In re Rhode Island Select Commission Subpoena

616 N.E.2d 458, 415 Mass. 890, 1993 Mass. LEXIS 457
CourtMassachusetts Supreme Judicial Court
DecidedJuly 21, 1993
StatusPublished
Cited by3 cases

This text of 616 N.E.2d 458 (In re Rhode Island Select Commission Subpoena) is published on Counsel Stack Legal Research, covering Massachusetts Supreme Judicial Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In re Rhode Island Select Commission Subpoena, 616 N.E.2d 458, 415 Mass. 890, 1993 Mass. LEXIS 457 (Mass. 1993).

Opinion

Abrams, J.

At issue is the question whether an adjudication of contempt against Cullen, Murphy & Co., P.C. (Cullen), an accounting firm, was proper. The Rhode Island Se[891]*891lect Commission to Investigate the Failure of RISDIC (Rhode Island Share and Deposit Indemnity Corporation) Insured Financial Institutions (commission) filed a motion to compel discovery and issued a subpoena duces tecum. Cullen refused to produce tax returns and other documents of some of its clients sought by the commission. A Superior Court judge entered an order adjudicating Cullen in contempt of the court’s order allowing the commission’s motion to compel discovery. Cullen appeals from the adjudication of contempt. Cullen argues that the commission was not a “tribunal” within the meaning of G. L. c. 223A, § 11 (1992 ed.). We transferred the matter here on our own motion.1 We agree with Cullen that the commission was not a “tribunal” under G. L. c. 223A, § 11. We vacate the Superior Court judge’s determination that Cullen be held in contempt.

Factual background. The commission stated in its brief that RISDIC, a private fund, insured deposits in several Rhode Island financial institutions. In 1990, RISDIC’s funds were drained as a result of financial difficulties at RISDIC-insured institutions. On December 31, 1990, RISDIC entered conservatorship. In January, 1991, the Governor of Rhode Island ordered that RISDIC-insured financial institutions be closed.

In March, 1991, the Rhode Island Legislature created the commission to investigate the events that led to the failure of RISDIC-insured institutions. The commission’s responsibilities included, “but [were] not. . . limited to: ‘[¡Investigation of the causes of the collapse of RISDIC and the failure of many of its insured financial institutions [;] [investigation of the role played by officials and agencies of state government in the evolution of this financial crisis[;] [¡Investigation of financial transactions at the RISDIC insured institutions which may have resulted from improper and/or insider influence and/or information [;] [investigation of those individu-[892]*892ais and entities whose negligence and/or misconduct directly or indirectly contributed to the financial loss sustained by the state and its citizens [;] [m]aking a public presentation of the evidence uncovered by the aforesaid investigation at hearings to be conducted by the commission [;] [m] aking recommendations as to prosecutions for any criminal wrongdoing uncovered by the investigation[;] [m]aking recommendations as to civil litigation against those individuals and entities whose negligence and/or misconduct were contributing factors in the financial loss sustained by the state and its citizens [;] [and] [m] aking recommendations as to legislation reforming governmental ethical standards and restructuring the bank regulatory system in this state.” 1991 R.I. Pub. Laws 91-015, § 1. Cullen, an accounting firm in Norwood, Massachusetts, provided accounting services for persons and companies who received loans from RISDIC-insured institutions.

On November 19, 1991, a Rhode Island Superior Court judge issued an order pursuant to R.I. Gen. Laws § 9-18-5 (1992 Supp.), 1991 R.I. Pub. Laws No. 91-015, and Select Commission Rule 1(f), allowing the commission to seek an order from a Massachusetts court compelling testimony and production of documents from Cullen. On December 11, 1991, a Massachusetts Superior Court judge authorized the issuance of a subpoena duces tecum to Cullen and ordered Cullen to appear before the commission. On December 19, 1991, Cullen received the subpoena duces tecum.

Cullen moved to quash the subpoena duces tecum. The commission opposed the motion, and moved to compel discovery. On January 16, 1992, the Superior Court judge denied Cullen’s motion to vacate the order of December 11, and quash the subpoena duces tecum. A few days later the judge allowed the commission’s motion to compel discovery. During Cullen’s deposition on February 11, 1992, Cullen refused to produce any document listed on the subpoena duces tecum. Cullen sought interlocutory review of the discovery order. A single justice of the Appeals Court denied Cullen’s petition for interlocutory review. See Application of O’Brien, 403 Mass. 1005 (1988).

[893]*893Shortly thereafter, the commission moved that Cullen be ruled in contempt for its failure to produce the documents. The Superior Court judge issued an order adjudicating Cullen in contempt of the order allowing the commission’s motion to compel discovery. Cullen appeals the adjudication of contempt. See Matter of a R.I. Grand Jury Subpoena, 414 Mass. 104, 107 (1993) (when subpoena directed at allegedly privileged records held by accountant, “in order to obtain appellate review of the subpoena, the accountant [must] disobey it”). The contempt order was stayed pending appeal. See Matter of a Grand Jury Subpoena, 411 Mass. 489, 499 (1992) (“In cases like this one, involving third-party privilege holders, assuming that the objections to the subpoena are nonfrivolous, we urge trial judges to stay orders of contempt pending appeal provided the appealing party acts promptly”).

Mootness. After the case was transferred to this court, Cullen moved to dismiss this appeal on the ground of mootness. Cullen argues that the commission completed its mission and issued its final report, and therefore “there are no further proceedings before the . . . commission to which the documents requested in the subpoena can be considered germane.” The commission opposed the dismissal of the appeal because the Rhode Island Depositors Economic Protection Corporation (DEPCO), a successor to the commission, is entitled to the documents.2

The Rhode Island Legislature established DEPCO, specifically stating that DEPCO “shall be entitled to obtain, have access to and use in its absolute discretion all materials, documents, instruments, investigations, data, information, and knowledge obtained, provided for or produced in connection with the work of the commission and shall have the right to employ for its own purposes the services of any of the accountants, consultants, or investigators employed by the commission at its own expense.” R.I. Gen. Laws § 42-116-39 [894]*894(1992 Supp.). DEPCO therefore is entitled to all evidence properly obtained by the commission. Further, DEPCO notes that all the evidence and materials in the commission’s possession have been transferred to DEPCO’s custody. We conclude that DEPCO, as the properly substituted party, is entitled to all the documents that the commission was entitled to receive. Therefore, the question whether the commission was a tribunal is not moot.

The commission’s status as a “tribunal.” General Laws c. 223A, § 11 (1992 ed.), pursuant to which the Massachusetts subpoena duces tecum issued, provides in relevant part: “A court of this commonwealth may order a person who is domiciled or is found within this commonwealth to give his testimony or statement or to produce documents or other things for use in a proceeding in a tribunal outside this commonwealth.” In determining the Legislature’s intent in enacting § 11, we are guided by the Federal courts’ analysis of 28 U.S.C.

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Cite This Page — Counsel Stack

Bluebook (online)
616 N.E.2d 458, 415 Mass. 890, 1993 Mass. LEXIS 457, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-rhode-island-select-commission-subpoena-mass-1993.