct . . . that is properly the basis for the finding of [the] violation,” the
    “finding in aggravation [was] duplicative”); In re Trillo, No. 85-0-13726, 
    1990 WL 92610
    , at *9 (Review Dep’t of the State Bar Ct. of Cal., May 3, 1990) (declining to adopt
    a finding that a respondent made misrepresentations to his clients because the court had
    “already adopted such a finding of culpability and [did] not believe it appropriate to
    assign aggravation to the identical conduct”); In re Mapps, Nos. 87-0-12533,
    87-0-11669, 
    1990 WL 92624
    , at *7 (Review Dep’t of the State Bar Ct. of Cal., Mar. 27,
    1990) (noting that because the court had already concluded that a respondent had
    embezzled clients’ funds, constituting moral turpitude, the same conduct could not be
    “count[ed] . . . again as a separate aggravating factor”).
    -34-                                      7106
    Here, despite “[a]cknowledging the risk of double counting,”7 the court has
    improperly applied the same facts that formed the basis of the disciplinary violations as
    separate aggravating factors.
    B.	    The Court And The Board Have Ignored A Significant Mitigating
    Factor: Ivy’s Personal And Emotional Problems.
    The court is incorrect in concluding that “as the Board found, the record
    also lacks evidence of [Ivy’s] personal or emotional problems.”8 In fact, the Board
    recognized that “it appeared . . . that Ms. Ivy exhibited some evidence of personal and/or
    emotional problems regarding her relationship with her brother.” But the Board
    nevertheless determined that it was “not qualified to assess how these problems may (or
    may not) have contributed to Ms. Ivy’s wrongful actions” and thus discounted her
    personal and emotional problems as mitigating factors. Yet the American Bar Standards
    for Imposing Lawyer Sanctions expressly recognize “personal or emotional problems”
    as a mitigating factor.9 The Board apparently conflated this factor with the separate
    mitigating factor of “mental disability”10 because it seemed to fault Ivy for failing to offer
    “evidence from any mental health professional” and observed that Ivy had denied a
    history of “delusional thinking or hallucinatory episodes.”
    Here, Ivy was in the midst of contentious family litigation when she lied
    about her brother’s actions, and by her account, the antagonistic relationship with her
    7
    Op. at 22.
    8
    Op. at 19.
    9
    STANDARDS FOR IMPOSING LAWYER SANCTIONS § III.C.9.32(c) (AM. BAR
    ASS’N 1992) [hereinafter ABA STANDARDS].
    10
    Id. § III.C.9.32(i).
    -35-	                                       7106
    brother had persisted “for decades.”11 At the formal disciplinary hearing, Ivy testified
    to the “verbal [and] emotional abuse” that Kyzer allegedly committed against her in the
    past, asserting that she was “very frightened of ever being alone with him.” And as we
    noted the first time this matter was before us, the siblings’ relationship had become “so
    acrimonious”12 that the superior court issued a mutual no-contact order between Kyzer
    and Ivy in 2007, and a provision in their 2008 settlement agreement prohibited contact
    between the siblings. While involvement in any litigation process “can produce anger,
    anxiety, stress, hurt, hard feelings, or other strongly negative emotional reactions that
    diminish [a] client’s psychological wellbeing,”13 family disputes “often involve
    participants under especially intense emotional stress which can cloud their judgment.”14
    And here, the acrimony in the litigation exceeded even the typical stress attendant to a
    family dispute. The close connection between Ivy’s improper conduct and her
    contentious relationship with her brother places her behavior in context — a context that
    sheds meaningful light on Ivy’s conduct without justifying or excusing it.15 The court’s
    11
    In re Ivy, 
    350 P.3d 758
    , 759 (Alaska 2015).
    12
    
    Id. at 759
    .
    13
    Bruce Winick, Symposium, Therapeutic Jurisprudence and the Role of
    Counsel in Litigation, 37 CAL. W. L. REV. 105, 108 (2000).
    14
    Andrew Schepard, An Introduction to the Model Standards of Practice for
    Family and Divorce Mediation, 35 FAM. L. Q. 1, 2 (2001).
    15
    “Although personal or emotional problems . . . are mitigating factors that
    may reduce a disciplinary sanction against an attorney, they do not justify or excuse the
    attorney’s misconduct. Nor do they shield the attorney from professional responsibility.
    Rather, they are offered and considered merely as explanations of the lawyer’s conduct
    in order to temper the imposed sanction.” In re Rau, 
    533 N.W.2d 691
    , 694 (N.D. 1995)
    (internal citations omitted).
    -36-                                      7106
    failure to consider that stress as a mitigating factor takes Ivy’s conduct out of context and
    ignores the personal and emotional problems that she was experiencing.
    C.     Our Prior Decisions Do Not Support Disbarment In This Case.
    Finally, the sanction of disbarment in this case is wholly inconsistent with
    our prior disciplinary decisions. In the past, we have taken into account the fact that
    attorney misconduct has occurred in a personal, non-representative capacity.16 Yet the
    court has failed to give weight to this factor in Ivy’s case.17 The ABA Standards reflect
    the greater severity of misconduct committed within the practice of law, noting that “the
    most important ethical duties are those obligations which a lawyer owes to clients.”18
    Our own decisions and those of other states reflect this distinction.19 The fact that Ivy’s
    misconduct took place within the circumstances of her personal litigation, and was
    16
    In re Schuler, 
    818 P.2d 138
    , 142, 144 (Alaska 1991) (observing that “[i]t
    is also worthy of note that Schuler’s conduct did not take place in connection with . . .
    services performed in the practice of law” and contrasting this case with another in which
    “[t]he misconduct occurred in connection with services performed by [the attorney] in
    the practice of law”); cf. In re Miles, 
    339 P.3d 1009
    , 1020 (Alaska 2014) (noting that
    duplicitous acts by an attorney were “particularly” damaging when committed “while
    acting in her capacity as an attorney”).
    17
    Op. at 25-26.
    18
    ABA STANDARDS, supra note 9, at § II.
    19
    We have observed that “[t]here are few more egregious acts of professional
    misconduct . . . than the misappropriation of [a] client’s funds held in trust.” In re
    Buckalew, 
    731 P.2d 48
    , 55 (Alaska 1986) (quoting In re Beckman, 
    400 A.2d 792
    , 793
    (N.J. 1979)); see also In re Richmond, 
    996 So. 2d 282
    , 289 (La. 2008) (recognizing that
    because an attorney “was acting in his personal capacity . . . [and there was therefore]
    no potential for client harm from [his] misconduct, his actions may be viewed as less
    egregious than the actions at issue” in cases involving attorneys acting in representative
    capacities).
    -37-                                       7106
    wholly unrelated to representation of a client, supplies important context. At the very
    least, that context may mitigate the risk of Ivy harming clients.20
    While I agree that attorneys can be subject to disbarment for violations
    committed outside of a representative capacity, we have approved such a severe sanction
    in only one case, where an attorney was convicted as an accessory after the fact to a first-
    degree murder.21 In other cases in which attorneys have committed offenses in their
    personal capacities, we have adopted far less stringent sanctions. For example, in In re
    Schuler, we accepted a two-year suspension for a district attorney convicted of
    misdemeanor theft for the second time despite the ABA-recommended disbarment.22
    And another disciplinary case, In re Purdy, is particularly instructive
    because the respondent’s dishonest conduct and perjured testimony occurred outside of
    a representative capacity.23 Frances Purdy forged vehicle title documents, misused her
    notary seal, and committed an act of perjury in an Anchorage Parking Authority
    20
    Moreover, we have held that the non-representative context of Ivy’s
    conduct rendered Rules of Professional Conduct 3.3 and 3.4 inapplicable and therefore
    rejected the Board’s recommendation of disbarment to the extent that it was based on
    those rules. In re Ivy, 
    350 P.3d 758
    , 762-65 (Alaska 2015). Yet, on remand the Board
    refused Ivy’s request to present additional argument on the proper disciplinary sanction.
    Instead, it summarily recommended the same sanction of disbarment, despite
    correspondence from Ivy’s attorney indicating that she “wanted to be heard.”
    21
    In re Webb, 
    602 P.2d 408
     (Alaska 1979), abrogated by In re Buckalew, 731
    P.2d at 48 (adopting the ABA’s sanctions standards). Ivy’s conduct does not approach
    the conduct for which the attorney in In re Webb was disbarred.
    22
    
    818 P.2d 138
     (Alaska 1991).
    23
    No. S-08156 (Alaska Supreme Court Order, Nov. 18, 1998).
    -38-                                       7106
    proceeding in an attempt to evade paying a parking ticket for expired tags.24 Purdy was
    convicted of and sentenced for misdemeanor forgery based upon this misconduct.25 Bar
    Counsel and Purdy entered into a Stipulation for Discipline by Consent, which called for
    a five-year suspension,26 and we approved that stipulation,27 which contained a detailed
    analysis of Purdy’s conduct and the applicable aggravating and mitigating factors under
    the ABA standards.28 The stipulation recognized that disbarment is generally appropriate
    where a lawyer engages in serious criminal conduct, involving falsely swearing,
    misrepresentation, or fraud, or where a lawyer engages in any other intentional conduct
    involving dishonesty, fraud, deceit, or misrepresentation. And among the aggravating
    and mitigating factors applied in Purdy’s case were Purdy’s prior disciplinary offense,
    her dishonest or selfish motive, her criminal conviction, her expression of remorse, and
    her cooperative attitude toward disciplinary authorities. But the Bar and Purdy stipulated
    that “[a]dditional factors that may be considered in mitigation include the following:
    Ms. Purdy’s conduct did not cause monetary loss to any person; the conduct did not
    affect any client; and the conduct did not occur within the practice of law.”29
    Similarly, in In re Stump, we approved a five-year suspension for an
    attorney who falsified evidence for use on his own behalf in civil litigation in which he
    24
    In re Purdy, No. S-08996 (Stipulation for Suspension, filed Mar. 8, 1999,
    at 2-5).
    25
    Id. at 4.
    26
    Id. at 11.
    27
    In re Purdy, No. S-08996 (Alaska Supreme Court Order, Mar. 26, 1999).
    28
    In re Purdy, No. S-08996 (Stipulation for Suspension, filed Mar. 8, 1999,
    at 10).
    29
    Id. (emphasis added).
    -39-                                      7106
    was a defendant and subsequently affirmed the authenticity of that evidence under oath.30
    Purdy and Stump both testified falsely under oath in their non-representative capacities.
    Here, Ivy also lied in her personal litigation; yet, rather than a five-year suspension, the
    court has ordered her disbarment. Such a disparity is unsupported and unjust.
    Further, even when attorneys have committed violations in representative
    capacities involving dishonest misappropriation of client funds that directly harmed a
    client, the resulting sanctions have been much less severe than Ivy’s. In In re Stepovich,
    In re Friedman, and In re Mann, all cases involving attorneys who misappropriated
    client funds, we reduced sanctions from the ABA-recommended disbarment to
    suspensions of two or three years,31 despite the fact that we have recognized that “[t]here
    are few more egregious acts of professional misconduct . . . than the misappropriation
    of [a] client’s funds held in trust.”32 And in In re Rice, we approved a suspension of four
    years for an attorney who misappropriated client funds and “cause[d] [his clients]
    potential harm, which is sufficient under the ABA Standards to justify even the harshest
    sanctions, . . . and . . . arguably cause[d] actual harm to public trust in the legal system.”33
    We justified the harsher four years — as opposed to the three-year suspensions given in
    30
    
    621 P.2d 263
     (Alaska 1980), abrogated by In re Buckalew, 
    731 P.2d 48
    (Alaska 1986). While In re Stump and other earlier cases were abandoned by our
    decision in Buckalew to adopt the ABA Standards, our decision in Stump nevertheless
    relied on the Standards and should be considered instructive here. 
    Id.
     at 265 n.6 & n.10
    (referencing the 1979 draft ABA Standards for Lawyer Discipline and Disability
    Proceedings).
    31
    In re Stepovich, 
    143 P.3d 963
     (Alaska 2006); In re Friedman, 
    23 P.3d 620
    (Alaska 2001); In re Mann, 
    853 P.2d 1115
     (Alaska 1993).
    32
    In re Buckalew, 731 P.2d at 55 (quoting In re Beckman, 
    400 A.2d 792
    , 793
    (N.J. 1979)).
    33
    
    260 P.3d 1020
    , 1035 (Alaska 2011).
    -40-                                         7106
    Friedman and Mann — in part because the Bar found that Rice exhibited a “lack of
    remorse”34 and had not turned himself in.35 In all of these cases, the attorneys committed
    one of the most serious forms of professional misconduct, yet they received suspensions
    ranging from two to four years. Although Ivy’s misconduct was limited to the context
    of her contentious and painful personal litigation, she is to be disbarred from the practice
    of law.
    Moreover, a review of cases in which we have approved disbarment of
    attorneys reveals the extent to which Ivy’s disbarment represents a departure from
    precedent. In In re Buckalew, we recommended disbarment as an appropriate sanction
    for an attorney who fabricated a false settlement document, forging the signatures of
    another attorney and a superior court judge, and embezzled $67,000 from two client trust
    accounts.36   In In re Miles, we found disbarment warranted when the attorney
    misappropriated more than $20,000 of a deceased client’s funds and then deceptively
    concealed that conduct.37 And in In re Wiederholt, we disbarred an attorney after eight
    separate parties filed grievances against the attorney for conduct including putting an
    unauthorized signature on a check, making improper sexual advances to a client, kicking
    opposing counsel, improperly delaying discovery, threatening to disclose client
    confidences, contacting an opposing party after being notified that the party was
    represented by an attorney, and filing an improper claim on behalf of a client to funds
    34
    Id. at 1033.
    35
    Id. at 1035.
    36
    731 P.2d at 48.
    37
    
    339 P.3d 1009
     (Alaska 2014).
    -41-                                       7106
    deposited in court.38 Ivy’s conduct simply does not rise to the egregious level of the
    actions that resulted in disbarment of these attorneys.
    We have recognized that the ABA Standards promote uniformity and
    prevent “[i]nconsistency of sanctions.”39 This “goal was one of the major driving forces
    behind promulgation of the ABA Standards.”40 The introduction to the Standards notes
    that “[i]nconsistent sanctions, either within a jurisdiction or among jurisdictions, cast
    doubt on the efficiency and the basic fairness of all disciplinary systems.”41 Here, the
    court’s order disbarring Ivy is entirely inconsistent with our previous discipline decisions
    and thereby undermines the fundamental purpose of our reliance on the ABA Standards.
    II.	   ATTORNEY’S FEES
    Finally, I disagree with the court’s decision to affirm the attorney’s fee
    award of $61,282.75 against Ivy. An evaluation of the ten enumerated factors to be
    considered under Alaska Bar Rule 16 when determining an appropriate award of
    attorney’s fees does not support the award.42 Although the Board found that Ivy’s
    38
    
    877 P.2d 765
    , 766 (Alaska 1994).
    39
    In re Buckalew, 731 P.2d at 52 n.13.
    40
    Id.
    41
    ABA STANDARDS, supra note 9, at § I.A.
    42
    Rule 16(c)(3) lists the following factors to be considered:
    (A)	 the complexity of the disciplinary matter;
    (B)	   the duration of the case;
    (C)	   the reasonableness of the number of hours expended by Bar Counsel
    and the reasonableness of the costs incurred;
    (D)	 the reasonableness of the number of Bar Counsel used;
    (continued...)
    -42-	                                      7106
    attorney “tested the limits of zealous advocacy” and made the disciplinary proceedings
    unnecessarily complex, apparently applying the factor relating to “the reasonableness of
    the defenses raised by the Respondent,”43 at least one of Ivy’s defenses was well-taken.
    We ruled in Ivy’s favor in concluding that the Alaska Rules of Professional
    Responsibility 3.3 and 3.4 were inapplicable to her case. This seems to suggest that her
    attorney’s advocacy was appropriately zealous on that issue. And the attorney’s fees
    were never reduced to reflect that Ivy was successful in her argument that Rules 3.3 and
    3.4 did not apply.44 For that reason alone, the fees must be reduced. It is unclear why
    Ivy should be required to pay attorney’s fees for time spent litigating the question of the
    applicability of Rules 3.3 and 3.4 when she was successful in that effort. Her obligation
    should be reduced accordingly.
    III.	 CONCLUSION
    I respectfully dissent from the court’s decision to disbar Ivy. I believe a
    five-year suspension from the practice of law is the correct sanction for Ivy’s conduct
    42
    (...continued)
    (E)	 Bar Counsel’s efforts to minimize fees;
    (F)	   the reasonableness of the defenses raised by the Respondent;
    (G)	 vexatious or bad faith conduct by the Respondent;
    (H)	 the relationship between the amount of work performed by Bar
    Counsel and the significance of the matters at stake;
    (I)	   the financial ability of the Respondent to pay attorney’s fees; and
    (J)	   the existence of other equitable factors deemed relevant.
    43
    Rule 16(c)(3)(F).
    44
    In re Ivy, 
    350 P.3d 758
    , 762-65 (Alaska 2015).
    -43-	                                     7106
    and is most consistent with our prior discipline decisions. And regardless of the
    sanction, Ivy’s obligation to pay attorney’s fees should be reduced.
    -44-                               7106
    

Document Info

Docket Number: 7106 S-15450

Citation Numbers: 374 P.3d 374

Filed Date: 5/20/2016

Precedential Status: Precedential

Modified Date: 1/12/2023