In re New York City Asbestos Litigation

109 A.D.3d 7, 966 N.Y.S.2d 420

This text of 109 A.D.3d 7 (In re New York City Asbestos Litigation) is published on Counsel Stack Legal Research, covering Appellate Division of the Supreme Court of the State of New York primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In re New York City Asbestos Litigation, 109 A.D.3d 7, 966 N.Y.S.2d 420 (N.Y. Ct. App. 2013).

Opinion

OPINION OF THE COURT

Andrias, J.E

This discovery dispute pertains to all of the Weitz & Luxenberg New York City Asbestos Litigation (NYCAL) cases in which Georgia-Pacific (GP) is a defendant. For the following reasons, we find that the motion court providently exercised its discretion when it denied GP’s motions to vacate the Special Master’s recommendations and directed an in camera review of certain internal communications identified in GP’s privilege log and the production to plaintiffs of certain underlying data related to eight published research studies funded by GP concerning the health effects of its joint compound.

GP funded these studies in 2005 to aid in its defense of asbestos-related lawsuits. The studies were performed by experts from various organizations, who, among other things, recreated GP’s historical joint compound product for the purpose of testing its biopersistence and pathogenicity. To facilitate the endeavor, GP entered into a special employment relationship with Stewart Holm, its Director of Toxicology and Chemical Management, to perform expert consulting services under the auspices of its in-house counsel, who also was significantly involved in the prepublication review process.

At Holm’s deposition, plaintiffs requested that GP produce all documents relating to the studies. GP produced certain documents and a privilege log asserting that all communications with its consulting experts were protected by the attorney work product privilege and that its internal communications were protected by the attorney-client privilege. The Special Master directed an in camera review of all documents identified in GP’s [10]*10privilege log (Recommendation #1), and production of all materials and raw data underlying the published studies (Recommendation #2).

The motion court denied GP’s motion to vacate the Special Master’s recommendations, as well its motion for leave to reargue the in camera prong of that decision to narrow its scope (2011 NY Slip Op 33158[U] [2011]). GP appeals, arguing that plaintiffs failed to make the necessary showings to warrant in camera review of internal privileged communications or production of work product data and that ordering that review and production is an unwarranted intrusion into GP’s privileged communications.1

The motion court providently exercised its broad discretion in supervising disclosure when it confirmed Recommendation #1 and granted in camera review of the documents to determine whether the crime-fraud exception to the attorney-client privilege applied (see Those Certain Underwriters at Lloyds, London v Occidental Gems, Inc., 11 NY3d 843, 845 [2008]).

The crime-fraud exception encompasses “ ‘a fraudulent scheme, an alleged breach of fiduciary duty or an accusation of some other wrongful conduct’ ” (Art Capital Group LLC v Rose, 54 AD3d 276, 277 [1st Dept 2008], quoting Ulico Cas. Co. v Wilson, Riser, Moskowitz, Rdelman & Dicker, 1 AD3d 223, 224 [1st Dept 2003]). “[A]dvice in furtherance of a fraudulent or unlawful goal cannot be considered ‘sound.’ Rather advice in furtherance of such goals is socially perverse, and the client’s communications seeking such advice are not worthy of protection” (In re Grand Jury Subpoena Duces Tecum Dated Sept. 15, 1983, 731 F2d 1032, 1038 [2d Cir 1984]).

A party seeking “to invoke the crime-fraud exception must demonstrate that there is a factual basis for a showing of probable cause to believe that a fraud or crime has been committed and that the communications in question were in furtherance of [11]*11the fraud or crime” (United States v Jacobs, 117 F3d 82, 87 [2d Cir 1997]; see also Ulico Cas. Co., 1 AD3d at 224; Matter of Grand Jury Subpoena, 1 AD3d 172 [1st Dept 2003]). However, “[a] lesser evidentiary showing is needed to trigger in camera review than is required ultimately to overcome the privilege” (United States v Zolin, 491 US 554, 572 [1989]).

To permit in camera review of the documents to analyze whether the communications were used in furtherance of such wrongful activity, there need only be “a showing of a factual basis adequate to support a good faith belief by a reasonable person that in camera review of the materials may reveal evidence to establish the claim that the crime-fraud exception applies” (id. [internal quotation marks and citation omitted]). “Once that showing is made, the decision whether to engage in in camera review [of the evidence] rests in the sound discretion of the . . . court” (id.).

Holm coauthored nearly all of the studies, which were intended to cast doubt on the capability of chrysotile asbestos to cause cancer. On the two articles that he did not coauthor, he and GP’s counsel participated in lengthy “WebEx conferences” in which they discussed the manuscripts and suggested revisions. Despite this extensive participation, none of the articles disclosed that GP’s in-house counsel had reviewed the manuscripts before they were submitted for publication. Two articles falsely stated that “[GP] did not participate in the design of the study, analysis of the data, or preparation of the manuscript.” For articles lead-authored by David M. Bernstein, Ph.D., and coauthored by Holm, the only disclosure was that the research was “sponsored” or “supported” by a grant from GP The articles did not disclose that Holm was specially employed by GP for the asbestos litigation or that he reported to GP’s in-house counsel. Furthermore, there were no grant proposals, and Dr. Bernstein was hired by GP on an hourly basis. Nor did the articles reveal that Dr. Bernstein has been disclosed as a GP expert witness in NYCAL since 2009, that he had testified as a defense expert for Union Carbide Corporation in asbestos litigation, or that he had been paid by, and spoken on behalf of, the Chrysotile Institute, the lobbying arm of the Quebec chrysotile mining industry. Although GP belatedly endeavored to address the inadequacies of certain of its disclosures, its corrections failed to acknowledge its in-house counsel’s participation and did not make clear that Dr. Bernstein’s testimony as an expert witness preceded the publication of the first GP reformulated joint compound article in 2008.

[12]*12The foregoing constitutes a sufficient factual basis for a finding that the relevant communications could have been in furtherance of a fraud, and the motion court properly confirmed the recommendation directing in camera review of the internal documents. As the court remarked, it is of concern that GP’s in-house counsel would be so intimately involved in supposedly objective scientific studies, especially in light of GP’s disclosures denying such participation (see United States v Philip Morris USA, Inc., 449 F Supp 2d 1 [D DC 2006] [applying the fraud-crime exception, in regard to defendants’ litigation-related efforts to skew smoking and health research], affd in relevant part 566 F3d 1095 [DC Cir 2009], cert denied 561 US —, 130 S Ct 3501 [2010]).2

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Bluebook (online)
109 A.D.3d 7, 966 N.Y.S.2d 420, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-new-york-city-asbestos-litigation-nyappdiv-2013.