CLIENT-LLP RELATIONSHIP
- Rule 1.1 - Competence
- Rule 1.2 - Scope of Representation and Allocation of Authority Between Client and LLP
- Rule 1.3 - Diligence
- Rule 1.4 - Communication
- Rule 1.5 - Fees
- Rule 1.6 - Confidentiality of Information
- Rule 1.7 - Conflict of Interest: Current Clients
- Rule 1.8 - Conflict of Interest; Current Clients; Specific Rules
- Rule 1.9 - Duties to Former Clients
- Rule 1.10 - Imputation of Conflicts of Interest: General Rule
- Rule 1.11 - Special Conflicts of Interest for Former and Current Government Officers and Employees
- Rule 1.12 - Former Judge, Arbitrator, Mediator or Other Third-Party Neutral
- Rule 1.13 - Reserved
- Rule 1.14 - Client with Diminished Capacity
- Rule 1.15 - Safekeeping Property in a Firm with Lawyers
- Rule 1.15A - General Duties of LLPs Practicing in Firms Without Lawyers Regarding Property of Clients and Third Parties
- Rule 1.15B - Account Requirements for LLPs Practicing in Firms Without Lawyers
- Rule 1.15C - Use of Trust Accounts by LLPs Practicing in Firms Without Lawyers
- Rule 1.15D - Required Records Maintained by LLPs Practicing in Firms Without Lawyers
- Rule 1.15E - Approved Institutions Applicable to LLPs Practicing in Firms Without Lawyers
- Rule 1.16 - Declining or Terminating Representation
- Rule 1.16A - Client File Retention
- Rule 1.17 - Sale of LLP Practice
- Rule 1.18 - Duties to Prospective Client