Part 1103 — Practitioners
Subpart A — General Information
Subpart B — Canons of Ethics
- § 1103.10— Introduction.
- § 1103.11— Standards of ethical conduct in courts of the United States to be observed.
- § 1103.12— The practitioner's duty to and attitude toward the Board.
- § 1103.13— Attempts to exert political or personal influence on the Board are prohibited.
- § 1103.14— Private communications with the Board are prohibited.
- § 1103.15— The practitioner's duty to clients, generally.
- § 1103.16— Adverse influences and conflicting interests.
- § 1103.17— Joint association of practitioners and conflicts of opinion.
- § 1103.18— Withdrawal from employment.
- § 1103.19— Advising upon the merits of a client's cause.
- § 1103.20— Practitioner's fees and related practices.
- § 1103.21— How far a practitioner may go in supporting a client's cause.
- § 1103.22— Restraining clients from improprieties.
- § 1103.23— Confidences of a client.
- § 1103.24— Use of adverse witnesses.
- § 1103.25— Treatment of witnesses, litigants and other counsel.
- § 1103.26— Discussion of pending litigation in the public press.
- § 1103.27— Candor and fairness in dealing with other litigants.
- § 1103.28— Negotiations with opposing party.
- § 1103.29— Public communication and solicitation.
- § 1103.30— Acceptance of employment.
- § 1103.31— Responsibility for litigation.
- § 1103.32— Discovery of imposition and deception and duty to report corrupt or dishonest conduct.
- § 1103.33— Responsibility when proposing a person for admission to practice before the Board.
- § 1103.34— Intermediaries.
- § 1103.35— Partnership or professional corporation names and titles.