State ex rel. Counsel for Dis. v. Chvala , 304 Neb. 511 ( 2019 )


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    12/20/2019 09:06 AM CST
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    Nebraska Supreme Court Advance Sheets
    304 Nebraska Reports
    STATE EX REL. COUNSEL FOR DIS. v. CHVALA
    Cite as 
    304 Neb. 511
    State of Nebraska ex rel. Counsel for Discipline
    of the Nebraska Supreme Court, relator, v.
    Janet L. Krotter Chvala, respondent.
    ___ N.W.2d ___
    Filed November 22, 2019.   No. S-17-773.
    1. Disciplinary Proceedings: Appeal and Error. Attorney discipline cases
    are original proceedings before the Nebraska Supreme Court. As such,
    the court reviews a referee’s recommendations de novo on the record,
    reaching a conclusion independent of the referee’s findings.
    2. Disciplinary Proceedings: Proof. Violations of disciplinary rules must
    be established by clear and convincing evidence.
    3. Disciplinary Proceedings. The basic issues in a disciplinary proceed-
    ing against an attorney are whether discipline should be imposed and,
    if so, the appropriate discipline evaluated under the particular facts and
    circumstances of the case.
    4. Disciplinary Proceedings: Appeal and Error. When a party takes
    exception to the referee’s report in a disciplinary proceeding, the
    Nebraska Supreme Court conducts a trial de novo on the record, in
    which the court reaches a conclusion independent of the findings of
    the referee; provided, however, that where the credible evidence is in
    conflict on a material issue of fact, the court considers and may give
    weight to the fact that the referee heard and observed the witnesses and
    accepted one version of the facts rather than another.
    5. ____: ____. In a disciplinary proceeding, when a referee makes an
    express determination about the relative credibility of witnesses, the
    Nebraska Supreme Court gives weight to that determination in its de
    novo review, but it is not bound by it.
    6. Attorney and Client. A lawyer is ultimately responsible for the conduct
    of his or her employees and associates in the course of the professional
    representation of the client.
    7. ____. An attorney-client relationship with respect to a particular matter
    may be implied from the conduct of the parties.
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    8. Attorney and Client: Proof. Generally speaking, an attorney-client
    relationship is created when (1) a person seeks advice or assistance
    from an attorney, (2) the advice or assistance sought pertains to mat-
    ters within the attorney’s professional competence, and (3) the attorney
    expressly or impliedly agrees to give or actually gives the desired advice
    or assistance. In appropriate cases the third element of an attorney-client
    relationship may be established by proof of detrimental reliance, when
    the person seeking legal services reasonably relies on the attorney to
    provide them, and the attorney, aware of such reliance, does nothing to
    negate it.
    9. Disciplinary Proceedings: Attorney and Client. Generally speaking,
    any commercial activity engaged in for a profit will constitute a business
    transaction for purposes of the disciplinary provisions that prohibit an
    attorney from entering into a business transaction with a client.
    10. Disciplinary Proceedings: Attorney and Client: Real Estate: Words
    and Phrases. For purposes of the disciplinary provisions that prohibit
    an attorney from entering into a business transaction with a client, “busi-
    ness transaction” is a broad term, and it plainly includes an agreement to
    purchase real property and an agreement to lease real property.
    11. Disciplinary Proceedings: Attorney and Client: Words and Phrases.
    In the context of the disciplinary provisions governing business transac-
    tions with clients, a client is defined as one over whom the attorney has
    influence arising from a previous or current attorney-client relationship.
    Thus, a “client” in this context means not only one with whom the attor-
    ney has an existing attorney-client relationship, but also those who have
    relied on the attorney on an occasional and on-going basis.
    12. Disciplinary Proceedings: Attorney and Client: Conflict of Interest:
    Proof. To establish a violation of Canon 5, DR 5-104(A), of the Code of
    Professional Responsibility, it is necessary to show that (1) the attorney
    and the client had differing interests in the transaction, (2) the client
    expected the lawyer to exercise his or her professional judgment for the
    protection of the client, and (3) the client consented to the transaction
    without full disclosure.
    13. Conflict of Interest: Words and Phrases. Differing interests are inter-
    ests that are conflicting, inconsistent, diverse, or otherwise discordant.
    14. Disciplinary Proceedings: Conflict of Interest: Words and Phrases.
    In the attorney discipline context, the term “differing interests” has
    been broadly defined to include any interest adversely affecting either
    the lawyer’s judgment on behalf of a client or the lawyer’s loyalty to
    a client.
    15. Conflict of Interest. It is fundamental that the interests of a purchaser
    in a transaction are directly contradictory to the interests of the seller in
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    STATE EX REL. COUNSEL FOR DIS. v. CHVALA
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    the transaction. Similarly, the competing interests of lessor and lessee
    necessarily present differing interests.
    16.   Attorney and Client. The nature of the transaction itself can show that
    the client expected the lawyer to exercise professional judgment for his
    or her protection. So, too, can the prior relationship of the attorney and
    the client.
    17.   ____. As a general matter, it is natural and proper for a client with a
    longstanding business relationship with a lawyer to feel that the law-
    yer is to be trusted, will not act unfairly, and will protect him or her
    against danger.
    18.   Disciplinary Proceedings: Conflict of Interest. For purposes of Canon
    5, DR 5-104(A), of the Code of Professional Responsibility, a full
    disclosure requires both that the client is advised there is a conflict of
    interest and that the client is informed of the possible areas this conflict
    of interest may affect.
    19.   ____: ____. A key part of a full disclosure under Canon 5, DR 5-104(A),
    of the Code of Professional Responsibility, is explaining to the client
    any effect the conflict may have on the exercise of the attorney’s profes-
    sional judgment. In other words, full disclosure means explaining the
    nature of the conflict presented by the attorney’s role in the business
    transaction, and also explaining to the client why he or she would ben-
    efit from independent counsel.
    20.   ____: ____. When a full disclosure is required under Canon 5,
    DR 5-104(A), of the Code of Professional Responsibility, it must
    include a clear explanation of the differing interests between the attor-
    ney and the client, a detailed explanation of the risks and disadvantages
    to the client as a result of those differing interests, and an explanation of
    the advantages of seeking independent legal advice.
    21.   ____: ____. The full disclosure required by Canon 5, DR 5-104(A), of
    the Code of Professional Responsibility, is not satisfied by a mere dis-
    claimer of an attorney-client relationship.
    22.   Disciplinary Proceedings: Attorney and Client: Conflict of Interest.
    Canon 5, DR 5-104(A), of the Code of Professional Responsibility, is
    designed to address the concern that an attorney’s legal skill and train-
    ing, together with the relationship of trust and confidence between the
    lawyer and client, create the possibility of overreaching when the lawyer
    participates in a business transaction with a client. This concern exists
    whether or not the attorney actually provides legal advice or services to
    the client in the business transaction.
    23.   ____: ____: ____. To be effective, the full disclosure required by Canon
    5, DR 5-104(A), of the Code of Professional Responsibility, must be
    made before the client consents to the business transaction.
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    STATE EX REL. COUNSEL FOR DIS. v. CHVALA
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    24. ____: ____: ____. Under Canon 5, DR 5-105, of the Code of Professional
    Responsibility, a lawyer may represent several clients whose interests
    are not actually or potentially differing, but should nevertheless explain
    any circumstances that might cause a client to question the lawyer’s
    undivided loyalty.
    25. Attorney and Client: Conflict of Interest. If a lawyer is asked to
    undertake or continue representation of multiple clients having poten-
    tially differing interests, the lawyer must weigh carefully the possibility
    that his or her judgment may be impaired or his or her loyalty divided if
    he or she accepts or continues the employment.
    26. Disciplinary Proceedings: Attorney and Client: Conflict of Interest.
    Under Canon 5, DR 5-105(C), of the Code of Professional Responsibility,
    a lawyer may represent multiple clients with differing interests if (1) it
    is obvious the lawyer can adequately represent the interest of each and
    (2) if each client consents to the representation after full disclosure of
    the possible effect of such representation on the exercise of his or her
    independent professional judgment on behalf of each.
    27. Attorney and Client: Conflict of Interest. Even in those instances
    where a lawyer is justified in representing two or more clients hav-
    ing differing interests, it is nevertheless essential that each client be
    given the opportunity to evaluate his or her need for representation
    free from any potential conflict and to obtain other counsel if he or she
    so desires.
    28. ____: ____. Before a lawyer may represent multiple clients, the law-
    yer should explain fully to each client the implications of the common
    representation and should accept or continue employment only if the
    client consents. And if there are present other circumstances that might
    cause any of the multiple clients to question the undivided loyalty
    of the lawyer, he or she should also advise all of the clients of those
    circumstances.
    29. Disciplinary Proceedings: Attorney and Client: Conflict of Interest.
    A full disclosure under Canon 5, DR 5-105, of the Code of Professional
    Responsibility, requires the attorney to not only inform the client of the
    attorney’s relationship with other clients, but also to explain the pitfalls
    that may arise in the course of the transaction that would make it desir-
    able for the client to have independent counsel.
    30. ____: ____: ____. For purposes of Neb. Ct. R. of Prof. Cond. § 3-501.7
    (rev. 2019), informed consent requires that each affected client be aware
    of the relevant circumstances and of the material and reasonably fore-
    seeable ways that the conflict could have adverse effects on the interests
    of that client. The information required depends on the nature of the
    conflict and the nature of the risks involved. When representation of
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    STATE EX REL. COUNSEL FOR DIS. v. CHVALA
    Cite as 
    304 Neb. 511
    multiple clients in a single matter is undertaken, the information must
    include the implications of the common representation, including pos-
    sible effects on loyalty, confidentiality, and the attorney-client privilege
    and the advantages and risks involved.
    31.   Attorneys at Law. One of the essential eligibility requirements for
    admission to the practice of law in Nebraska is the ability to conduct
    oneself with a high degree of honesty, integrity, and trustworthiness in
    all professional relationships and with respect to all legal obligations.
    32.   Disciplinary Proceedings: Attorney and Client. Attorneys who engage
    in dishonest or deceitful conduct in their communications with clients
    violate Neb. Ct. R. of Prof. Cond. § 3-508.4(c) (rev. 2016).
    33.   Disciplinary Proceedings. With respect to the imposition of attorney
    discipline, each attorney discipline case must be evaluated in light of its
    particular facts and circumstances.
    34.   ____. For purposes of determining the proper discipline of an attor-
    ney, the Nebraska Supreme Court considers the attorney’s actions both
    underlying the events of the case and throughout the proceeding, as well
    as any aggravating or mitigating factors.
    35.   ____. In attorney discipline matters, the propriety of a sanction must
    be considered with reference to the sanctions imposed in prior similar
    cases.
    36.   ____. To determine whether and to what extent discipline should be
    imposed in an attorney discipline proceeding, the Nebraska Supreme
    Court considers the following factors: (1) the nature of the offense, (2)
    the need for deterring others, (3) the maintenance of the reputation of
    the bar as a whole, (4) the protection of the public, (5) the attitude of the
    respondent generally, and (6) the respondent’s present or future fitness
    to continue in the practice of law.
    37.   ____. Cumulative acts of attorney misconduct are distinguishable from
    isolated incidents, therefore justifying more serious sanctions.
    38.   Attorney and Client. Violations of client trust and loyalty, particularly
    when they result in personal financial gain to the attorney, harm the rep-
    utation of the entire legal profession by undermining public confidence
    and trust in attorneys, in the courts, and in the legal system generally.
    39.   Disciplinary Proceedings: Attorney and Client. There is a need to
    preserve the public trust and confidence in members of the bar. Among
    the major considerations in determining whether a lawyer should be
    disciplined is maintenance of the highest trust and confidence essential
    to the attorney-client relationship. As a profession, the bar continuously
    strives to build and safeguard such trust and confidence.
    40.   Disciplinary Proceedings. The goal of attorney discipline proceedings
    is not as much punishment as a determination of whether it is in the
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    STATE EX REL. COUNSEL FOR DIS. v. CHVALA
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    304 Neb. 511
    public interest to allow an attorney to keep practicing law. Providing for
    the protection of the public requires the imposition of an adequate sanc-
    tion to maintain public confidence in the bar.
    41. ____. It is a very serious matter when attorney misconduct brings doubt
    into the minds of many as to the competence of the legal profession to
    represent a client’s best interest.
    42. ____. The Nebraska Supreme Court does not look kindly upon acts
    which call into question an attorney’s honesty and trustworthiness. The
    essential eligibility requirements for admission to the practice of law in
    Nebraska include the ability to conduct oneself with a high degree of
    honesty, integrity, and trustworthiness in all professional relationships
    and with respect to all legal obligations. With or without misappropria-
    tion, acts of dishonesty can result in disbarment.
    Original action. Judgment of disbarment.
    Kent L. Frobish, Assistant Counsel for Discipline, for relator.
    David A. Domina, of Domina Law Group, P.C., L.L.O., for
    respondent.
    Heavican, C.J., Miller-Lerman, Stacy, Funke, Papik, and
    Freudenberg, JJ.
    Per Curiam.
    This is an original action brought by the Counsel for
    Discipline of the Nebraska Supreme Court against attorney
    Janet L. Krotter Chvala, alleging she violated several discipli­
    nary provisions and her oath as an attorney by, among other
    things, entering into business transactions with clients without
    providing the full disclosure mandated by the disciplinary
    rules and engaging in conduct involving deceit and dishon-
    esty. Chvala denied the allegations. A referee was appointed,
    and an evidentiary hearing was held. The referee found clear
    and convincing evidence of multiple disciplinary violations and
    recommended that Chvala be disbarred. Chvala filed an excep-
    tion to the referee’s report, challenging both the findings and
    the recommended sanction.
    On de novo review, we find clear and convincing evidence
    that Chvala violated several disciplinary provisions and her
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    STATE EX REL. COUNSEL FOR DIS. v. CHVALA
    Cite as 
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    attorney oath. And given the seriousness of the violations, we
    agree with the referee that the appropriate sanction for Chvala’s
    misconduct is disbarment.
    I. BACKGROUND
    Chvala has been licensed to practice law in Nebraska since
    1984. She is an experienced, well-respected lawyer with a
    busy law practice focused primarily on business formation,
    real estate, and probate in the area of O’Neill and Atkinson,
    Nebraska. Chvala has not been the subject of any prior disci-
    plinary action.
    II. FACTS
    Brothers Wayne Kaup and Kurt Kaup operate several
    ­farming-related businesses in the O’Neill and Atkinson area. In
    the 7 years before the 2003 real estate transaction at the heart
    of this disciplinary action, Chvala regularly provided legal
    serv­ices to Wayne and Kurt and represented them in a variety
    of matters, including the purchase of farmland, the handling
    of crop liens, and the organization of business entities for hay
    operations, livestock operations, and hauling grain. Chvala also
    performed a variety of legal services for Wayne and Kurt’s
    mother, Diane Kaup, during this time period.
    1. Morrison Land
    On January 2, 2003, Wayne and Kurt signed a contract
    to purchase a section of prime farmland in Holt County,
    Nebraska, known as the Morrison Land. The purchase price
    was $996,880.50. They put 5 percent down and sought private
    financing for the remainder of the purchase price.
    Their mother, Diane, agreed to finance a quarter section
    of the land, and their aunt, Rita Olberding (Rita), agreed to
    finance another quarter section. Wayne and Kurt contacted
    Chvala at her law office and asked if she would be interested in
    hearing about an investment proposal regarding the Morrison
    Land. She said she was, and on January 12, 2003, Wayne and
    Kurt met with Chvala and her husband, Gary Chvala (Gary), at
    Chvala and Gary’s home.
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    (a) January 12, 2003, Meeting
    It is undisputed that during the January 12, 2003, meeting at
    Chvala and Gary’s home, Wayne and Kurt discussed their need
    to finance the Morrison Land purchase. But Chvala and the
    Kaup brothers disagree as to what specifically was said during
    the meeting.
    According to Chvala, the meeting was primarily between
    Gary and the Kaup brothers. Chvala testified she merely intro-
    duced Wayne and Kurt to Gary, and then explained: “He’s buy-
    ing the property if he decides to do this. And I have done work
    for you in the past. And I cannot represent you in any capacity
    because God willing, he’s always going to be my husband.”
    According to Chvala, she was not otherwise involved in the
    January 12, 2003, meeting.
    Wayne and Kurt testified that Chvala actively participated in
    the meeting and that she was the one with whom they negoti-
    ated. They denied that Chvala made any statement about it
    being only Gary’s deal. Wayne testified that Chvala did most
    of the talking during the meeting and that Gary remained
    mostly silent. Wayne explained that although he and Kurt had
    approached Chvala about financing a quarter section, Chvala
    told them she was interested in two quarter sections (which
    total a half section) and did not want to loan them money.
    Instead, Chvala offered to purchase a half section of the
    Morrison Land and then lease it back to Wayne and Kurt with
    an option to purchase the land at the end of the lease term.
    The parties discussed several ways to structure the arrange-
    ment. One proposal, made by the Kaup brothers, was that
    Chvala and Gary would receive a guaranteed 5-percent rate of
    return and the Kaup brothers would have an option to purchase
    for the fair market value of the land at the end of the lease
    term. However, they ultimately agreed Chvala and Gary would
    purchase the half section of the Morrison Land and lease it
    back to Wayne and Kurt pursuant to a 10-year triple-net lease
    that would guarantee a 7-percent rate of return to Chvala and
    Gary, with an option for the Kaup brothers to purchase the land
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    at the end of the lease term for the original purchase price.
    Both Wayne and Kurt testified that near the end of the meet-
    ing, Chvala told them the half section of land would be titled
    in Gary’s name for estate planning purposes.
    A few days after the January 12, 2003, meeting, and in reli-
    ance on the agreement reached with Chvala and Gary, Wayne
    and Kurt assigned their rights under the purchase agreement
    to Gary so he could purchase the half section of the Morrison
    Land. Wayne and Kurt executed similar assignments in favor
    of Diane and Rita for the respective quarter sections of the
    Morrison Land they planned to purchase.
    Gary was a high school teacher and coach, and a respected
    member of the community. Prior to January 2003, he had not
    been involved in purchasing or leasing farmland. Gary died
    unexpectedly before the evidentiary hearing in this disciplinary
    case. But his deposition was taken in a related civil case filed
    by Wayne and Kurt against Chvala and Gary, and a transcript
    of that deposition was received as an exhibit during the dis-
    ciplinary hearing. In his deposition, Gary testified he did not
    remember how the Morrison Land deal was first presented
    to him, but he consistently described it as “my land” and
    insisted that “[i]t has nothing to do with [Chvala], she’s got her
    own situation.”
    Gary testified he and Chvala decided the Morrison Land
    would be titled in his name, but admitted that their “joint
    funds” were used to purchase the land and that Chvala was
    obligated on a promissory note for a substantial portion of the
    purchase price. Gary’s deposition testimony also showed he
    was unfamiliar with virtually all the details of the deal. When
    asked whose idea it was to lease the property back to Wayne
    and Kurt, Gary said, “Well, I’m not really sure.” Gary did not
    understand and could not explain the triple-net lease provi-
    sions, and when asked why he chose such a lease arrangement
    for the deal, Gary testified he got the idea from forms he had
    seen around Chvala’s law office. Gary was not able to explain
    how he planned to make a profit on the investment as it was
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    structured. When pressed, he testified, “Well, my intent was
    that eventually I thought with a lease option that with the price
    of land going the way it was that eventually that I was going to
    make a profit on the whole situation. I wasn’t going to run the
    thing just to break even.”
    The referee found, based on Gary’s testimony, that it was
    hard to believe that Gary, who had no experience in buy-
    ing and leasing farm ground, initiated the idea of not
    loaning the Kaups the money, but rather buying the land
    and then leasing it to the Kaups on a 10-year triple net
    lease with an Option to Purchase at the end of 10 years.
    The referee further found that Wayne and Kurt’s testimony
    about the discussions and agreements reached during the
    January 12, 2003, meeting was credible, and he expressly
    found that Chvala’s testimony was not credible.
    (b) Closing on Morrison Land
    Closing on the Morrison Land occurred in February 2003.
    Gary became the titled owner of a half section of the Morrison
    Land, which he purchased for $497,637. To finance the pur-
    chase, Gary used approximately $240,000 from Chvala’s per-
    sonal savings account, and he and Chvala jointly borrowed the
    balance of the purchase price. Both Gary and Chvala signed
    the promissory notes and loan agreements.
    Rita became the titled owner of a quarter section of the
    Morrison Land, and Diane took title to the other quarter section
    through Sandyland, LLC, an entity formed by Chvala expressly
    for that purpose.
    Chvala prepared the deeds, transfer statements, and bills of
    sale for Gary, Sandyland, and Rita.
    (c) Termination of Prior Leases
    After the closings, Chvala drafted lease termination notices
    on behalf of all of the new owners of the Morrison Land—
    Gary, Sandyland, and Rita. In the notices, Chvala represented
    herself as the attorney for each Morrison Land owner. In
    a subsequent letter dated February 28, 2003, and addressed
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    collectively to “Diane, Rita, Wayne and Kurt,” Chvala pro-
    vided copies of the lease termination notices she had sent to the
    former tenants, explaining:
    I felt like the owner needed to terminate the lease in order
    to prevent an argument by a tenant that we as owners
    could only terminate if the property was sold to another
    third party. Therefore, I think we are covered in that both
    Morrisons and us have forwarded notices of termination
    of the existing lease to the current tenants and sub-tenant.
    If you have any questions regarding this matter, please
    let me know.
    Chvala testified that she prepared the termination notices “for
    all of the parties to ensure that the previous tenants were not
    going to show up and try to farm this property.”
    (d) Lease and Option Agreements
    on Morrison Land
    At the time of closing, the leases and option agreements
    governing the Morrison Land had not yet been prepared.
    Wayne testified that he and Kurt were not concerned by the
    delay because “[w]e trusted that what we talked about [with
    Chvala] is what was going to happen.” Eventually, Chvala
    prepared all of the lease and option agreements that governed
    Wayne and Kurt’s relationship with the three Morrison Land
    owners. The agreements were similar, but we focus primarily
    on the terms of the agreements that governed the half section
    of the Morrison Land titled in Gary’s name.
    (i) Lease Agreement
    Chvala prepared a 10-year triple-net lease agreement which
    Gary signed as the lessor, and Wayne and Kurt signed as the
    lessees. Paragraph 3 of the lease agreement provided that
    base rent was “a sum that constitutes a net net net seven per-
    cent (7%) annual return on the total cost to LESSOR of the
    land,” which amounted to “an annual rental of $34,835.00
    per year.” The lease agreement also contained paragraph 21,
    which provided:
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    21. REPRESENTATION. The law firm of STROPE,
    KROTTER & GOTSCHALL, P.C. has prepared this
    Lease Agreement. The law firm of STROPE, KROTTER
    & GOTSCHALL, P.C. has in the past and presently
    performs legal services for both LESSOR and LESSEE
    in unrelated matters. LESSOR AND LESSEE, by sign-
    ing this document, hereby acknowledge and agree that
    STROPE, KROTTER & GOTSCHALL, P.C. is not acting
    as an attorney for either party to this contract. LESSOR
    and LESSEE expressly acknowledge and agree that they
    have had an opportunity to have an attorney of their
    choosing review this Lease Agreement and freely and
    voluntarily sign this Agreement without reliance upon
    any representations or advice from STROPE, KROTTER
    & GOTSCHALL, P.C. All parties agree that they have
    not relied on the legal representation or advice of . . .
    CHVALA in this matter and that they have had an oppor-
    tunity to have any attorney of their choosing review
    this Agreement and sign the same voluntarily and with-
    out reliance upon any representation or advice from
    . . . CHVALA.
    Despite the representation in paragraph 21 that Chvala “[was]
    not acting as an attorney for either party to this contract,” she
    admitted during the evidentiary hearing that she was advising
    Gary in the transaction “as his spouse.” None of the other lease
    agreements on the Morrison Land indicated on whose behalf
    the agreement was prepared.
    (ii) Option Agreements
    Chvala prepared separate option agreements for Wayne and
    Kurt to sign with all three Morrison Land owners. None of the
    option agreements indicated whether they were prepared on
    behalf of the respective Morrison Land owner, or Wayne and
    Kurt, or both. Again, we focus primarily on the terms of the
    option agreement involving the half section of the Morrison
    Land titled in Gary’s name.
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    That option agreement identified Gary as the “seller” and
    identified Wayne and Kurt as the “purchasers” of the half sec-
    tion of the Morrison Land. It gave Wayne and Kurt an exclu-
    sive option to purchase the half section of land for $497,637.
    They could exercise the option any time after November 1,
    2010, until 5 p.m. on March 1, 2013, by providing written
    notice thereof to Gary either in person or by registered mail
    at the Atkinson address where Chvala and Gary resided at the
    time the option agreement was executed. The option agreement
    contained no disclaimer similar to that in paragraph 21 of the
    lease agreement.
    At the time the option agreement was signed, the assessed
    value of the Morrison Land was $528 per acre. Ten years
    later, due to a significant rise in land values, the assessed
    value was $2,167 per acre, and the market value was signifi-
    cantly higher.
    (e) Modification of Rents
    Bill Gaines is a certified public accountant who, at all rel-
    evant times, represented Wayne and Kurt and their various
    businesses, Diane and her businesses, and Chvala and Gary
    and their businesses. Chvala’s files indicate that in July and
    November 2003, she talked with Gaines about the Morrison
    Land leases and the impact of the “passive activity rules” gov-
    erning related parties. After meeting with Gaines in November
    2003, Chvala learned that modifying the Morrison Land lease
    agreements to a modified crop-share arrangement would result
    in more favorable tax treatment for the landowners.
    On November 25, 2003, Chvala sent a letter to Wayne and
    Kurt on her firm letterhead. The other Morrison Land own-
    ers were copied on the letter. Chvala reported that Gaines had
    suggested “on all of the leases we use a modified crop share
    arrangement and have you pay a dollar amount for the crops
    produced on the real estate and then reimburse you for fertil-
    izer, chemicals, seed and machine hire to arrive at the same
    net.” Chvala’s letter advised, “This income will still not be
    subject to social security tax but then would be considered as
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    active income or loss and not subject to the passive activity
    rules.” Her letter also advised Wayne and Kurt, “Before we
    go any further, please check with the FSA Office to insure the
    two of you can still receive all government payments if a crop
    share arrangement is in place.” She added, “If you would rather
    I contact them, please let me know.”
    Kurt testified that he understood this change in rents was
    designed to provide a tax benefit to the owners of the Morrison
    Land. He and Wayne did not object to the change, because
    they had “trust and confidence” in Chvala. According to Kurt,
    because Chvala had asked for the change, they were “willing
    to do it.”
    Regarding the rent modification, the referee found:
    [Chvala] determined that for income tax purposes it would
    be advantageous if the Kaups’ cash lease was changed to
    a modified crop share. However, there was no benefit to
    Wayne and Kurt to make this change if it meant that their
    annual rental amount could increase. To address that con-
    cern, [Chvala] told Wayne and Kurt that even though they
    would call the arrangement a modified crop share, the
    annual cash rental amount would not change. All Wayne
    and Kurt had to do was manipulate the input expense
    numbers and crop sale numbers to arrive at the same net
    rental amount.
    The record shows that after November 2003, Wayne and
    Kurt, doing business as K & W Farms, paid rent using the
    modified crop-share arrangement suggested in Chvala’s letter.
    To facilitate the modified rents, Chvala instructed Wayne and
    Kurt to complete an annual “[r]ent [w]orksheet,” which they
    did. No written changes or addenda were made to the previ-
    ously executed lease agreement.
    2. Transfer of Ownership
    to TTC Enterprises
    In December 2003, Chvala and Gary formed TTC Enterprises,
    LLC, and Gary transferred title of the half section of the
    Morrison Land to TTC Enterprises. Chvala prepared the legal
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    documents necessary to both create TTC Enterprises and to
    effectuate the title transfer of the Morrison Land. Gary owned
    99 percent of the shares in TTC Enterprises, and Chvala owned
    the remaining 1 percent. Chvala notified Wayne and Kurt that
    ownership of the half section of the Morrison Land had been
    transferred to TTC Enterprises, but she did not advise them of
    her ownership interest in the entity.
    Throughout the 10-year lease term, Wayne and Kurt farmed
    the Morrison Land as part of their farming operation, K & W
    Farms, which Chvala reorganized as a partnership in 2006.
    Wayne and Kurt delivered to Chvala at her law office rent
    checks for the half section of the Morrison Land owned by
    TTC Enterprise. The first year the rent was made payable
    to Gary, and thereafter, the checks were made payable to
    TTC Enterprises. When the Kaup brothers received checks
    from TTC Enterprises regarding the Morrison Land, they were
    signed by Chvala and made payable to “K & W Farms.”
    3. Premier Pork, LLC,
    Builds Hog Facility
    Premier Pork, LLC, is an entity Chvala created for Wayne
    and Kurt in 1998. At all relevant times, Chvala was the attor-
    ney for Premier Pork. Wayne, Kurt, Diane, and Rita were all
    members of Premier Pork when it was organized. In late 2004,
    Wayne and Kurt met with Chvala to discuss plans for Premier
    Pork to construct a hog finishing facility on nonirrigated por-
    tions of the Morrison Land.
    Their plan was to construct the facility on a 5-acre tri-
    angle of the Morrison Land owned by TTC Enterprises and
    an adjacent 5-acre triangle of the Morrison Land owned by
    Rita. Because it was essential to the hog finishing business
    that manure generated by the hogs could be spread across the
    entire section of the Morrison Land, Premier Pork also needed
    to obtain manure easements from all of the owners of the
    Morrison Land. Wayne testified they would never have pro-
    posed building the hog confinement facility on the Morrison
    Land if there was any question they were not going to “own
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    the land later.” He testified that Chvala and Gary were “[v]ery
    accommodating” of their plan.
    Wayne and Kurt asked Chvala to assist them with the land
    transfers and easements needed to start the hog finishing opera-
    tion on the Morrison Land. Wayne testified that he and Kurt
    obtained the necessary measurements of the 5-acre tracts and
    provided the information to Chvala so she could prepare legal
    descriptions and warranty deeds conveying the tracts from
    TTC Enterprises and Rita to Premier Pork. Chvala admitted
    she communicated with Wayne about these transactions, and
    she further admitted that Wayne asked her office to prepare the
    necessary warranty deeds, real estate transfer statements, and
    manure easements. But Chvala denied preparing the necessary
    legal documents, testifying instead that her legal assistant pre-
    pared the documents under her supervision.
    TTC Enterprises transferred the 5 acres from its half sec-
    tion of the Morrison Land to Premier Pork on April 19, 2005.
    Wayne and Kurt’s annual rent on the remaining half section of
    the Morrison Land owned by TTC Enterprises did not change
    after the transfer. As part of the TTC Enterprises transaction,
    Chvala also prepared a “Real Estate Transfer Statement Form
    521.” This form stated TTC Enterprises was the grantor, and
    Chvala signed the form as the representative for the grantee,
    Premier Pork.
    After acquiring the 5 acres from both TTC Enterprises and
    Rita and obtaining manure easements from all owners of the
    Morrison Land, the Kaup brothers spent nearly $1 million
    dollars to build the hog finishing facility on the Morrison
    Land.
    4. Legal Representation
    of Kaup Brothers
    The referee found that throughout the 10-year term of the
    leases on the Morrison Land, Chvala continued to represent
    Wayne and Kurt in their personal and business matters. We
    summarize just a fraction of the evidence of that representation:
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    • From 2002 to 2009, Chvala provided ongoing representation
    to K & W Trucking, Inc., an entity owned by Wayne and Kurt
    and used to haul grain;
    • From 2003 to 2011, Chvala provided ongoing representation
    to Green Valley Hay & Mulch, LLC, a hay brokerage busi-
    ness owned by Wayne;
    • From 2004 to 2006, Chvala provided ongoing representation
    to Wayne and Kurt regarding their various business and farm-
    ing operations, including K & W Farms;
    • From 2006 through 2011, Chvala provided ongoing rep-
    resentation to K & W Farms after it was reorganized as a
    partnership;
    • From 2004 through 2007, Chvala provided ongoing represen-
    tation to Premier Pork, the hog finishing business owned by
    Wayne and Kurt and others;
    • From 2004 through 2009, Chvala provided estate planning
    services to Wayne;
    • In 2005 and 2006, Chvala provided estate planning services
    to Kurt; and
    • In 2007, Chvala and her law partner represented Wayne in
    his divorce.
    Moreover, during the 10-year term of the Morrison Land
    leases, Chvala regularly communicated with Wayne and Kurt
    regarding a variety of legal matters, including some relat-
    ing to the Morrison Land. For instance, in October 2004,
    Chvala met with Wayne and Kurt to discuss and coordinate
    their various land, farming, and livestock matters. Chvala’s
    notes from that meeting show they discussed the Morrison
    Land, including the Kaup brothers’ plan to construct the
    hog finishing facility on that land. In July 2006, Chvala met
    again with Wayne and Kurt to discuss their business planning
    needs, and Chvala’s notes from that meeting included refer-
    ence to K & W Farms’ farming operation on the Morrison
    Land and Premier Pork’s new hog finishing facility on the
    Morrison Land.
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    5. February 23, 2010, Meeting
    On February 23, 2010, Wayne and Kurt met with Chvala
    and discussed at least three matters: certain buy-sell arrange-
    ments involving their businesses, the operating structure of
    their businesses, and the option to purchase the half section of
    the Morrison Land owned by TTC Enterprises. With respect to
    the option to purchase, Chvala’s notes from that meeting say
    “R/E / Lease - documents control, their option - OK to con-
    tinue lease.”
    Chvala kept a personal file titled “Chvala/Kaup Option
    and Lease,” and during the evidentiary hearing, she offered a
    memorandum to that file dated February 25, 2010, which she
    prepared concerning the February 23 meeting. This memoran-
    dum stated in part:
    We discussed the Lease Agreement and Purchase Option
    that Gary/TTC have with Wayne and Kurt. I told them
    that Gary had no problem continuing the lease arrange-
    ment for the time being. We also discussed the fact that I
    do their work on other legal matters and we have differing
    interests on this matter and that I cannot represent them
    on this issue, as I will be protecting Gary and my inter-
    ests, and they should feel free to obtain separate, other
    representation on this arrangement. They said they under-
    stood that and then asked if we intended to honor the
    agreements and I responded “certainly, they are legally
    binding documents, we made the deal and we intend to
    follow the terms of the agreements.”
    Wayne testified that the statements described by Chvala in
    this memorandum never happened. Specifically, he testified
    Chvala “[n]ever” discussed that her interest in the lease and
    option agreements differed from theirs and “[n]ever” told them
    to consult other legal counsel regarding the Morrison Land.
    According to Wayne, when they discussed the option agree-
    ment during the February 23, 2010, meeting, the focus was
    on whether Chvala and Gary were interested in selling at least
    a portion of the half section of the Morrison Land owned by
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    TTC Enterprises early, before the option opened. Wayne testi-
    fied that Chvala told them they were not interested in splitting
    the land, but did want to find other land to invest in when the
    time came to exercise the option. The referee’s report indi-
    cates he found Wayne’s testimony on this issue more credible
    than Chvala’s.
    6. April 15, 2011, Letter
    In January 2011, during a time when the option period was
    open, Kurt contacted Chvala’s office and asked for signed cop-
    ies of the agreements he and Wayne had with the Morrison
    Land owners. Approximately 3 months later, on April 15,
    Chvala responded to this request in a letter to Kurt, enclosing
    a copy of the option agreement between Gary and the Kaup
    brothers. Her letter advised that she checked her files but could
    not find signed copies of the option agreements with either Rita
    or Sandyland. The April 15 letter also stated:
    As you know, I perform various legal work for you
    and your entities as needed or directed by you. We have
    previously discussed the Lease Agreement and Purchase
    Option and I have informed you that we have differing
    interests and I cannot represent you on those matters, and
    you should feel free to obtain separate, other representa-
    tion on that arrangement. It is our intention to continue
    the lease arrangement this year as in the past.
    If you wish to discuss further, please feel free to con-
    tact me.
    7. November 12, 2012, Telephone Call
    On November 12, 2012, Kurt telephoned Chvala at her
    office. He knew the option was open at this time, and he testi-
    fied that he called to “relay[] to her again that we were wanting
    to buy their ground.” During the call, Kurt told Chvala they
    were “ready and willing” to purchase the half section of the
    Morrison Land. He testified that Chvala responded by saying
    that she was busy, that she and Gary were looking for other
    land to invest in, and that she was looking “to do something
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    more towards the end of the year.” Kurt testified Chvala did
    not tell him they needed to do anything else to exercise the
    option, and after the November 12 telephone conversation,
    Kurt expected they would be able to purchase the half section
    of the Morrison Land from TTC Enterprises at the end of 2012.
    When asked whether he relied on that telephone conversation
    with Chvala, Kurt testified, “Very much so.” He also testified
    that because he always dealt with Chvala with respect to the
    Morrison Land, he never even thought about communicating
    directly with Gary.
    Chvala agreed that Kurt telephoned her office on November
    12, 2012, but she testified it was to discuss settling up the
    modified rent amounts for that year. She admitted that during
    the call Kurt mentioned they were working on financing for the
    option, but she denied that Kurt said, “I want to exercise the
    option.” She also denied telling Kurt that she and Gary were
    looking for other investment property. The day after this tele-
    phone call, Wayne and Kurt wrote a check to TTC Enterprises
    for the 10th and final annual rent payment due under the lease
    agreement. The referee found that, at this point, Chvala and
    Gary had “received the 7% annual return on their investment
    as agreed to in January 2003.”
    Kurt subsequently learned of some land for sale known as
    the Waldo Quarters. On or about December 12, 2012, Kurt
    called Chvala to inform her the Waldo Quarters land was avail-
    able. Chvala responded in a text message to Kurt the same
    day: “Not interested in Waldo Qtrs . . . probably nothing this
    year . . . .”
    8. Communication With Bank
    and Title Company
    On or about December 13, 2012, 1 day after Chvala told
    Kurt she was not interested in buying the Waldo Quarters,
    Kurt contacted Jon Schmaderer, president of the local bank, to
    arrange financing to purchase the half section of the Morrison
    Land owned by TTC Enterprises. Kurt told Schmaderer the
    deal would be done by the end of the year. That same day,
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    Schmaderer asked bank employee Nicole Cadwallader to
    “order a $500,000 title commitment on K&W Farms” and
    provided a legal description of the half section of the Morrison
    Land owned by TTC Enterprises. Schmaderer told Cadwallader
    he thought Chvala would do the closing. Cadwallader replied
    that she would contact the title company to find out the rel-
    evant information.
    Cadwallader did so on December 18, 2012, and the title
    company told her it needed the seller’s name, sale price, and
    the legal description of the property or a copy of the purchase
    agreement to order the title insurance. During this conversa-
    tion, Cadwallader told the title company that Chvala was han-
    dling the closing.
    On December 19, 2012, the owner of the title company
    called Chvala and left a message with her secretary asking
    Chvala to call him “ASAP.” Chvala knew the owner and had
    done business with him in the past. The secretary told Chvala
    that the owner of the title company had received “a note from
    [Cadwallader] . . . something about K&W Farms. He doesn’t
    have any info to go on. [Cadwallader] said you were han-
    dling!” Chvala testified that she read the message, but did not
    understand it to be referencing the purchase option with Wayne
    and Kurt. She did not respond to the message.
    9. December 19, 2012, Telephone Call
    Also on December 19, 2012, Cadwallader telephoned Chvala
    to discuss the information she needed to order the title insur-
    ance. Cadwallader testified that the conversation lasted 1 min-
    ute or less and that she “asked if [Chvala] was handling the
    [K & W Farms] closing.” According to Cadwallader, Chvala
    seemed to recognize what she was talking about and did not
    seem confused. Chvala told Cadwallader the closing was not
    going to happen before the end of the year, but was “‘[l]ooking
    more towards March.’”
    Chvala recalled Cadwallader asking whether she had a
    purchase agreement and saying Wayne and Kurt needed to
    close by the end of the year. But according to Chvala, she did
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    not realize Cadwallader was referencing the Morrison Land
    and instead thought she was referring to the Waldo Quarters,
    which Chvala understood Wayne and Kurt were interested
    in buying.
    10. Title Commitment Email
    After the telephone call with Chvala on December 19, 2012,
    Cadwallader sent an email to the bank stating:
    I just talked to [Chvala] and the deal between her and
    K&W is not happening this year. She said she cannot get
    it done and is looking more toward March for a closing
    date. I have talked to [the loan officer] and he was going
    to let Kurt know. McCarthy is working on the title insur-
    ance and will have that to us but no closing for now.
    A title commitment was sent via email from the title com-
    pany to both Cadwallader and Chvala on December 21. The
    title commitment clearly showed the land to be purchased
    by Wayne and Kurt was the half section of the Morrison
    Land owned by TTC Enterprises. Chvala testified she did not
    open this email until sometime in January 2013. Once she
    opened the email and saw the title commitment, she admits
    she knew Wayne and Kurt were trying to move forward with
    closing on the half section of the Morrison Land owned by
    TTC Enterprises. Despite this knowledge, Chvala did noth-
    ing. Instead, she waited until after the option period closed to
    contact Wayne and Kurt. When asked why, Chvala testified, “I
    thought having communication with them would have been a
    violation of the ethical rules. I distanced, advised I could not
    represent them, and I did not want to give them any communi-
    cation or advice at all.”
    Wayne testified that he and Kurt both knew Chvala was
    aware they wanted to buy the half section of the Morrison
    Land, so when the closing did not occur at the end of 2012
    they simply “trusted it was going to happen” based on “how
    [Chvala’s] schedule” worked. Wayne was not concerned when
    the option period closed on March 1, 2013, because he had “an
    immense amount of trust” in Chvala.
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    11. March 2013 Communications
    By its terms, the option terminated at 5 p.m. on March 1,
    2013. Kurt called Chvala’s office on March 6, but Chvala did
    not take his call, even though she was in the office. On March
    8, Kurt sent an email to Chvala which stated:
    I know I have talked to you about our intent to pur-
    chase the S 1⁄2 of Section 6-31-14 a couple of times
    back in the spring of 2011 and again in December of
    2012. . . . Schmaderer told me he was going to order
    the Title Commitment back in December. I believe that
    has been delivered to the bank and they are just waiting
    for a Purchase Agreement. I was wondering if we could
    get together with you hopefully this week and get this
    finished up or if that won’t work at least get something
    done here in the month of March.
    The same day this email was received by Chvala, it was
    faxed by Gary to an attorney he had retained to represent him
    in the matter. Gary’s attorney then sent Wayne and Kurt a
    letter by certified mail advising that the purchase option and
    lease had expired, but that Gary was willing to enter into a
    new lease agreement with them. After receiving this certified
    letter, Kurt telephoned Gary because he was “confused about
    why we were getting [the letter] after everything I had been
    doing towards the end . . . of 2012.” According to Kurt, Gary
    told him, “‘That’s [Chvala’s] deal.’ . . . ‘You’ll have to talk to
    her about that.’”
    On March 12, 2013, Chvala wrote a letter to Wayne and
    Kurt. She acknowledged they had been attempting to reach her
    for several days, and then stated:
    Years ago, when the leases were drafted, I handled those
    matters and included disclosure and obtained your con-
    sents to my doing so.
    Now, I think changes in the law make it prudent that I
    refrain from providing services to you in connection with
    new contracts or legal matters with my husband or our
    company. I prefer not to continue to provide service even
    with consents and waivers of possible conflicts.
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    In response, Wayne and Kurt hired another attorney who,
    on March 15, 2013, sent Gary a letter via registered mail to
    the address listed in the option agreement, notifying him that
    Wayne and Kurt were exercising their option to purchase the
    half section of the Morrison Land. Gary’s attorney rejected this
    as a “nonconforming attempt to exercise the option at issue.”
    On April 2, Wayne and Kurt tendered a cashier’s check for the
    option purchase price to Gary and TTC Enterprises. This too
    was rejected.
    12. Civil Suit and Settlement
    On April 8, 2013, Wayne and Kurt filed a civil lawsuit in the
    district court for Holt County against Gary, Chvala, and TTC
    Enterprises. Gary died unexpectedly in July, and the civil suit
    was revived with Chvala as Gary’s personal representative. The
    parties eventually settled the civil suit, and as a result of the
    settlement, Wayne and Kurt purchased the half section of the
    Morrison Land owned by TTC Enterprises for $1.8 million—
    more than 31⁄2 times the purchase price of $497,637 set out in
    the option agreement.
    13. Procedural History of
    Disciplinary Action
    While the civil lawsuit was pending, Chvala contacted
    the Counsel for Discipline to self-report that there had been
    “some suggestion” her actions with respect to the Morrison
    Land may have violated the disciplinary rules. Wayne and
    Kurt subsequently filed a grievance against Chvala with the
    Counsel for Discipline, also regarding the Morrison Land. The
    Committee on Inquiry of the Third Judicial District reviewed
    the matter and determined there were reasonable grounds for
    discipline against Chvala. Formal charges were filed on July
    26, 2017, and amended formal charges were filed on January
    29, 2018.
    Prior to September 1, 2005, the conduct of Nebraska
    attorneys was governed by Nebraska’s Code of Professional
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    Responsibility. Since that date, the conduct of Nebraska attor-
    neys has been governed by the Nebraska Rules of Professional
    Conduct. Because the alleged disciplinary violations against
    Chvala span from 2003 through 2013, Chvala was charged
    with violations of various provisions under both the code
    and the rules. Some of the sections of the Nebraska Rules of
    Professional Conduct have been amended after 2013, but for
    purposes of this opinion, the current version of the rules will be
    referenced, because the amendments do not impact the appli-
    cability of the rules to Chvala’s alleged disciplinary violations.
    Chvala denied all charges.
    Retired Judge Paul W. Korslund was appointed as referee,
    and a 4-day evidentiary hearing was held. The referee issued a
    99-page report and recommendation finding multiple violations
    of the disciplinary provisions and recommending Chvala be
    disbarred. Chvala timely filed exceptions to the referee’s report
    and recommendation.
    III. STANDARD OF REVIEW
    [1,2] Attorney discipline cases are original proceedings
    before the Nebraska Supreme Court. As such, the court reviews
    a referee’s recommendations de novo on the record, reaching
    a conclusion independent of the referee’s findings.1 Violations
    of disciplinary rules must be established by clear and convinc-
    ing evidence.2
    IV. ANALYSIS
    [3-5] The basic issues in a disciplinary proceeding against
    an attorney are whether discipline should be imposed and, if
    so, the appropriate discipline evaluated under the particular
    facts and circumstances of the case.3 In this appeal, Chvala
    1
    See State ex rel. Counsel for Dis. v. Nimmer, 
    300 Neb. 906
    , 
    916 N.W.2d 732
     (2018).
    2
    See 
    id.
    3
    State ex rel. Counsel for Dis. v. Jorgenson, 
    302 Neb. 188
    , 
    922 N.W.2d 753
    (2019).
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    contends the referee erred in finding she committed any vio-
    lation of a disciplinary provision and further erred in recom-
    mending disbarment. Where, as here, a party takes exception
    to the referee’s report, this court conducts a trial de novo on
    the record in which we reach a conclusion independent of
    the findings of the referee; provided, however, that where the
    credible evidence is in conflict on a material issue of fact, we
    consider and may give weight to the fact that the referee heard
    and observed the witnesses and accepted one version of the
    facts rather than another.4 Here, the referee made express deter-
    minations regarding the relative credibility of the testimony of
    Chvala and Wayne and Kurt on certain matters. When a referee
    makes an express determination about the relative credibility of
    witnesses, we give weight to that determination in our de novo
    review, but we are not bound by it.5
    We have conducted a trial de novo on the record, and
    we address below those disciplinary violations alleged in the
    amended formal charges which we find were proved by clear
    and convincing evidence.
    1. Preliminary Issues
    In defending against these disciplinary charges, Chvala
    emphatically denies that she (1) played any role whatsoever
    in the Morrison Land deal or (2) provided any legal represen-
    tation regarding the Morrison Land. We soundly reject both
    arguments. Instead, we find clear and convincing evidence that
    Chvala played a central role in negotiating the purchase of the
    half section of the Morrison Land, that Chvala was an owner of
    that land, and that Chvala provided simultaneous legal advice
    and representation to both the lessors and the lessees of the
    Morrison Land.
    4
    Nimmer, supra note 1.
    5
    See State ex rel. Counsel for Dis. v. Ellis, 
    283 Neb. 329
    , 
    808 N.W.2d 634
    (2012).
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    (a) Chvala Negotiated Morrison Land Deal
    Chvala flatly denies any direct involvement in the January
    12, 2003, meeting with the Kaup brothers. She claims the
    decision to purchase the Morrison Land, and all the decisions
    regarding that investment, were made by Gary. In arguing
    that no disciplinary provisions are implicated by her conduct,
    Chvala’s brief to this court states, “[She] did not buy the
    Morrison Ventures land or lease it to Kaups; her husband did.
    So the [disciplinary] Rule does not apply.”6
    The referee expressly found that, to the extent Chvala testi-
    fied she was not involved in either the January 12, 2003, meet-
    ing or in decisions regarding how to structure the Morrison
    Land investment, her testimony was “implausible and not cred-
    ible.” Having reviewed the record de novo, we agree.
    There is clear and convincing evidence that once Wayne and
    Kurt approached Chvala about investing in the Morrison Land,
    she became the primary negotiator of the resulting deal. The
    record fully supports the referee’s findings that (1) Chvala was
    the one who decided to purchase a half section of the Morrison
    Land and lease it back with an option to purchase rather than
    loan Wayne and Kurt money to purchase a quarter section
    of the land outright, (2) Chvala was the one who negotiated
    the terms of the lease agreement with Wayne and Kurt, and
    (3) Chvala was the one who decided the half section of the
    Morrison Land would be titled in Gary’s name for estate plan-
    ning purposes.
    (b) Chvala Was Investor and Owner
    The record also refutes Chvala’s claim that she had no own-
    ership interest in the Morrison Land. It is true that the half
    section of the Morrison Land was initially titled in only Gary’s
    name, but roughly half the funds used to purchase the land came
    from Chvala’s personal bank account and she was obligated on
    the promissory note that secured the remaining portion of the
    6
    Brief for respondent at 30.
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    purchase funds. She therefore had a personal financial interest
    as an investor in the half section of the Morrison Land from
    the date of purchase forward. Moreover, Chvala obtained an
    ownership interest in the Morrison Land once Gary transferred
    title of his half section to TTC Enterprises, an entity in which
    Chvala was a shareholder. On this record, we find Chvala
    was as much an investor and owner in the half section of the
    Morrison Land as was her husband, and we soundly reject her
    claims to the contrary.
    (c) Chvala Acted as Attorney
    Regarding Morrison Land
    Chvala generally denies acting as an attorney regarding the
    Morrison Land. She specifically denies either (1) preparing
    the legal documents related to the Morrison Land transac-
    tions or (2) representing any client in matters relating to the
    Morrison Land. We address each argument in turn, and we
    reject both.
    (i) Chvala Prepared All Relevant
    Legal Documents
    Throughout her testimony, Chvala resisted being character-
    ized as the attorney who prepared the legal documents relating
    to the Morrison Land. The following exchange is one such
    example from her testimony:
    [Counsel for Discipline:] [Y]ou participated in the
    transfer of approximately 4.7 acres of land from TTC
    Enterprises to Premier Pork in April of 2005; correct?
    [Chvala:] No.
    Q: No. You didn’t participate in that?
    A: No.
    Q: You didn’t draft any of the documents?
    A: My office did.
    Q: Who in your office?
    A: Barb.
    Q: Is she a lawyer?
    A: No.
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    Q: No. Did Barb on her own create these documents?
    A: Yes.
    Q: Without any input from you? Is that what you’re
    testifying?
    A: I prepared the deed forms. I had the deed forms in
    my office available. I oversee my staff. When this trans-
    action came up, I communicated with Wayne. He said
    what he wanted. He wanted a deed from Gary and an
    easement.
    Q: Okay. And you prepared those in your office?
    A: No. I told him to deliver the documents, and I
    would get them to Gary.
    Q: Deliver what documents?
    A: The deed and the easement.
    Q: Who prepared those?
    A: He didn’t have time to go have them done some-
    where else, so asked Barb to prepare those documents.
    Q: Who asked Barb?
    A: Wayne.
    Q: Wayne came to your office and asked Barb to
    prepare documents regarding a transaction with TTC
    Enterprises?
    A: Yes. And said that his mother[, Diane,] would be
    sending the legal descriptions.
    Q: And so Barb was providing legal representation to
    Wayne . . . ?
    A: No. Our office was the scrivener on those deeds
    with the legal description that Diane with Wayne provided
    by fax to Barb.
    Consistent with the above testimony, Chvala generally took
    the position that the legal documents pertaining to the Morrison
    Land, including warranty deeds in 2003 and 2005, the lease
    agreements, the option agreements, and the manure easements,
    were all prepared by nonattorney staff in her office using
    standard forms she had prepared previously. In her testimony,
    Chvala repeatedly described her role in preparing those legal
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    documents as that of a “scrivener.” In her brief to this court,
    she repeats this general argument, urging us to find that when
    a lawyer acts as a “scrivener” they are not acting as an attorney
    for any party.7 We firmly reject her invitation.
    [6] Even assuming without deciding that an attorney may,
    consistent with the ethical rules, enter into a limited scope
    agreement 8 for the sole purpose of reducing to writing an
    agreement separately negotiated by parties with differing inter-
    ests, there was no limited scope agreement here with respect
    to any of the Morrison Land documents Chvala prepared.
    Chvala’s argument that she should be treated only as a scriv-
    ener appears to be an attempt to minimize the role she played
    as an attorney by suggesting she had no meaningful role
    in preparing essential legal documents that related to the
    Morrison Land. But it hardly needs saying that a lawyer is
    ultimately responsible for the conduct of his or her employees
    and associates in the course of the professional representation
    of the client.9
    Only lawyers may engage in the practice of law in Nebraska,
    and that includes “[s]election, drafting, or completion, for
    another entity or person, of legal documents which affect the
    legal rights of the entity or person.”10 Nonlawyer assistants in
    a law office act under the supervision of a lawyer,11 and they
    “act for the lawyer in rendition of the lawyer’s professional
    services.”12 A lawyer may not avoid responsibility for miscon-
    duct by hiding behind an employee’s behavior, nor may the
    lawyer avoid a charge of unprofessional conduct by contend-
    ing the legal work was performed by an employee.13 And as
    7
    Id. at 21.
    8
    See Neb. Ct. R. of Prof. Cond. § 3-501.2 (rev. 2016).
    9
    State ex rel. NSBA v. Kirshen, 
    232 Neb. 445
    , 
    441 N.W.2d 161
     (1989).
    10
    Neb. Ct. R. § 3-1001(B).
    11
    Neb. Ct. R. § 3-1005.
    12
    Neb. Ct. R. of Prof. Cond. § 3-505.3, comment 1.
    13
    See Kirshen, 
    supra note 9
    .
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    p­ reviously stated, a lawyer is ultimately responsible for the
    conduct of his or her employees and associates in represent-
    ing clients.14
    It is thus immaterial, for purposes of this disciplinary action,
    whether Chvala personally prepared the legal documents relat-
    ing to the Morrison Land or had her office staff prepare them
    for her review and approval. The evidence is clear and con-
    vincing that Chvala was the attorney responsible for prepar-
    ing most, if not all, of the essential legal documents related
    to the Morrison Land. We reject, as both factually and legally
    unsound, Chvala’s attempts to distance herself from the prepa-
    ration of the essential legal documents in an effort to avoid the
    disciplinary provisions governing attorneys.
    (ii) Chvala Represented Lessors and
    Lessees of Morrison Land
    Despite preparing all of the pertinent legal documents relat-
    ing to the Morrison Land, Chvala denies representing any of
    the Morrison Land lessors (Gary, TTC Enterprises, Sandyland,
    and Rita) or lessees (Wayne and Kurt) in any matter related
    to the Morrison Land. Chvala does not deny that during the
    term of the Morrison Land lease agreements all these parties
    were her existing clients in other matters, but she argues that
    she did not represent any of these parties in matters related to
    the Morrison Land. We find her position in this regard some-
    what astonishing.
    [7] Although Chvala did not have a discreet engagement
    agreement with any of the lessors or lessees with respect to
    the Morrison Land, that does not end our inquiry. An attorney-
    client relationship with respect to a particular matter may be
    implied from the conduct of the parties.15 And here, we find
    clear and convincing evidence, particularly when viewed from
    the standpoint of the lessors and lessees of the Morrison Land,
    14
    See 
    id.
    15
    See McVaney v. Baird, Holm, McEachen, 
    237 Neb. 451
    , 
    466 N.W.2d 499
    (1991).
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    the conduct of the parties shows that Chvala was the attorney
    everyone looked to for legal advice related to the Morrison
    Land and that she was the attorney who prepared all of the
    legal documents necessary to achieve their goals and protect
    their interests regarding that land.
    [8] Generally speaking, an attorney-client relationship is
    created when (1) a person seeks advice or assistance from an
    attorney, (2) the advice or assistance sought pertains to mat-
    ters within the attorney’s professional competence, and (3)
    the attorney expressly or impliedly agrees to give or actually
    gives the desired advice or assistance.16 In appropriate cases
    the third element of an attorney-client relationship may be
    established by proof of detrimental reliance, when the person
    seeking legal services reasonably relies on the attorney to
    provide them, and the attorney, aware of such reliance, does
    nothing to negate it.17
    Here, the record shows that from January 12, 2003, until
    at least March 12, 2013, all those involved with the Morrison
    Land, including the Kaup brothers, sought and relied upon
    Chvala’s assistance in transactions related to the Morrison
    Land. Sometimes Chvala’s assistance was specifically requested
    on a Morrison Land matter—like when she was asked to form
    Sandyland for Diane to hold and manage the Morrison Land,
    when she was asked to prepare the warranty deeds and transfer
    statements on behalf of all three Morrison Land purchasers,
    and when she was asked by Wayne to prepare the warranty
    deeds so Premier Pork could obtain title to portions of the
    Morrison Land from TTC Enterprises and Rita. But in most
    instances, Chvala provided legal advice and assistance regard-
    ing the Morrison Land without a specific request. It appears
    she did so on her own initiative, performing the legal work she
    felt was necessary.
    For instance, shortly after closing on the Morrison Land
    occurred, Chvala prepared and sent lease terminations to all of
    16
    
    Id.
    17
    
    Id.
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    the prior tenants, representing herself as the attorney for each
    of the three Morrison Land owners. There is no evidence the
    Kaup brothers or any of the three landowners asked Chvala
    to take this action on their behalf, but Chvala admits that she
    prepared and sent the lease terminations on behalf of “all the
    parties” and that she did so “to ensure that the previous tenants
    were not going to show up and try to farm” any of the Morrison
    Land. Chvala forwarded copies of the lease termination notices
    in a letter she collectively addressed to “Diane, Rita, Wayne
    and Kurt” explaining to all that she felt the notices were nec-
    essary to protect against an argument by the prior tenants and
    subtenants that they still had rights to farm the Morrison Land.
    Chvala’s actions in this regard would reasonably lead Diane,
    Rita, Wayne, and Kurt to believe she was protecting and repre-
    senting their collective interests in the matter, and Chvala did
    nothing to negate that belief.
    Chvala prepared all of the lease agreements and all of the
    option agreements that governed the relationships between
    the owners of the Morrison Land as lessors and Wayne and
    Kurt as lessees. In the lease agreement between Gary and the
    Kaup brothers, Chvala included language stating that she was
    “not acting as an attorney for either party to this contract.”
    But no such language appears in any of the other lease agree-
    ments, or in any of the three option agreements. Instead, it is
    not apparent from the face of those agreements, or from the
    testimony of the parties, whether Chvala prepared those agree-
    ments on behalf of the lessors, the lessees, or both. What is
    apparent is that even absent evidence that a particular client
    directed Chvala to prepare the lease and option agreements on
    their behalf, the agreements were necessary to accomplish the
    investment goals and to protect the financial interests of all
    those involved in the Morrison Land transactions, whether as
    lessors or lessees. We therefore conclude that, on this record,
    with the exception of the lease agreement Chvala prepared for
    Gary and the Kaup brothers, her conduct in preparing all the
    necessary lease and option agreements for all involved parties
    would reasonably lead those parties to believe Chvala was
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    protecting and representing their interests in the matter. Chvala
    did nothing to negate that belief.
    In November 2003, Chvala sent a letter to Wayne and Kurt
    on her firm letterhead, with copies to all Morrison Land own-
    ers, reporting that Gaines, their mutual accountant, had sug-
    gested “all of the leases” should use a modified crop-share
    arrangement rather than a triple-net arrangement. There is no
    evidence that any lessor or lessee specifically asked Chvala
    to modify the rental arrangement, but Chvala presented the
    arrangement as benefiting all of the Morrison Land owners,
    and the record shows that after Chvala sent the letter, Wayne
    and Kurt began paying rent under the modified arrangement. In
    the same letter, Chvala offered to contact the “FSA Office” on
    behalf of Wayne and Kurt to ensure they would still be able to
    receive government payments if a modified crop-share arrange-
    ment was in place. This is yet another example that would
    lead the parties, whether they be lessors or lessees, to believe
    Chvala was representing their collective interests regarding the
    Morrison Land.
    We further note that even Chvala’s own words support a
    finding that she considered herself to have an attorney-client
    relationship with Wayne and Kurt on matters related to the
    Morrison Land. In the letter she sent them on March 13, 2013,
    she stated that in the future she would “refrain from providing
    services” to them “in connection with new contracts or legal
    matters with my husband or our company.” We read this as
    an implied admission that she had been providing legal serv­
    ices to Wayne and Kurt in connection with Gary and TTC
    Enterprises, and thus the Morrison Land, and the record bears
    that out.
    The evidence demonstrates that all those involved with
    the Morrison Land, whether as lessors or lessees, were exist-
    ing clients of Chvala’s in other matters and the legal issues
    involved in the Morrison Land transactions were within
    Chvala’s professional competence and were similar to legal
    services Chvala had provided previously to these same clients.
    Everyone involved with the Morrison Land relied on Chvala
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    to prepare the legal documents that established and governed
    all their legal interests regarding the Morrison Land. And
    everyone involved with the Morrison Land reasonably relied
    on Chvala’s legal advice and expertise to protect their interests
    and accomplish their goals.
    Given the collective approach Chvala took to handling all
    of the legal matters that arose in connection with the Morrison
    Land—whether asked to or not—and the reasonable expecta-
    tions that conduct created in her existing clients, it should come
    as no surprise that we find Chvala represented, either expressly
    or impliedly, all of the individuals and entities involved in the
    transactions related to the Morrison Land.
    (iii) Disclaimers of Attorney-Client
    Relationship
    In reaching this conclusion, we do not ignore Chvala’s tes-
    timony that she orally advised Wayne and Kurt, first during
    the meeting of January 12, 2003, and later during a meeting
    on February 23, 2010, that even though she was their lawyer
    in other legal matters, she could not represent them in matters
    related to the Morrison Land because Gary was involved. Nor
    do we ignore evidence of the disclaimer contained in paragraph
    21 of the lease agreement between Gary and the Kaup broth-
    ers or the letter Chvala sent the Kaup brothers in April 2011
    referencing prior oral disclaimers. But as we explain below,
    none of this evidence changes our conclusion that Chvala had
    an attorney-client relationship with Wayne and Kurt on matters
    related to the Morrison Land.
    As for any oral disclaimers of an attorney-client relation-
    ship regarding the Morrison Land, we have already discussed
    the referee’s credibility finding that Chvala made no such
    disclaimers. Given that finding, Chvala’s April 2011 letter
    purporting to reference back to earlier oral disclaimers can
    fare no better. But even if we were to find Chvala’s testimony
    credible, and conclude she expressly told Wayne and Kurt as
    early as 2003 that she would not represent them in matters
    related to the Morrison Land, we would nevertheless find that
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    Chvala’s subsequent conduct in actually representing the Kaup
    brothers concerning the Morrison Land speaks louder than
    her words.
    Despite Chvala’s claim that she would be representing only
    Gary’s interests with respect to the Morrison Land, Chvala
    consistently prepared legal documents for, and offered legal
    advice to, all those involved with the Morrison Land, including
    Wayne and Kurt. When Chvala met periodically with Wayne
    and Kurt to discuss their various business ventures and do
    business planning, the Morrison Land, including the option,
    was discussed to the extent it impacted K & W Farms and
    Premier Pork. When Wayne asked Chvala to prepare the neces-
    sary documents so Premier Pork could obtain title to portions
    of the Morrison Land from TTC Enterprises and Rita, she did
    so, and identified herself as the attorney for Premier Pork in
    the transaction. When Wayne asked Chvala to prepare manure
    easements so Premier Pork could spread manure across the
    entire section of the Morrison Land, she did so. Given Chvala’s
    conduct in actually providing legal advice and representation
    to Wayne and Kurt in the Morrison Land matter, we cannot
    give more weight to an oral disclaimer than we do to Chvala’s
    subsequent actions.
    We reach a similar conclusion regarding the limited dis-
    claimer language contained in paragraph 21 of the lease agree-
    ment. That language purported to disclaim any attorney-client
    relationship between Chvala and all parties to the lease agree-
    ment for purposes of reviewing and signing the lease agree-
    ment. But “[e]ven the use of a disclaimer may not prevent the
    formation of attorney-client relationships if the parties’ subse-
    quent conduct is inconsistent with the disclaimer.”18 And here,
    because there was clear and convincing evidence that Chvala’s
    subsequent conduct was sufficiently inconsistent with the lim-
    ited disclaimer set forth in paragraph 21 of the lease agree-
    ment, Chvala cannot rely on the disclaimer to argue she had no
    18
    See S.C. Bar Ethics Adv. Comm. 12-03, 
    2012 WL 1142185
     at *4 (Jan. 1,
    2012).
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    attorney-client relationship with the Kaup brothers regarding
    the Morrison Land.
    We now consider the various disciplinary charges against
    Chvala, and we do so in light of our preliminary findings that
    she (1) played a central role in negotiating the purchase of
    a half section of the Morrison Land, and had an ownership
    interest in that half section of land, and (2) provided legal
    advice and representation to both the lessors and lessees of the
    Morrison Land on matters related to the Morrison Land.
    2. Business Transactions
    With Clients
    Chvala was charged with violating the rules prohibiting
    lawyers from entering into business transactions with clients
    under Canon 5, DR 5-104(A), of the Code of Professional
    Responsibility, which governed her conduct before September
    1, 2005, and Neb. Ct. R. of Prof. Cond. § 3-501.8 (rev. 2016),
    which governed her conduct after September 1, 2005.
    DR 5-104 is entitled “Limiting Business Relations with a
    Client,” and provides:
    (A) A lawyer shall not enter into a business transaction
    with a client if they have differing interests therein and if
    the client expects the lawyer to exercise his or her profes-
    sional judgment therein for the protection of the client,
    unless the client has consented after full disclosure.
    Section 3-501.8 is entitled “Conflict of interest; current cli-
    ents: specific rules,” and provides in part:
    (a) A lawyer shall not enter into a business transaction
    with a client or knowingly acquire an ownership, pos-
    sessory, security or other pecuniary interest adverse to a
    client unless:
    (1) the transaction and terms on which the lawyer
    acquires the interest are fair and reasonable to the client
    and are fully disclosed and transmitted in writing in a
    manner that can be reasonably understood by the client;
    (2) the client is advised in writing of the desirability
    of seeking and is given a reasonable opportunity to seek
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    the advice of independent legal counsel on the transac-
    tion; and
    (3) the client gives informed consent, in a writing
    signed by the client, to the essential terms of the trans-
    action and the lawyer’s role in the transaction, includ-
    ing whether the lawyer is representing the client in the
    transaction.
    (b) A lawyer shall not use information relating to the
    representation of a client to the disadvantage of the client
    unless the client gives informed consent, except as per-
    mitted or required by these Rules.
    Before directly addressing the application of either disci-
    plinary provision, we examine two threshold questions that
    arise under both: (1) whether the Morrison Land deal was a
    “business transaction” and (2) whether Wayne and Kurt were
    Chvala’s clients at the time she entered into the Morrison
    Land deal.
    (a) Business Transaction
    [9,10] Generally speaking, any “‘commercial activity
    engaged in for a profit’” will constitute a business transac-
    tion for purposes of the disciplinary provisions that prohibit
    an attorney from entering into a business transaction with a
    client.19 A “business transaction” is a broad term, and it plainly
    includes an agreement to purchase real property and an agree-
    ment to lease real property.20
    19
    See Sup. Ct. Bd. of Prof ’l Ethics v. Fay, 
    619 N.W.2d 321
    , 325 (Iowa
    2000).
    20
    See, e.g., 
    Id.
     (arrangement where client leased premises owned by
    attorney’s daughter, in which attorney held life estate, was business
    transaction with client); In re Baer, 
    298 Or. 29
    , 
    688 P.2d 1324
     (1984)
    (real estate purchase agreement between attorney’s wife and his clients
    was business transaction where purchase price was reduced in exchange
    for attorney’s services); Matter of James, 
    452 A.2d 163
     (D.C. App. 1982)
    (real estate purchase agreement between attorney and clients was busi­
    ness transaction).
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    It is beyond dispute that the Morrison Land purchase, the
    lease and option agreements, and the various related transac-
    tions were all business transactions within the meaning of
    DR 5-104(A) and § 3-501.8.
    (b) Clients
    We have already determined that Chvala actually repre-
    sented Wayne and Kurt and Premier Pork with respect to the
    Morrison Land, but it is important to point out that, for pur-
    poses of DR 5-104(A) and § 3-501.8, the term “client” has an
    even broader meaning.
    [11] In the context of the disciplinary provisions governing
    business transactions with clients, a client is defined as one
    over whom the attorney has influence arising from a previ-
    ous or current attorney-client relationship.21 Thus, a “client”
    in this context means not only one with whom the attorney
    has an existing attorney-client relationship, but also those who
    have relied on the attorney on “‘an occasional and on-going
    basis.’”22 In other words, an attorney need not have an open
    active case with a client in order to be subject to the restric-
    tions of DR 5-104(A) and § 3-501.8, because otherwise “‘the
    attorney would be free to use the rapport and confidence . . .
    developed with [the] client to persuade the . . . client to do
    things that would otherwise be prohibited by [the rules].’”23 As
    the Supreme Court of Arizona has explained:
    [I]n attorney-client business ventures, an attorney is
    deemed to be dealing with a client when “it may fairly
    be said that because of other transactions an ordinary
    person would look to the lawyer as a protector rather than
    as an adversary.” . . . We recognize[] that in applying
    21
    Bd. of Prof. Ethics and Cond. v. Sikma, 
    533 N.W.2d 532
     (Iowa 1995). See,
    also, Matter of Discipline of Martin, 
    506 N.W.2d 101
     (S.D. 1993); Matter
    of Neville, 
    147 Ariz. 106
    , 
    708 P.2d 1297
     (1985); Matter of Nichols, 
    95 N.J. 126
    , 
    469 A.2d 494
     (1984).
    22
    See Fay, 
    supra note 19
    , 
    619 N.W.2d at 325
    .
    23
    In re Schenck, 
    345 Or. 350
    , 363, 
    194 P.3d 804
    , 812 (2008).
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    the disciplinary rules we define[] “client” in very broad
    terms, but we conclude[] that our obligation to police
    the profession and protect the public interest permit[s]
    no less.24
    We agree with this reasoning and emphasize that it applies
    whether one is defining a “client” for purposes of DR 5-104(A)
    or its successor, § 3-501.8.
    Here, the record shows that when the purchase of and lease
    of the half section of the Morrison Land was negotiated in
    January 2003, Chvala had already established an ongoing
    attorney-client relationship with Wayne and Kurt. She had
    regularly been advising them on legal matters, including land
    and business transactions, for approximately 7 years, and it is
    clear from their conduct that the Kaup brothers viewed Chvala
    as a protector rather than an adversary.
    We thus conclude that, at the inception of the Morrison Land
    deal in January 2003, Wayne and Kurt were Chvala’s clients
    for purposes of both DR 5-104(A) and its successor, § 3-501.8.
    (c) DR 5-104(A)
    The disciplinary rules governing business transactions with
    clients are designed to address the concern that an attorney’s
    legal skill and training, together with the relationship of trust
    and confidence between lawyer and client, may create the
    possibility of overreaching when the lawyer participates in
    a business transaction with a client.25 Stated differently, the
    concern is that “the lawyer may be tempted to subordinate the
    interests of the client to the lawyer’s own anticipated pecuni-
    ary gain.”26
    [12] To establish a violation of DR 5-104(A), it is neces-
    sary to show that (1) the attorney and the client had differing
    interests in the transaction, (2) the client expected the lawyer
    to exercise his or her professional judgment for the protection
    24
    Matter of Pappas, 
    159 Ariz. 516
    , 522, 
    768 P.2d 1161
    , 1167 (1988).
    25
    See § 3-501.8, comment 1.
    26
    Canon 5, EC 5-4, of the Code of Professional Responsibility.
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    of the client, and (3) the client consented to the transaction
    without full disclosure.27
    (i) Differing Interests
    [13-15] Differing interests are interests that are conflicting,
    inconsistent, diverse, or otherwise discordant.28 Historically,
    in the disciplinary context, the term “‘differing interests’” has
    been broadly defined to include any interest adversely affect-
    ing either the lawyer’s judgment on behalf of a client or the
    lawyer’s loyalty to a client.29 In this respect, it is fundamental
    that the interests of a purchaser in a transaction are directly
    contradictory to the interests of the seller in the transaction.30
    Similarly, the competing interests of lessor and lessee necessar-
    ily present differing interests under DR 5-104(A).31
    Regarding the Morrison Land, Chvala’s interests clearly dif-
    fered from the Kaup brothers’ interests. Because Chvala and
    Gary purchased the Morrison Land as an investment, Chvala’s
    financial interest in the property, like Gary’s, was that of an
    owner and lessor. Because Wayne and Kurt’s interest in the
    Morrison Land was that of lessees with an exclusive option to
    purchase the land at the end of the lease term, Chvala’s inter-
    ests directly conflicted with the interests of Wayne and Kurt.
    (ii) Professional Judgment Expected
    [16,17] The nature of the transaction itself can show that the
    client expected the lawyer to exercise professional judgment
    for his or her protection.32 So, too, can the prior relationship of
    the attorney and the client.33 As a general matter, “‘it is natural
    27
    State ex rel. NSBA v. Thor, 
    237 Neb. 734
    , 
    467 N.W.2d 666
     (1991).
    28
    
    Id.,
     citing Canon 5, EC 5-14, of the Code of Professional Responsibility.
    29
    David J. Beck, Transactions with Clients, 
    43 Baylor L. Rev. 149
    , 152
    (1991).
    30
    See Fay, 
    supra note 19
    .
    31
    See 
    id.
    32
    See 
    id.
     See, also, Thor, 
    supra note 27
    .
    33
    Matter of Pappas, 
    supra note 24
    .
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    and proper for a client with a longstanding business relation-
    ship with a lawyer to feel that the lawyer is to be trusted, will
    not act unfairly, and will protect him against danger.’”34
    Here, Wayne and Kurt had been Chvala’s clients for
    approximately 7 years at the time the Morrison Land deal was
    entered into, and the record shows they trusted and respected
    her. The record also shows Wayne and Kurt expected Chvala
    to treat them fairly in the Morrison Land deal based on their
    established attorney-client relationship and her familiarity
    with their business goals. They approached her as an investor
    in the Morrison Land, and they relied on her advice as to the
    best way to structure the deal and the rent arrangements. They
    also relied on her to draft the necessary legal documents to
    help them accomplish their business goal of ultimately own-
    ing the Morrison Land. The Kaup brothers later expressed
    their gratitude for Chvala’s investment on their behalf in a
    2005 letter:
    It has been a great pleasure working with you. Words can
    not explain how proud we are of this property and THANK
    YOU will never be adequate for investing your money in
    this real estate for us. The acquisition of this property has
    provided a solid income base to our operation.
    We find clear and convincing evidence that Wayne and Kurt
    expected Chvala to exercise her professional judgment for their
    protection when they entered into the Morrison Land deal.
    (iii) No Full Disclosure
    [18] Because Chvala entered into a business deal with cli-
    ents when her interests differed from theirs and the clients
    expected her to exercise her professional judgment for their
    protection, the ultimate question is whether she provided the
    full disclosure required by DR 5-104(A). A full disclosure
    34
    
    Id.,
     
    159 Ariz. at 523
    , 
    768 P.2d at 1168
    . Accord In re Montgomery, 
    292 Or. 796
    , 802, 
    643 P.2d 338
    , 341 (1982) (recognizing “[i]n many situations the
    client would not be dealing with the lawyer but for the client’s trust and
    confidence in the lawyer born of past associations”).
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    requires both that the client is advised there is a conflict of
    interest and that the client is informed of the possible areas this
    conflict of interest may affect.35
    [19] A key part of a full disclosure is explaining to the client
    any effect the conflict may have on the exercise of the attor-
    ney’s professional judgment.36 In other words, full disclosure
    means explaining the nature of the conflict presented by the
    attorney’s role in the business transaction, and also explaining
    to the client why he or she would benefit from independent
    counsel.37 This is so because a client must be able to expect
    “unfettered independence of professional judgment of a lawyer
    whose loyalty to that person is total.”38
    [20] Thus, when a full disclosure is required under
    DR 5-104(A), it must include a clear explanation of the dif-
    fering interests between the attorney and the client, a detailed
    explanation of the risks and disadvantages to the client as a
    result of those differing interests, and an explanation of the
    advantages of seeking independent legal advice.39
    For the sake of completeness, we note the nature of the
    required disclosure is similar under both DR 5-104(A) and the
    successor rule, § 3-501.8, even though, as we discuss later,
    § 3-501.8(2) contains the additional requirement that the cli-
    ent’s informed consent must be in writing. The comments to
    § 3-501.8 explain when a disclosure is required:
    [T]he lawyer must disclose the risks associated with the
    lawyer’s dual role as both legal adviser and participant
    in the transaction, such as the risk that the lawyer will
    structure the transaction or give legal advice in a way that
    favors the lawyer’s interests at the expense of the client.40
    35
    Thor, supra note 27.
    36
    See id.
    37
    See Fay, 
    supra note 19
    .
    38
    
    Id.,
     
    619 N.W.2d at 326
    .
    39
    See Beck, Transactions with Clients, supra note 29.
    40
    § 3-501.8, comment 3.
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    Chvala’s conduct was governed by DR 5-104(A) at the time
    she entered into the Morrison Land deal with the Kaup broth-
    ers, and on this record, we find she failed to provide the full
    disclosure required by that rule before entering into the busi-
    ness transaction, or at any time thereafter.
    a. Disclaimer Is Not Full Disclosure
    Chvala claims that during the January 12, 2003, meeting
    when the key details of the Morrison Land deal were nego-
    tiated, she told Wayne and Kurt she “[could not] represent
    [them] in any capacity” because her husband was going to
    buy the Morrison Land and “God willing, he’s always going
    to be my husband.” Chvala contends this statement satisfied
    her ethical obligation under DR 5-104(A). We disagree, for
    two reasons.
    [21] First, the referee did not find Chvala’s testimony about
    this statement to be credible, and instead, the referee concluded
    Chvala made no such statement during the January 12, 2003,
    meeting. But even if we were to accept Chvala’s testimony that
    she expressly told the Kaup brothers she could not represent
    them because her husband was going to be involved, such a
    statement, without more, would have been inadequate as a
    matter of law to satisfy DR 5-104(A). At best, Chvala’s state-
    ment was an attempt to disclaim an attorney-client relation-
    ship with the Kaup brothers. But the full disclosure required
    by DR 5-104(A) is not satisfied by a mere disclaimer of an
    attorney-client relationship.
    [22] When a lawyer enters into a business transaction with
    a client that falls within DR 5-104(A), it is not enough for the
    lawyer to merely tell the client “I cannot represent you in this
    transaction.” DR 5-104(A) is designed to address the concern
    that an attorney’s legal skill and training, together with the
    relationship of trust and confidence between the lawyer and
    client, create the possibility of overreaching when the lawyer
    participates in a business transaction with a client. This con-
    cern exists whether or not the attorney actually provides legal
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    advice or services to the client in the business transaction.41
    And because of this concern, the full disclosure required by
    DR 5-104(A) is substantial. It generally requires the attorney
    to give the client the kind of advice the client would have
    received if the transaction were with a stranger.42
    The record shows that at no time during the January 12,
    2003, meeting did Chvala advise Wayne and Kurt of the signif-
    icant financial investment she would be making in the business
    transaction. Nor did she explain how that conflict of interest
    might affect the exercise of her professional judgment on their
    behalf in terms of structuring the deal, preparing the legal doc-
    uments to facilitate the deal, or assisting them in accomplishing
    their business goals with respect to the Morrison Land. Nor did
    Chvala expressly advise her clients to seek independent legal
    advice before they agreed to the terms of the deal or explain to
    them why that would be advantageous to them. As such, even
    if we were to find credible Chvala’s testimony that she made
    a disclaimer during the negotiations on January 12, the dis-
    claimer she claims to have made was not sufficient to comply
    with DR 5-104(A). Because the Kaup brothers consented to
    the Morrison Land deal without the full disclosure required by
    DR 5-104(A), Chvala violated this disciplinary provision.
    And for the sake of completeness, we also find that Chvala
    did not, at any time after entering into the Morrison Land deal,
    make the full disclosure required by DR 5-104(A). One of
    Chvala’s primary arguments is that language in paragraph 21
    41
    See, e.g., Sikma, 
    supra note 21
     (DR 5-104(A) not limited to situations
    where attorney formally acting as counsel in business transaction); In
    re Neville, 
    supra note 21
     (applicability of DR 5-104(A) not limited to
    situations in which lawyer represents client in same transaction in which
    interests differ).
    42
    
    Id.
     See, also, 7A C.J.S. Attorney & Client § 354 at 398 (2015) (“[w]here
    an attorney enters into a business arrangement with a client, he or she must
    make it manifest that he or she gave to his or her client all that reasonable
    advice against himself or herself that he or she would have given him or
    her against a third person”).
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    of the lease agreement satisfied DR 5-104(A). We address that
    argument next, and we find it meritless.
    b. Paragraph 21 in Lease Agreement
    Paragraph 21 contained language stating that Chvala repre-
    sented both Gary and the Kaup brothers in unrelated matters
    “in the past and presently” and was “not acting as an attorney
    for either party to this contract.” There was also language stat-
    ing that by signing the agreement, both parties acknowledged
    they “had an opportunity to have an attorney of their choos-
    ing review [the] Lease” and they were signing it voluntarily
    without relying on advice from Chvala. Chvala claims this
    language satisfied DR 5-104(A), but we disagree. The dis-
    claimer in paragraph 21 came too late, and said too little, to
    satisfy the rule.
    [23] To be effective, the full disclosure required by
    DR 5-104(A) must be made before the client consents to the
    business transaction.43 The lease agreement containing para-
    graph 21 was not executed until approximately April 7, 2003.
    By that point, several months had passed since the Kaup broth-
    ers had consented to the material terms of the Morrison Land
    deal and significant portions of that business transaction had
    already been completed.
    The full disclosure required by DR 5-104(A) needed to
    occur before the essential terms of the Morrison Land deal
    were agreed to, before Wayne and Kurt assigned their rights
    under the purchase agreement to Gary, and before the half
    section of the Morrison Land was sold to Gary. There is no
    question on this record that Wayne and Kurt’s consent to the
    Morrison Land deal was given without the benefit of the full
    disclosure required by DR 5-104(A).
    Moreover, even if the disclaimer in paragraph 21 had been
    given to the Kaup brothers before they consented to the
    43
    See Attorney Disciplinary Board v. Hamer, 
    915 N.W.2d 302
     (Iowa 2018)
    (because record did not show attorney made full disclosure to client before
    client consented to transaction, violation of DR 5-104(A) established).
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    Morrison Land deal, the language of that disclaimer would
    have been insufficient as a matter of law to comply with
    DR 5-104(A). The language purported to disclaim an attorney-
    client relationship, but it did not advise Wayne and Kurt of the
    nature of Chvala’s financial interest in the Morrison Land or
    explain the role she would play in the business deal. Nor did it
    explain how Chvala’s conflict of interest might affect the exer-
    cise of her professional judgment in drafting the terms of the
    lease and option agreements, or in the decisions she may make
    as the lessor during the term of the lease. And nothing in para-
    graph 21 advised the clients to seek independent legal advice
    or explained why that would be advantageous. Because of this,
    paragraph 21 was insufficient to provide the “full disclosure”
    required by DR 5-104(A).
    We find clear and convincing evidence that Chvala violated
    DR 5-104(A) by entering into the Morrison Land deal with
    Wayne and Kurt without first obtaining their consent after a
    full disclosure. Because Chvala violated DR 5-104(A), she also
    violated her oath as an attorney.44
    (iv) Additional Violations
    of DR 5-104(A)
    The referee found three additional violations of DR 5-104(A).
    Specifically, he found Chvala committed additional violations:
    (1) in November 2003, when she modified the rent arrange-
    ment from a triple-net arrangement to a modified crop-share
    arrangement; (2) in December 2003, when ownership of the
    Morrison Land was transferred from Gary to TTC Enterprises;
    and (3) in April 2005, when TTC Enterprises transferred own-
    ership of 5 acres of Morrison Land and granted a 10-year
    manure easement to Premier Pork, all without providing full
    disclosure.
    From a disciplinary standpoint, it is immaterial whether
    Chvala’s conduct in modifying the Morrison Land deal is
    analyzed as four separate business transactions with clients or
    44
    See 
    Neb. Rev. Stat. § 7-104
     (Reissue 2012).
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    whether her conduct is instead characterized as ongoing evi-
    dence of an impermissible business transaction to which the
    clients never consented after full disclosure. Either way, the
    record contains clear and convincing evidence that from and
    after January 12, 2003, when Chvala entered into the Morrison
    Land deal with Wayne and Kurt, she and her clients had dif-
    fering interests in the deal, her clients expected her to exercise
    her professional judgment for their protection, and her clients
    consented to the original business transaction, and to all sub-
    sequent modifications of that business transaction, without the
    full disclosure required by DR 5-104(A).
    (d) § 3-501.8
    Chvala was also charged with violating § 3-501.8, the suc-
    cessor to DR 5-104(A). The referee found Chvala did not vio-
    late § 3-501.8(a), but did violate § 3-501.8(b). We reach the
    same conclusion on de novo review.
    (i) § 3-501.8(a)
    Section 3-501.8(a) provides: “A lawyer shall not enter into
    a business transaction with a client or knowingly acquire an
    ownership, possessory, security or other pecuniary interest
    adverse to a client,” unless certain conditions are met. The
    referee found that Chvala did not “enter into” any new busi-
    ness transactions with the Kaup brothers after September 1,
    2005, and thus concluded that § 3-501.8(a) was not violated.
    Counsel for Discipline has not taken exception to this finding,
    and we agree the record does not show that Chvala entered into
    any new or additional business transactions with clients after
    September 1, 2005. However, as we discuss below, her contin-
    ued participation in an impermissible business transaction with
    clients resulted in other disciplinary violations.
    (ii) § 3-501.8(b)
    Section 3-501.8(b) provides: “A lawyer shall not use infor-
    mation relating to representation of a client to the disadvan-
    tage of the client unless the client gives informed consent,
    except as permitted or required by these Rules.” Comments
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    to the rule explain its underpinnings and provide some practi-
    cal examples:
    Use of information relating to the representation to the
    disadvantage of the client violates the lawyer’s duty of
    loyalty. [Section 3-501.8(b)] applies when the information
    is used to benefit either the lawyer or a third person, such
    as another client or business associate of the lawyer. For
    example, if a lawyer learns that a client intends to pur-
    chase and develop several parcels of land, the lawyer may
    not use that information to purchase one of the parcels in
    competition with the client or to recommend that another
    client make such a purchase.45
    The referee found Chvala violated § 3-501.8(b) by “inten-
    tionally lull[ing] the Kaups into believing they had exercised
    the option so that the option deadline would pass.” Specifically,
    the referee found:
    [Chvala] knew everything about the Kaups’ farming and
    hog finishing operations. She knew as a result of her prior
    representation that the Kaups had structured their busi-
    nesses around their ultimate ownership of the entire sec-
    tion of the Morrison Land. She knew they had borrowed
    substantial sums to build and develop the hog finishing
    buildings and were dependent on her half-section to make
    the entire operation financially feasible. She knew that
    the Kaups would have to meet her financial demands or
    risk losing their entire farming and livestock business.
    [Chvala] used information relating to her representation
    of the Kaups to their disadvantage, and the Kaups never
    gave her informed consent to do so.
    On de novo review, we agree there is clear and convincing
    evidence that in 2012, Chvala used information acquired dur-
    ing her representation of the Kaup brothers and their entity
    Premier Pork in a way that disadvantaged those clients. She
    knew the Kaup brothers had invested significant sums in
    45
    § 3-501.8, comment 5.
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    developing the 10 acres of Morrison Land they already owned,
    and she knew that ownership of the remaining half section
    of Morrison Land owned by TTC Enterprises was integral to
    the success of their business model. She also knew the Kaup
    brothers had the ability to pay a premium for the property and
    likely would do so rather than risk losing their investment.
    And she used this information to secure a personal financial
    benefit for herself, her husband, and their corporation. In
    doing so, she violated § 3-501.8(b), and because she violated
    that rule, she also violated her oath as an attorney as set out
    in § 7-104.
    3. Chvala Represented Clients
    With Differing Interests
    Chvala was also charged with violating both Canon 5,
    DR 5-105, of the Code of Professional Responsibility, and
    Neb. Ct. R. of Prof. Cond. § 3-501.7 (rev. 2019) by repre-
    senting clients with differing or conflicting interests without
    obtaining informed consent. We have already determined that
    Chvala simultaneously represented the owners-lessors and the
    lessees of the Morrison Land. And we agree with the referee
    that this representation violated both DR 5-105 and § 3-501.7.
    We address each violation in turn.
    (a) DR 5-105
    DR 5-105 is entitled “Refusing to Accept or Continue
    Employment if the Interests of Another Client May Impair the
    Independent Professional Judgment of the Lawyer.” DR 5-105
    governed Chvala’s conduct before September 1, 2005, and pro-
    vides in part:
    (A) A lawyer shall decline proffered employment if
    the exercise of the lawyer’s independent professional
    judgment in behalf of a client will be or is likely to be
    adversely affected by the acceptance of the proffered
    employment, or if it would be likely to involve the lawyer
    in representing differing interests, except to the extent
    permitted under DR 5-105(C).
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    (B) A lawyer shall not continue multiple employment
    if the exercise of his or her independent professional
    judgment in behalf of a client will be or is likely to
    be adversely affected by the lawyer’s representation of
    another client, or if it would be likely to involve the law-
    yer in representing differing interests, except to the extent
    permitted under DR 5-105(C).
    (C) In the situations covered by DR 5-105(A) and (B),
    a lawyer may represent multiple clients if it is obvious
    that the lawyer can adequately represent the interest of
    each and if each consents to the representation after full
    disclosure of the possible effect of such representation on
    the exercise of his or her independent professional judg-
    ment on behalf of each.
    (i) Chvala’s Clients Had
    Differing Interests
    [24,25] Under DR 5-105, a lawyer may represent several
    clients whose interests are not actually or potentially differing,
    but should nevertheless explain any circumstances that might
    cause a client to question the lawyer’s undivided loyalty.46 And
    if a lawyer is asked to undertake or continue representation of
    multiple clients having potentially differing interests, “the law-
    yer must weigh carefully the possibility that his or her judg-
    ment may be impaired or his or her loyalty divided if he or she
    accepts or continues the employment.”47
    Here, for the same reasons we previously found that Chvala’s
    interests as an owner-lessor actually differed from the interests
    of Wayne and Kurt as lessees and prospective purchasers, we
    now find that the interests of all the other owners-lessors dif-
    fered from those of Wayne and Kurt, and their entity Premier
    Pork. Because of these differing interests, Chvala’s simultane-
    ous representation of all the owners-lessors of the Morrison
    46
    Canon 5, EC 5-19, of the Code of Professional Responsibility.
    47
    Canon 5, EC 5-15, of the Code of Professional Responsibility.
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    Land, and all the lessees of the Morrison Land, was likely to
    involve her in representing differing interests in the same trans-
    action. Moreover, even among the lessors there were differing
    interests, because one of the lessors was an entity that Chvala
    owned and her husband managed, and that personal relation-
    ship could adversely affect her independent professional judg-
    ment on behalf of other clients. As such, Chvala was required
    to comply with DR 5-105(C) and obtain informed consent from
    all clients.
    (ii) Chvala Did Not Obtain Her
    Clients’ Informed Consent
    [26] A lawyer may represent multiple clients with differing
    interests if (1) it is obvious the lawyer can adequately represent
    the interest of each and (2) if each client consents to the rep-
    resentation after full disclosure of the possible effect of such
    representation on the exercise of his or her independent profes-
    sional judgment on behalf of each.48 Here, we do not address
    the first of these two elements, because on this record we find
    no evidence whatsoever that Chvala provided any client in the
    Morrison Land transactions with the full disclosure required by
    DR 5-105(C).
    [27-29] Even in those instances where a lawyer is justified
    in representing two or more clients having differing interests,
    “it is nevertheless essential that each client be given the oppor-
    tunity to evaluate his or her need for representation free from
    any potential conflict and to obtain other counsel if he or she
    so desires.”49 Thus, “before a lawyer may represent multiple
    clients, the lawyer should explain fully to each client the impli-
    cations of the common representation and should accept or
    continue employment only if the clients consent.”50 And “[i]f
    there are present other circumstances that might cause any of
    48
    DR 5-105(C).
    49
    Canon 5, EC 5-16, of the Code of Professional Responsibility.
    50
    
    Id.
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    the multiple clients to question the undivided loyalty of the
    lawyer, he or she should also advise all of the clients of those
    circumstances.”51 A full disclosure under DR 5-105 requires the
    attorney to not only inform the client of the attorney’s relation-
    ship with other clients, but also to explain the pitfalls that may
    arise in the course of the transaction that would make it desir-
    able for the client to have independent counsel.52
    There is no evidence that Chvala provided any client in the
    Morrison Land transactions with the full disclosure required by
    DR 5-105(C). We therefore agree with the referee that Chvala
    violated DR 5-105. And because she violated DR 5-105, she
    also violated her oath as an attorney as set out in § 7-104.
    (b) § 3-501.7
    Section 3-501.7 is entitled “Conflict of interest; current
    clients.” Section 3-501.7 governed Chvala’s conduct after
    September 1, 2005, and provides:
    (a) Except as provided in paragraph (b) . . . , a lawyer
    shall not represent a client if the representation involves
    a concurrent conflict of interest. A concurrent conflict of
    interest exists if:
    (1) the representation of one client will be directly
    adverse to another client; or
    (2) there is a significant risk that the representation
    of one or more clients will be materially limited by the
    lawyer’s responsibilities to another client, a former client
    or a third person or by a personal interest of the lawyer.
    (b) Notwithstanding the existence of a concurrent con-
    flict of interest under paragraph (a), a lawyer may repre-
    sent a client if:
    (1) the lawyer reasonably believes that the lawyer will
    be able to provide competent and diligent representation
    to each affected client;
    51
    Id.
    52
    Supreme Court Atty. Disc. Bd. v. Clauss, 
    711 N.W.2d 1
     (Iowa 2006).
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    (2) the representation is not prohibited by law;
    (3) the representation does not involve the assertion of
    a claim by one client against another client represented
    by the lawyer in the same litigation or other proceeding
    before a tribunal; and
    (4) each affected client gives informed consent, con-
    firmed in writing.
    We find clear and convincing evidence that from September
    1, 2005, until Chvala terminated her attorney-client relation-
    ship with Wayne and Kurt on March 12, 2013, she continued
    to simultaneously represent all of the owners-lessors of the
    Morrison Land and all of the lessees-prospective purchasers
    of that land. This simultaneous representation continued even
    though there was no evidence Chvala prepared additional legal
    documents or offered specific legal advice pertaining to the
    Morrison Land transactions after September 1, 2005.
    During this time, the parties continued operating under the
    lease and option agreements Chvala had prepared, and at all
    relevant times, and particularly after the option period opened
    in 2010, the competing and conflicting interests of Chvala’s
    clients remained directly adverse to one another, amounting to
    a concurrent conflict of interest under § 3-501.7(a).
    [30] There is no need to analyze whether, notwithstanding
    this concurrent conflict of interest, it may have been permis-
    sible for Chvala to represent these competing interests under
    § 3-501.7(b)(1) through (3), because it is clear from the
    record that no client was provided informed consent, confirmed
    in writing, as required by § 3-501.7(b)(4). For purposes of
    § 3-501.7:
    Informed consent requires that each affected client be
    aware of the relevant circumstances and of the material
    and reasonably foreseeable ways that the conflict could
    have adverse effects on the interests of that client. . . . The
    information required depends on the nature of the conflict
    and the nature of the risks involved. When representation
    of multiple clients in a single matter is undertaken, the
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    information must include the implications of the com-
    mon representation, including possible effects on loyalty,
    confidentiality and the attorney-client privilege and the
    advantages and risks involved.53
    Here, there is no evidence that after September 1, 2005,
    Chvala discussed, with any of the affected Morrison Land
    clients, the ways in which her common representation of their
    conflicting interests could have adverse effects on the interest
    of that client, including possible effects on loyalty and confi-
    dentiality. Nor is there any evidence Chvala obtained informed
    consent, in writing, from any Morrison Land client. She thus
    violated § 3-501.7, and because she violated that rule, she also
    violated her oath as an attorney as set out in § 7-104.
    4. Chvala’s Dishonesty and Deceit
    (a) § 3-508.4
    Chvala was charged with violating Neb. Ct. R. of Prof. Cond.
    § 3-508.4 (rev. 2016). Section 3-508.4 is entitled “Misconduct”
    and provides in relevant part:
    It is professional misconduct for a lawyer to:
    (a) violate or attempt to violate the Rules of Professional
    Conduct[,] knowingly assist or induce another to do so or
    do so through the acts of another;
    ....
    (c) engage in conduct involving dishonesty, fraud,
    deceit or misrepresentation[.]
    [31,32] One of the essential eligibility requirements for
    admission to the practice of law in Nebraska is the ability
    to conduct oneself with a high degree of honesty, integrity,
    and trustworthiness in all professional relationships and with
    respect to all legal obligations.54 As such, this court “‘does not
    look kindly upon acts which call into question an attorney’s
    53
    § 3-501.7, comment 18 (emphasis supplied).
    54
    State ex rel. Counsel for Dis. v. Council, 
    289 Neb. 33
    , 
    853 N.W.2d 844
    (2014).
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    honesty and trustworthiness.’”55 Attorneys who engage in dis-
    honest or deceitful conduct in their communications with cli-
    ents violate § 3-508.4(c).56
    The referee found that Chvala engaged in a pattern of dis-
    honest and deceitful conduct regarding the Kaup brothers’
    attempts to close on the sale of the half section of Morrison
    Land and that she did so “for the sole purpose of enriching
    herself at their expense.” Specifically, the referee found:
    From at least November 2012, it was [Chvala’s] plan
    to delay the Kaups from providing written notice of their
    exercise of the option until after March 1, 2013. She
    knew that this was her only chance of getting any of
    the appreciated value of the land. [Chvala] intentionally
    misled Kurt in November 2012, when she told him that
    she would close the sale in December. Instead of telling
    Kurt that his oral exercise of the option was insufficient,
    she implied that she had no objection to closing, but
    only that she couldn’t get to it until December. By her
    statement, [Chvala] was able to put Kurt off for at least
    a month.
    ....
    When [Chvala] was informed by [the bank] that the
    Kaups wanted to close the deal with her, [Chvala said]
    she couldn’t get it done in December and it is look-
    ing more toward March for a closing date. This was
    [Chvala’s] critical delay tactic. Without having to talk to
    Wayne or Kurt she was able to convey to them that she
    55
    Id. at 43, 853 N.W.2d at 852.
    56
    See, State ex rel. Counsel for Dis. v. Thomas, 
    281 Neb. 336
    , 
    799 N.W.2d 661
     (2011) (attorney engaged in conduct involving dishonesty and deceit
    by avoiding client calls and falsely reassuring clients to avoid admitting
    client’s case had been dismissed); State ex rel. Counsel for Dis. v. Simmons,
    
    270 Neb. 429
    , 
    703 N.W.2d 598
     (2005) (attorney engaged in conduct
    involving dishonesty and deceit as result of deceptive communications
    with client and law enforcement about whether and where attorney was
    holding client’s money).
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    would get to the closing, but it wouldn’t be until March.
    [The Kaup brothers] relied on [Chvala’s] statement and
    thus were lulled into believing that there was no need
    to contact [Chvala] in January or February because she
    wasn’t going to get to it until March.
    On de novo review, we agree with the referee that Chvala
    was fully aware of Wayne and Kurt’s efforts to close on the
    half section of the Morrison Land beginning in November
    2012 and that she deliberately misrepresented her intentions
    regarding such a closing. She did so in an effort to delay the
    closing without alerting the Kaup brothers to the fact they had
    not strictly complied with the terms of the option agreement.
    It is clear from the record that Chvala and Gary intended to
    strictly enforce the option terms and did not believe the Kaup
    brothers had correctly exercised the option. In fact, before the
    option expired, Chvala sought a legal opinion from a colleague
    on whether the option was enforceable and whether it could be
    exercised through oral notice rather than written notice. But
    when it became clear that Wayne and Kurt were trying to pro-
    ceed with a closing on the half section of the Morrison Land,
    Chvala instead made statements that were designed to mislead
    her clients and others into believing that she and Gary intended
    to proceed with the closing, but could not do so until later.
    Chvala’s statements in this regard were dishonest, deceptive,
    and misrepresented her true intentions.
    We note Chvala argues throughout her brief that decisions
    regarding the Morrison Land, including the decision whether
    to require strict compliance with the option terms, were Gary’s
    decisions, not hers. In this respect, her brief contends, “Chvala
    stood by her husband. His decision was to hold the Kaups to
    their written Agreements. She had no right to ‘overrule’ Gary
    and no right to contradict him.”57 But this argument is pre-
    mised on her claim, which we have found lacks merit, that she
    played no role in the negotiation and lease of the half section
    57
    Brief for respondent at 39.
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    of the Morrison Land. And in any event, even if the decision
    was Gary’s, the misrepresentations and deceitful responses
    were hers.
    We find clear and convincing evidence that Chvala violated
    § 3-508.4(c) by engaging in conduct involving dishonesty,
    deceit, and misrepresentation regarding her intentions to close
    on the sale of the Morrison Land. And because we find she vio-
    lated other Nebraska Rules of Professional Conduct, we also
    find clear and convincing evidence she violated § 3-508.4(a).
    Further, by violating these rules, she also violated her oath as
    an attorney as set out in § 7-104.
    (b) § 3-501.4
    Neb. Ct. R. of Prof. Cond. § 3-501.4 is entitled “Commu­
    nications” and provides in relevant part:
    (a) A lawyer shall:
    (1) promptly inform the client of any decision or cir-
    cumstance with respect to which the client’s informed
    consent, as defined in Rule 1.0(e), is required by these
    Rules;
    ....
    (5) consult with the client about any relevant limita-
    tion on the lawyer’s conduct when the lawyer knows that
    the client expects assistance not permitted by the Rules
    of Professional Conduct or other law.
    (b) A lawyer shall explain a matter to the extent rea-
    sonably necessary to permit the client to make informed
    decisions regarding the representation.
    The referee found that Chvala violated § 3-501.4 in 2012
    and 2013 for largely the same reasons she was found to have
    engaged in deceitful and dishonest conduct under § 3-501.8,
    i.e., because she “failed to communicate with Wayne and
    Kurt about the limits of her representation” when she knew
    they were attempting to exercise the option and proceed with
    the closing.
    Chvala takes exception to this finding and generally argues
    that she had no ethical duty to communicate with the Kaup
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    brothers regarding the sale of the half section of the Morrison
    Land, because she had no attorney-client relationship with
    them in that matter. We have already rejected this argument
    as factually and legally incorrect. For the same reasons we
    previously found that Wayne and Kurt were Chvala’s clients in
    matters related to the Morrison Land for purposes of DR 5-105
    and § 3-501.7, we similarly find they were Chvala’s clients
    for purposes of § 3-501.4. As such, from and after September
    1, 2005, Chvala was obligated to promptly inform Wayne and
    Kurt of any circumstance with respect to which their informed
    consent was required under the disciplinary rules, to consult
    with them about any relevant limitation on Chvala’s conduct
    when she knew they expected her assistance, and to explain
    matters to the extent reasonably necessary to permit them to
    make informed decisions regarding the representation.
    As previously stated, Chvala was aware the Kaup broth-
    ers were actively trying to close on the half section of the
    Morrison Land, and she knew Wayne and Kurt expected her
    assistance to complete the closing. Despite this knowledge,
    Chvala did not contact the Kaup brothers to provide the full
    disclosure she should have provided earlier, to explain the limi-
    tations on her conduct, or to encourage them to seek indepen-
    dent counsel on the matter before the option expired. Instead,
    Chvala actively avoided their attempts to communicate with
    her and deliberately frustrated their efforts to schedule a clos-
    ing before the option period expired. For these reasons, we find
    clear and convincing evidence that Chvala violated § 3-501.4,
    and because she violated this rule, she also violated her oath as
    an attorney as set out in § 7-104.
    V. SANCTION
    Having found by clear and convincing evidence that Chvala
    violated DR 5-104(A) and DR 5-105 of the former Code of
    Professional Responsibility, and §§ 3-501.4, 3-501.7, 3-501.8,
    and 3-508.4 of the Nebraska Rules of Professional Conduct,
    as well as her oath as an attorney as set out in § 7-104, we
    turn to the question of the appropriate sanction. The referee
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    recommended disbarment. Chvala takes exception to that rec-
    ommendation. She argues that dismissal of the charges is
    the proper outcome and that “Even A Public Reprimand Is
    Too Harsh.”58
    [33-35] With respect to the imposition of attorney discipline,
    each attorney discipline case must be evaluated in light of its
    particular facts and circumstances.59 For purposes of deter-
    mining the proper discipline of an attorney, we consider the
    attorney’s actions both underlying the events of the case and
    throughout the proceeding, as well as any aggravating or miti-
    gating factors.60 The propriety of a sanction must be considered
    with reference to the sanctions imposed in prior similar cases.61
    1. Relevant Factors
    [36] To determine whether and to what extent discipline
    should be imposed in an attorney discipline proceeding, we
    consider the following factors: (1) the nature of the offense,
    (2) the need for deterring others, (3) the maintenance of the
    reputation of the bar as a whole, (4) the protection of the pub-
    lic, (5) the attitude of the respondent generally, and (6) the
    respondent’s present or future fitness to continue in the practice
    of law.62
    (a) Nature of Offense
    In this case, Chvala committed multiple, serious viola-
    tions, all of which implicate the foundational principles of
    client loyalty and trust. The relationship of attorney and cli-
    ent has always been recognized as one of special trust and
    confidence.63 While the law does not strictly prohibit business
    58
    Brief for respondent at 39.
    59
    See Jorgenson, 
    supra note 3
    .
    60
    
    Id.
    61
    
    Id.
    62
    
    Id.
    63
    State, ex rel. Nebraska State Bar Ass’n, v. Basye, 
    138 Neb. 806
    , 
    295 N.W. 816
     (1941).
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    transactions between an attorney and a client, it does impose
    the requirement that they be characterized by full disclo-
    sure and honesty.64 Here, Chvala completely disregarded those
    requirements, and her clients suffered as a result.65
    Chvala entered into the deal to purchase the half section of
    the Morrison Land, a transaction in which her interests clearly
    differed from her clients’ interests, without obtaining her cli-
    ents’ consent after full disclosure. Chvala also impermissibly
    represented multiple clients with directly competing interests
    in multiple transactions related to the Morrison Land, without
    providing full disclosure. But most egregious of all, Chvala
    took advantage of her clients’ trust, misrepresented her inten-
    tions in the business deal, and engaged in conduct that was
    dishonest and deceitful in order to realize personal financial
    gain at the expense of her clients.
    [37] Moreover, although all of the violations stemmed from
    the same prohibited business transaction with clients, the viola-
    tions were neither technical nor isolated. Instead, the prohibited
    business transaction continued for a period of 10 years and the
    resulting ethical violations were serious and ongoing. Chvala’s
    failure to carefully follow the disciplinary rules when enter-
    ing into that business transaction, and her decision to remain
    in that business transaction for the next 10 years and provide
    legal services to all participants in that matter, resulted in
    cumulative acts of misconduct under the Nebraska disciplinary
    code and rules. Cumulative acts of attorney misconduct are dis-
    tinguishable from isolated incidents, therefore justifying more
    serious sanctions.66
    (b) Need for Deterring Others
    This case provides a textbook example of the ethical mine-
    field that is laid when an attorney enters into a business
    64
    See 
    id.
    65
    See 
    id.
    66
    State ex rel. Counsel for Dis. v. Trembly, 
    300 Neb. 195
    , 
    912 N.W.2d 764
    (2018).
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    transaction with clients whose interests are adverse, without
    providing the full disclosure required by the ethical rules.
    When considering the deterrence factor, the referee observed:
    This is a case in which long-standing clients relied
    on their attorney to treat them fairly and honestly. Many
    lawyers, especially in rural areas, can relate to [the] type
    of practice [Chvala] had where there are close profes-
    sional and personal relationships with clients. [Chvala]
    had a casual attitude toward her clients who trusted her
    in all respects. Others, especially those in similar types
    of practice, must be deterred from the kind of misconduct
    [Chvala] engaged in.
    We agree there is a strong need to deter other attorneys from
    taking a casual approach to compliance with the disciplinary
    rules that govern business transactions with clients. Similarly,
    there is a strong need to deter lawyers from taking a relaxed
    approach to representing multiple clients with differing inter-
    ests in the same transaction. Chvala argues that “‘[c]onflicts
    of interest are a routine part of practice in rural Nebraska,’”67
    and we do not doubt that reality. But it underscores, rather
    than excuses, a lawyer’s responsibility to carefully monitor
    and fully disclose any conflicts of interest before proceeding
    further. Here, Chvala paid only lip service to some conflicts of
    interest and ignored others altogether.
    Finally, we must send a strong message that taking advan-
    tage of a client’s trust for personal gain is an egregious viola-
    tion of the disciplinary rules and one that must be strongly
    deterred.
    (c) Reputation of Bar
    [38,39] Violations of client trust and loyalty, particularly
    when they result in personal financial gain to the attorney,
    harm the reputation of the entire legal profession by undermin-
    ing public confidence and trust in attorneys, in the courts, and
    67
    Brief for respondent at 33.
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    in the legal system generally.68 There is a need to preserve the
    public trust and confidence in members of the bar.69 Among
    the major considerations in determining whether a lawyer
    should be disciplined is maintenance of the highest trust and
    confidence essential to the attorney-client relationship.70 As a
    profession, the bar continuously strives to build and safeguard
    such trust and confidence.71
    Despite the fact that Chvala has been a highly respected
    member of the bar for more than 30 years, her misconduct in
    this case was egregious and ongoing, and her violations of client
    trust and loyalty resulted in significant financial consequences
    and served to undermine confidence in the legal profession.
    (d) Protection of Public
    [40] The goal of attorney discipline proceedings is not as
    much punishment as a determination of whether it is in the
    public interest to allow an attorney to keep practicing law.72
    Providing for the protection of the public requires the imposi-
    tion of an adequate sanction to maintain public confidence in
    the bar.73
    When considering this factor, the referee remarked:
    Part of what makes this case particularly tragic, in
    addition to the great loss to Wayne and Kurt . . . , is that
    [Chvala] enjoyed a sterling public reputation as reflected
    by the letters of reference and commendation from a wide
    variety of people, including fellow lawyers, members
    of the community, students, philanthropists and people
    who benefitted from [Chvala’s] charitable giving and
    68
    See Nimmer, 
    supra note 1
    .
    69
    State ex rel. Counsel for Dis. v. Cording, 
    285 Neb. 146
    , 
    825 N.W.2d 792
    (2013).
    70
    
    Id.
    71
    
    Id.
    72
    Nimmer, 
    supra note 1
    .
    73
    
    Id.
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    civic involvement. Those positives are outweighed by
    the need to protect the public from being harmed by
    the most skilled and talented of lawyers who are held
    in high esteem by the public and completely trusted by
    their clients.
    The record confirms that Chvala is held in high regard as
    both a skilled lawyer and a community leader. We agree that
    her reputation and contributions to the legal profession are
    mitigating factors in this disciplinary action. But they do not
    outweigh the aggravating factor that, in the Morrison Land
    matter, Chvala ultimately used her legal skills and reputation
    to take advantage of the loyalty and trust of her clients for her
    personal gain. As a result, her moral fitness to engage in the
    practice of law is implicated.74
    (e) Attitude of Respondent
    Chvala initially self-reported to the Counsel for Discipline,
    and this is a mitigating factor we consider. But we cannot over-
    look the aggravating factor that during the evidentiary hearing,
    Chvala displayed an attitude of defiance and avoidance and
    showed no remorse for her misconduct. We also find very
    troubling the fact that the referee found some of Chvala’s testi-
    mony to be “implausible and not credible” and expressly stated
    that “[t]hroughout these proceedings” Chvala “testified falsely,
    and refused to accept responsibility for her actions.” Our de
    novo review of the record supports these findings, and we see
    no reason to discount the referee’s finding that Chvala’s “lack
    of credibility in these proceedings [was] egregious.”
    (f) Present or Future Fitness to Practice Law
    The record shows Chvala is a highly capable and successful
    lawyer. It also shows that she consistently either disregarded
    or materially misconstrued the ethical rules that govern enter-
    ing into a business transaction with clients and representing
    74
    See Basye, supra note 63.
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    multiple clients in the same transaction. Chvala adamantly
    denied having an attorney-client relationship with any of the
    people or entities involved in the Morrison Land transactions,
    despite overwhelming evidence to the contrary.
    We are particularly troubled by Chvala’s repeated efforts
    to deny involvement in and avoid responsibility for prepar-
    ing the deeds, leases, option agreements, and easements that
    governed the various Morrison Land transactions. Her testi-
    mony in that regard was evasive, and it evolved to meet the
    exigency of the questioning. It may have been an inconvenient
    truth that she was the lawyer who prepared all of the relevant
    legal documents for all of the parties involved in the Morrison
    Land transactions, but her reluctance to admit that truth and
    take full responsibility as a supervising lawyer demonstrates
    an inability and an unwillingness to comply with disciplinary
    rules governing attorneys and calls into question her fitness to
    practice law.
    2. Comparison of Similar Cases
    Each attorney disciplinary proceeding is unique, but the pro-
    priety of a sanction must be considered with reference to the
    sanctions this court has imposed in prior similar cases.75 We
    have reviewed our case law and have found no prior cases that
    involve disciplinary violations relating to entering into busi-
    ness transactions with clients and representing multiple clients
    with differing interests in that transaction, as well as conduct
    involving deceit and dishonesty and failure to communicate.
    In that respect, this case stands alone. But we find guidance in
    several prior cases where lawyers have entered into improper
    business transactions with clients and/or have engaged in mis-
    conduct involving deceit and dishonesty.
    [41] In State ex rel. NSBA v. Thor,76 clients in financial dif-
    ficulty hired an attorney. The attorney advised them to file
    75
    Jorgenson, 
    supra note 3
    .
    76
    Thor, 
    supra note 27
    .
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    bankruptcy, and he encouraged them to list their only major
    asset, some farmland, with a realty company that was both a
    client of the attorney and was owned by the attorney’s father.
    The attorney then used information he learned during his repre-
    sentation of those clients to purchase the farmland for less than
    an offer made by a disinterested third party. In the course of
    doing so, he actively mislead his clients and failed to disclose
    his conflict of interest in the land purchase. We found the attor-
    ney had entered into a business relationship with his clients
    without making full disclosure and had engaged in misconduct
    and deceit. In considering the appropriate discipline, we noted
    the conduct had “brought doubt into the minds of many as to
    the competence of the legal profession to represent a client’s
    best interests,”77 and we concluded the violation was therefore
    very serious. We noted, however, that the attorney had other-
    wise performed competently, even for these clients, and had
    exhibited great remorse for his conduct. We ultimately ordered
    the attorney suspended for 1 year.
    In State ex rel. NSBA v. Miller,78 an attorney was hired by
    a woman who was both a former employee and a former cli-
    ent to obtain a refund of an excess insurance payment. The
    attorney orally agreed to charge a 20-percent contingent fee,
    but the written fee arrangement subsequently executed by the
    client stated the attorney would be paid one-third of the amount
    obtained if settlement was reached before filing suit and 40
    percent of the amount obtained after suit was filed. Despite this
    express language in the written agreement, the attorney assured
    his client that the oral agreement of a 20-percent contingent fee
    was binding.
    The attorney spent approximately 6 hours attempting to
    recover the overpayment. Then, the party holding the funds
    contacted the attorney and notified him it intended to return
    the overpayment. Despite this assurance, the attorney filed suit
    77
    
    Id.,
     237 Neb. at 752, 
    467 N.W.2d at 678
    .
    78
    State ex rel. NSBA v. Miller, 
    258 Neb. 181
    , 
    602 N.W.2d 486
     (1999).
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    against that party approximately 2 hours later. And after the
    suit was settled and the overpayment was returned, the attorney
    attempted to collect 40 percent of the settlement from his cli-
    ent, relying on the written fee agreement. The total fee charged
    was $96,000.
    We found the attorney, among other things, had engaged in
    conduct involving fraud and deceit, both with respect to his
    client and throughout the disciplinary proceedings. We noted
    that he had previously represented the client and that thus,
    she had significant trust in him. We emphasized that although
    the evidence was to the contrary, the attorney continued to
    insist he had done nothing wrong. We also noted this was the
    attorney’s second disciplinary proceeding. In the prior pro-
    ceeding, the attorney had been suspended from the practice of
    law for a period of 2 years. Because of the cumulative acts of
    attorney misconduct and the inexcusable and egregious nature
    of the charges, we concluded disbarment was the appropri-
    ate sanction.
    [42] In State ex rel. Counsel for Dis. v. Crawford,79 the
    alleged disciplinary violations were not analogous to the
    instant case, as the attorney was being charged with client
    neglect. The case is notable, however, for the fact that coun-
    sel was “antagonistic, evasive, and untruthful throughout the
    investigation and the disciplinary proceeding.”80 We were par-
    ticularly concerned with counsel’s lack of veracity during the
    proceedings, noting:
    This court does not look kindly upon acts which call
    into question an attorney’s honesty and trustworthiness.
    The essential eligibility requirements for admission to
    the practice of law in Nebraska include “[t]he ability to
    conduct oneself with a high degree of honesty, integ-
    rity, and trustworthiness in all professional relationships
    79
    State ex rel. Counsel for Dis. v. Crawford, 
    285 Neb. 321
    , 
    827 N.W.2d 214
    (2013).
    80
    Id. at 329, 827 N.W.2d at 223.
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    and with respect to all legal obligations.” With or with-
    out misappropriation, acts of dishonesty can result in
    disbarment.81
    3. Sanction of Disbarment
    Here, Chvala entered into a business transaction with estab-
    lished clients without providing the full disclosure required
    by the disciplinary rules. Thereafter, she stayed in the busi-
    ness deal as an investor, while simultaneously providing legal
    advice and services to all of the lessors and lessees of the
    Morrison Land, despite their differing interests. Chvala paid
    only passing lip service to the full disclosure requirements, and
    she never provided the full disclosure required by the disci-
    plinary rules. Finally, and most egregiously, Chvala capitalized
    on her clients’ trust by deliberately deceiving and misleading
    them into believing a closing would take place without any
    further action on their part, in order to obtain personal finan-
    cial gain.
    When confronted with her wrongdoing, Chvala insisted she
    had not entered into the business transaction at all, insisted
    the Kaup brothers were not clients, and denied providing
    any legal representation regarding the Morrison Land. She
    has refused to acknowledge any misconduct whatsoever, has
    shown no remorse for her conduct, and has presented testi-
    mony that was at best implausible and, according to the ref-
    eree, patently false.
    Despite an otherwise unblemished legal career, Chvala’s
    misconduct was egregious and requires a strong disciplinary
    response from this court. It is therefore the judgment of this
    court that the appropriate sanction for Chvala’s violations
    is disbarment.
    VI. CONCLUSION
    Given clear and convincing evidence that Chvala vio-
    lated Nebraska’s Code of Professional Responsibility and the
    81
    Id. at 367, 827 N.W.2d at 246-47.
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    Nebraska Rules of Professional Conduct, as well as her oath
    of office, it is the judgment of this court that she be disbarred
    from the practice of law in the State of Nebraska, effective
    immediately. She is directed to comply with Neb. Ct. R.
    § 3-316 (rev. 2014), and upon failure to do so, she shall be
    subject to punishment for contempt of this court. She may
    not apply for reinstatement for a period of at least 5 years82
    and must successfully complete the Multistate Professional
    Responsibility Examination prior to submitting any application
    for reinstatement.
    Judgment of disbarment.
    Cassel, J., not participating.
    82
    See Neb. Ct. R. § 3-310(T) (rev. 2019).
    

Document Info

Docket Number: S-17-773

Citation Numbers: 304 Neb. 511

Filed Date: 11/22/2019

Precedential Status: Precedential

Modified Date: 3/3/2020

Authorities (19)

Iowa Supreme Court Board of Professional Ethics & Conduct v.... , 1995 Iowa Sup. LEXIS 124 ( 1995 )

In Re Complaint as to the Conduct of Montgomery , 292 Or. 796 ( 1982 )

In Re Complaint as to the Conduct of Baer , 298 Or. 29 ( 1984 )

State Ex Rel. Nebraska State Bar Ass'n v. Miller , 258 Neb. 181 ( 1999 )

Matter of Neville , 147 Ariz. 106 ( 1985 )

State ex rel. Counsel for Dis. v. Trembly , 300 Neb. 195 ( 2018 )

In Re a Member of the State Bar of Arizona, Pappas , 159 Ariz. 516 ( 1988 )

State ex rel. Counsel for Dis. v. Nimmer , 300 Neb. 906 ( 2018 )

Matter of Nichols , 95 N.J. 126 ( 1984 )

State ex rel. Counsel for Dis. v. Chvala , 304 Neb. 511 ( 2019 )

Matter of James , 1982 D.C. App. LEXIS 468 ( 1982 )

STATE EX REL. NEB. STATE BAR. v. Kirshen , 232 Neb. 445 ( 1989 )

In Re Complaint as to the Conduct of Schenck , 345 Or. 350 ( 2008 )

State ex rel. Counsel for Dis. v. Jorgenson , 302 Neb. 188 ( 2019 )

McVaney v. BAIRD, HOLM, McEACHEN , 237 Neb. 451 ( 1991 )

Iowa Supreme Court Attorney Disciplinary Board v. Clauss , 2006 Iowa Sup. LEXIS 23 ( 2006 )

SUP. CT. BD. OF PROF'L ETHICS v. Fay , 619 N.W.2d 321 ( 2000 )

State Ex Rel. Nebraska State Bar Ass'n v. Thor , 237 Neb. 734 ( 1991 )

State Ex Rel. Counsel for Discipline v. Simmons , 270 Neb. 429 ( 2005 )

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