Bank of the West v. Valley National Bank

132 F.R.D. 250, 1990 U.S. Dist. LEXIS 10909, 1990 WL 120522
CourtDistrict Court, N.D. California
DecidedAugust 17, 1990
DocketNo. C-89-2293-FMS-WDB
StatusPublished
Cited by9 cases

This text of 132 F.R.D. 250 (Bank of the West v. Valley National Bank) is published on Counsel Stack Legal Research, covering District Court, N.D. California primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Bank of the West v. Valley National Bank, 132 F.R.D. 250, 1990 U.S. Dist. LEXIS 10909, 1990 WL 120522 (N.D. Cal. 1990).

Opinion

OPINION AND ORDER RE MOTION TO COMPEL PRODUCTION OF THE “BUCHALTER DOCUMENTS”

WAYNE D. BRAZIL, United States Magistrate.

Introduction

The documents in issue here include memoranda, correspondence, notes and other materials that make up the files that a law firm, Buchalter, Nemer, Fields, Chrystie & Younger, developed while representing Bank of the West (“BOW”) in litigation [251]*251arising out of the failure of Technical Equities Corporation (“TEC”). Defendant Valley National Bank (“VNB”) began its efforts to compel disclosure of these documents (the “Buchalter documents”) last fall by filing a motion to compel (many aspects of which related to documents and other discovery as to which disputes already have been resolved). The undersigned declined to rule on the motion until Judge Smith was given an opportunity to make ■ determinations fundamental to the shape of this case and the allocation at trial of burdens of proof. Judge Smith articulated these determinations in her Order Granting Partial Summary Judgment, filed April 13, 1990. Thereafter VNB noticed a hearing date before the undersigned on its renewed motion to compel for June 27, 1990. While entering rulings on that date with respect to many outstanding discovery disputes, the court postponed ruling on the status of the Buchalter documents in order to give counsel an opportunity to submit additional declarations and argument with respect to several issues that the court felt had not been fully explored in the papers that had been submitted up to that point. On July 13 and July 19/20, 1990, both parties submitted additional papers intended to be responsive to a lengthy list of issues articulated in writing by the undersigned in-an Order filed July 5,1990. Thus the parties have had ample opportunity to present evidence and argument in support of their respective positions.

In this diversity action, California law governs resolution of issues arising out of plaintiffs invocation of the attorney-client privilege. Fed.R.Ev. 501. Work product issues are resolved under federal law. Great American Surplus Lines, Inc. v. Ace Oil Co., 120 F.R.D. 533, 539 (E.D.Cal.1988); Connolly Data Systems, Inc. v. Victor Technologies, Inc., 114 F.R.D. 89 (S.D.Cal.1987); Railroad Salvage of Connecticut, Inc. v. Japan Freight Consolidators (U.S.A.), Inc., 97 F.R.D. 37 (E.D.N.Y.1983).

For the reasons set forth below, the court has concluded that BOW has waived the protections of both the attorney-client privilege and the work-product doctrine with respect to the Buchalter documents.

Attorney-client privilege

VNB has advanced several different theories in support of its effort to compel disclosure of documents which BOW seeks to protect under the attorney-client privilege. The court is not persuaded by either of the first two, i.e. the “joint clients” theory or the contention that BOW has waived its privilege by pressing a claim that is fundamentally inconsistent with its effort to preserve the confidentiality of these documents. For reasons set forth in detail below, however, the court has accepted VNB’s third theory, i.e., that BOW has waived its attorney-client privilege by voluntarily disclosing a “significant part” of what otherwise would be protected communications about how to analyze, handle, and dispose of the TEC litigation.

The “Joint Clients” Theory

First, VNB argues that under the allegations in BOW’s complaint in this action VNB qualifies as a “joint client” with BOW in the TEC litigation. At the outset, we note that VNB does not squarely contend that it was in fact a “joint client” of the Buchalter firm in the TEC litigation. Rather, VNB appears to be making a more artful assertion that the allegations in BOW’s complaint “portray VNB as a joint client of the Buchalter firm.” Somewhat more specifically, VNB argues that “BOW’s own complaint alleges that its defense of the TEC Litigation was undertaken in the common interest of BOW and VNB. Complaint para. 16, 22. These allegations fulfill the requirements of the joint-client exception to the attorney client privilege set forth in Cal.Evid.Code § 962.” Memorandum of Points and Authorities in Support of Defendant Valley National Bank of Arizona’s Motion to Compel Production of Documents, at 6 (October 25, 1989). The simple and sufficient response to this argument by VNB is that the allegations in BOW’s complaint do not “fulfill the requirements of the joint-client exception.” The fact that BOW undertook defense of the TEC litigation in the common interest [252]*252of BOW and VNB, by itself, cannot be sufficient to satisfy the requirements of the joint defense doctrine. A doctrine that boundless would give rise to countless penetrations of the attorney-client privilege: perhaps whenever a non-party stood to gain (or avoid a loss) by virtue of the success of a party to a lawsuit.

Rather than create such an open-ended and unpredictable predicate for invading the privilege, California courts sensibly have suggested that § 962 of the Evidence Code does not apply unless both of the persons or entities involved can be characterized in a meaningful sense as “clients” of the same attorney. See, e.g., Glacier General Assurance Company v. Superior Court of Los Angeles County, 95 Cal.App.3d 836, 157 Cal.Rptr. 435 (2nd Dist.1979). Thus, this section of the Code applies when an insurance company, pursuant to an obligation arising from a policy it has issued, hires an attorney to represent one of its insureds. In that setting, California courts have held that both the insurance company and the insured are clients of the one lawyer, and that the lawyer’s primary duty is to the insured. See American Mutual Liability Ins. Co. v. Superior Court, 38 Cal.App.3d 579, 113 Cal.Rptr. 561 (3rd Dist.1974).

In the case at bar, VNB does not assert that it was in fact a client of the Buchalter firm. Indeed, in February or March of 1987, well before settlement of the TEC litigation was consummated, VNB expressly denied that Buchalter represented it in that suit. (Zillman Declaration, July 20, 1990.) Moreover, VNB was separately represented throughout the entire period of the pendency of the TEC litigation by the law firm of Gust, Rosenfeld & Henderson; at least one member of that firm participated directly in most of the communications between Buchalter and VNB that were related to the TEC action. (Turnage Declaration, executed July 12, 1990.) We also point out that it would strain the court’s credulity for VNB to suggest that it did not foresee, from even before the first TEC action was filed (TEC filed for bankruptcy before the first suit was filed against it), that there was a real possibility that BOW and VNB would end up on opposite sides in litigation arising out of the funding of TEC activities.

We note next that VNB also has adduced no evidence that would support a finding that BOW had a duty to defend VNB in the TEC litigation (where, incidentally, VNB was not named as a party). Since there is no language in the Participation Agreement that would impose any such duty on BOW, the analogy that VNB would have us draw between its situation and cases involving insurance contracts that impose clear duties to defend and indemnify seems quite strained, at best.

Finally, VNB has failed to persuade the court that it in fact exercised, jointly with BOW, the decision-making powers that clients commonly exercise in litigation.

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Cite This Page — Counsel Stack

Bluebook (online)
132 F.R.D. 250, 1990 U.S. Dist. LEXIS 10909, 1990 WL 120522, Counsel Stack Legal Research, https://law.counselstack.com/opinion/bank-of-the-west-v-valley-national-bank-cand-1990.