American Mutual Liability Insurance Co. v. Superior Court

38 Cal. App. 3d 579, 113 Cal. Rptr. 561, 1974 Cal. App. LEXIS 1078
CourtCalifornia Court of Appeal
DecidedApril 12, 1974
DocketCiv. 14125
StatusPublished
Cited by91 cases

This text of 38 Cal. App. 3d 579 (American Mutual Liability Insurance Co. v. Superior Court) is published on Counsel Stack Legal Research, covering California Court of Appeal primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
American Mutual Liability Insurance Co. v. Superior Court, 38 Cal. App. 3d 579, 113 Cal. Rptr. 561, 1974 Cal. App. LEXIS 1078 (Cal. Ct. App. 1974).

Opinion

Opinion

RICHARDSON, P. J.

Petitioner, American Mutual Liability Insurance Company, hereinafter “American,” at all relevant times was malpractice insurance carrier for Sacramento County Medical Society, hereinafter “Society,” one of whose members was John G. Nork, M.D. Nork, and Mercy General Hospital of Sacramento, hereinafter “Mercy,” were sued for malpractice by Albert Gonzales. Nork, Mercy, and Gonzales comprise the real parties in interest. The proceedings giving rise to the issues before us occurred during the trial of that action.

Petitioner American, seeks herein alternatively a writ of prohibition, or mandamus, or certiorari directed to respondent court and to the real parties in interest. The first two extraordinary writs are sought to prevent respondent court from taking further action relative to the disclosure of the contents of files worked up by attorney Gray, engaged by American to represent Nork in the defense of previous malpractice actions against him. Additionally, a writ of certiorari is sought directing respondent court to transmit a record of the proceedings of the trial court concerning the production of the files.

The documents in question form nine separate files developed and maintained by Gray. Though the exact nature and content of the files have *583 never been fully and clearly stated, Gray testified that they included, as to each file, his correspondence with Nork and others, research references, interrogatories, and investigative and expert reports. Responsive to our request, American, which also has not seen the subject files, describes them more fully, so far as known to it, as consisting of several kinds of documents including written reports from attorneys discussing the status of the actions, comments by counsel on depositions and trial testimony, discussion of the possibilities of Nork’s exposure to an adverse judgment and the probable range thereof, settlement negotiations, discussions with defense witnesses and consultants and other comments and opinions, all comprising so-called “status reports” sent by Nork’s attorneys to American, the insurer, but not to Nork, the insured; a second class of information includes investigative reports furnished by investigators for American including interviews with Nork and others, which reports were forwarded to the attorrieys with a copy to American; a third type of report is that of consultants, largely physicians, contacted by the attorney concerning medical issues; a fourth class of communication consists of letters from American commenting on and discussing the first three classes of documents; finally, there are reports of the Medical Review and Advisory Committee of the Society concerning a medical evaluation and review of Nork’s surgeries. Apparently the contents of the files are arranged chronologically and are segregated neither by source nor particular subject matter.

We will review the contentions of the parties, trace the history of the litigation, consider the element of mootness, examine the nature of the extraordinary writs sought to be invoked, discuss the relationships of the parties and the various privileges asserted, including the lawyer-client privilege described in Evidence Code section 952, the work product rule defined in Code of Civil Procedure section 2016, subdivision (b), the statutory proscriptions against disclosure of proceedings and records of medical review committees of the Society expressed in Evidence Code section 1157, and the nature and scope of the waivers thereof. We will conclude by issuing a peremptory writ of mandate directing the trial court to vacate and set aside its order of disclosure of the files in question.

The respective contentions of the parties may be summarized. American claims that the files and records, containing as they do confidential communications and evaluations given and received by the attorney in question, are either conditionally or absolutely privileged under both the lawyer-client and work product privileges, and that as to portions of the files, the immunity from disclosure arises from Evidence Code section 1157. Gonzales and Mercy, in concert, take the position that the trial court *584 found as a fact that American was not a client of Gray. Alternatively, they argue that if it was such a client, the lawyer-client privilege has been expressly or impliedly waived, and additionally has been rendered inapplicable because, it is charged, the services of counsel were sought or obtained “to commit ... a crime or fraud,” and thus the privileges were dissipated by Evidence Code section 956. Gonzales also asserts loss of the lawyer-client privilege because of the breach of duty by the attorney. (Evid. Code, § 958.)

The foregoing contentions frame the essential issues which may be generally stated: Does American have a privilege in some form to prevent the disclosure of the contents of the files and, if so, has the interrelationship or subsequent conduct of the parties destroyed the privilege?

A review of the history of the litigation in question underscores the complexity and unusual character of the procedural context from which the issues arise.

Nork, an orthopedic surgeon with a substantial medical practice in the Sacramento area, was named defendant in a series of malpractice actions. American, in the discharge of its duties as malpractice carrier for Nork and for the purpose of defending him, engaged the services of two firms of attorneys, one, Hassard, Bonnington, Rogers and Huber of San Francisco, and the other, Wilke, Fleury, Sapunor and Hoffelt of Sacramento of which Gray was and is a member.

The attorneys, together with the investigators and claims personnel of American, prepared for the trials of the various malpractice cases and extensive discovery was effected. Trial of the first two cases, namely, Hendrick and de la Torre, resulted in substantial malpractice verdicts against Nork for both compensatory and punitive damages. Thereafter, and while other actions were pending against him, Nork, through attorney Harper, filed with respondent court an action for declaratory relief hereinafter described as the “Nork action,” against his carrier American, and his judgment creditor Hendrick, in which Nork asserted that American declined to pay the punitive damage portion of the Hendrick and de la Torre judgments. He further alleged that American refused to accept Hendrick’s or de la Torre’s pretrial offers to settle their claims against him within American’s policy limits notwithstanding Nork’s demands that they do so, charging American thereby with acting in bad faith. Other causes of action in the Nork case sounded in misrepresentation and negligent and willful breach of the fiduciary obligation owing by American to Nork in its refusal to review and properly evaluate Nork’s records and to *585 consider his impaired health as a factor affecting his defense.

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Cite This Page — Counsel Stack

Bluebook (online)
38 Cal. App. 3d 579, 113 Cal. Rptr. 561, 1974 Cal. App. LEXIS 1078, Counsel Stack Legal Research, https://law.counselstack.com/opinion/american-mutual-liability-insurance-co-v-superior-court-calctapp-1974.