Fitzpatrick v. American International Group, Inc.

272 F.R.D. 100, 2010 U.S. Dist. LEXIS 129198, 2010 WL 4968181
CourtDistrict Court, S.D. New York
DecidedNovember 24, 2010
DocketNo. 10 Civ. 142 (RMB) (MHD)
StatusPublished
Cited by8 cases

This text of 272 F.R.D. 100 (Fitzpatrick v. American International Group, Inc.) is published on Counsel Stack Legal Research, covering District Court, S.D. New York primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Fitzpatrick v. American International Group, Inc., 272 F.R.D. 100, 2010 U.S. Dist. LEXIS 129198, 2010 WL 4968181 (S.D.N.Y. 2010).

Opinion

[102]*102 MEMORANDUM & ORDER

MICHAEL H. DOLINGER, United States Magistrate Judge.

Plaintiff Kevin P. Fitzpatrick is a former President and former member of the Board of Directors of AIG Global Real Estate Investment Corporation (“AIGGRE”), an entity that is a wholly-owned subsidiary of defendant American International Group, Inc. (“AIG”). He has sued those entities on his own behalf and on behalf of both his two management companies and dozens of limited-liability companies and limited partnerships — referred to as the carried-interest entities — in which he is a member or limited partner. According to Mr. Fitzpatrick, while employed at AIGGRE, he was general partner or managing member of these entities.

The trigger for this lawsuit was Mr. Fitzpatrick’s departure from AIGGRE, effective May 12, 2009. Plaintiff attributes this event to the refusal of AIG to continue to share with him and his many carried-interest entities the profits interest engendered from a variety of real-estate investment partnerships in which they shared ownership interests. In opposition, AIG and AIGGRE contend that Mr. Fitzpatrick was terminated for cause based on serious misconduct and performance failings, including the purported pilfering of vast quantities of sensitive corporate documents.

This set of disputes led to the filing by Mr. Fitzpatrick of a complaint that, in its amended form, embodies thirteen claims, the first twelve of which arise under state or Cayman Island law. The first three are claims for breach of contract, one on behalf of Mr. Fitzpatrick alone and two on behalf of him and his management companies. (Am. Compl.lffl 263-89). He then asserts two claims for a declaratory judgment; one, asserted by him and his management companies, seeks a determination of entitlement to future profits interest payments, and the other, on his own behalf, seeks a declaration of entitlement to employee benefits. (Am. Compl.lN 290-302). Plaintiffs next assert a derivative declaratory-judgment claim on behalf of the carried-interest entities, seeking a determination of entitlement to future profits interest payments. (Am.Compl.lffl 303-10). The balance of the state-law claims are for fiduciary breach (asserted by Mr. Fitzpatrick and his management companies), a derivative fiduciary-breach claim for the carried-interest entities, a derivative contract-breach claim for the same entities, a claim by all plaintiffs for injunctive relief and specific performance, a claim by all plaintiffs for declaration of a constructive trust, and a claim by all plaintiffs for an accounting. (Am. Complin 311-55). The remaining claim, by Mr. Fitzpatrick, is asserted under the Employee Retirement and Income Security Act (“ERISA”), 29 U.S.C. § 1024, seeking an award of various employee benefits premised on the contention that his termination was not genuinely for cause. (Am.Compl.lffl 356-65).

In the course of extended and contentious discovery proceedings, Mr. Fitzpatrick has challenged defendants’ invocation of the attorney-client privilege for an apparently large quantity of corporate documents, although the precise universe of documents at issue has not been clarified by the plaintiffs. (See Letter to the Court from Michael E. Petrella, Esq., Aug. 24, 2010; Letter to the Court from Petrella, Sept. 30, 2010; Conference Tr., 2-3, Oct. 5, 2010). In substance, Fitzpatrick presses two theories to invade what he assumes — at least for purposes of his argument — would be an otherwise valid claim of privilege by AIG and AIGGRE. He first asserts that by reason of his status as the President and Board member of AIGGRE until May 2009, he was entitled to see all privileged documents reflecting communications between AIGGRE (and possibly AIG) and their counsel, and that as a result he is now entitled, as a litigant asserting claims in his personal capacity against these corporate entities, to see any documents that are covered by the privilege and that date from the period when he served as AIGGRE President and member of the Board. (Letter from Petrella, 4-5, Aug. 24, 2010; Letter from Petrella, 2-8, Sept. 30, 2010). Second, he argues that, based on his financial arrangements with AIG, that company undertook fiduciary obligations to him and the entities that he controlled with respect to payments from the many real-estate partner[103]*103ships in which he and those entities had ownership interests, and that as a consequence he is entitled to invade the attorney-client privilege of AIG and AIGGRE for some unspecified universe of documents under the so-called fiduciary exception to the privilege. (Letter from Petrella, 3-4, Aug. 24, 2010; Letter from Petrella, 8-16, Sept. 30, 2010).

Defendants have opposed this application, contending that Fitzpatrick, who is suing in his individual capacity, is not entitled — by virtue of his former role at AIGGRE — to share in the attorney-client relationship of the corporations, and that he has not satisfied the requirements for invoking the fiduciary exception to the privilege. (Letter to the Court from Keara M. Gordon, Esq., Sept. 23 2010). Having waited in vain for the plaintiffs to identify the specific documents at issue1, we view the dispute as nonetheless ripe for adjudication, and accordingly address the parties’ arguments below.

I. The So-Called Kirby Issue

Fitzpatrick first asserts that he is entitled to access any privileged communications between AIGGRE (and possibly AIG) and corporate counsel dating from when he was President and a Board member of AIGGRE. In support of this argument, he asserts (1) that Delaware law controls because the issue of his entitlement to now see the documents is a matter of corporate governance, (2) that Delaware’s Chancery Court has held that former Board members or senior officers are either ex officio clients for purposes of viewing privileged corporate communication made during their tenure or are deemed joint clients of the corporations’ attorneys for that purpose, (3) that even if Delaware law is inapplicable, the same result follows under New York law, and (4) that even if federal law controls, it should be viewed as consistent with the cited Delaware caselaw.

We disagree. Instead, we conclude that the choice-of-law question is governed by Fed. R. Civ. 501, which dictates that federal common law applies, and that the better reasoned view of the privilege question does not treat Mr. Fitzpatrick as a client for purposes of now demanding access to privileged communications between either corporation on the one hand and their attorneys.

A. A Point of Clarification

At the outset, we note that plaintiffs’ initial papers appear to target documents reflecting corporate communications with the firm of Alston & Bird (“A & B”), and focus on the factual issue of whether A & B was representing Mr. Fitzpatrick in his personal capacity as a client during the pertinent period. (Letter from Petrella, 1-3, Aug. 24, 2010). From prior proceedings, we have learned that an A & B attorney, Sean Reynolds, Esq., did in fact represent him for certain limited purposes, particularly in the period from 2003 to 2004. (Letter from Petrella, 2-3, 5, Aug. 24, 2010 (stating that Mr. Reynolds, currently at A & B, began representing Mr.

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272 F.R.D. 100, 2010 U.S. Dist. LEXIS 129198, 2010 WL 4968181, Counsel Stack Legal Research, https://law.counselstack.com/opinion/fitzpatrick-v-american-international-group-inc-nysd-2010.