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Professional Responsibility and Ethics (LAW 747)

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  1. Course Overview & Materials
    Syllabus - LAW 747
    5 Topics
  2. Topics
    1. Introduction & Background
    10 Topics
  3. 2. Admission to the Practice of Law
    8 Topics
  4. 3. Introduction to the Standard and Process of Lawyer Discipline
    17 Topics
  5. 4. Malpractice
    21 Topics
  6. 5. Unauthorized Practice of Law
    16 Topics
  7. 6. Duty to Work for No Compensation (Pro Bono)
    13 Topics
  8. 7. Decision to Undertake, Decline, and Withdraw from Representation; The Prospective Client
    15 Topics
  9. 8. Division of Decisional Authority Between Lawyer and Client
    7 Topics
  10. 9. Competence, Diligence, and Communication
    8 Topics
  11. 10. Duty of Confidentiality: Attorney-Client Privilege and Work Product Doctrine
    18 Topics
  12. 11. Duty of Confidentiality: Rule 1.6 and its exceptions
    22 Topics
  13. 12. Advising Clients – Both Individual and Corporate
    12 Topics
  14. 13. Conflict of Interest: Concurrent Client Conflict
    19 Topics
  15. 14. Conflict of Interest: Conflicts Between A Client and the Lawyer’s Personal Interest
    9 Topics
  16. 15. Conflict of Interest: Former Clients
    13 Topics
  17. 16. Communication Between Lawyers and Represented/ Unrepresented Persons
    7 Topics
  18. 17. Billing for Legal Services: Fees, Handling Client Property (Settlement Proceeds and Physical Evidence)
    19 Topics
  19. 18. The Decision to File/Prosecute a Claim; Litigation & Negotiation Tactics
    14 Topics
  20. 19. Lawyer’s Duties to the Tribunal
    10 Topics
  21. 20. Duties of a Prosecutor; Limits on Trial Publicity
    12 Topics
  22. 21. Solicitation & Marketing: Constitutional & Ethical Issues
    18 Topics
  23. 22. Law Firm Administration Issues
    8 Topics
  24. 23. Judicial Ethics
    35 Topics
  25. Course Wrap-Up
    What Did We Learn?
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The practice of law is a self-regulating profession.  That means that the entire system relies on lawyers reporting when they see unethical conduct by another lawyer (and thereafter for the lawyer-run disciplinary authority to effectively impose sanctions).  Rule 8.3 requires a lawyer to report another lawyer to the disciplinary authorities when the lawyer “knows” that the other lawyer has committed unethical conduct that “raises a substantial question as to that lawyer’s honesty, trustworthiness or fitness as a lawyer in other respects.”  The only limitation on this obligation to report is when a lawyer learns about the misconduct in the course of representing a lawyer in a disciplinary action or because of involvement in a lawyers assistance program (assists a lawyer address issues of addiction).[1]  Rule 8.3 goes on to say that lawyer must also report a judge to the appropriate disciplinary authority when the lawyer knows that a judge has committed a violation of the judicial ethical rules that “raises a substantial question as to the judge’s fitness for office.”  Once again, the exception to this obligation is if the lawyer is representing the judge before the disciplinary authority or if the misconduct is discovered in the course of a lawyers assistance program.


[1] Rule 8.3(c).