State of New Hampshire v. Michael Addison (Motion to Disqualify Attorney General's Office) , 166 N.H. 115 ( 2014 )


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    THE SUPREME COURT OF NEW HAMPSHIRE
    ___________________________
    Hillsborough-northern judicial district
    No. 2008-945
    THE STATE OF NEW HAMPSHIRE
    v.
    MICHAEL ADDISON
    (MOTION TO DISQUALIFY ATTORNEY GENERAL’S OFFICE)
    Argued: January 9, 2014
    Opinion Issued: March 7, 2014
    Joseph A. Foster, attorney general (Richard W. Head, associate attorney
    general, on the motion and orally), for the State.
    Getman, Schulthess & Steere, P.A., of Manchester (Andrew R. Schulman
    on the motion), David M. Rothstein, deputy chief appellate defender, and
    Christopher M. Johnson, chief appellate defender, of Concord, on the motion,
    and Mr. Schulman orally, for the defendant.
    PER CURIAM. The defendant, Michael Addison, moves to disqualify the
    New Hampshire Attorney General’s Office from further participation in this
    case “from this point forward in connection with any aspect of his case on
    direct appeal, on remand or on collateral review,” and moves for the
    appointment of a special prosecutor. We deny the motion.
    The record establishes the following facts. The defendant was convicted
    of capital murder and sentenced to death in 2008. On December 31, 2008, we
    docketed the automatic appeal required under RSA 630:5, X (2007), and in
    May 2009, the defendant filed his notice of appeal pursuant to Supreme Court
    Rule 7.
    In August 2009, Attorney Lisa Wolford, who had been employed by the
    New Hampshire Public Defender for approximately seven years, began working
    with the New Hampshire Appellate Defender on a two-year rotation. When
    Wolford began her rotation, the appellate defender office was preparing a brief
    regarding the standards applicable to our mandatory review of the defendant’s
    sentence under RSA 630:5, XI (2007). In addition to other appeals, for which
    she had sole responsibility and on which she spent the majority of her time,
    Wolford was assigned to research and draft the “aggravating factors” section of
    that brief, which was filed with this court in November 2009. See State v.
    Addison, 
    160 N.H. 732
    (2010). After the State filed its opposing brief, Wolford
    was assigned to review and summarize the cases cited in a footnote.
    In early 2010, Wolford was reassigned from the defendant’s defense
    team, and in February 2012, she completed her rotation with the appellate
    defender and returned to work for the public defender in the Stratham office.
    In March 2012, she submitted her resume to the attorney general’s office,
    requesting consideration for a position with the criminal justice bureau’s
    appeals division. In a letter accompanying her resume, she stated that she was
    “interested in a position that enables me to continue to focus on appellate
    advocacy.” Her resume noted that, in addition to other work with the appellate
    defender, she “[c]ontributed to . . . the defendant’s brief in the capital
    sentencing appeal in State v. Addison, 
    160 N.H. 732
    (2010).” Wolford was
    offered a position with the attorney general’s office; she began employment
    there in early July 2012.
    Approximately one month before Wolford began working at the attorney
    general’s office, the executive director of the public defender office inquired by
    letter to then Attorney General Michael Delaney whether, given that Wolford
    had “worked on appeals in the Michael Addison capital case, and had ongoing
    access to confidential and privileged information and defense strategies relating
    to that case,” he had “satisfied [himself] on the propriety of this move before
    extending an offer to Ms. Wolford.” The attorney general, replying by letter,
    stated that “[a]s you are aware, there is no general bar under the Rules of
    Professional Conduct against a former public defender assuming a position as
    a prosecutor,” that several former public defenders had accepted employment
    in the attorney general’s office, and that his office would “ensure that [Wolford]
    is screened from any matter in which she had involvement as a public
    2
    defender, see N.H. R. Prof. Conduct 1.9, 1.11(d), or was exposed to confidential
    information, see N.H. R. Prof. Conduct 1.6, including the Addison case.”
    On August 27, 2012, the attorney general received a letter from outside
    counsel retained by the public defender “to assist . . . in reviewing Wolford’s
    recent transfer from the Public Defender’s [O]ffice to the Attorney General’s
    [O]ffice, and any ethical issues that may arise from that transfer.” The letter
    sought information regarding “the steps that are now being taken within [the
    attorney general’s] office to protect confidential client information about Mr.
    Addison’s case that [Wolford] may have learned from former colleagues at the
    Public Defender’s Office or the Appellate Defender’s [O]ffice.”
    The attorney general replied by letter dated October 2, 2012, stating:
    From the outset of her employment at the Attorney General’s
    Office, Attorney Wolford was instructed that she was not to have
    any involvement in any case (a) on which the Appellate Defender’s
    Office represented the defendant while she was employed in that
    office; (b) on which the Stratham Public Defender’s Office
    represented the defendant while she was employed in that office;
    (c) involving a former client; or (d) that, for whatever reason, might
    present a conflict under the Rules of Professional Conduct.
    The letter confirmed that, as of August 30, 2012, “Ms. Wolford was locked out
    of all electronic files related to State v. Addison. An audit was conducted of
    each of those matters back to July 6, 2012, her first day in the office, which
    confirmed that Ms. Wolford has not accessed any of those files.” In addition,
    the attorney general noted, “The attorneys assigned to the Addison case have
    all formally acknowledged their understanding that Ms. Wolford is screened
    from the Addison case and cannot be involved in any conversation about the
    case.” Regarding electronic research files Wolford brought with her from the
    public defender’s office, the attorney general explained that “[w]hen she arrived
    she downloaded those files to her file on the H: drive, which is a personal
    network file that is not accessible by anyone other [than] the named individual
    and the system administrators. She has since removed those files from the
    network and transferred them to a thumb drive, which has been secured.”
    Attached to the letter was a memorandum dated September 4, 2012,
    memorializing the screening policy that was effective as of the date of her
    employment and signed by Wolford as confirming her “understanding of the
    screening policy . . . and that [she has] had no discussions with anyone at the
    Attorney General’s Office about any of the cases involving Michael Addison,
    beyond ensuring [her] and the Office’s adherence to the Rules of Professional
    Conduct.”
    3
    On November 9, 2012, the defendant filed a motion in this court for
    “partial remand for discovery regarding the adequacy of screening and other
    protective measures implemented by the Office of the Attorney General to
    protect confidential information relating to [the defendant’s] representation by
    the Office of the New Hampshire Public Defender and the Appellate Defender.”
    The motion asserted that “[w]ith discovery, a more complete record will be
    available on which to make definitive assessments of the protective measures
    at issue; and any relief that may be warranted.” We granted the motion in part
    and remanded the case to the trial court “for the limited purpose of ruling upon
    the defendant’s ‘Motion for Discovery.’” The parties subsequently filed a joint
    statement that the discovery had been completed and that any additional relief,
    “in the form of discovery or otherwise,” would be sought from this court. On
    July 15, 2013, the defendant filed the motion before us.
    The defendant argues that we should “follow a line of cases that requires
    per se disqualification of an entire prosecutor’s office from a defendant’s case
    when (a) the defendant’s attorney switches sides and joins the prosecutor’s
    office in the middle of the case and (b) the defendant does not waive the
    conflict.” Or, short of adopting such a rule, he argues that we should apply a
    per se rule in this case because under the circumstances presented, “the
    appearance of impropriety and the resulting harm to the perceived integrity of
    the criminal justice process are compelling grounds for per se disqualification
    of the Attorney General’s [O]ffice.” According to the defendant, such
    circumstances include: the prosecutor’s office that Wolford joined “is trying to
    put the defendant to death”; she joined the criminal bureau’s appeals unit “at
    the very time this case was on appeal”; Wolford was “deeply involved in
    developing appellate strategies”; and she “uploaded to the prosecutor’s
    computer network a document containing confidential attorney work product
    relating to an important issue that has not yet been fully briefed in the appeal.”
    In the alternative, the defendant seeks disqualification of all members of
    the attorney general’s office who were employed or associated with that office
    between the date Wolford commenced employment as a prosecutor in July
    2012, and two months later when the defendant alleges that screening
    procedures were put in place. Finally, if he is required “to prove actual
    prejudice or the actual disclosure of confidential information,” the defendant
    requests “additional discovery and fact finding under the supervision of a
    specially appointed master.”
    The State objects, arguing that a per se rule of disqualification “has been
    rejected by nearly every state that has considered the issue,” would “directly
    conflict with the Rules of Professional Conduct,” and would “severely chill the
    hiring and movement of attorneys in this small state, and create a disincentive
    for government employment.” The State asserts that we “should reject the per
    4
    se rule, and instead adopt a rule that requires proof of an actual ethical
    violation – the sharing of confidential information – or a rule that creates a
    rebuttable presumption of prejudice.” Because there is no claim of actual
    prejudice to the defendant and because any presumption of prejudice can be
    rebutted, the State argues that the motion to disqualify should be denied.
    Preliminarily, we note that the State questions whether, under the
    Separation of Powers Doctrine, the judicial branch has the authority to
    disqualify the entire attorney general’s criminal bureau from conducting the
    prosecution of the defendant. However, because we reject a per se rule of
    disqualification, and find that the State would prevail here under either the
    presumptive prejudice or actual prejudice approaches discussed below, we
    need not reach this constitutional issue. See State v. Wamala, 
    158 N.H. 583
    ,
    592 (2009) (court decides constitutional questions only when necessary).
    We first address the defendant’s argument that we should adopt a per se
    rule of disqualification. Under such a rule, an entire prosecutor’s office must
    be disqualified from a case and a special prosecutor appointed when an
    attorney who previously worked on a defendant’s behalf subsequently
    “switches sides” by joining the prosecutor’s office handling the same case. See,
    e.g., People v. Stevens, 
    642 P.2d 39
    , 40-41 (Colo. Ct. App. 1981); State v.
    Croka, 
    646 S.W.2d 389
    , 393 (Mo. Ct. App. 1983); People v. Shinkle, 
    415 N.E.2d 909
    , 910 (N.Y. 1980). In cases where a per se rule of disqualification is
    followed, screening the attorney in question is generally not recognized as
    curative of the imputed conflict and disqualification of the office is required,
    regardless of whether any confidences were breached or any prejudice to the
    defendant resulted. See Whitaker v. Com., 
    895 S.W.2d 953
    , 955-56 (Ky. 1995)
    (if the switching attorney “engaged in a substantial and personal participation
    in the defendant’s case,” the defendant need not show prejudice); 
    Croka, 646 S.W.2d at 393
    (where switching attorney “acquired knowledge about the case”
    from the defendant while acting as his appointed counsel, when attorney joined
    the prosecutor’s office, “that office was thereby disqualified from prosecuting
    the case irrespective of the assumed facts that [the attorney] revealed no
    confidences and did not himself participate in the prosecution”). A small
    minority of jurisdictions have applied a per se rule. See State v. Pennington,
    
    851 P.2d 494
    , 497 (N.M. Ct. App. 1993) (citing cases from eight jurisdictions).
    The majority of jurisdictions that have addressed this issue have declined
    to apply a per se rule. See 
    id. at 498
    (citing cases from more than twenty
    jurisdictions). Several reasons have been given for rejecting such a rule. One
    reason is an unwillingness to presume “that prosecutors would violate a clear
    mandate (that the disqualified employee be isolated from all involvement in the
    prosecution) and then lie about such violation.” 
    Id. Another reason
    is that a
    per se rule “would unnecessarily limit mobility in the legal profession and
    5
    inhibit the ability of prosecuting attorney’s offices to hire the best possible
    employees . . . .” State v. Kinkennon, 
    747 N.W.2d 437
    , 444 (Neb. 2008); see
    State v. Jones, 
    429 A.2d 936
    , 942-43 (Conn. 1980) (per se rule “would result in
    many unnecessary withdrawals, limit mobility in the legal profession, and
    restrict the state in the assignment of counsel where no breach of
    confidentiality has in fact occurred”), overruled on other grounds by State v.
    Powell, 
    442 A.2d 939
    (Conn. 1982). Other reasons include that a per se rule
    mandates disqualification of a prosecutor’s office based solely upon an
    appearance of impropriety with no analysis of the facts before the court, and
    fails to recognize any distinction between lawyers engaged in private practice
    and prosecutors engaged in constitutionally- and statutorily-mandated duties
    on behalf of the public. See State v. Camacho, 
    406 S.E.2d 868
    , 874-75 (N.C.
    1991).
    We join the majority of jurisdictions and reject application of a per se
    rule in all cases. We agree with a number of other courts that employ “a more
    flexible, case-by-case approach,” Lux v. Com., 
    484 S.E.2d 145
    , 151-52 (Va. Ct.
    App. 1997), in which “the circumstances of a particular case” are evaluated to
    determine “whether disqualification of the entire office” is required.
    
    Kinkennon, 747 N.W.2d at 443
    . “Under this approach, courts consider, among
    other things, whether the attorney divulged any confidential information to
    other prosecutors or participated in some way in the prosecution of the
    defendant.” 
    Id. These jurisdictions
    are generally of the view that the entire
    office need not be disqualified if the attorney who had previously worked for the
    defendant “is isolated from any participation in the defendant’s prosecution.”
    
    Pennington, 851 P.2d at 498
    ; see 
    Kinkennon, 747 N.W.2d at 443
    ; State v.
    McClellan, 
    216 P.3d 956
    , 960 (Utah 2009); 
    Lux, 484 S.E.2d at 151-52
    .
    The defendant argues that even if we decline to adopt a per se rule in all
    cases, we should apply such a rule in this case because Wolford was “deeply
    involved in developing appellate strategies” and she joined the attorney
    general’s office “at the very time this case was on appeal.” However, as other
    jurisdictions have recognized, when a defense attorney first becomes involved
    in a case at the appellate level and subsequently joins the prosecutor’s office,
    the danger of prejudice to a defendant is lessened because the prosecutors are
    bound by the facts in the appellate record. As one court explained,
    When a defendant’s lawyer switches sides, the principal
    danger is that information supplied in confidence will be used to
    the defendant’s disadvantage. That danger is greatest when the
    lawyer switches sides prior to trial, and is in a position to use
    confidential information in his formulation of strategy and
    development of the facts. Resulting prejudice would be impossible
    to assess. The danger of prejudice is far less when a prosecutorial
    6
    conflict arises during appellate proceedings. At that stage, the
    prosecution has far less discretion; its role is to answer arguments
    made by the defendant.
    Pisa v. Com., 
    393 N.E.2d 386
    , 390 (Mass. 1979) (citations omitted); see People
    v. Rankin, 
    540 N.Y.S.2d 628
    , 629 (N.Y. App. Div. 1989) (no risk of abuse of
    confidence when district attorney will be bound by the facts appearing in the
    record on appeal and thus cannot take advantage, to the defendant’s prejudice,
    of any facts outside the record but within the knowledge of the switching
    attorney); Com. v. Harris, 
    460 A.2d 747
    , 749 (Pa. 1983) (where the defense
    attorney enters the case at the post-trial level and later joins the prosecutor’s
    office, “a defendant must show an actual impropriety in order to establish the
    requisite prejudice”). Here, Wolford had no involvement in the defendant’s case
    at the pre-trial or trial stages and participated in a limited aspect at one
    preliminary phase of the defendant’s multi-phased appeal approximately three
    years before joining the attorney general’s office.
    Among courts that reject a per se rule of disqualification, several have
    held that a defendant’s former attorney’s subsequent affiliation with the
    prosecutor’s office creates a presumption that confidences will be shared or
    that an appearance of impropriety has been shown, but the presumption can
    be rebutted by a showing that the disqualified attorney has been effectively
    screened from the ongoing prosecution. See, e.g., 
    Lux, 484 S.E.2d at 152
    ;
    
    McClellan, 216 P.2d at 961
    ; People v. Davenport, 
    760 N.W.2d 743
    , 749 (Mich.
    Ct. App. 2008). “The rebuttable presumption of shared confidences . . . avoids
    the drastic result of disqualifying an entire [prosecutor’s] office based on only
    the appearance of impropriety . . . while at the same time ensuring the rights of
    the accused are protected.” 
    McClellan, 216 P.2d at 961
    . One obvious problem
    with the presumptive approach is that presumptions generally are employed in
    situations where, in common experience, the presumed fact generally or
    naturally can be expected to follow if the predicate fact is shown to exist, see
    Rhode Island v. Massachusetts, 
    45 U.S. 591
    , 600 (1846); Osorio v. Dole Food
    Co., 
    665 F. Supp. 2d 1307
    , 1328 (S.D. Fla. 2009), aff’d, 
    635 F.3d 1277
    (11th
    Cir. 2011), yet we are aware of no empirical or other evidence suggesting that
    members of the bar are typically or frequently inclined to disregard their ethical
    obligations when they switch employment. Thus, we are not persuaded to
    adopt the rebuttable presumption approach in this case.
    However, even if we assume without deciding that the presumptive
    approach is applicable to this case, such assumption is of no benefit to the
    defendant because, as explained below, the record demonstrates that the State
    has definitively rebutted any presumption that the defendant was prejudiced
    by Wolford’s switch of employment. Because we hold that the record before us,
    including the State’s submissions, demonstrates that the defendant has
    7
    suffered no prejudice as a result of Wolford’s change of employment from the
    public defender’s office to the attorney general’s office, we need not decide
    whether there are circumstances in which a rebuttable presumption of
    prejudice would be warranted.
    The defendant acknowledges that “a timely and effective screening policy
    . . . serve[s] as a presumptive safe harbor from office-wide disqualification.” He
    argues, however, that “for reasons that are incomprehensible, nothing
    approaching an effective screening procedure was put into place [here] for
    approximately two months.” We disagree.
    As set forth above, the attorney general’s letter of October 2, 2012,
    describes the screening policy that was in place when Wolford began
    employment in July 2012. That policy was memorialized on September 4,
    2012. The State has submitted a memorandum signed by each of the five
    attorneys involved in the defendant’s prosecution acknowledging that Wolford
    was screened from the defendant’s case and that none of them “have
    . . . discussed, and will not discuss, with [Wolford] any of Mr. Addison’s cases.”
    In addition, the State submitted affidavits from all five of the attorneys. Three
    attested that since Wolford joined the criminal justice bureau, they “have had
    no communication with [her] regarding Michael Addison, or any of the cases
    that involve Mr. Addison,” nor have they “seen any written material created by
    Attorney Wolford regarding Mr. Addison” or “shared with Attorney Wolford any
    paper or electronic records regarding Mr. Addison.” The fourth attorney
    attested that with the exception of a conversation with Wolford on the first day
    of her employment with the attorney general’s office “regarding the screening
    policy that applied to her,” he has had “no communication with Attorney
    Wolford regarding Michael Addison, or any of the cases that involve Mr.
    Addison.” The fifth attorney attested that “with one exception, [she has] had no
    communication with Attorney Wolford regarding Michael Addison, or any of the
    cases that involve Mr. Addison. The one exception occurred either one
    weekend or one evening, Attorney Wolford asked [her] what [she] was working
    on, and she said ‘Addison,’ and the conversation ended there.”
    The State has provided affidavits from every other lawyer, paralegal,
    victim/witness advocate, investigator, and legal secretary employed in the
    criminal justice bureau since Wolford became employed there, attesting that,
    except for conversations related to screening, the Rules of Professional
    Conduct, or responding to discovery on the issues presented in the motion to
    disqualify, he or she has had no communication with Wolford about the
    defendant or the defendant’s case. The State has also provided affidavits from
    employees in the Office of Information Technology, responsible for the support
    of the executive branch agencies, which attest that none of the limited number
    of people with the authority to access Wolford’s “h:\drive” did so. In addition,
    8
    Wolford, who retained independent counsel, submitted an affidavit in which
    she attests, among other things, that she “did not share the fact of the
    existence of, or the contents of” the files on her “H: drive” and that she has
    “never spoken with anyone at the [attorney general’s office] about Mr. Addison,
    my work on his case, or any other aspect of his case.” She further attests that,
    “Likewise, no one at the [attorney general’s office] has ever attempted to speak
    to me about the case except to obtain information to respond to the discovery
    conducted pursuant to [the] disqualification motion.”
    We conclude that the State has demonstrated that it implemented
    screening procedures that have prevented the disclosure of any confidential
    information about the defendant’s case from Wolford to other prosecutors in
    the attorney general’s office. See United States v. Goot, 
    894 F.2d 231
    , 233,
    235-37 (7th Cir. 1990) (both the disqualified attorney and others in the office
    affirmed under oath that discussion about the case was prevented, thereby
    rebutting the presumption of shared confidences); State ex rel. Tyler v.
    MacQueen, 
    447 S.E.2d 289
    , 292-93 (W. Va. 1994) (affidavits by prosecuting
    attorney and member of office who previously represented defendant were
    sufficient to prove existence of effective screening procedures); 
    Kinkennon, 747 N.W.2d at 445
    (to establish effective screening, “at a minimum, the disqualified
    lawyer should acknowledge the obligation not to communicate with any of the
    other lawyers in the office with respect to the matter” and “the other lawyers in
    the office who are involved with the matter should be informed that the
    screening is in place and that they are not to discuss the matter with the
    disqualified lawyer”).
    Accordingly, we hold that disqualification of the entire attorney general’s
    office in this case is not warranted. See State v. Walters, 
    241 S.W.3d 435
    , 438
    (Mo. Ct. App. 2007) (“From the record, we see no indication that [the
    defendant’s former attorney] used anything gathered from his previous
    representation of [the defendant] to [the defendant’s] disadvantage.”); State v.
    Fitzpatrick, 
    464 So. 2d 1185
    , 1188 (Fla. 1985) (imputed disqualification of
    entire prosecutor’s office is unnecessary “when the record establishes that the
    disqualified attorney has neither provided prejudicial information relating to
    the pending criminal charge nor has personally assisted, in any capacity, in the
    prosecution of the charge”). Given the record before us, and our conclusions
    herein, we also deny the defendant’s request to conduct additional discovery.
    Motion to disqualify denied.
    DALIANIS, C.J., and HICKS, CONBOY, LYNN and BASSETT, JJ.,
    concurred.
    9