Charlotte Criminal Lawyer – 2012 CMPD Annual Report – Crime Up 12%

CMPD Report: Crime up in 2012

Charlotte-Mecklenburg police on Wednesday released first-quarter crime statistics for 2012. And in a sharp contrast from the past three years, the crime index is up by 12 percent.

Among the highlights:

— There were 1,208 reported violent crimes from January to March, an increase of 23 percent over the first three months of 2011.
— Property crimes also were up in the first quarter, with 7,427 reported incidents versus 6,727 for the same period a year ago.
— Homicides doubled in the opening quarter, with 12 this year versus 6 this time last year. By comparison, there were 15 homicides in the final quarter of 2011, according to the report.
— Vehicle thefts are down nearly 12 percent. Through March, 397 of the thefts had been reported compared to 450 for this time last year

Whether the trend will continue for the rest of the year is left to be seen. Police said preliminary figures from the first three weeks of April has dropped the 2012 crime rate to some 7.8 percent.

This article sadly shows a rather significant increase in overall crime in our area. Such trends invariably result in greater numbers of arrests in an effort to improve our city’s safety. However, with those increased arrests, people who are not guilty can be falsely charged. The criminal attorneys at Reeves, Aiken & Hightower LLP stand ready to defend your rights if you are wrongfully accused. For more information about our firm, please visit our website at www.rjrlaw.com or call us directly at 704-499-9000. We welcome the opportunity to make sure you receive fairness and justice.

Charlotte DWI Lawyer – Implied Consent Warnings – Non-English Speaking Defendants – Part II

Below is the second part of the thought provoking article by Ms. Denning addressing whether due process requires that implied consent warnings be advised in a defendant’s native language in order to assure understanding of same. Ironically, the relatively simple question has no current appellate answer. Common sense has taken a backseat to legal analysis. That which would appear rhetorical has countervailing arguments and strong positions for both sides. Of course, we forget that there are other countries represented in immigration matters besides hispanic. Certainly, people from central and latin america are the predominant immigrants to the United States, but there are other nationalities involved as well. It would seem, nevertheless, in this enlightened computer age that use of a language converter program easily available on the internet could translate the implied consent warnings into virtually any dialect and provide defendants with fair notice of their rights. Only lawyers take the simple and make it unnecessarily complex.

The criminal defense attorneys of Reeves, Aiken & Hightower LLP provide aggressive representation of those individuals accused on a crime. Our primary focus in criminal court is DWI, but we also routinely fight charges of DWLR, CDV, drug offenses, as well as all NC traffic violations. Our lawyers are available to speak with you directly, and we have spanish-speaking staff onsite to help our non-English speaking clients. For more information about our firm, please visit www.rjrlaw.com. Compare our attorneys’ credentials to any other law firm. Then call us for a private, confidential consultation at 704-499-9000.

Providing Notice of Implied Consent Rights to Persons Who Do Not Speak English (Part II)

February 2nd, 2011

By Shea Denning

Part I of this post left for another day consideration of whether a defendant who does not speak English may be deemed to have willfully refused a chemical analysis when notice of the implied consent rights is provided only in English and whether providing notice only in English may violate such a defendant’s constitutional rights. That day has arrived. [Editor’s note: already!]

Rather than considering notice of implied consent rights as properly provided when the rights are read as set out in the statute, even if they are read in English to a non-English speaking defendant, the appropriate focus may be upon whether the officer used reasonable methods to convey those warnings. The Supreme Court of Wisconsin in State v. Piddington, 623 N.W.2d 528 (Wis. 2001), employed such an approach to determine whether an officer appropriately conveyed implied consent warnings to a deaf defendant. The Supreme Court of Iowa adopted the Piddington approach in State v. Garcia, 756 N.W.2d 216 (Iowa 2008), determining that the officer in that case used reasonable methods to convey implied consent warnings to a defendant who understood limited English.

If reasonableness is the touchstone, then it must require something more than stating the rights in English to a person who does not understand the language, though it may not require than an interpreter be provided in every instance. Cf. State v. Ortez, 178 N.C. App. 236, 245 (2006) (holding that grammatical errors in Raleigh Police Department’s Spanish translation of Miranda warnings did not render warnings inadequate as adequacy is determined by whether warnings reasonably convey Miranda rights). For example, providing a copy of implied consent warnings translated into Spanish for literate Spanish-speaking defendants—a practice already utilized by many chemical analysts—may be sufficient. But see People v. Garcia-Cepero, 2008 WL 4681928 (N.Y. Super. Ct. October 23, 2008) (holding that a defendant who did not speak English was not provided warnings about taking a breath test in “clear and unequivocal language,” even though the defendant, who spoke Spanish, was shown a video in which the warnings were translated into Spanish). Utilization of a telephonic interpreter service, such as that provided for use of judicial officials by the Administrative Office of the Courts, also might be a reasonable option for conveying the warnings, if such a service was available. Evaluation of the reasonableness of the warnings requires consideration of the fact that alcohol dissipates from breath and blood over time and that the very purpose of the implied consent law is to facilitate the gathering of evidence as to a defendant’s alcohol concentration. See Piddington, 623 N.W.2d at 542. Thus, it may be unreasonable for the State to delay testing for hours awaiting the arrival of an interpreter.

Is it a violation of the constitutional right to equal protection under the law for the State to provide notice of implied consent rights solely in English since non-English speaking defendants, unlike their English-speaking counterparts, are unable to understand the warnings? State supreme courts in Georgia and Illinois have held that it is not. SeeRodriguez v. State, 565 S.E.2d 458 (Ga. 2002); People v. Wegielnik, 605 N.E.2d 487 (Ill. 1992). The implied consent statutes in Georgia and Illinois, like North Carolina’s, are silent regarding the language in which the warnings must be given. Thus, the statutes, on their face, create no classification differentiating among similarly situated persons. Noting that a facially neutral statute violates equal protection only when enacted or applied with a discriminatory purpose, Rodriguez and Wegielnik determined that the defendant had failed to demonstrate any such discriminatory purpose.

Rodriguez further held that even if Georgia’s implied consent law does classify defendants based upon whether they speak English, it nevertheless is constitutional. In so holding, Rodriguez rejected the notion that a classification based on language is a proxy for a suspect classification, such as one based on national origin. Other courts likewise have rejected this argument. See Flores v. Texas, 904 S.W.2d 129, 130 (Tex. Crim. App. 1995) (en banc) (rejecting defendant’s argument that different treatment based on his inability to speak English is equivalent to discrimination based on race or national origin); Kustura v. Department of Labor and Industries, 175 P.3d 1117, 1132-33 (Wash. App. 2008) (“While there is some authority that singling out speakers of a particular language merits strict scrutiny, no case had held that the provision of services in the English language amounts to discrimination against non-English speakers based on ethnicity or national origin.”). Because language classification is not a suspect classification, the Rodriguez court determined that the statute need only survive rational basis review, a test it easily met on the bases that reading rights in English informs most drivers, providing notice of rights in each driver’s native language would impose severe administrative costs, and waiting for an interpreter could delay obtaining a driver’s blood alcohol concentration, which dissipates over time.

The defendant in Rodriguez also argued that due process required that a driver be meaningfully advised of implied consent rights so that he or she could exercise those rights in a meaningful fashion. The court disagreed, characterizing implied consent warnings as “a matter of legislative grace,” and concluding that due process does not require that the warnings be given in a language that the driver understands. 565 S.E.2d at 462. The Weigelnik court likewise concluded that “[b]ecause due process does not require that the summary suspension warnings be given at all, it does not require that they be given in a language the defendant understands.” 605 N.E.2d at 491. This language brings to mind the North Carolina Supreme Court’s characterization of the right to refuse testing as “a matter of grace” granted by the legislature and not a constitutional right. State v. Howren, 312 N.C. 454, 457 (1984).

Garcia-Cepero , an unpublished decision of a trial judge in New York, is the only opinion I’ve discovered that deems the failure to provide an interpreter to deliver implied consent warnings in a language the defendant understands a violation of the defendant’s constitutional rights. 2008 WL 4681928. The analysis in Garcia-Cepero is muddied by the court’s finding that defendants who did not speak English were given only chemical tests, while English speakers were given field sobriety and chemical tests, and by the court’s analysis of the due process violation as one of procedural, rather than substantive, due process. Nevertheless, Garcia-Cepero merits review for its conclusion that the failure to provide an interpreter for the chemical analysis and field sobriety tests violates a defendant’s Sixth Amendment right to present a complete defense.

I previously noted that no North Carolina appellate opinions address the providing of implied consent warnings to persons who do not speak English. I’m guessing, however, that some readers have litigated this issue in district and superior court. I’d love to hear from you about how the issue was raised and resolved, whether there are procedures employed to advise non-English speakers of their rights that I have failed to mention, and your thoughts about the appropriate analysis.

Charlotte DWI Lawyer – Implied Consent Warnings – Non-English Speaking Defendants – Part I

The first of a two part article below raises and discusses an interesting point regarding implied consent warnings prior to submitting to a breathalyzer chemical analysis. With the growth of non-English speaking defendants, is there actually a right to be explained in a defendant’s native language? How many different languages would be necessary? Would interpreters be required? Currently, the NC caselaw is silent on this issue. However, Ms. Denning explores legislative intent in drafting the implied consent statute. It is an interesting debate of whether the statute just requires a robotic reading of the implied consent rights in English or whether some form of meaningful understanding is actually envisioned.

The criminal attorneys at Reeves, Aiken & Hightower LLP appreciate the subtle nuances of DWI laws and will fight to make certain the State proves each and every element required beyond a reasonable doubt. Our lawyers are aggressive trial attorneys and are not afraid to go to court. To find out more about our credentials and qualifications, please visit our firm’s website at www.rjrlaw.com. We welcome an opportunity to review your case. Call us today at 704-499-9000 and schedule a private consultation.

Providing Notice of Implied Consent Rights to Persons Who Do Not Speak English

February 1st, 2011

By Shea Denning

Several earlier posts addressed the requirement that a person arrested for an implied consent offense be informed of statutory implied consent rights before being asked to submit to a chemical analysis. Subsequent posts addressed the remedy for failure to adhere to these statutory requirements.

None of those posts, and indeed no North Carolina appellate court decision, addresses the circumstance in which a chemical analyst advises a defendant of the implied consent rights by reading them and providing a copy in writing, but the oral advice and the writing are in English, a language the defendant does not speak or comprehend.

If such a defendant submits to a chemical analysis, are the results subject to suppression at trial? What if the defendant refuses? Is the refusal admissible at trial as evidence of the defendant’s guilt?

G.S. 20-16.2 does not require that notice of implied consent rights be provided in any particular language, though the practice is to read the rights in English and provide a copy of the rights written in English. Perhaps the inquiry ends there, at least for determining whether results of a chemical analysis are admissible at trial. The argument in support of this view is that notice provided in English is provided in accordance with the statute; thus, there is no basis for suppression. This view is supported by the purpose of the warnings, which is “to provide scientific evidence of intoxication not only for the purpose of convicting the guilty and removing them from the public highways for the safety of others, but also to protect the innocent by eliminating mistakes from objective observation such as a driver who has the odor of alcohol on his breath when in fact his consumption is little or those who appear to be intoxicated but actually suffer from some unrelated cause.” Seders v. Powell, 298 N.C. 543, 552 (1979). The warnings “ensure cooperation in providing scientific evidence and avoid incidents of violence in testing by force.” Id.

Since notice is provided to secure submission to a chemical analysis rather than to procure a knowing, voluntary and intelligent waiver of rights, the statutory purposes are met when the person submits to testing, regardless of whether the person knew of the right to refuse testing. See Yokoyama v. Commissioner of Public Safety, 356 N.W.2d 830, 831 (Minn. App. 1984) (rejecting the argument of a petitioner who “willingly blew into the testing machine” that he had a statutory right to have the implied consent advisory read to him in Japanese and finding that he “understood he was being asked to take the test,” which was the only understanding required). Adherents of the view that informing a defendant of the rights in English is sufficient, regardless of the person’s subjective understanding, might further conclude that such a person can refuse testing by exhibiting a positive intention to disobey the chemical analyst’s instructions, regardless of whether the person understands the consequences of that conduct. See Martinez v. Peterson, 322 N.W.2d 386, 388 (Neb. 1982) (holding that person is required to understand only that he or she has been asked to take a test and that “[t]here is no defense to refusal that [the person] does not understand the consequences of refusal or is not able to make a reasonable judgment as to what course of action to take”).

Assuming, for now, that the arguments set forth above reflect how a North Carolina court would analyze the admissibility of a chemical analysis or evidence of refusal in a criminal trial on impaired driving charges, let’s progress to the more complicated question.  May a person who does not speak the language in which the notice of implied consent rights is provided be deemed to have willfully refused a chemical test?

Recall that a willful refusal occurs when a person (1) is aware that he or she has a choice to submit to or refuse a chemical analysis, (2) is aware of the time limit within which he or she must submit, and (3) voluntarily elects not to submit or knowingly permits the prescribed thirty minute time limit to expire before electing to submit. Etheridge v. Peters, 301 N.C. 76, 81 (1980). What does it mean for a person to be “aware” of the choice and time limit? Given that there must be probable cause to believe that a person has committed an implied consent offense—many of which require proof of impairment— before a person may be requested to submit to such a test, the legislature must have anticipated that some defendants’ abilities to understand the warnings would be compromised by their present condition. Presumably, the legislature did not intend for the very defendants whose behavior is targeted by the law to escape the sanction of a twelve-month license revocation for willfully refusing a chemical analysis.

Indeed, the state supreme court in Joyner v. Garrett, 279 N.C. 226 (1971), rejected the defendant’s contention that he was too drunk to have willfully refused the breath test, finding the officer’s testimony that defendant refused to submit saying “‘he was a taxpayer and he didn’t have to take it’” sufficient evidence of willful refusal. The officer’s testimony that he did not know whether the defendant understood what he told him did not figure in the court’s analysis. Likewise, in Rice v. Peters, 48 N.C. App. 697 (1980), the court of appeals rejected the defendant’s argument that he had not willfully refused a breath test when he refused to cooperate by speaking in “a loud and boisterous manner drowning out [the chemical analyst’s] words” and making no response when the chemical analyst said he was being marked as a refusal, notwithstanding the defendant’s assertion at the time the rights were read that he did not understand them. Explaining that the purpose of the implied-consent testing statute is fulfilled when a person is given the opportunity to submit or refuse to submit to a chemical analysis and his decision is made after having been advised of his rights in a manner provided by statute, the court held that the defendant had willfully refused by refusing to cooperate. The court did not inquire into the defendant’s subjective understanding of his rights. Thus, it would be a departure from precedent to conclude that subjective understanding of the warnings on the part of the defendant is required; moreover, such an interpretation would absurdly afford relief to the obstreperous or highly intoxicated defendant, a result the legislature surely did not intend.

If subjective understanding is not relevant and G.S. 20-16.2 does not require that implied consent rights be conveyed to a defendant in a language that he or she understands, then the matter of willful refusal isn’t any more complicated than that of refusal, discussed earlier in this post.  See, e.g., People v. Wegielnik, 605 N.E.2d 487, 491 (Ill. 1992) (finding “no meaningful distinction between a motorist who cannot comprehend the statutory warnings because of injury or intoxication, and one who does not understand them due to insufficient English language skills.”). Yet I wonder whether our courts would view lack of understanding resulting from a language barrier differently from lack of understanding caused by intoxication or belligerence.  See, e.g., People v. Garcia-Cepero, 2008 WL 4681928 (N.Y. Sup. Ct. October 23, 2008) (distinguishing case of a defendant who does not speak or understand English from that of a person too intoxicated to understand implied consent warnings). Moreover, might our courts find a constitutional violation in the failure to afford non-English speaking defendants notice of implied consent rights?  Part II of this Post will explore these issues.

Charlotte Criminal Defense Attorney – Drug-Sniffing Dog Searches – How Long is Too Long

Below is a great article by Shea Denning. She, along with Jeff Welty, is one of my favorite posters. Both are talented writers, and I follow them weekly. This posting highlights a recent NC case addressing the issue of how long a police officer may detain a vehicle after a routine traffic stop. As with most criminal cases, the individual facts are dispositive. However, the general guidelines presented give some benchmarks as to what Courts will have to examine in their analysis. One concept is clear. There must be some “reasonable suspicion” before the stop can last longer than it takes to write the warning or citation.

The criminal lawyers at Reeves, Aiken & Hightower, LLP, appreciate the nuances in particular cases that can mean the difference between a guilty verdict or acquittal. We carefully analyze the facts in each case and craft a comprehensive defense strategy with a singular goal – to win your case. While we certainly cannot guarantee any outcome, we can assure you that we will work tirelessly on your behalf. Compare our attorneys’ credentials to any other law firm. Then, call us today at 704-499-9000 for a private consultation. For more information, please visit our firm website at www.rjrlaw.com.

Air Fresheners? You Betcha. Eating on the Go? Not So Much.

April 3rd, 2012

By Shea Denning

Jeff has written before about whether a traffic stop may be prolonged to allow time for a drug-sniffing dog to arrive on the scene and sniff about the car (which itself is not a Fourth Amendment search, see Illinois v. Caballes, 543 U.S. 405, 409 (2005)).  As Jeff noted in his paper, it is unclear whether a brief delay to allow time for a canine unit to arrive is permissible absent reasonable suspicion of criminal activity; however, it is well-established that an extended delay to await a drug dog’s arrival must be supported by reasonable suspicion.  The North Carolina Court of Appeals in State v. Fisher, ___ N.C. App. ___ (March 20, 2012), recently considered whether a 20 to 25 minute detention of a defendant after he was stopped for a seatbelt violation was supported by the requisite suspicion.  The case struck me as worth blogging about both because of the court’s view that any detention of the defendant beyond the issuance of the citation must be supported by reasonable suspicion and the ordinariness of the factors the State relied upon as evidence of criminal activity. Some, but not all, of those factors were accepted by the court as appropriate factors to consider in a reasonable suspicion analysis (hence, the title of this post).

The defendant in Fisher attracted the attention of a local police officer and drug investigator because he was not wearing his seatbelt and was driving “diligent[ly],” with “both hands on the wheel” in a “pack of traffic” traveling approximately 70 miles per hour along highway 70 West near Goldsboro.  Slip op. at 2. The officer followed the defendant in his unmarked car for about three miles, during which time he ran the tag number on the vehicle, determining that it was registered to an elderly woman in Bayboro, N.C.  The officer also saw a handprint on the trunk of the car, which was dirty.  The officer considered suspicious the defendant’s driving, the registration of the car to someone else (since “90 percent of [his] drug seizures [came] from third party vehicles, meaning that the person driving the car is not the registered owner of the vehicle”) and the handprint, which indicated something had recently been placed in the trunk, “another indicator that defendant was a drug courier.” Slip op. at 2-3. The officer stopped the vehicle for the seatbelt violation.

When he approached the car, the officer noticed a strong odor of air freshener, which he also considered a sign of a drug courier.  Defendant said he was going to Bayboro after a shopping trip to a mall in Smithfield.  The officer thought this was suspicious since there were no bags in the car.  The defendant said he went to shop for clothes, but nothing fit.  Adding to the officer’s suspicion was that the defendant did not ask why he had been stopped.  Furthermore, the officer considered it suspicious that the defendant had a fast food bag in the car, which he considered an indicator that the “person is in a hurry” and “does not want to leave their car unattended.” Slip. op. at 3.

After the defendant had been stopped for five or six minutes, the officer called for a canine unit because he believed the defendant was transporting drugs.  He subsequently told the defendant that he would be given a warning ticket for the seatbelt violation and that he believed the defendant was transporting contraband.  The defendant refused the officer’s request to search.

While he was waiting for the canine unit, the officer called the Pamlico County Sheriff’s Department (Bayboro is in Pamlico County) to ask about the defendant.  A narcotics officer there told him that the defendant was “a known marijuana and cocaine distributor with pending drug charges.”  Slip op. at 4. The officer further noted that defendant appeared nervous throughout the encounter “even after being told that he was only going to receive a warning.” Id.

When Emmy the drug dog arrived, she signaled to the officers that there were drugs in the defendant’s car.  The officers found two pounds of marijuana in the trunk.  In his trial on the drug charges that ensued, the defendant moved to suppress the evidence resulting from the search of the vehicle.  The trial court granted the defendant’s motion, concluding that though the stop was justified, “there are not enough factors after the stop to continue with the detention of this defendant absent a search warrant.” Slip. op. at 7-8. The court of appeals reversed, finding that reasonable suspicion existed to detain the defendant beyond the time necessary to issue the warning citation for the seatbelt violation. The court’s analysis assumes that reasonable suspicion is required to detain a person stopped for a traffic infraction beyond the time necessary to issue a warning citation, a proposition espoused by the state’s appellate courts in several earlier opinions,see State v. McLendon, 350 N.C. 630 (1999); State v. Parker, 183 N.C. App. 1 (2007); State v. Euceda-Valle, 182 N.C. App. 268, 274 (2007), though somewhat at odds with the court of appeals’ holding in State v. Brimmer, 187 N.C. App. 451, 458 (2007), that reasonable suspicion was not required to extend a traffic stop for the time necessary for an officer to explain to the defendant a dog was going to walk around the car and the one-and-a-half minutes of the actual sniff, since “this very brief additional time did not prolong the detention beyond that reasonably necessary for the traffic stop.”

The court then noted that several of the factors identified as suspicious in Fisher­­—the defendant’s nervousness, the inconsistency in his explanation that he had been shopping two hours away but had  made no purchases, the smell of an air freshener, and the defendant’s driving of a car registered to someone else—were similar to factors considered as among those establishing reasonable suspicion in earlier cases and were sufficient to establish the reasonable suspicion necessary for the officer to detain the defendant beyond the time necessary to issue the warning citation. And while the defendant’s pending drug charges did not support the prolonged detention at its inception, since the officer learned about those while he was awaiting arrival of the canine unit, the court held that this knowledge provided additional support for the reasonable suspicion required to justify the continued detention of the defendant.

As to the more ordinary factors relied upon by the officer, the court assumed, for the sake of argument, that driving in the flow of traffic, and having a handprint on the trunk and a fast food bag in in the car were not proper factors to consider in a reasonable suspicion analysis.  So, at least for now, road trips with my family (which nearly always involve driving a dirty, hand-print laden car in a pack of traffic while consuming fast food) don’t give rise to a suspicion that criminal activity is afoot.  Plus, we’ll all be wearing our seat belts.

SC NC Criminal Attorney – Attorney Client Privilege – Just “Shut Up” Already

Below is another great article posted by Jeff Welty. Lawyers should avoid the lure of press coverage and remember their oaths to the legal profession. If they seek the “limelight,” they may run afoul of Bar ethics rules. As importantly, they may even cause harm to their client’s ability to get a fair trial.

The attorneys at Reeves, Aiken & Hightower, LLP, are trial lawyers who take high profile cases. However, we know the pitfalls of giving statements to the press and avoid the issue by simply responding with ” no comment.” Our best “press coverage” is our clients themselves if we successfully resolve their case. While we cannot guarantee any particular outcome, we can assure our clients that we will work tirelessly on their behalf and give them full information and options in order for them to make the best decisions on how to proceed. Carefully compare our lawyers’ credentials and experience to any other law firm. Then call us at 877-374-5999 for a private consultation and review of your case. For more information, please visit our firm website at www.rjrlaw.com.

Silence Is Golden: the Withdrawal of Zimmerman’s Attorneys

April 12th, 2012

By Jeff Welty

Although the big news today in the George Zimmerman/Trayvon Martin case is that Zimmerman has been charged with second-degree murder, I want to focus on something that happened earlier in the week: attorneys Craig Sonner and Hal Uhrig held a news conference to announce that they had lost contact with Zimmerman and no longer represented him.

As far as I can tell from media reports and from watching most of the full video, Sonner said that “[a]s of the last couple days [Zimmerman] has not returned phone calls, text messages or emails. He’s gone on his own. I’m not sure what he’s doing or who he’s talking to. I cannot go forward speaking to the public about George Zimmerman and this case as representing him because I’ve lost contact with him.” Apparently they had last spoken to Zimmerman on Sunday, and they announced their withdrawal on Tuesday. In the interim, they said, Zimmerman had called the prosecutor’s office asking to speak to her, had called Sean Hannity and spoken to him, and had set up a website allowing supporters to make donations towards his expenses. Uhrig said that Zimmerman was “in our opinion . . . not doing well emotionally,” was “emotionally crippled,” was “probably suffering from post-traumatic stress syndrome” and “may not be in complete control of what’s going on.” Sommers described him as being in “hiding,” and Uhrig suggested that he was not in Florida, though he remained in the United States. They did say that they continued to believe in Zimmerman’s innocence.

A number of commentators have suggested that the lawyers’ statements at the press conference violated the rules of legal ethics. One even said that “[t]he clip [of the press conference] will be useful in legal ethics classes under the heading ‘HOW NEVER TO BEHAVE.’”

I don’t know anything about Florida’s Rules of Professional Conduct – the relevant portion of the Florida Bar’s website is down – and this isn’t a Florida legal blog. But it’s interesting to analyze the lawyers’ conduct under North Carolina’s rules.

First, did their conduct violate Rule 1.6, which provides that “[a] lawyer shall not reveal information acquired during the professional relationship with a client unless the client gives informed consent, the disclosure is impliedly authorized in order to carry out the representation, or the disclosure is permitted by [specific circumstances not applicable here]”? This duty extends to former clients, Rule 1.9(c)(2), so the lawyers can’t argue that their withdrawal ended the duty. And it extends not just to information acquired from the client, but to “all information acquired during the representation, whatever the source.” Rule 1.6 cmt. 3. So the fact that the lawyers presumably learned about Zimmerman’s phone calls to the prosecutor and to Hannity from someone other than Zimmerman is irrelevant. And since the lawyers denied being in recent contact with Zimmerman, he can’t have authorized the disclosure. Therefore, nothing else appearing, their disclosure of that information during the press conference would violate the rule.

The argument that Sonner reportedly has made is that “[n]othing was discussed that wasn’t already in the media.” If that’s true, it may be a defense, either on the grounds that a lawyer cannot “reveal” what is already known, or on the grounds that a lawyer is impliedly authorized to “admit a fact that cannot properly be disputed.” Rule 1.6 cmt. 5. As far as I can tell, though, it isn’t true: the lawyers spent 45 minutes talking about the case and answering a barrage of media questions. They addressed their relationship with Zimmerman (including the fact that Sonner agreed to represent him pro bono up until charges were filed, and that Zimmerman had told Sonner that he would turn himself in if a warrant issued against him), recent actions by Zimmerman, and their opinion of Zimmerman’s mental state. Much of that doesn’t seem to have been previously known to or covered by the media. So the lawyers’ conduct appears to have violated Rule 1.6.

Second, did their conduct violate Rule 1.16, which governs the termination of representation? It appears that the withdrawal itself was proper, since Zimmerman apparently stopped communicating with his lawyers and started doing things, like contacting the prosecutor and the media, that the attorneys had advised him not to do. Zimmerman’s failure to communicate with the lawyers may have been a failure to fulfill an obligation to the lawyers, Rule 1.16(b)(6), and his efforts to contact the prosecutor and the media constituted taking action that the lawyers considered imprudent, Rule 1.16(b)(4), either of which provide grounds for withdrawal. However, upon withdrawal, a lawyer is required to “take all reasonable steps to mitigate the consequences to the client,” Rule 1.16 cmt. 9, and portraying Zimmerman as emotionally unstable and in “hiding” outside Florida arguably harmed Zimmerman’s position. The lawyers might have believed that an unexplained withdrawal would have hurt Zimmerman even more, so I don’t think this possible violation is a slam dunk, but one certainly could conclude that the lawyers’ actions were designed to protect their own reputations rather than to benefit Zimmerman, and if so, their conduct also violated Rule 1.16.

Finally, did their conduct violate Rule 3.6, which concerns publicity and media matters? The rule prohibits extrajudicial statements that a lawyer knows or should know will be disseminated in the media and that have a “substantial likelihood of materially prejudicing an adjudicative proceeding.” A comment to the rule states that it is “more likely than not” that such an effect will result from statements about “the character, credibility, [or] reputation . . . of a party.” Rule 3.6 cmt. 5. Whether or not the lawyers’ statements about Zimmerman can properly be said to concern his “character” or “credibility,” it’s reasonable to suggest that they will negatively influence potential jurors’ views of Zimmerman. The comments suggest that Zimmerman is out of control and emotionally unstable, which is exactly the image of Zimmerman that the prosecution can be expected to paint at trial.

So, what should the lawyers have said? Something like this: “We are no longer representing George Zimmerman. We’re sorry, but we can’t answer any more questions about this matter.” And then, silence.