Professional Documents
Culture Documents
Abejaron
Frias v. Bautista-Lozada....................................................................2
CONFLICT OF INTEREST....................................................................3
Angara v. Sandiganbayan..................................................................3
Northwestern University and Nicolas v. Arquillo.................................5
Sadik v. Casar...................................................................................7
Hornilla & Ricafort v. Salunat.............................................................9
Aninon v. Sabitsana.........................................................................10
Samson v. Era.................................................................................12
Buted & Bolisay v. Hernando...........................................................14
LAWYER-CLIENT
PRIVILEGE
RULE
ON
PRIVILEGED
COMMUNICATION..............................................................................17
Hadjula v. Madianda........................................................................17
Mercado v. Vitriolo...........................................................................19
Angara v. Sandiganbayan................................................................21
Chico v. Union Life Assurance Society............................................23
Genato v. Silapan............................................................................25
Saura v. Agdeppa............................................................................27
Maturan v. Gonzales........................................................................28
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IMPRESCRIPTIBILITY OF DISBARMENT PROCEEDINGS
As early as 1967, it was held that the defense of prescription does not
lie in administrative proceedings against lawyers. Likewise, in a 2004
case, it was declared that an administrative complaint against a
member of the bar does not prescribe.
Frias v. Bautista-Lozada
EN BANC
A.C.
No.
6656
[Formerly CBD-98-591]
May
4,
2006
BOBIE
ROSE
V.
FRIAS, Complainant,
vs.
ATTY. CARMELITA S. BAUTISTA-LOZADA,* Respondent.
RESOLUTION
CORONA, J.:
Facts:
Atty. Carmelita Bautista-Lozada was suspended from the practice of
law. She however contends that the complaint against her has already
prescribed pursuant to Rule VIII of the Rules of Procedure of the
Commission on Bar Discipline of the IBP which provide:
SECTION 1. Prescription. A complaint for disbarment, suspension or
discipline of attorneys prescribes in two (2) years from the date of the
professional misconduct.
Issue:
Whether or not administrative cases against lawyers are prescriptible.
No!
Ruling:
Furthermore Rule VIII Section 1 of the Rules of Procedure of the CBDIBP was declared null and void. The CBD-IBP derives its authority to
take cognizance of administrative complaints against lawyers from the
court, therefore its rules should be consistent to that of the latter. The
aforementioned rule runs afoul of the settled ruling of the Court , that
being the case, it is void and of no legal effect for being ultra vires.
Ratio:
To allow prescription of administrative cases against lawyers, the
members of the bar would be emboldened to disregard the very oath
they took as lawyers, prescinding from the fact that as long as no
private complainant would immediately come forward, they stand a
chance of being completely exonerated from whatever administrative
liability they ought to answer for. It is the duty of this Court to protect the
integrity of the practice of law as well as the administration of
justice. No matter how much time has elapsed from the time of the
commission of the act complained of and the time of the institution of
the complaint, erring members of the bench and bar cannot escape the
disciplining arm of the Court. This categorical pronouncement is aimed
at unscrupulous members of the bench and bar, to deter them from
committing acts which violate the Code of Professional Responsibility,
the Code of Judicial Conduct, or the Lawyers Oath.
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CONFLICT OF INTEREST
Angara v. Sandiganbayan
G.R. No. 105938 September 20, 1996
TEODORO R. REGALA, EDGARDO J. ANGARA, AVELINO V. CRUZ,
JOSE C. CONCEPCION, ROGELIO A. VINLUAN, VICTOR P.
LAZATIN
and
EDUARDO
U.
ESCUETA, petitioners,
vs.
THE HONORABLE SANDIGANBAYAN, First Division, REPUBLIC
OF THE PHILIPPINES, ACTING THROUGH THE PRESIDENTIAL
COMMISSION ON GOOD GOVERNMENT, and RAUL S.
ROCO, respondents.
G.R. No. 108113 September 20, 1996
PARAJA
G.
vs.
THE SANDIGANBAYAN and
PHILIPPINES, respondents.
HAYUDINI, petitioner,
THE
REPUBLIC
OF
THE
Facts:
Petitioners Teodoro Regala, Edgardo J. Angara, Avelino V. Cruz, Jose
C. Concepcion, Rogelio A. Vinluan, Victor P. Lazatin, Eduardo U.
Escueta and Paraja G. Hayudini, and herein private respondent Raul S.
Roco, who all were then partners of the ACCRA Law firm were included
as defendants in a case for recovery of alleged ill-gotten wealth filed
before the Sandiganbayan by the Republic of the Philippines.
From the facts of the case, it seems that the ACCRA Lawyers were
impleaded as co-defendants in the case because they performed legal
The PCGG then set the following conditions precedent for the exclusion
of petitioners, namely: (a) the disclosure of the identity of its clients; (b)
submission of documents substantiating the lawyer-client relationship;
and (c) the submission of the deeds of assignments petitioners
executed in favor of its client covering their respective shareholdings.
The ACCRA Lawyers however contend that revealing the identity of
their client and the other information requested by the PCGG is
prohibited by the attorney-client privilege.
Issue:
WON the identity of the client is covered by the attorney-client privilege.
Yes!
Significance of the issue:
The duty to keep as confidential all matters obtained through the
attorney-client relationship is explicitly mandated in Canon 17 of the
Code of Professional Responsibility which provides that:
Canon 17. A lawyer owes fidelity to the cause of his client and he shall
be mindful of the trust and confidence reposed in him.
Canon 15 of the Canons of Professional Ethics also demands a
lawyer's fidelity to client.
Encouraging full disclosure to a lawyer by one seeking legal services
opens the door to a whole spectrum of legal options which would
otherwise be circumscribed by limited information engendered by a fear
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of disclosure. An effective lawyer-client relationship is largely dependent
upon the degree of confidence which exists between lawyer and client
which in turn requires a situation which encourages a dynamic and
fruitful exchange and flow of information. It necessarily follows that in
order to attain effective representation; the lawyer must invoke the
privilege not as a matter of option but as a matter of duty and
professional responsibility.
Ruling:
The identity of the client in the present case is considered as a
privileged communication although as a matter of public policy, a
clients identity, in general, is not privileged.
The General rule that a clients identity is not privileged is qualified by
the following exceptions:
1) Client identity is privileged where a strong probability exists that
revealing the client's name would implicate that client in the very activity
for which he sought the lawyer's advice.
2) Where disclosure would open the client to civil liability; his identity is
privileged.
3) Where the government's lawyers have no case against an attorney's
client unless, by revealing the client's name, the said name would
furnish the only link that would form the chain of testimony necessary to
convict an individual of a crime, the client's name is privileged.
The circumstances involving the engagement of lawyers in the case at
bench, therefore, clearly reveal that the instant case falls under at least
two exceptions to the general rule. First, disclosure of the alleged
client's name would lead to establish said client's connection with the
very fact in issue of the case, which is privileged information.
The link between the alleged criminal offense and the legal advice or
legal service sought was duly establishes in the case at bar, by no less
than the PCGG itself. The key lies in the three specific conditions laid
down by the PCGG which constitutes petitioners' ticket to nonprosecution should they accede thereto:
(a) the disclosure of the identity of its clients;
(b) submission of documents substantiating the lawyerclient relationship; and
(c) the submission of the deeds of assignment
petitioners executed in favor of their clients covering their
respective shareholdings.
From these conditions, particularly the third, we can readily deduce that
the clients indeed consulted the petitioners, in their capacity as lawyers,
regarding the financial and corporate structure, framework and set-up of
the corporations in question. In turn, petitioners gave their professional
advice in the form of, among others, the aforementioned deeds of
assignment covering their client's shareholdings.
There is no question that the preparation of the aforestated documents
was part and parcel of petitioners' legal service to their clients. More
important, it constituted an integral part of their duties as lawyers.
Petitioners, therefore, have a legitimate fear that identifying their clients
would implicate them in the very activity for which legal advice had
been sought, i.e., the alleged accumulation of ill-gotten wealth in the
aforementioned corporations.
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Furthermore, under the third main exception, revelation of the client's
name would obviously provide the necessary link for the prosecution to
build its case, where none otherwise exists. It is the link, in the words of
Baird, "that would inevitably form the chain of testimony necessary to
convict the (client) of a . . . crime."
We have no choice but to uphold petitioners' right not to reveal the
identity of their clients under pain of the breach of fiduciary duty owing
to their clients, because the facts of the instant case clearly fall within
recognized exceptions to the rule that the client's name is not privileged
information.
If we were to sustain respondent PCGG that the lawyer-client
confidential privilege under the circumstances obtaining here does not
cover the identity of the client, then it would expose the lawyers
themselves to possible litigation by their clients in view of the strict
fiduciary responsibility imposed on them in the exercise of their duties.
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Whether or not there is conflict in interest in the present case. Yes!
EN BANC
A.C. No. 6632. August 2, 2005
NORTHWESTERN
UNIVERSITY,
INC.,
NICOLAS, Complainant,
vs.
Atty. MACARIO D. ARQUILLO, Respondent.
and
BEN
A.
DECISION
PANGANIBAN, J.:
Facts:
Atty. Macario D. Arquillo was chargedwith deceit malpractice, gross
misconduct and/or violation of his oath as attorney by representing
conflicting interests. From the facts of the case, it appears that Atty.
Arquillo appeared and acted as counsel for both complainants (eight
out of the eighteen complainants therein) and respondent (one out of
the ten respondents therein) in an NLRC consolidated case.
Atty. Arquillo on his defense however, alleges that there was no conflict
of interest in his representation as the respondent that he represented
was absolved by the labor arbiter of any personal liability for the illegal
dismissal of the complainants; thus it shows that all of the parties that
he represented were really on the same side.
Issue:
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(2) when the acceptance of the new retainer will require an attorney to
perform an act that may injuriously affect the first client or, when called
upon in a new relation, to use against the first one any knowledge
acquired through their professional connection; or
(3) when the acceptance of a new relation would prevent the full
discharge of an attorneys duty to give undivided fidelity and loyalty to
the client or would invite suspicion of unfaithfulness or double dealing in
the performance of that duty.
In the present case, Atty. Macario D. Arquillo, as counsel for
Respondent filed a Motion to Dismiss the NLRC Cases, for which
shortly thereafter, he filed position papers in behalf of the several
complainants. Clearly, there is inconsistency of interests here and as a
rule an attorney cannot represent adverse interests.
It is a hornbook doctrine grounded on public policy that a lawyers
representation of both sides of an issue is highly improper. The
proscription applies when the conflicting interests arise with respect to
the same general matter, however slight such conflict may be. It applies
even when the attorney acts from honest intentions or in good faith.
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Sadik v. Casar
EN BANC
G.R. No. MTJ-95-1053 January 2, 1997
SPOUSES MAKADAYA SADIK and USODAN SADIK, complainants,
vs.
JUDGE ABDALLAH CASAR, respondent.
PER CURIAM:
Facts:
The present case is an offshoot of a complaint for Specific Performance
by Makadaya and Malinang Sadik, the beneficiaries of the life insurance
policy of one Lekiya Paito against Grepalife. In the said civil case, they
sought the assistance of herein respondent Judge Casar.
Now, in the present case, Judge Casar was charged with misconduct
for representing the complainants in a case after he became a
municipal judge thus violating Rule 5.07 of the Code of Judicial
Conduct which states that A judge shall not engage in the private
practice of law. To make matters worse, he was also charged for
misappropriation for refusing to turn over the judgment award to the
complainants contending that he has the right to retain the same until
he is paid for his expenses.
On the issue of violating Rule 5.07, Judge Casar intimates that he is not
guilty of any misconduct because he accepted the case long before he
became a judge. He also denies the issue of misappropriating the
judgment award, with the defense that he has the right to retain the
same until he is paid for his expenses pursuant to Section 37 of Rule 38
of the Rules of Court.
Issue: Whether or not Judge Casars acts constitutes misconduct? Yes.
Whether or not Judge Casar has the right to retain the judgment
award? No.
Ruling:
On the issue of misconduct, there is no dispute that respondent Judge
represented the complainants long before he became a member of the
Judiciary. However, from the facts of the case, it was discovered that
respondent continued to act as counsel for the complainants on appeal
to the Court of Appeals and the Supreme Court even after he became a
municipal judge. By actively handling the case on appeal, he clearly
violated Rule 5.07 of the Code of Judicial Conduct. The least which he
should have done was to secure permission from the Supreme Court
before proceeding with the case on appeal. But this he failed to do, thus
making him guilty of the charge of misconduct.
On the issue of misappropriation, the court held that if indeed he was
claiming attorneys lien, then he should have known that to be entitled
thereto he must comply with certain pre-conditions. The pertinent
section provides that with respect to judgments for payment of money, a
lawyer shall have a lien thereto "from and after the time when he shall
have caused a statement of his claim of such lien to be entered upon
the records of the court rendering such judgment . . . and shall have
caused written notice thereof to be delivered to his client and the
adverse party." Now it appears that from 1993 until now, Judge Casar
did not file the necessary pleadings to enforce his alleged lien. That
being the case, Judge Casar has no right to retain the judgment award.
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In a desperate attempt to justify his retention of the judgment award,
Judge Casar raised the defense that herein complainants are not
entitled to claim the same as they are merely impostors. Judge Casar
states that the said complainants are just substitute witnesses procured
to pose as claimant Makadaya Sadik as the real Makadaya Sadik
cannot appear before the court.
He also declared that even before he filed the complaint in behalf of
Sadik, he was already informed that the insurance policy of Lekiya Paito
was fraudulent. In his intent to keep the insurance proceeds for himself
respondent Judge dug a hole for himself. His cure is worse than the
disease.
Due to the facts established of the judges propensity to transgress the
very law he is sworn to uphold makes him not only liable for the
charges of misconduct and misappropriation but also unfit to discharge
the functions of a judge. Hence, Judge Casar was dismissed from
service.
Significance of the issue:
It must be borne in mind that courts exist to dispense and to promote
justice. However, the reality of justice depends, above all, on the
intellectual, moral and personal quality of the men and women who are
called to serve as our judges.Justice is an alloy of men and
mechanisms in which, as Roscoe Pound remarked, "men count more
than machinery." Assume the clearest rules, the most enlightened
procedures, the most sophisticated court techniques; the key factor is
still the judge. In the long run, "There is no guarantee of justice except
the personality of the judge. The reason the judge makes or breaks the
system of justice is that rules are not self-declaring or self-applying.
Even in a government of laws, men make the decisions."
The integrity of the Judiciary rests not only upon the fact that it is able to
administer justice but also upon the perception and confidence of the
community that the people who run the system have done justice. At
times, the strict manner by which we apply the law may, in fact, do
justice but may not necessarily create confidence among the people
that justice, indeed, is served. Hence, in order to create such
confidence, the people who run the judiciary, particularly judges and
justices, must not only be proficient in both the substantive and
procedural aspects of the law, but more importantly, they must possess
the highest integrity, probity, and unquestionable moral uprightness,
both in their public and private lives. Only then can the people be
reassured that the wheels of justice in this country run with fairness and
equity, thus creating confidence in the judicial system.
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July 1, 2003
BENEDICTO
HORNILLA
and
ATTY.
RICAFORT, complainants,
vs.
ATTY. ERNESTO S. SALUNAT, respondent.
FEDERICO
D.
RESOLUTION
YNARES-SANTIAGO, J.:
Facts:
An administrative complaint was filed against Respondent Atty. Ernesto
Salunat for illegal and unethical practice and conflict of interest. From
the facts of the case, it appears that Respondent Salunant is a member
of the ASSA Law and Associates which was the retained counse of the
Philippine Public School Teachers Association (PPSTA). Herein
complainants who are members of the PPSTA filed an intra-corporate
case against the Board of Directors (BOD) of the PPSTA for unlawful
spending and the undervalued sale of the real property of the
Association. Now despite being told that representing the Board
members in the case filed by the PPSTA members is a conflict of
interest, Salunat still proceeded in representing the Board Members
thus leading to the present administrative case against him.
Issue:
10
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In the case at bar, the records show a SEC Case was filed by the
PPSTA against its own Board of Directors. Respondent admits that the
ASSA Law Firm, of which he is the Managing Partner, was the retained
counsel of PPSTA. Yet, he appeared as counsel of record for the
respondent Board of Directors in the said case. Clearly, respondent was
guilty of conflict of interest when he represented the parties against
whom his other client, the PPSTA, filed suit.
Atty. Salunat therefore is found guilty of representing conflicting interest.
11
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Aninon v. Sabitsana
SECOND DIVISION
A.C. No. 5098
JOSEFINA
M.
ANION, Complainant,
vs.
ATTY. CLEMENCIO SABITSANA, JR., Respondent.
DECISION
BRION, J.:
Facts:
In her complaint, Josefina M. Anion (complainant) related that she
previously engaged the legal services of Atty. Sabitsana in the
preparation and execution in her favor of a Deed of Sale over a parcel
of land owned by her late common-law husband Brigido Caneja, Jr.
Atty. Sabitsana allegedly violated her confidence when he subsequently
filed a civil case against her for the annulment of the Deed of Sale in
behalf of Zenaida L. Caete, the legal wife of Brigido Caneja, Jr.
Complainant Anion accused Atty. Sabitsana of using the confidential
information he obtained from her in filing the civil case.
Atty. Sabitsana on the otherhand admitted having advised the Anion in
the preparation and execution of the Deed of Sale. However, he denied
having received any confidential information.
Issue:
12
In Bautista vs. Barrios, it was held that a lawyer may not handle a case
to nullify a contract which he prepared and thereby take up inconsistent
positions.
In re De la Rosa clearly suggests that a lawyer may not represent
conflicting interests in the absence of the written consent of all parties
concerned given after a full disclosure of the facts. In the present case,
no such written consent was secured by respondent before accepting
employment as Mrs. Caetes counsel-of-record.
Complainant and respondents present client, being contending
claimants to the same property, the conflict of interest are obviously
present. There is said to be inconsistency of interest when on behalf of
one client, it is the attorneys duty to contend for that which his duty to
another client requires him to oppose. In the present case, not only did
Atty. Sabitsana agree to represent one client against another client in
the same action; he also accepted a new engagement that entailed him
to contend and oppose the interest of his other client in a property in
which his legal services had been previously retained.
Based on the established facts, Atty. Sabisana is found guilty of
misconduct for represention conflicting interests in violation of Rule
15.03 of the Code of Professional Responsibility and is hereby
suspended for 1 year from the practice of law.
Significance of the Issue:
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The relationship between a lawyer and his/her client should ideally be
imbued with the highest level of trust and confidence. This is the
standard of confidentiality that must prevail to promote a full disclosure
of the clients most confidential information to his/her lawyer for an
unhampered exchange of information between them. Needless to state,
a client can only entrust confidential information to his/her lawyer based
on an expectation from the lawyer of utmost secrecy and discretion; the
lawyer, for his part, is duty-bound to observe candor, fairness and
loyalty in all dealings and transactions with the client.Part of the
lawyers duty in this regard is to avoid representing conflicting interests,
a matter covered by Rule 15.03, Canon 15 of the Code of Professional
Responsibility quoted below:
Rule 15.03. -A lawyer shall not represent conflicting interests except by
written consent of all concerned given after a full disclosure of the facts.
13
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Samson v. Era
EN BANC
A.C. No. 6664
14
longer registered under the name of ICS Corporation. and for this they
contacted Atty. Era to negotiate with the Sison group once more. They
FERDINAND
A.
vs.
ATTY. EDGARDO O. ERA, Respondent.
SAMSON, Complainant,
DECISION
were shocked to find out later on, however, that Atty. Era had already
been entering his appearance as the counsel for Sison in her other
criminal cases involving the same pyramiding scam that she and her
ICS Corporation had perpetrated.
Samson then filed a disbarment case against Atty. Era on the ground of
BERSAMIN, J.:
his violation of the trust, confidence and respect reposed in him as their
Facts:
For his defense, Atty Era contends that the Attorney-Client relationship
had already ended upon the execution of the compromise settlement of
the criminal cases.
2) Issue: Whether or not a compromise settlement ends a lawyer-client
relationship which therefore allows the lawyer to represent the opposing
party in another case.
3) Ruling: No. Atty. Eras contention that the lawyer-client relationship
ended when Samson and his group entered into the compromise
settlement with Sison on April 23, 2002 was unwarranted. The lawyerclient relationship did not terminate as of then, for the fact remained that
he still needed to oversee the implementation of the settlement as well
as to proceed with the criminal cases until they were dismissed or
otherwise concluded by the trial court. It is also relevant to indicate that
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the execution of a compromise settlement in the criminal cases did not
ipso facto cause the termination of the cases not only because the
approval of the compromise by the trial court was still required, but also
because the compromise would have applied only to the civil aspect,
and excluded the criminal aspect pursuant to Article 2034 of the Civil
Code.
There is conflict of interest when a lawyer represents inconsistent
interests of two or more opposing parties. The test is "whether or not in
behalf of one client, it is the lawyers duty to fight for an issue or claim,
but it is his duty to oppose it for the other client. In brief, if he argues for
one client, this argument will be opposed by him when he argues for
the other client." This rule covers not only cases in which confidential
communications have been confided, but also those in which no
confidence has been bestowed or will be used. Also, there is conflict of
15
interests if the acceptance of the new retainer will require the attorney
to perform an act which will injuriously affect his first client in any matter
of such rules, for example, a lawyer might appear on both sides of the
his new relation to use against his first client any knowledge acquired
adversary argumentation.
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It appears that Luciana Abadilla sold the lot to Benito Bolisay and a new
Transfer Certificate of Title over the lot was issued in the name of
complainant spouses.
16
BOLISAY, petitioners,
PER CURIAM:p
Generosa Buted and Benito Bolisay filed an administrative complaint for
malpractice against respondent Atty. Harold M. Hernando, charging the
latter with having wantonly abused professional secrets or information
obtained by him as their counsel.
Respondent was counsel for Luciana Abadilla and a certain Angela
Buted in an action for partition instituted by Generosa as compulsory
heir of the deceased Teofilo Buted. Respondent ultimately succeeded
in defending Luciana Abadilla's claim of exclusive ownership over Lot
9439-B. When Luciana died, respondent withdrew his appearance from
that partition case.
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Professional Ethics by representing clients with conflicting interests,
and filed before this Court the corresponding Complaint 8 dated 30
March 1990.
ISSUE: a. whether or not respondent Hernando had a conflict of
interests under the circumstances described above. YES.
b. WON there is necessity of proving actual transmission of
confidential information. No
a. The Canons of Professional Ethics, the then prevailing parameters of
behavior of members of the bar, defines a conflict of interests situation
in the following manner:
6. Adverse influence and conflicting interests.
xxx xxx xxx
It is unprofessional to represent conflicting interests, except by express
consent of all concerned given after a full disclosure of the facts. Within
the meaning of this canon, a lawyer represents conflicting interests
when, in behalf of one client, it is his duty to contend for that which duty
to another client requires him to oppose.
The obligation to represent the client with undivided fidelity and not to
divulge
his
secrets
or
confidence
forbids
also
the
subsequent acceptance of retainers or employment from others in
matters adversely affecting any interest of the client with respect to
which confidence has been reposed.(Emphasis supplied)
Though as regards the first and second cases handled by respondent,
no conflict of interest existed, the same cannot be said with respect to
the action for specific performance and the cadastral proceeding.
17
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18
This Court went further in San Jose v. Cruz, 14 where the lawyer was
charged with malpractice for having represented a new client whose
interest was opposed to those of his former clients in another case:
An attorney owes loyalty to his client not only in the case in which he
has represented him but also after the relation of attorney and client
has terminated and it is not a good practice to permit him afterwards to
defend in another case other persons against his former client under
the pretext that the case is distinct from, and independent of the former
case. 15 (Emphasis supplied)
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LAWYER-CLIENT PRIVILEGE / RULE ON PRIVILEGED
COMMUNICATION
Hadjula v. Madianda
FIRST DIVISION
A.C. No. 6711
19
July 3, 2007
MA.
LUISA
HADJULA, complainant,
vs.
ATTY. ROCELES F. MADIANDA, respondent.
DECISION
GARCIA, J.:
Facts:
Complainant Hadjula claimed that sometime in 1998, she approached
respondent Atty. Madianda for some legal advice. In the course of their
conversation which was supposed to be kept confidential, she disclosed
personal secrets and produced copies of a marriage contract, a birth
certificate and a baptismal certificate, only to be informed later by the
respondent that she (respondent) would refer the matter to a lawyer
friend. It was malicious, so complainant states, of respondent to have
refused handling her case only after she had already heard her secrets
and so she filed criminal and disciplinary actions against the
respondent.
According to Hadjula, Atty. Madianda in retaliation to the filing of the
aforesaid actions filed a COUNTER COMPLAINT with the Ombudsman
charging her (complainant) with falsification of public documents and
Issue:
The pressing issue in the present case is whether or not as between
Hadjula and Madianda there exists an attorney-client relationship
although Atty. Madianda did not actually handle the case for which his
legal advice was sought. Yes!
Held:
The Court held in the present case that the moment complainant
approached the then receptive respondent to seek legal advice, a
veritable lawyer-client relationship evolved between the two. Such
relationship imposes upon the lawyer certain restrictions circumscribed
by the ethics of the profession. Among the burdens of the relationship is
that which enjoins the lawyer, respondent in this instance, to keep
inviolate confidential information acquired or revealed during legal
consultations. The fact that one is, at the end of the day, not inclined to
handle the client's case is hardly of consequence. Of little moment, too,
is the fact that no formal professional engagement follows the
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consultation. Nor will it make any difference that no contract whatsoever
was executed by the parties to memorialize the relationship.
Dean Wigmore lists the essential factors to establish the existence of
the attorney-client privilege communication, viz:
(1) Where legal advice of any kind is sought (2) from a
professional legal adviser in his capacity as such, (3) the
communications relating to that purpose, (4) made in confidence
(5) by the client, (6) are at his instance permanently protected
(7) from disclosure by himself or by the legal advisor, (8) except
the protection be waived.7
In view of the foregoing, respondent indeed breached his duty of
preserving the confidence of a client.
20
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Mercado v. Vitriolo
Atty. Vitriolo on the other hand maintains that his filing of the criminal
complaint for falsification of public documents does not violate the rule
on privileged communication between attorney and client because the
SECOND DIVISION
A.C. No. 5108
21
bases of the falsification case are two certificates of live birth which are
public documents and in no way connected with the confidence taken
ROSA
F.
vs.
ATTY. JULITO D. VITRIOLO, respondent.
MERCADO, complainant,
DECISION
PUNO, J.:
Issue:
Facts:
communication? No.
Held:
The Supreme Court provided the following factors to establish the
existence of the attorney-client privilege:
(1) There exists an attorney-client relationship, or a prospective
attorney-client relationship, and it is by reason of this relationship that
the client made the communication.
Matters disclosed by a prospective client to a lawyer are protected by
the rule on privileged communication even if the prospective client does
not thereafter retain the lawyer or the latter declines the employment.
(2) The client made the communication in confidence.
Abejaron
The mere relation of attorney and client does not raise a presumption of
confidentiality. The client must intend the communication to be
confidential.
(3) The legal advice must be sought from the attorney in his
professional capacity.
The Supreme Court thus held that applying the aforestated rules to the
case at bar, the evidence on record fails to substantiate complainant's
allegations.
Complainant
did
not
even
specify
the
alleged
Therefore,
the
boundaries
of
when
privileged
22
Abejaron
Angara v. Sandiganbayan
Facts:
Herein petitioners were partners of the ACCRA Law firm who were
impleaded as co-defendants in a case filed by the Republic of the
Philippines through the PCGG before the Sandiganbayan. The ACCRA
Lawyers were involved in the present case by virtue of rendering legal
services in the organization and acquisition of companies which are
included in a Civil Case for recovery of alleged ill gotten wealth. The
companies which the ACCRA Lawyers organized were allegedly set up
through the use of coconut levy funds.
However, after a careful perusal of the case it is evident that the
ACCRA Lawyers were merely impleaded to force them to disclose the
identity of their clients. PCGG in reality is not after the petitioners but
the bigger fish. This ploy is clear with the following conditions
precedent set by the PCGG for the exclusion of petitioners from the
case, namely: (a) the disclosure of the identity of its clients; (b)
submission of documents substantiating the lawyer-client relationship;
and (c) the submission of the deeds of assignments petitioners
executed in favor of its client covering their respective shareholdings.
23
Abejaron
Lawyers were availed of to organize the organizations which are
suspected to have been set up through the use of coconut levy funds,
by revealing therefore the identity of their client would establish a
connection between him and the establishment of the companies which
are the subject matter of the controversy.
Furthermore, under the third main exception, revelation of the client's
name would obviously provide the necessary link for the prosecution to
build its case, where none otherwise exists. It is the link, in the words of
Baird, "that would inevitably form the chain of testimony necessary to
convict the (client) of a . . . crime."
Due to the foregoing, the court has no choice but to uphold petitioners'
right not to reveal the identity of their clients under pain of the breach of
fiduciary duty owing to their clients, because the facts of the instant
case clearly fall within recognized exceptions to the rule that the client's
name is not privileged information.
Significance of the issue:
WHETHER THE IDENTITY OF A CLIENT CONSTITUTES
PRIVILEGED COMMUNICATION
The issue of whether the identity of a client constitutes privileged
communication is a Problem Area in Legal Ethics because as said
earlier, the clients identity in general is not to be considered as
privileged. However, a lawyer so as to avoid prosecution must be aware
that this is not always the case. A lawyer by being aware of such
exception to the general rule is put on his guard when it comes to
divulging any information regarding his client. Even information as trivial
as a name must be disclosed with prudence so as to avoid possible
disbarment cases for violating the well-enshrined rule on lawyer-client
privileged communication.
24
Abejaron
Ruling:
January 6, 1915
UY
vs.
THE UNION LIFE ASSURANCE
AL., defendants-appellees.
Beaumont
and
Tenney
for
Bruce, Lawrence, Ross and Block for appellees.
LIMITED,
ET
appellant.
TRENT, J.:
Facts:
This case is an offshoot of a case which involves a dispute over two
insurance policies. The parties involved in the original case are the
insurance company and Uy Chico. Uy Chico seeks to recover the face
value of the two insurance policies. The insurance company however
contended that Uy Chico already agreed to a compromise settlement of
the policies and for that purpose introduced evidence showing that the
Uy Chicos attorney had already surrendered the policies with the
understanding that such is submitted for compromise.
Uy Chicos counsel was thus called to testify regarding the matter
however the former objected thereto on the ground that the testimony of
his counsel was privileged.
Issue:
25
Abejaron
COMMUNICATIONS INTENDED FOR THE INFORMATION OF THIRD
PERSONS NOT PRIVILEGED
This is a problem area in legal ethics, because a lawyer should know
the extent of the coverage of the privileged communication rule so he
could practice his legal profession within the bounds of legal ethics. It is
important to note that as a safe measure, communications made
between a client and his lawyer is considered to be within the scope of
the privileged communication rule. However, a client who
communicated information to his lawyer with the intent of
communicating it to a third person, cannot thereafter claim that such
communication is privileged merely because it was related during the
existence of a lawyer-client relationship. As much as the rights of the
client should be protected with zeal, so are the rights of a lawyer to
practice his profession free from any wrongful prosecution.
26
Abejaron
Genato v. Silapan
THIRD DIVISION
A.C. No. 4078
27
charged of.
July 14, 2003
WILLIAM
ONG
vs.
ATTY. ESSEX L. SILAPAN, respondent.
PUNO, J.:
Issue:
Facts:
Abejaron
It must be stressed, however, that the privilege against disclosure of
confidential communications or information is limited only to
communications which are legitimately and properly within the scope of
a lawful employment of a lawyer. It does not extend to those made in
contemplation of a crime or perpetration of a fraud. As in this case, the
complainant's alleged intention to bribe government officials in relation
to his case, is not covered by the privilege as the client does not consult
the lawyer professionally for it is not within the profession of a lawyer to
advise a client as to how he may commit a crime. The attorney-client
privilege does not attach, there being no professional employment in
the strict sense.
Be that as it may, it is of the view of the court that the disclosures made
by Atty. Silapan were not indispensable to protect his rights as they
were not pertinent to the foreclosure case. It was improper for the
respondent Atty. to use it against the complainant in the foreclosure
case as it was not the subject matter of litigation therein and
respondent's professional competence and legal advice were not being
attacked in the foreclosure case. Thus, the Court found Atty. Silapan
guilty of breach of fidelity.
Significance of the Issue:
PRIVILEGED COMMUNICATION DOES NOT EXTEND TO THOSE
NOT WITHIN THE LAWFUL EMPLOYMENT OF A LAWYER
This is a Problem Area in Legal Ethics, because under numerous rules
in the Code of Professional Responsibility, a lawyer is mandated to be
faithful and mindful to the trust and confidence reposed on him by his
client. However, such mandate ends when what is being communicated
to a lawyer is with the purpose of perpetrating a crime or fraud. The
privileged communication rule cannot be used as an impenetrable
28
Abejaron
Saura v. Agdeppa
property was sold with the assistance of Atty. Agdeppa, who notarized
participation. Petitioners therefore demanded the disclosure of the
RAMON
SAURA,
JR., complainant,
vs.
ATTY. LALAINE LILIBETH AGDEPPA, respondent.
amount of the sale but the vendor or their counsel refused to do so,
hence the filing of the present case.
Atty. Agdeppa on her defense said that she could not answer the
charges against her without violating the attorney-client privilege rule.
Issue:
x-----------------------------x
ADM. CASE No. 4429
The dispute arose, when the petitioners learned that the subject
the deed of sale herself without the petitioners knowledge and
SECOND DIVISION
ADM. CASE No. 4426
29
Whether or not the request for the information regarding the sale of the
property and to account for the proceeds thereof is a violation of the
attorney-client privilege? No!
Ruling:
RESOLUTION
Facts:
or account for the proceeds. Petitioners certainly have the right to ask
Atty. Lalaine Lilibeth Agdeppa was charged for violation of her lawyers
oath and disregard of Sections 15, 22, 25, 29, 31 and 32 of the Canons
of Professional Ethics.
petitioners are only asking for the disclosure of the amount of the sale
for such information since they own the property as co-heirs to and as
co-administrators of the property. Hence, respondent cannot refuse to
divulge such information to them and hide behind the cloak of the
attorney-client relationship.
Abejaron
This is Problem Area in Legal Ethics because of the well-established
rule that communications between the lawyer and his client is
privileged. However, this privilege cannot be used as a device to shield
fraud or to refuse disclosure of information which is clearly not within
the attorney-client privileged communication.
30
Abejaron
Maturan v. Gonzales
EN BANC
31
GLORITO
V.
MATURAN, petitioner,
vs.
ATTY. CONRADO S. GONZALES, respondent.
present case.
RESOLUTION
rendered in Civil Case No. 2067. The said act led to the filing of the
ROMERO, J.:
Facts:
between them.
Issue:
Ruling:
Abejaron
It is improper for a lawyer to appear as counsel for one party against
the adverse party who is his client in a related suit, as a lawyer is
prohibited from representing conflicting interests or discharging
inconsistent duties. He may not, without being guilty of professional
misconduct, act as counsel for a person whose interest conflicts with
that of his present or former client.
Atty. Gonzales was thus found guilty of the charges against him and is
suspended from the practice of law for 2 years.
32
Abejaron
People v. Sandiganbayan and Honorada et. al
EN BANC
G.R. Nos. 115439-41 July 16, 1997
PEOPLE
OF
THE
PHILIPPINES, petitioner,
vs.
HONORABLE SANDIGANBAYAN, MANSUETO V. HONRADA,
CEFERINO
S.
PAREDES,
JR.
and
GENEROSO
S.
SANSAET, respondents.
REGALADO, J.:
Facts:
Paredes, was the Provincial Attorney of Agusan del Sur, then Governor
of the same province and is at present a Congressman. Atty. Sansaet is
a practicing attorney who served as counsel for Paredes in several
instances. In 1976, Paredes applied for a free patent over a piece of
land and it was granted to him. But later, the Director of Lands found out
that Paredes obtained the same through fraudulent misrepresentations
in his application. A civil case was filed and Sansaet served as counsel
of Paredes. A criminal case for perjury was subsequently filed against
Paredes and Sansaet also served as counsel.
Later, Teofilo Gelacio, a taxpayer, initiated perjury and graft charges
against Paredes and Sansaet, claiming that they acted in conspiracy, by
not filing an arraignment in the criminal case. To evade responsibility
for his own participation, he claimed that he did so upon the instigation
and inducement of Paredes, and to discharge himself as a government
33