In Re Braniff, Inc.

153 B.R. 941, 7 Fla. L. Weekly Fed. B 95, 1993 Bankr. LEXIS 642, 24 Bankr. Ct. Dec. (CRR) 309, 1993 WL 146631
CourtUnited States Bankruptcy Court, M.D. Florida
DecidedApril 30, 1993
DocketBankruptcy No. 89-03325-BKC-6C1, Master Adv. No. 92-911
StatusPublished
Cited by4 cases

This text of 153 B.R. 941 (In Re Braniff, Inc.) is published on Counsel Stack Legal Research, covering United States Bankruptcy Court, M.D. Florida primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In Re Braniff, Inc., 153 B.R. 941, 7 Fla. L. Weekly Fed. B 95, 1993 Bankr. LEXIS 642, 24 Bankr. Ct. Dec. (CRR) 309, 1993 WL 146631 (Fla. 1993).

Opinion

ORDER AS TO VARIOUS PRIVILEGE AND WORK-PRODUCT ISSUES

C. TIMOTHY CORCORAN, III, Bankruptcy Judge.

On March 12, March 22, and April 7, 1993, the court conducted informal discovery conferences with interested counsel in this Braniff insolvency litigation. The conferences were requested by counsel in accordance with the provisions of paragraph 4(h) of the court’s October 2, 1992, case management order establishing the procedures to be employed in this complex litigation. 1 Pursuant to the procedures established by the court at those conferences, the defendant BIA-COR parties (a term defined in the case management order) filed a motion to compel discovery together with a supporting legal memorandum (Documents Nos. 38 and 39) and the plaintiffs, Braniff, Inc., and the Official Committee of Unsecured Creditors, filed an answer and an opposing legal memorandum (Documents Nos. 43 and 44). The plaintiffs have also provided documents to the court for in camera review. In addition, the court has benefitted from the legal argument made by counsel at the informal discovery conferences.

I.

As framed by the parties both orally and in the pending motion, the dispute requiring resolution can be simply described:

Defendants’ liaison counsel, on behalf of all of the defendants involved in this Bran-iff insolvency litigation, propounded to the plaintiffs, Braniff, Inc., and the Official Committee of Unsecured Creditors, certain, requests for the production of documents. Plaintiffs responded by stating their refusal to produce specifically identified documents on the grounds of the attorney-client privilege, in some cases, and the work-product doctrine and F.R.Civ.P. 26(b)(3), in other cases, or both. Although the parties have significantly narrowed the number of documents that are in dispute, the documents in issue still require two full file boxes. Defendants’ liaison counsel continues to press for the production of these documents as to which issue has been joined.

In addition, certain defendants, the BIA-COR parties, seek to compel the production of the documents that remain in issue for a separate and independent reason not otherwise urged by, or available to, defendants’ liaison counsel. Specifically, the BIA-COR parties state that some of them were officers or directors, or both, of the plaintiff, Braniff, Inc., and that Braniff has placed in issue in these proceedings the facts and circumstances of their service as officers or directors. The BIA-COR parties assert, therefore, that the attorney-client privilege and the work-product doctrine may not be invoked by their former employer to deny them otherwise discoverable material to be used in their defense.

*943 II.

As to the plaintiffs’ basic claims of privilege and work-product, the parties have provided to the court a binder containing the descriptions of the documents that remain in dispute. The plaintiffs have also furnished to the court in camera a copy of each of these documents. The court has now completed its in camera inspection and has annotated the document descriptions included in the binder with its decision as to the validity of the claim of privilege or work-product as to each document. In most cases, the court has upheld the plaintiffs’ claims. The court has rejected those claims, however, in a significant number of cases. In still other cases, the court has identified portions of the documents that are privileged and directed that those documents be produced in redacted form with the privilege portions masked. Although these notations are made in the court’s handwriting, they are nevertheless clear.

For purposes of clarity of the record, the court therefore directs the clerk to file and docket the master list of the descriptions of the documents, including the court’s handwritten notations, and to provide a copy together with this order to plaintiffs’ liaison counsel, counsel for Braniff, Inc., defendants’ liaison counsel, and counsel for the BIA-COR parties.

The plaintiffs are directed to make available to defendants’ liaison counsel the documents as to which the court has rejected the plaintiffs’ claims of privilege or work-product, or both, as endorsed in the court’s handwriting on the descriptions of the documents.

III.

With regard to the BIA-COR parties’ assertion that, the plaintiffs may not invoke the attorney-client privilege and the work-product doctrine against them as former directors and officers when their interests are now adverse and when their service is in issue, 2 the parties agree that there is a relative dearth of authority on the specific issue. Nevertheless, the court does not view this as a particularly difficult matter to resolve.

First, the court agrees with the plaintiffs that Braniff has not waived any protections provided by the attorney-client privilege or the work-product doctrine by prosecuting these adversary proceedings against the BIA-COR parties. The court is persuaded that the plaintiffs’ arguments and authorities in support of non-waiver are sound, and the court adopts the plaintiffs’ rationale.

Second, the court also agrees with the plaintiffs that the BIA-COR parties do not have an unfettered or unlimited right to obtain discovery of all privileged materials generated by Braniff or its counsel during the period of the defendants’ tenure as officers or directors of Braniff. The court agrees with the plaintiffs that the apparent absolute rules described in the cases of Kirby v. Kirby, 1987 WL 14862 (Del.Ch.1987), and Gottlieb v. Wiles, 143 F.R.D. 241 (D.Colo.1992), are insupportable on these facts. In the Kirby ease, the court required the production of privileged materials to directors in circumstances where the directors and the corporation were joint clients of the lawyers whose involvement made the materials privileged in the first place. The Gottlieb case held that a former chairman and chief executive officer of a public corporation was not prevented by the attorney-client privilege from inspecting certain documents generated during his tenure. Although the Gottlieb court relied on the narrow holding of Kirby *944 for its decision, it did not grant an absolute right of access but merely disallowed the privilege as to some documents. More importantly, the Gottlieb decision failed to address the pivotal issue of joint interests.

In contrast, and as the plaintiffs have correctly pointed out, there is no evidence in the record before the court that the BIA-COR parties and Braniff were ever joint clients of the lawyers involved here. On this record, Braniff was the only client, and any participation of the BIA-COR parties was merely that of corporate agents working on behalf of Braniff. As a consequence, the privilege here is held solely by Braniff.

In dealing with the issue of access to privileged materials presented here, the court adopts the flexible approach urged by the plaintiffs by analogy to shareholder derivative action case authorities. See, Garner v. Wolfinbarger,

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153 B.R. 941, 7 Fla. L. Weekly Fed. B 95, 1993 Bankr. LEXIS 642, 24 Bankr. Ct. Dec. (CRR) 309, 1993 WL 146631, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-braniff-inc-flmb-1993.