Blue Lake Forest Products, Inc. v. United States

75 Fed. Cl. 779, 2007 U.S. Claims LEXIS 96, 2007 WL 968142
CourtUnited States Court of Federal Claims
DecidedMarch 29, 2007
DocketNos. 01-570C, 01-627C, 04-501C
StatusPublished
Cited by23 cases

This text of 75 Fed. Cl. 779 (Blue Lake Forest Products, Inc. v. United States) is published on Counsel Stack Legal Research, covering United States Court of Federal Claims primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Blue Lake Forest Products, Inc. v. United States, 75 Fed. Cl. 779, 2007 U.S. Claims LEXIS 96, 2007 WL 968142 (uscfc 2007).

Opinion

OPINION AND ORDER GRANTING PLAINTIFFS’ REVISED MOTION TO COMPEL IN PART

WILLIAMS, Judge.

This matter comes before the Court on Plaintiffs’ revised motion to compel. In the motion, Plaintiffs contend that Defendant waived the attorney-client privilege and work-product immunity by placing privileged material at issue in this suit, by voluntarily filing privileged documents in other lawsuits, and by inadvertently disclosing privileged documents during discovery in this litigation.

The Court agrees that these privileges have been waived, finding an “at-issue” waiver and a subject-matter waiver based upon Defendant’s voluntary disclosure of privileged documents.1

Background

In these consolidated cases, Plaintiffs seek damages for breach of contract stemming from the United States Forest Service’s suspension of their timber operations in national forests in the wake of the District Court’s ruling in Oregon Natural Resources Council Action v. United States Forest Serv., 59 F.Supp.2d 1085 (W.D.Wash.1999) (ONRC Action). In ONRC Action, the District Court held that the Forest Service arbitrarily and capriciously failed to comply with its obligation to perform surveys for certain rare plant and animal species before awarding timber sale contracts. ONRC Action, 59 F.Supp.2d at 1093.

These obligations derive from the Northwest Forest Plan (the Plan) which contains Survey and Manage (S & M) Guidelines which were adopted in a Record of Decision (ROD) by the Forest Service and the Bureau of Land Management (BLM). Under the Plan, surveys of species to be protected were required to be done before ground-disturbing activities were undertaken to ensure that the viability of certain rare species would not be affected by logging. The Forest Service and the Department of the Interior issued memoranda saying that timber sales were exempt from the survey requirements if environmental impact statements (EIS) had been completed for the areas, even if the ground-disturbing activities had not begun. Thus, according to the memoranda, timber sales could be awarded without the surveys as long as an EIS had been done. The plaintiffs in ONRC Action argued that the memoranda unlawfully exempted many timber sales from the Plan’s survey requirements in violation of statutes. The ONRC Action Court agreed. In its August 2, 1999 decision, the Court explained:

Although the plan states that the category two surveys must be done if “ground-disturbing activities ... will be implemented” after certain dates, the federal defendants issued interpretive memoranda equating issuance of an environmental impact statement with the “implementation” of ground-disturbing activities. The result is to exempt numerous proposed sales from the survey requirements. A November 1, 1997, memorandum issued jointly by the Forest Service and BLM stated that “[t]he interagency interpretation is that the ‘NEPA decision equals implement[ation]’”____ Thus, for the first six category two species, for “[pjrojects with NEPA decisions signed prior to October 1, 1996, and contracts offered before January 1, 1997—no survey is required.” A September 1, 1998, memorandum extended this interpretation to the survey requirements for the remaining 71 category two species, concluding that surveys need not be done for any timber sale for which an environmental impact statement was completed before October 1,1998. The record shows that Forest Service and BLM managers uniformly relied on these memoranda in deciding not to require category two surveys before approving the nine timber [782]*782sales challenged here, even though ground-disturbing activities have yet to begin on any of those sales.
These actions by the federal defendants are arbitrary and contrary to the plain language of the ROD____ Environmental impact statements often precede groundbreaking activities by a number of years. To equate the NEPA decision with the implementation of ground-disturbing activities would arbitrarily exempt a large number of timber sales from the plan’s survey requirements____Far from being minor or technical violations, widespread exemptions from the survey requirements would undermine the management strategy on which the ROD depends.

59 F.Supp.2d at 1092-93.

Plaintiffs contend that the Government breached both the express provisions of their timber contracts as well as the implied duties to cooperate and not to hinder, which Plaintiffs characterize as subparts of the implied duty of fair dealing. They argue that Defendant’s interpretation of the Plan as exonerating the agencies from the obligation to conduct surveys was arbitrary, capricious, and unreasonable. Plaintiffs further argue that the suspensions were unreasonable because of this interpretation and because the Government possessed information which it did not provide Plaintiffs before they bought the sales. Pis.’ Motion to Compel Discovery Responses and For Sanctions (Motion to Compel) at 3-4; Tr. at 37-41.

Plaintiffs recognize that some of their timber contracts contain a clause which purports to limit the Government’s liability to out-ofpoeket expenses in the event of a suspension. However, Plaintiffs contend that the Government is liable for breach of contract damages, not limited by the clause, because the Government also breached the implied duties to cooperate and not to hinder. Tr. at 37-41.2

Plaintiffs also assert that Defendant’s assumption of risk defense—which posits that Plaintiffs had special knowledge equal to the Government’s when they bid on and accepted the timber awards—places what Government personnel knew and when they knew it at issue. Tr. at 38-39. Because the Government is the only repository of information reflecting its own knowledge, Plaintiffs claim a vital need for this discovery. Tr. at 38-39.

In a similar vein, Plaintiffs contend that Defendant broadly waived its attorney-client privilege by intentionally disclosing in other litigation, privileged information regarding its interpretation of the Plan and its knowledge about potential suspension of the timber sales. Defendant contends that the waiver should be limited to those documents actually disclosed.

I. Do Defendant’s Defenses of Reasonableness and Assumption of Risk Implicate An At-issue Waiver of Defendant’s Privilege Claims?

Plaintiffs contend that attorney-client privilege and work product immunity have been waived in this lawsuit with respect to the following issues:

1) Defendant’s interpretation of the Northwest Plan, that NEPA equals implementation 3 and
[783]*7832) Defendant’s decision to award the timber sales despite developments in the ONRC Action litigation.4

Tr. at 26, 60-61. Plaintiffs assert that the agencies were confronted with questions as to whether they should follow the Northwest Plan by halting the sales and doing the surveys or grandfathering in the environmental impact statements which had already been performed and construing this to be sufficient compliance with the Plan without doing any surveys. Plaintiffs contend that the advice of DOJ attorneys involved with the ONRC Action litigation was implicated in awarding the sales which underlie these actions—the “Happy Thin,” “Jack Heli” and “Too Wild” sales.5

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Bluebook (online)
75 Fed. Cl. 779, 2007 U.S. Claims LEXIS 96, 2007 WL 968142, Counsel Stack Legal Research, https://law.counselstack.com/opinion/blue-lake-forest-products-inc-v-united-states-uscfc-2007.