糖衣陷阱1993

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主演:汤姆·克鲁斯,珍妮·特里普里霍恩,吉恩·哈克曼,哈尔·霍尔布鲁克,特里·金尼,威尔福德·布利姆雷,艾德·哈里斯,霍利·亨特,大卫·斯特雷泽恩,加里·布塞,史蒂芬·希尔,托宾·贝尔,芭芭拉·加里克,杰里·哈德因,保罗·考尔德伦,杰瑞·温特劳布,卡琳娜·隆巴德,玛格·马丁戴尔,约翰·贝尔,迪恩·诺里斯,卢·沃克,David A. Kimball,Janie Paris,大卫·德怀尔,阿非莫·奥米拉,Jeffrey Buckner Ford,特丽·韦尔斯,Greg Goossen,Ollie Nightinga

类型:电影地区:美国语言:英语年份:1993

 量子

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 剧情介绍

糖衣陷阱1993电影免费高清在线观看全集。
  作为初出茅庐的律师新手,米奇(汤姆·克鲁斯 Tom Cruise 饰)幸运的得到了一家知名律师事务所的垂青,该事务所不仅在职位上十分看重米奇,更是在经济方面给予了米奇和其妻子艾比(珍妮·特里普里霍恩 Jeanne Tripplehorn 饰)极大的帮助。  个性耿直善良又极富正义感的米奇在高兴之余决定在律师行业里大展拳脚,但随着时间的推移,米奇发现,这个事务所所经营的案件并非表面上所看到的那么简单,除了离奇死亡的律师外,事务所更是和黑道有着千丝万缕的非法关联。年轻的米奇站在了人生的十字路口上,是顺从于事务所的安排与其同流合污,还是勇敢的站出来,冒着死亡的风险协助警察调查事务所的底细?米奇心中已经有了答案。荣归死亡笔记:最后的名字粤语怪兽大奋战 戴葛洛对戈利亚斯悉尼豪宅第三季圣水洞之吻山友都市女人们德国八三年刀剑乱舞回-虚传燃烧的本能寺-完美星球离歌孤独的美食家新春SP:严冬之北海道·旭川出差篇文森特要看海默契双宿单飞第一季喂!阿冬警部补大魔神天花板2009精武英雄(国语版)jeen-yuhs: 坎耶·维斯特三部曲母亲/机器人魔偶奇谭1985砂糖菓子坏了的时候机械师2:复活(原声版)失恋反攻队可接受风险 第一季七妹我的最爱粤语美丽的他电影版野性墨西哥媚空轰炸天团青蛇:前缘锡瓦斯冤家成双对第三季橙花盛开想念我救生艇终极天堂兄弟车行公寓恶魔

 长篇影评

 1 ) 代價

昨天,看完the firm。
金钱让人迷失的主题讨论,已经是老梗了。不过,片中的精英份子却玩不过社会上所谓腐败的黑手党,对政府的嘲讽,只能凭个人的智力来对抗。玩弄法律的人最后以尊重法律而获救。是适应教育制度保护的优秀份子在面对道德抉择的一剂警针。

 2 ) 还行

看得时候想,应该是根据约翰。格里森姆的小说改编,果然如此。

我不记得有没有看过小说,电影还行,tom还是很帅的,也会演,节奏慢了点,电影拖的太长。

 3 ) 看到saw了

阿汤哥的早期电影,情节有点烂,前面的哥们说导演应该自裁以谢天下,真是精辟,演员阵容不算弱了,但是唯一亮点是看到saw了。

 4 ) 果然,没有天上掉馅饼的好事!

    汤姆克鲁斯的电影真的都很好看。这部也一样。
    一直特别喜欢这种类型的电影,男主角智慧过人,在面对两难境地时,能凭一己之力找到解决问题的完美方式,解救自己、解救家人。这一部就是如此,电影从开始就给我们营造了这样一种印象,这家事务所异常富有却又行事怪癖。紧接着这些在不和谐的感觉就有了答案。从开始事务所真面目的揭露,到后来米奇设计逃脱,电影始终让你处在一种紧张的状态中,但我的感觉是即是你大脑不停的转动也很难猜到米奇最后一步的行动。
    特别想说一下吉恩·哈克曼扮演的这位律师,最喜欢后来他和米奇老婆的几段对手戏,把这个人物的复杂全部表现了出来,让人在最后关头对这个狡猾、阴险又很贪婪的老头产生了一点怜悯。

 5 ) Model Rule of Professional Conduct- Notes for Legal profession

MR 1.2 Scope of Representation
Under the Model Rule (“MR”) 1.2(a) a lawyer is required to abide by his client’s decisions regarding objectives and a lawyer may take action as to the means by which they are to be pursued. This allows the client to set the outcome goals and for the lawyer to come up with the legal strategy and course of action to take to achieve those goals and objectives. Mitch McDeere (Tom Cruise,”Mitch”) represented the Morolto family and group of businesses. Mitch was required by law to do every lawful thing in the best interest of his clients and refuse to “go undercover” and disclose to the FBI. The client’s objectives were to minimize US tax liabilities by investing money offshore in the Cayman Islands and other low or zero tax jurisdictions. The FBI wanted to get their hands on confidential information including the corporate formation documents and bank account information which were protected by attorney-client privilege. Here. Mitch furthered the client’s objectives by not disclosing confidential information to the FBI, but by asking the client to voluntarily release their bills.

MR 1.16 Declining Or Terminating Representation
Under MR 1.16(2), a lawyer shall withdraw from the representation of a client if the lawyer’s mental condition materially impairs the lawyer’s ability to represent the client. Here, during Mitch’s representation of Mr. Morolto, Mitch experienced the following incidents: (1) his wife discovered he had an affair; (2) he jumped out of the window of his law firm; (3) he was under pressure from the FBI to cooperate; and (4) two “mob” members were chasing him and attempted to murder him. Mitch’s mental condition was “materially” compromised because he indicated he was paranoid of his safety, and his physical appearance indicated his ability to represent his client was impaired. However, notwithstanding his condition, Mitch continued to consult Mr. Morolto on his best course of action to address the overbilling issue. Mitch should have withdrew his representation. Therefore, Mitch violated MR 1.16(2) because he failed to withdraw representation of Mr. Morolto even though his mental condition was materially impaired.

MR 1.3 Diligence
Under MR 1.3, a lawyer shall act with reasonable diligence and promptness in representing a client. Comment [1] states a lawyer should pursue a matter on behalf of a client despite opposition, obstruction or personal inconvenience to the lawyer, and take whatever lawful and ethical measures are required to vindicate a client’s cause or endeavor. A lawyer must also act with commitment and dedication to the interests of the client and with zeal in advocacy upon the client’s behalf. Here, when Sonny Capps (“Sonny”) wanted to devise a plan to reduce taxes on his accounts at Cayman islands with an outside attorney, Avery Tolar (Gene Hackman, “Avery”) tried to stop him by using a veiled threat. He mentions the fact that the “Friends in Chicago” (Mafia) would dislike their business relationships being exposed to attorney’s other than the firm. There was no termination in the attorney client relationship between Avery and Sonny, and Avery has represented him for a substantial amount of time, so he is still Sonny’s attorney. Therefore, Avery has the duty to advise his client with reasonable diligence, and advocate upon the Sonny’s behalf. His implied threats are clearly not an act within the interests of his client.

MR 1.5 Fees
Under MR 1.5(a), a lawyer shall not make an agreement for, charge, or collect an unreasonable fee. Here, the Firm issued overbilling in order to support tax issue of Morocco Holding, and even Mitch recognized its issue by discussing with secretary. In determining the reasonableness, under MR 1.5(a)(1), the required time and labor along with novelty and difficulty of the questions would be considered for the requisite skill of legal service. In this film, the firm charged overbilling without proper guidance and detailed time slips. In addition, Mitch used invoices without authorization. In Comment [5] of MR 1.5, an agreement may not be made whose terms might induce the lawyer improperly to curtail service for the client in a way contrary to the client’s interest. Thus, the Firm and Mitch should write their time slips shortly after doing the work as well as detailed time slips for reasonable fee. In addition, the firm and Mitch need to customize charge to avoid charge or collect an unreasonable fee or expenses.

MR 1.6 Confidentiality of Information
According to the MR 1.6, a lawyer shall not reveal information relating to the representation of client unless the client gives informed consent. Even though it is the FBI agent that asked Mitch to disclose the file, it does not satisfy MR 1.6(b), which provides some exceptions that a lawyer may reveal the information if he believes it necessary.
Here, the agent required Mitch to provide the file to prove that the Firm assisted the Mafia to launder the money. However, MR 1.6(b) only entitles a lawyer to disclose information, which could prevent crime, substantial injury and mitigate loss. Someone may argue that the court and the government entity could order a lawyer to disclose the information. Nevertheless, under the Comment [15] of 1.6, without the informed consent of the client, the information sought is protected against disclosure by the attorney-client privilege or other applicable law. Thus, Mitch has to inform the Mafia (“client”) and obtain their consent, even though he exposed the overbilling or the money laundering.

MR 1.8 Conflict of Interest: Current Clients: Specific Rules
MR 1.8(b) states that a lawyer shall not use information relating to representation of a client to the disadvantage of the client unless the client gives informed consent, except as permitted or required by these Rules. That said, the rule prohibits disadvantageous use of client information unless the client gives informed consent. The firm has acted as the sole legal representative of the Mafia family. Mitch requested that the clients reveal the client-firm relationship so that he could disclose his firm’s overbilling issue. If Mitch used the information relating to the representation to the disadvantage of the client without informed consent, it would violate the lawyer's duty of loyalty.

MR 1.18 Duties to Prospective Client
The relationship of prospective client is formed by discussing possibility and a lawyer shall not use or reveal information learned in the consultation regardless of conviction of client relationship. MR 1.18(a),(b). Here, threatening the client by using the confidential information is likely considered as violation of the rule. Mitch would counter-argue that he was not admitted to practice law in TN when the event happened; however, the aforementioned duties as to the confidential information have been required when prospective client consulted and was in good faith. Furthermore, in MR 1.18(d), if a lawyer is disqualified from representation, no lawyer in a firm with which that lawyer is associated may knowingly undertake or continue representation. In addition, a lawyer shall not represent a client with interests adverse to a prospective client which are substantially related as stipulated in MR 1.18(c). Here, according to the facts, if Mitch was disqualified from representation, the Firm shall not represent the client. The exception of MR 1.18(d) would not be applicable in this case. Thus, Mitch and the Firm have duties to prospective clients, not to use or reveal information, or represent if interests are materially adverse.

MR 5.3 Associating with Non-Lawyers
Under MR 5.3(a), a partner, shall make reasonable efforts to ensure that the firm has in effect measures giving reasonable assurance that the person’s conduct is compatible with the professional obligations of the lawyer. Also under 5.3 (c)(2) a partner lawyer shall be responsible for conduct of such a person that would be a violation of the Rules of Professional Conduct. Although Mitch is allowed to work on projects under the supervision of Avery according to MR 5.3(a), he gave the client, Sonny, legal advice during the meeting at Cayman Islands. This is an unauthorized practice of law set out in MR 5.5, because Mitch is not a lawyer. Therefore, under MR 5.3, Avery who is a partner at the firm, should take responsibility for the actions of Mitch, which is a violation of the Rules of Professional Conduct.

MR 5.5 Unauthorized Practice of Law
A law school graduate who has not passed the bar or who has not been admitted to practice in any jurisdiction may be guilty of the unauthorized practice of law if he/she gives legal advice. Mitch’s advise to Sonny at Cayman Islands seems to be an unauthorized practice of law because Mitch has not taken the bar exam yet. Before flying to Cayman Islands, Avery ordered Mitch to redraft the repatriation of offshore funds, the revised tax plan for the client. Unlike the meeting with Sonny, Mitch’s support for Avery will not be considered unauthorized practice of law.
Avery’s legal service in Cayman Islands may fall under unauthorized practice of law. A lawyer who is not admitted to practice in other jurisdiction-here, Cayman Islands (British Overseas territory), shall not establish an office or other systematic and continuous presence in that jurisdiction for the practice of law (MR 5.5(b)(1)). We may assume that Avery has established systematic and continuous presence in Cayman Islands. He has advised Sonny for a long time regarding tax evasion and often travelled to the Island to meet. He also kept the boxes of secret files of the Chicago client in his resort room, which shows the firm has long been involved in the transaction in Cayman Islands.

MR 5.6 Restriction on the Right to Practice
MR 5.6 prohibits a lawyer from entering into any agreement of a partnership, share, operation, or employment which would restrict the right of a lawyer from practicing law after termination or a settlement. Here, Mitch did not enter into any written agreement that would restrict or prohibit him from the practice of law but he would have been disbarred for breaking attorney-client privilege by leaking confidential documents to the FBI. Alternatively, if Mitch tried to leave the firm then the firm would take non-legal action and kill him. So it is not an agreement to restrict Mitch practice but the result would have been the same if Mitch were to leave the firm.

MR 5.7 Legal Service
MR 5.7(a) states “A lawyer shall be subject to the Rules of Professional Conduct with respect to the provision of law-related services, as defined in paragraph (b), if the law-related services are provided: (1) by the lawyer in circumstances that are not distinct from the lawyer’s provision of legal services to clients.” Comment [9] of MR 5.7 further notes that examples of law-related services are financial planning and tax preparation among a wide range of economic and other interests of clients. Therefore, the Firm’s lawyers are subject to the Rules of Professional Conduct when providing law-related services like tax planning and other financial services. Avery violated MR 5.7 when he threatened Sonny that the Firm’s other “clients” would be displeased if Sonny fired the Firm.

MR 7.1 Communications concerning a Lawyer’s Service
        MR 7.1 states that “[a] lawyer shall not make a false or misleading communication about the lawyer or the lawyer’s services.” Comment [3] further notes that “an advertisement that truthfully reports a lawyer’s achievements on behalf of clients or former clients may be misleading if presented so as to lead a reasonable person to form an unjustified expectation that the same results could be obtained for other clients in similar matters.” Avery stated to Sonny, that the future value of his tax dollars would be less than half of their present value after the “Election” misleading the client to believe that Avery knows who will win the Presidential Election and how tax policy will change. Also, Mitch reiterates to Sonny that he should defer his taxes according to the schedule that Avery constructed, Sonny promptly responds by asking “Defer until when?”, Mitch responded by stating “Why do you care?”. Provided that this advice is true, Comment [2] of MR 7.1 states Truthful statements that are misleading are also prohibited... [a] truthful statement is misleading if it omits a fact necessary to make the lawyer’s communication considered as a whole not materially misleading. Mitch’s “Why do you care” statement omits the necessary fact of how many years the client’s taxes will be deferred and could mislead Sonny to conclude that other clients do not worry about this strategy and to solely trust his legal representation.

MR 8.1 Bar Admission and Disciplinary Matters
Under Rule 8.1, an applicant for admission to the bar, or a lawyer… in connection with a disciplinary matter, shall not fail to disclose a fact necessary to correct a misapprehension known by the person to have arisen in the matter. The applicant for admission to the bar is Mitch, and Avery, Mitch’s supervisory partner, is a lawyer in connection with a disciplinary matter. If Mitch and Avery did not disclose the violation of Rule 5.5 as discussed before, they both knowingly made an omission in connection with a disciplinary matter of Mitch.

MR 8.3 Reporting Professional Misconduct
Under the Rule 8.3 (a), a lawyer should report another lawyer’s violation of the Rules of Professional Conduct, if that violation raises a substantial question as to the lawyer’s honesty, trustworthiness or fitness as a lawyer. The Firm had been overbilling their client for years, and they also have engaged in money laundering and tax fraud. The overbilling is a violation of the Rule 1.5 as discussed above. The money laundering and tax fraud constitute misconduct because they are criminal conduct and would raise a substantial question to the lawyer’s honesty, trustworthiness or fitness as a lawyer. Therefore, under the Rule 8.3 (a), when Mitch knew the fact that the Firm was engaging multiple misconduct, he should report to the appropriate professional authority. However, under the Rule 8.3 (c), the Rule does not require disclosure of information protected by Rule 1.6. As discussed above, all the information about overbilling, money laundering and tax fraud are protected by Rule 1.6 which is the reason Mitch had to have the client’s consent to disclose the information.

MR 8.4 What Constitutes Misconduct
Under MR 8.4, “[i]t 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; (b) commit a criminal act that reflects adversely on the lawyer's honesty, trustworthiness or fitness as a lawyer in other respects; (c) engage in conduct involving dishonesty, fraud, deceit or misrepresentation;”. Comment [2] further states that many kinds of illegal conduct reflect adversely on fitness to practice law, such as offense involving fraud”. Here, the Firm has overbilled client for many years. By mailing these misrepresentative bill to clients, they committed mail fraud and violated MR 8.4(c). Partners as well as most of the associates in the firm are complicit in tax fraud and money laundering, which are criminal acts reflecting adversely on the lawyer’s honesty. In addition, the firm throws money and provides a rather generous offer to Mitch, in order to make him get used to good life and induce Mitch to engage in tax fraud and money laundering. All other lawyers in the firm also know the scheme and assist to do so. Senior partners and associates disobey MR 8.4(a), violating the Rules of Professional Conduct, knowingly assisting and inducing Mitch to violate the Rules of Professional Conduct.

MR 8.5 Where the Lawyer Can Be Disciplined
MR 8.5(a) states that “A lawyer admitted to practice in this jurisdiction is subject to the disciplinary authority of this jurisdiction, regardless of where the lawyer's conduct occurs. A lawyer not admitted in this jurisdiction is also subject to the disciplinary authority of this jurisdiction if the lawyer provides or offers to provide any legal services in this jurisdiction. A lawyer may be subject to the disciplinary authority of both this jurisdiction and another jurisdiction for the same conduct.” The film implied that the lawyers in the Firm conducted criminal behaviors related with Mafia in Chicago. Even if those conducts occurred elsewhere, in TN, which is likely the jurisdiction for most of lawyers at the firm, the lawyers are subject to the disciplinary authority. Also, according to the last comment in MR 8.5, their criminal acts in Chicago, would be subject to the disciplinary authority of the Illinois court, even though they were not admitted in Illinois.

 6 ) 你有张良计我有过墙梯,釜底抽薪顺便送你丢车保帅。

    初出茅庐的小律师,一脚踏错,虽马上有车有房,却没了好日子。怎么看哪边都不是好惹的主。FBI要借黑律师事务所掀翻黑帮,事务所又不会放人自由又有把柄,似乎没有全身而退的可能性,两害就其轻,也许。
   偏偏捡了个机会,不但功成身退还两边不得罪,顺便发了财。黑帮证据不要了,保住了律师执业资格,跳出重重包围直杀到黑老大面前,说,你支持我举报他们多收费吧,我手上有你们资料,有复印件哦~只是查收费用的。言下之意,你们不当受害者就准备认犯罪吧。好一个借梯过墙,没了事务所,没人控制他了,釜底抽薪之后,顺便送给黑老大个丢车保帅,反正被FBI盯着呢,换个事务所继续洗钱。FBI被摆了一道,只抓了虾米,不是很满意,可是人家帅哥说了,剩下是你们的事,我这家事务所我帮你搞定了。 拿了钱,带着老婆快快活活的走了,可见业务要精啊~

 短评