Laser Industries, Ltd. v. Reliant Technologies, Inc.

167 F.R.D. 417, 45 Fed. R. Serv. 71, 1996 U.S. Dist. LEXIS 14315, 1996 WL 312120
CourtDistrict Court, N.D. California
DecidedJune 7, 1996
DocketNo. C-96-0390 CW (WDB)
StatusPublished
Cited by23 cases

This text of 167 F.R.D. 417 (Laser Industries, Ltd. v. Reliant Technologies, Inc.) is published on Counsel Stack Legal Research, covering District Court, N.D. California primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Laser Industries, Ltd. v. Reliant Technologies, Inc., 167 F.R.D. 417, 45 Fed. R. Serv. 71, 1996 U.S. Dist. LEXIS 14315, 1996 WL 312120 (N.D. Cal. 1996).

Opinion

OPINION AND ORDER ON MOTION TO PIERCE ATTORNEY-CLIENT PRIVILEGE AND ATTORNEY WORK PRODUCT PRIVILEGE BASED ON CRIME/FRAUD EXCEPTION

BRAZIL, United States Magistrate Judge.

I. INTRODUCTION

Plaintiffs Laser Industries and Sharplan Lasers (“Laser”) sued defendant Reliant [419]*419Technologies (“Reliant”), alleging infringement of U.S. Patent No. 5,411,502 (“the ’502 patent”). Reliant sought certain discovery relating to the prosecution of the ’502 patent and the initiation of Laser’s lawsuit. Laser resisted some of this discovery, asserting that specific documents sought are protected by the attorney-client privilege and/or the work-product doctrine.

Through its moving and reply papers, Reliant contends that there are two independent grounds on which the court should order Laser to disclose these documents. First, Reliant argues that it has made a prima facie showing that the communications were made in order to further the commission of a fraud on the Patent Office (PTO), thus making the documents discoverable under the crime/fraud exception to the privilege.1 Second, Reliant argues (in its reply brief) that Laser has waived whatever protections these documents might once have enjoyed by having its patent prosecution counsel submit declarations (in these proceedings) which purport to describe counsel’s ignorance of the prior art that Reliant says Laser was required to disclose to the PTO during the prosecution of the patent in issue. We address these contentions in separate sections, below.

II. RELIANT’S EFFORT TO INVOKE THE CRIME/FRAUD EXCEPTION

Reliant contends that Laser perpetrated a fraud on the U.S. Patent Office by failing to disclose to the Patent Office, during the prosecution of the ’502 patent, one of its own previous patents, U.S. Patent No. 4,587,396 (“the ’396 patent”), as well as existing technology and published materials relating to that patent.

A. Law

The parties’ papers raise several legal issues, some of which lend themselves to relatively straightforward resolution and some of which do not. It will be useful, at the outset, to identify the major legal issues that we will address in the paragraphs that follow.

(1) Whose knowledge, conduct, and intentions are in issue when courts determine whether the crime/fraud exception applies? Should courts limit their inquiry to the lawyers who prosecuted the patent, or should courts look beyond the lawyers and also consider the persons (or entities) on whose behalf the prosecution was undertaken?

(2) May a party penetrate the attorney-client privilege under the crime/fraud exception by making a sufficient showing of “inequitable conduct” (as that phrase is defined in substantive patent law) in the prosecution of the patent, or must a party’s showing satisfy the more demanding standards of common-law fraud?

(3) When determining whether a party has made a showing sufficient to establish the crime/fraud exception, must courts consider only the evidence, inferences, and arguments advanced by the party attempting to penetrate the privilege (i.e., that support the suggestion that the communications were made in furtherance of a crime or fraud), or should courts also consider evidence, inferences, and arguments advanced by the holder of the privilege (i.e., that tend to rebut the suggestion that the communications were made in furtherance of a crime or fraud)?

(4) Should courts view the evidence they consider in this setting in the light most favorable to the party trying to establish the crime/fraud exception? Or should the courts view the evidence with complete neutrality, i.e., neither in the light most favorable to the challenger nor the light most favorable to the holder of the privilege? Or, given the location and magnitude of the burden of proof at trial of a claim of fraud,2 and the location of the burden of showing that otherwise privileged communications should be disclosed, should the courts resolve evidentiary and inferential doubts against the party trying to establish the crime/fraud exception?

[420]*420(5) What level of certainty must the court feel before it may conclude that a challenger has established that the crime/fraud exception applies? What level of certainty satisfies the requirement of making a “prima facie” showing in this setting? Does the phrase “prima facie” mean the same thing in' this setting as it does in others? Should the level of certainty vary with the specific nature of the basis for the assertion that a “fraud” (or crime) was committed?

As we shall see, the last three of these issues are so closely intertwined in the pertinent authorities that it is impossible to address them as if they were fully separable. Some courts, for example, without much independent analysis, have accepted a definition of the phrase “prima facie case” that has dictated the answers to the third and fourth questions posed above. For reasons I hope to make clear, I am not persuaded that such semantically tidy but ultimately circular approaches do justice to the policies and interests that are in tension in these settings. We are likely to think more reliably about these matters if we consider the third and fourth issues at least in some measure independently of the fifth, i.e., before we accept a definition of “prima facie case.” There is some tension between approaching this task in the way I propose and at least some parts of some of the precedents, but I hope that exploring that tension will lead us to answers whose underpinnings we more clearly understand.

Before addressing the five issues listed above, it is important to emphasize that Reliant has not asked the court to conduct an in camera examination of the communications in issue here. Because Reliant has not asked us to conduct an in camera inspection of the communications in issue, we are not going through the two-stage analytical process and applying the two different standards that are set forth in United States v. Zolin, 491 U.S. 554, 572, 109 S.Ct. 2619, 2630-31, 105 L.Ed.2d 469 (1989), and discussed in In re Grand Jury Investigation, 974 F.2d 1068, 1072-73 (9th Cir.1992).3 Thus we are not applying to the showing that Reliant has made in the case at bar the less stringent standard that the Zolin court makes applicable when a judge is trying to decide, at the threshold, whether she must proceed further to consider whether to exercise her discretion to conduct an in camera inspection.4 Nor are we applying the criteria that Zolin instructs judges to consider, after a party has made a sufficient threshold showing, when the court is deciding whether or not, even given satisfaction of the threshold showing requirement, the court should exercise its discretion in the direction of conducting the in camera review.5

For the parties’ guidance, however, we make two observations: (1) we are not sure whether we would hold that Reliant’s showing satisfies even the relatively less stringent requirements for a threshold showing under Zolin, but (2) we are sure, on the record before us, that Reliant’s showing is not sufficient to persuade us that it would be appropriate to conduct an in camera

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Bluebook (online)
167 F.R.D. 417, 45 Fed. R. Serv. 71, 1996 U.S. Dist. LEXIS 14315, 1996 WL 312120, Counsel Stack Legal Research, https://law.counselstack.com/opinion/laser-industries-ltd-v-reliant-technologies-inc-cand-1996.