In re Four Seasons Securities Laws Litigation
This text of 54 F.R.D. 527 (In re Four Seasons Securities Laws Litigation) is published on Counsel Stack Legal Research, covering District Court, W.D. Oklahoma primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.
Opinion
OPINION NO. 1
SEC Transcripts, Exhibits and Documents
During the first Wave of document discovery herein plaintiffs Sher et al. requested many of the defendants to produce: (1) copies of the transcripts of testimony which the respective defendants, their partners or employees, gave to the Securities and Exchange Commission (SEC) or any of its hearing examiners at any time after January 1, 1967, in the course of a private investigation conducted by the SEC of or related to Four Seasons Nursing Centers of America, Inc., and its subsidiary or related corporations; (2) copies of documents marked and identified as exhibits to such testimony; and (3) other documents given to the SEC, or any of its investigators or hearing officers, by the defendants.
Objections to that request were raised by several defendants, who argue that the materials requested were not discoverable because they were furnished “in confidential nonpublic hearings”, and in one or more instances because “such documents are not in the possession, custody and control of the defendant”. Sher thereupon moved for an order under Rule 37(a), F.R.Civ.P., as permitted by Rule 34(b).
The problems involved were discussed by counsel for the respective parties at the second pretrial conference herein.1 [529]*529It was decided that the court should invite the SEC, as amicus curiae, to advise the court of its position with respect to the proposed discovery.2
In response to the court’s request, the SEC, as amicus curiae, submitted to the court a memorandum signed by G. Bradford Cook, its General Counsel, advising the court generally “of its position as to responding to a subpoena duces tecum for the production of transcripts of testimony taken in a private investigation conducted by the Commission and, specifically, of the Commission’s position with respect to the proposed discovery by plaintiffs Sher, et al., from defendants in these actions of (1) copies of the transcripts of testimony which the defendants or their officers gave in the course of the investigation; (2) copies of documents marked and identified as exhibits to such testimony; and (3) other documents given to the Commission by the defendants.” The memorandum stated:
“The Commission is specifically authorized to make such investigations as it deems appropriate in its discretion to determine if any person has violated the various laws for the enforcement of which it has primary responsibility.*1 Any investigation might lead to referral by the Commission of its investigatory file to the Department of Justice with a recommendation for criminal prosecution. In such investigations, the Commission has been deemed to act as a grand jury.*2 Like a grand jury, it is the Commission’s general policy to conduct its investigations on a confidential basis.*3 Accordingly, in order [530]*530to protect the contents of its investigatory file and the identity of its informers, the Commission might resist subpoenas for records in a pending investigation, particularly when deemed important that the matters not be publicly disclosed in advance of a possible criminal proceeding. The right of an agency to resist disclosure of its files compiled for law enforcement purposes has been recognized as a valid objection to a subpoena.*4
“For the foregoing reasons, this Commission, prior to November 1970, even reserved the right not to supply persons with transcripts of the testimony they had given in Commission investigations.*5 In that month, however, the Commission, in accordance with a recommendation that had been made by the Administrative Conference,*6 amended Rule 6 of its Rules Relating to Investigations, 17 CFR 203.6, so that it now provides:
“ ‘A person .submitting documentary evidence or testimony in a formal investigative proceeding shall be entitled to procure a copy of his documentary evidence or a transcript of his testimony on payment of the appropriate fees.’
“Under Rule 6, as it is presently worded, the Commission does not purport to place any limitation upon the use of a transcript in the possession of the witness who gave testimony. Accordingly, the Commission does not object to the disclosure by a witness of a transcript of his testimony, when discovery is sought in civil litigation, irrespective of whether the witness may have obtained the transcript or is directed to do so by court order at the instance of a party to that litigation.
“The Commission believes that, when discovery is sought in civil litigation of transcripts of testimony given or documents submitted in a Commission investigation, the person who gave the testimony or supplied the document should be heard by the court if he opposes such discovery and that, in the event his objections are overruled, the person, if he does not then have the transcript or document sought, should apply for and obtain the transcript or document from the Commission pursuant to the court’s order. This procedure would afford a witness in a Commission investigation an opportunity to have the court hear any objections he may have, including those based on lack of relevancy or privilege (other than privilege on behalf of the- Commission) under Rule 26(b) (1) of the Federal Rules of Civil Procedure. Should a subpoena be issued to the Commission for transcripts or documents which, if requested by the witness, would be obtainable under Rule 6, the Commission may resist compliance with such subpoena until the witness has had an opportunity to bring to the court’s attention for ruling whatever objections he may have.
“While the application of the Commission’s Rule 6 necessarily opens the door to portions of the Commission’s investigatory file, the Commission may still preserve the confidentiality of the list of names of witnesses who may have testified or furnished documents in the investigation. Moreover, a witness under Rule 6 is not necessarily entitled to receive copies of documents that he did not supply, even if such documents are marked and identified as exhibits to the witness’ testimony.”
After considering the memorandum submitted by the SEC, the authorities cited in the footnotes thereto, the memoranda filed by several counsel herein and the authorities cited by them, the court concludes that the positions taken by the SEC, as amicus curiae, are sound.
The court will therefore enter appropriate orders, giving effect to those views, with the right in any of the defendants to request appropriate protective orders with respect to individual items.3 The objections heretofore filed by the several defendants to the discovery requested, including claims of privilege, are hereby overruled.
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Cite This Page — Counsel Stack
54 F.R.D. 527, 1972 U.S. Dist. LEXIS 14655, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-four-seasons-securities-laws-litigation-okwd-1972.