OPINION
GOLDBERG, Justice.
This case came before the Supreme Court on a petition for writ of certiorari filed by the petitioner, Myles Glatter (Glat-ter or petitioner), a licensed clinical social worker engaged in the practice of psychological counseling who specializes in counseling clients with sexual abuse issues. On April 28, 1997, Glatter was served with a subpoena
duces tecum
ordering him to disclose to a statewide grand jury “any and all records and notes of counseling sessions and meetings” that he had undertaken with a client. Glatter moved to quash the subpoena on numerous grounds, including an argument that the information sought by the grand jury consisted of counseling records of a client and was privileged from disclosure as a confidential communication under the Confidentiality of Health Care Communications and Information Act, G.L.1956 chapter 37.3 of title 5 (CHCCIA), and the Privacy Act, embodied in G.L.1956 § 9-1-28.1, and, that the records were protected by a common-law psychotherapist-client privilege as recognized by the United States Supreme Court. Glatter also raised several procedural deficiencies in the subpoena itself, including a direction to Glatter that “[t]he Grand Jury has ordered that the existence of this subpoena not be disclosed”
to anyone, including Glatter’s client. The Attorney General objected to the motion to quash and argued that the grand jury was authorized to subpoena the sought-after records and that questions concerning the confidentiality of the records and the existence of any privilege against disclosure of the records may be raised only in subsequent proceedings in the Superior Court. The state further argued that to the extent a therapist-client privilege existed in this state, the privilege rested with the patient (who was not to be informed of the existence of the subpoena), and not the therapist.
An
in camera
hearing was conducted before a justice of the Superior Court at which Glatter’s counsel argued, as he does before us on certiorari, that in
Jaffee v. Redmond,
518 U.S. 1, 116 S.Ct. 1923, 135
L.Ed.2d 337 (1996), the United States Supreme Court recognized a common-law psychotherapist-client privilege that, “[l]ike the spousal and attorney-client privileges,” 518 U.S. at 10, 116 S.Ct. at 1928, 135 L.Ed.2d at 344-45, is a necessary protection that is “rooted in the imperative need for confidence and trust,”
id.
(quoting
Trammel v. United States,
445 U.S. 40, 51, 100 S.Ct. 906, 912, 63 L.Ed.2d 186, 195 (1980)), between a licensed professional and his or her client and is grounded in the belief that effective psychotherapy “depends upon an atmosphere of confidence and trust in which the patient is willing to make a frank and complete disclosure of facts, emotions, memories, and fears[,]” 518 U.S. at 10, 116 S.Ct. at 1928, 135 L.Ed.2d at 345, and thus serves important private interests of the patient and licensed professional. In
Jaffee,
the Court also declared that the psychotherapist privilege furthers an important public objective “by facilitating the provision of appropriate treatment for individuals suffering the effects of a mental or emotional problem.”
Id.
at 11, 116 S.Ct. at 1929, 135 L.Ed.2d at 345.
The hearing justice denied the motion to quash, ruling that the grand jury was empowered to issue whatever subpoenas it deemed necessary in aid of its business, and that questions of privilege were appropriately raised at trial. Although the hearing justice recognized the applicability of CHCCIA, he nonetheless concluded that the motion to quash should be denied, citing this Court’s decisions in
Washburn v. Rite Aid Corp.,
695 A.2d 495 (R.I.1997);
State v. Almonte,
644 A.2d 295 (R.I.1994); and
Bartlett v. Danti,
503 A.2d 515 (R.I.1986). We granted certiorari and issued a stay of enforcement of the subpoena. However, in the interim between the grant of certiorari and oral argument in this case,
the grand jury that issued the subpoena has concluded its term and is no longer in existence. More importantly, the client whose records were sought pursuant to the subpoena has been charged with several counts of second-degree child molestation by way of criminal information,
without the benefit of the purportedly incriminating evidence contained in the counseling records. Finally, we have addressed several of the issues raised by the parties in this case and, although we are mindful that we declined to dismiss this case on mootness grounds when presented with the state’s motion to dismiss and its limited confession of error, we are satisfied that the issues raised by the parties to this controversy are now moot.
In
State v. Guido,
698 A.2d 729 (R.I.1997), decided eleven days after the hearing justice’s ruling in this case and in
In re John Doe Grand Jury Proceedings,
717 A.2d 1129 (R.I.1998), we had occasion to pass upon the appropriateness of several of the grand jury procedures that were challengéd by Glatter and rejected by the hearing justice. We declared the grand jury practice of issuing subpoenas for matters that were not under investigation by the grand jury to be inappropriate, and denounced the appointment by the grand jury of roving investigators armed with subpoenas authorizing the retrieval of records purportedly on behalf of a grand jury that was never intended to pass upon the matters about which the records were sought.
In light of this significant change of circumstances since the issuance of the writ, we are satisfied that the issues raised in this controversy are moot, and we therefore decline to decide the significant ques
tion of whether a common-law or statutory privilege exists for the confidential communications between a licensed psychotherapist and his or her client. Although we recognize that the issues raised in this controversy are quite likely to recur in the not too distant future (we have been advised that the state has requested a subpoena for the same records pursuant to Rule 17(c) of the Superior Court Rules of Criminal Procedure for use in the underlying criminal case), we prefer to decide this important question of law aided by a more complete factual record.
However, in declaring the issues raised in this controversy moot, we are buoyed by the concession of error made by the state that the subpoena
duces tecum
at issue in this case should have been quashed in the first instance in accordance with
In re Doe, supra.
We are mindful that the state has raised G.L.1956 § 40-11-11
Free access — add to your briefcase to read the full text and ask questions with AI
OPINION
GOLDBERG, Justice.
This case came before the Supreme Court on a petition for writ of certiorari filed by the petitioner, Myles Glatter (Glat-ter or petitioner), a licensed clinical social worker engaged in the practice of psychological counseling who specializes in counseling clients with sexual abuse issues. On April 28, 1997, Glatter was served with a subpoena
duces tecum
ordering him to disclose to a statewide grand jury “any and all records and notes of counseling sessions and meetings” that he had undertaken with a client. Glatter moved to quash the subpoena on numerous grounds, including an argument that the information sought by the grand jury consisted of counseling records of a client and was privileged from disclosure as a confidential communication under the Confidentiality of Health Care Communications and Information Act, G.L.1956 chapter 37.3 of title 5 (CHCCIA), and the Privacy Act, embodied in G.L.1956 § 9-1-28.1, and, that the records were protected by a common-law psychotherapist-client privilege as recognized by the United States Supreme Court. Glatter also raised several procedural deficiencies in the subpoena itself, including a direction to Glatter that “[t]he Grand Jury has ordered that the existence of this subpoena not be disclosed”
to anyone, including Glatter’s client. The Attorney General objected to the motion to quash and argued that the grand jury was authorized to subpoena the sought-after records and that questions concerning the confidentiality of the records and the existence of any privilege against disclosure of the records may be raised only in subsequent proceedings in the Superior Court. The state further argued that to the extent a therapist-client privilege existed in this state, the privilege rested with the patient (who was not to be informed of the existence of the subpoena), and not the therapist.
An
in camera
hearing was conducted before a justice of the Superior Court at which Glatter’s counsel argued, as he does before us on certiorari, that in
Jaffee v. Redmond,
518 U.S. 1, 116 S.Ct. 1923, 135
L.Ed.2d 337 (1996), the United States Supreme Court recognized a common-law psychotherapist-client privilege that, “[l]ike the spousal and attorney-client privileges,” 518 U.S. at 10, 116 S.Ct. at 1928, 135 L.Ed.2d at 344-45, is a necessary protection that is “rooted in the imperative need for confidence and trust,”
id.
(quoting
Trammel v. United States,
445 U.S. 40, 51, 100 S.Ct. 906, 912, 63 L.Ed.2d 186, 195 (1980)), between a licensed professional and his or her client and is grounded in the belief that effective psychotherapy “depends upon an atmosphere of confidence and trust in which the patient is willing to make a frank and complete disclosure of facts, emotions, memories, and fears[,]” 518 U.S. at 10, 116 S.Ct. at 1928, 135 L.Ed.2d at 345, and thus serves important private interests of the patient and licensed professional. In
Jaffee,
the Court also declared that the psychotherapist privilege furthers an important public objective “by facilitating the provision of appropriate treatment for individuals suffering the effects of a mental or emotional problem.”
Id.
at 11, 116 S.Ct. at 1929, 135 L.Ed.2d at 345.
The hearing justice denied the motion to quash, ruling that the grand jury was empowered to issue whatever subpoenas it deemed necessary in aid of its business, and that questions of privilege were appropriately raised at trial. Although the hearing justice recognized the applicability of CHCCIA, he nonetheless concluded that the motion to quash should be denied, citing this Court’s decisions in
Washburn v. Rite Aid Corp.,
695 A.2d 495 (R.I.1997);
State v. Almonte,
644 A.2d 295 (R.I.1994); and
Bartlett v. Danti,
503 A.2d 515 (R.I.1986). We granted certiorari and issued a stay of enforcement of the subpoena. However, in the interim between the grant of certiorari and oral argument in this case,
the grand jury that issued the subpoena has concluded its term and is no longer in existence. More importantly, the client whose records were sought pursuant to the subpoena has been charged with several counts of second-degree child molestation by way of criminal information,
without the benefit of the purportedly incriminating evidence contained in the counseling records. Finally, we have addressed several of the issues raised by the parties in this case and, although we are mindful that we declined to dismiss this case on mootness grounds when presented with the state’s motion to dismiss and its limited confession of error, we are satisfied that the issues raised by the parties to this controversy are now moot.
In
State v. Guido,
698 A.2d 729 (R.I.1997), decided eleven days after the hearing justice’s ruling in this case and in
In re John Doe Grand Jury Proceedings,
717 A.2d 1129 (R.I.1998), we had occasion to pass upon the appropriateness of several of the grand jury procedures that were challengéd by Glatter and rejected by the hearing justice. We declared the grand jury practice of issuing subpoenas for matters that were not under investigation by the grand jury to be inappropriate, and denounced the appointment by the grand jury of roving investigators armed with subpoenas authorizing the retrieval of records purportedly on behalf of a grand jury that was never intended to pass upon the matters about which the records were sought.
In light of this significant change of circumstances since the issuance of the writ, we are satisfied that the issues raised in this controversy are moot, and we therefore decline to decide the significant ques
tion of whether a common-law or statutory privilege exists for the confidential communications between a licensed psychotherapist and his or her client. Although we recognize that the issues raised in this controversy are quite likely to recur in the not too distant future (we have been advised that the state has requested a subpoena for the same records pursuant to Rule 17(c) of the Superior Court Rules of Criminal Procedure for use in the underlying criminal case), we prefer to decide this important question of law aided by a more complete factual record.
However, in declaring the issues raised in this controversy moot, we are buoyed by the concession of error made by the state that the subpoena
duces tecum
at issue in this case should have been quashed in the first instance in accordance with
In re Doe, supra.
We are mindful that the state has raised G.L.1956 § 40-11-11
as a complete statutory bar to the existence of any psychotherapist-client privilege in situations deahng with child abuse and sexual molestation. Glatter, in turn, has argued that the reporting requirement of § 40-11-11 represents a mandate for all the citizens of this state, without exception, to inform the Department of Children, Youth and Families (DCYF) of any reasonable suspicion or belief that a child or children have been or may be being abused or neglected so that DCYF may immediately investigate and take whatever measures it deems necessary to protect the child or children. Glatter suggests that this duty to report applies without regard to evidentiary privileges and is incumbent upon every health care provider, clergy member, educator and any other individual who becomes aware of actual or suspected abuse and neglect. We note that this issue was not mentioned by the state in the first instance before the hearing justice and was raised for the first time on certiorari before this Court.
In
In re Doe,
717 A.2d at 1131, we recognized the unceasing attempts by the Legislature “to protect the privacy rights of individuals with respect to their medical records,” and concluded that the secrecy of grand jury subpoenas must yield to an individual’s statutory rights of notice and an opportunity to object to the disclosure of confidential health care information. Although we had previously invalidated attempts by the General Assembly to enact statutes that required a complete ban on the production of health care information through compulsory legal process in
Al-monte
and
Bartlett,
both
supra,
in
In re Doe
we declared § 5-37.3-6.1,
the latest
foray in the Legislature’s unflagging efforts to create a workable rule of judicial privilege for health care information, to be “a means by which information could be disclosed in a judicial proceeding without obviating a patient’s right to contest the disclosure.”
In re Doe,
717 A.2d at 1133. We held that the requirement that an individual whose health care information is sought to be disclosed be provided with notice and an opportunity to contest such disclosure, in light of a statutory presumption in favor of privacy of the records, is “a permissible balance between a party’s interest in maintaining the confidentiality of his or her personal health care records and the court’s need to access relevant information.”
Id.
We declared that for a party seeking production of confidential health care information to overcome this presumption, there must be a demonstration of a particularized need for the information that clearly outweighs the privacy interest of the person whose records are sought. Although we recognize that Glat-ter’s petition rests upon § 5-37.3-6,
which requires an absolute ban on the disclosure of any confidential health care
communication
as that term is defined in § 5-37.3-3(3)(i),
we have yet to address the validity of such an absolute ban in connection with a judicial proceeding.
See Almonte
and
Bartlett,
both
supra.
We are satisfied
that sufficient procedural protections are now in place to guard against discovery of this material without the benefit of judicial intervention. In light of our mandate for a judicial determination of relevancy sufficient to overcome the statutory presumption in favor of confidentiality of health care
information
in instances in which a patient has moved to quash a subpoena pursuant to § 5-37.3-6.1, we are satisfied that questions relative to the discoverability of confidential health care
communications
pursuant to § 5-37.3-6, that are of necessity included within a patient’s health care information records, will be fully litigated in the first instance in the Superior Court. We note that pursuant to § 5-37.3-6.1, and in accordance with our holding in
In re Doe,
Glatter’s patient also must be afforded notice and an opportunity to be heard before process may issue for any confidential health care information.
Although we recognize the genuine concern of Glatter and the amici that a licensed psychotherapist may be required to disclose the possibility that counseling records may become the subject of a subpoena
duces tecum
and the chilling effect such a disclosure may have on a client’s treatment,
we note that such an eventuality is speculative and is not the state of the law at this time. Moreover, we are satisfied that sufficient safeguards now exist to ensure appropriate judicial review of this issue, including certiorari to this Court should the question arise in an appropriate factual context. Obviously, questions concerning disclosure of information arguably protected by an evidentiary privilege are significant issues appropriately subject to certiorari review.
See Gilbert v. Travelers Indemnity Co.,
117 R.I. 515, 368 A.2d 1236 (1977). However, our reluctance to decide them in an intellectual vacuum is of paramount importance.
For the foregoing reasons, the petition for certiorari is denied and the writ heretofore issued is quashed. The papers in this case may be remanded to the Superior Court with our decision endorsed thereon.