Langdon v. Champion

752 P.2d 999, 1988 Alas. LEXIS 25, 1988 WL 28205
CourtAlaska Supreme Court
DecidedApril 1, 1988
DocketS-1898
StatusPublished
Cited by69 cases

This text of 752 P.2d 999 (Langdon v. Champion) is published on Counsel Stack Legal Research, covering Alaska Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Langdon v. Champion, 752 P.2d 999, 1988 Alas. LEXIS 25, 1988 WL 28205 (Ala. 1988).

Opinion

OPINION

BURKE, Justice.

In this appeal, petitioners Joanne and Ronald Langdon (Langdon) ask us to reverse an order of the superior court denying their motion to compel production of respondent Champion’s insurance adjustors’ 1 investigative reports and files (files). Most, if not all, of the materials sought were compiled prior to commencement of suit and involvement of an attorney for Champion. The question we must resolve, therefore, is whether information in an insurance adjustor’s files, prepared or obtained prior to any active participation of counsel, is protected from discovery by either the attorney-client privilege or the work product doctrine.

We conclude that statements made by an insured to an insurer are not protected by the attorney-client privilege unless it can be *1001 shown that the insurer, in receiving such communications, was acting at the express direction of counsel for the insured. Similarly, we conclude that materials contained in an insurer’s files shall be presumed to have been compiled in the ordinary course of business, and, thus, outside the scope of the work product doctrine, absent a showing that the materials were prepared at the request or under the supervision of the insured’s attorney.

I

BACKGROUND

The action below was a personal injury suit filed by Langdon against Champion on July 9, 1986. The facts material to the issue presented here are not in dispute.

The alleged tort occurred on November 26, 1984. Champion’s insurance company, State Farm, and its adjustor, Mr. Ron Lee, became aware of Langdon’s claims as early as September 9, 1985. On September 11, 1985, Champion gave a recorded statement to his insurance adjustor. This statement was transcribed on August 12,1986. Actual correspondence between Langdon’s attorney and Mr. Lee commenced on October 23, 1985, and continued until Langdon filed her complaint. The case was assigned to defense counsel by letter dated July 16, 1986.

On July 21, 1986, Langdon made a Request for Production of any recorded or written statements by Champion, investigative reports, including those of the insurance adjustor, and the complete insurance adjustor’s file. Champion objected to production based upon the attorney-client privilege and the work product doctrine. Lang-don then filed a Motion to Compel Production which superior court judge Milton M. Souter denied without comment, citing Civil Rule 26(b)(3). We granted Langdon’s petition for review of this order.

II

STANDARD OF REVIEW

The issue whether an insurance adjustor’s reports and files are protected by the attorney-client privilege or the work product doctrine is a question of law. The standard of review on issues of law is de novo or independent judgment. Walsh v. Emerick, 611 P.2d 28, 30 (Alaska 1980). Under this standard, it is our duty “to adopt the rule of law that is most persuasive in light of precedent, reason and policy.” Brooks v. Brooks, 733 P.2d 1044, 1055 (Alaska 1987) (quoting Guin v. Ha, 591 P.2d 1281, 1284 n. 6 (Alaska 1979)).

III

ATTORNEY-CLIENT PRIVILEGE

Under the general rule, Langdon is entitled to discover any relevant, unprivileged information. Alaska R.Civ.P. 26(b)(1). 2 The first issue we must resolve, then, is whether statements made by an insured to his insurer 3 are protected from discovery by the attorney-client privilege.

The attorney-client privilege allows a client to refuse to disclose, and to prevent others from disclosing, confidential communications between the client and his attorney or the attorney’s representative, or between the client and the client’s representative, made for the purpose of facilitating the rendition of legal services to the client. Alaska R.Evid. 503(b). 4 A representative *1002 of the lawyer is one employed to assist the lawyer in rendering legal services; a representative of the client is one having authority to obtain legal services and act on legal advice on behalf of the client. Alaska R.Evid. 503(a)(2) and (4). 5 Determination of the privilege issue in the present context will necessarily turn upon whether a client’s insurance adjustor may properly be considered a representative of the client or his attorney within the meaning of these provisions.

We begin by concluding that an insurer is not a “representative” of the client within the meaning of Evidence Rule 503(a)(2). Although, at first glance, an insurer would appear to fall within the definition of a claimant’s representative, the commentary to Rule 503(a)(2) clearly suggests otherwise. That commentary indicates that the definition of a client's representative was included in the Rules solely as a means by which to adopt the “control group” test governing assertion of the attorney-client privilege by corporate clients. There is no indication that the definition was intended to extend the protection of the privilege to communications made to third parties such as insurers.

Whether an insurer is a representative of the attorney within the meaning of Evidence Rule 503(a)(4), however, is a closer question. We have never squarely decided this issue, 6 and those jurisdictions which have considered it are sharply divided.

A shrinking majority of states prohibit discovery of statements made by an insured to his insurer. Most of these courts base their decision on provisions in the insurance policy which require the insurer to defend the insured and the insured to cooperate in the investigation. See, e.g., Gene Compton’s Corp. v. Superior Court, 205 Cal.App.2d 365, 23 Cal.Rptr. 250, 252-56 (1962); Grand Union Co. v. Patrick, 247 So.2d 474, 475 (Fla.App.1971); People v. Ryan, 30 Ill.2d 456, 197 N.E.2d 15, 17-18 (1964); Asbury v. Beerbower, 589 S.W.2d 216, 217 (Ky.1979); State ex rel Cain v. Barker, 540 S.W.2d 50, 53-54 (Mo.1976); Brakhage v. Graff, 190 Neb. 53, 206 N.W.2d 45, 47-48 (1973); Thomas v. Harrison, 634 P.2d 328, 334 (Wyo.1981). See generally Annotation, Privilege of Communications or Reports Between Liability or Indemnity Insurer and Insured, 22 A.L.R.2d 659, 660-62 (1952).

These courts reason that because the insured has delegated the conduct of the defense to the insurance company, “the insured may properly assume that the communication is made to the insurer as an agent for the dominant purpose of transmitting it to an attorney for the protection of the interests of the insured.” 7

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Cite This Page — Counsel Stack

Bluebook (online)
752 P.2d 999, 1988 Alas. LEXIS 25, 1988 WL 28205, Counsel Stack Legal Research, https://law.counselstack.com/opinion/langdon-v-champion-alaska-1988.