Lemelson v. Bendix Corp.

104 F.R.D. 13, 39 Fed. R. Serv. 2d 1312, 1984 U.S. Dist. LEXIS 24106
CourtDistrict Court, D. Delaware
DecidedAugust 24, 1984
DocketCiv. A. No. 82-308 CMW
StatusPublished
Cited by6 cases

This text of 104 F.R.D. 13 (Lemelson v. Bendix Corp.) is published on Counsel Stack Legal Research, covering District Court, D. Delaware primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Lemelson v. Bendix Corp., 104 F.R.D. 13, 39 Fed. R. Serv. 2d 1312, 1984 U.S. Dist. LEXIS 24106 (D. Del. 1984).

Opinion

MEMORANDUM OPINION

CALEB M. WRIGHT, Senior District Judge.

This action was filed by plaintiff Jerome H. Lemelson (hereinafter “Lemelson”) against defendants The Bendix Corporation (hereinafter “Bendix”) and Brown & Sharpe Manufacturing Company (hereinafter “Brown & Sharpe”) on June 1, 1982. The complaint essentially alleges that Bendix and Brown & Sharpe unlawfully “combined and conspired with one another to boycott Lemelson” and refused to negotiate independently with Lemelson to take a license under his patents in violation of the antitrust laws. (Complaint ¶ 17) (Dkt. No. 1). The answers of defendants deny the material allegations of the complaint.

Presently pending before the Court is plaintiff’s motion to compel the production of certain documents which the defendants and the United States Government claim to be protected by the attorney-client privilege and work product doctrine. The documents at issue have been submitted to the Court for in camera inspection. After a careful review of those documents, the Court finds that defendants and the government have generally met their burden of establishing that the documents are protected by the attorney-client privilege and work product doctrine. The Court also finds that plaintiff has not met his burden of establishing a prima facie case of conspiracy to violate the antitrust laws sufficient to vitiate attorney-client or work product protection. Accordingly, an order will be entered denying plaintiff’s motion to compel with respect to most of the documents in issue.

FACTS

This case has a long and complicated factual history. However, for purposes of this motion, the Court believes that a brief summary of the relevant events will be sufficient. Plaintiff, a holder of numerous patents, began in the late 1960s to contact various manufacturers of coordinate measuring machines, including defendants, in an attempt to induce these manufacturers to take a license under certain patents which plaintiff believed to be infringed by these machines. From 1969 to 1973, there were numerous contacts between plaintiff and defendants regarding whether defendants would take a license under plaintiff’s [15]*15patents. Both defendants persistently refused to take a license, believing that plaintiff’s patents were invalid and that their machines were non-infringing. See Exhibit A to Plaintiff’s Opening Brief in Support of His Motion to Compel (Dkt. No. 134). From 1973 to 1979, there was no apparent contact between plaintiff and defendants. During that period of time, defendants marketed computer-controlled coordinate measuring machines (hereinafter “CCMMs”) and sold them, inter alia, to the United States Navy, Army, DOE and NASA.1 Plaintiff, believing his patents to be infringed, filed an administrative claim with the Navy. In 1979, with his administrative claim still unresolved, he brought suit in the United States Claims Court. Both Bendix and Brown & Sharpe voluntarily entered that suit as third-party defendants.

After the Claims Court litigation was filed, plaintiff, in December, 1979, again wrote to both defendants, seeking a license and a settlement of his patent infringement claims. In January, 1980, Bendix responded, indicating again that, while the company was willing to discuss settlement, it did not believe that plaintiff’s patents were valid or that its machines infringed plaintiff’s patents. Subsequent discussions did not result in settlement. See Exhibit B-1 to Plaintiff’s Opening Brief in Support of His Motion to Compel (Dkt. No. 134). In March, 1980, the law firm of Barlow & Barlow, outside counsel for Brown & Sharpe, responded to plaintiff, stating that, while there was no basis for plaintiff's claims, they were willing to discuss the matter. Settlement discussions with Brown & Sharpe also occurred; however, plaintiff’s demands again were refused. See Appendix A to Brief of Brown & Sharpe in Opposition to Plaintiff’s Motion to Compel (Dkt. No. 139) (Deposition of William Jackson).

In March, 1980, the law firm of Pennie & Edmonds filed an appearance on behalf of both defendants in the Claims Court litigation. On April 7, 1980, John Kidd, a partner at Pennie & Edmonds, and lead counsel in the Claims Court litigation, wrote to William Jackson, plaintiff’s attorney in the Claims Court litigation, objecting to Jackson’s direct contact with the parties. See Exhibit A-2 to Plaintiff’s Opening Brief in Support of His Motion to Compel (Dkt. No. 134). Plaintiff alleges that the appearance of Pennie & Edmonds as joint counsel, and the letter of Kidd dated April 7, 1980, resulted in the frustration of promising settlement discussions and the prevention of direct discussions between plaintiff and each of the defendants. Defendants allege that direct discussions with each defendant continued to occur and that the joint counsel arrangement in the Claims Court litigation did not interfere with their individual freedom of action in pursuing settlement with plaintiff.

Subsequent to the appearance of Pennie & Edmonds as joint counsel in the Claims Court litigation, settlement discussions with each defendant did in fact occur.2 [16]*16However, plaintiffs subsequent offers were rejected and the Claims Court trial commenced. The Claims Court, in an Opinion dated June 26, 1983, rejected plaintiffs claims and held that the machines sold by defendants and used by the government did not infringe plaintiffs patents.3 See Lemelson v. United States, 3 Cl.Ct. 161, 171 (1983). Before the Claims Court rendered its decision, plaintiff sued defendants in this District, alleging a conspiracy in violation of Section One of the Sherman Act.4 The present motion to compel was filed in an attempt to uncover evidence to support plaintiffs allegations. Plaintiff argues that he has established a prima facie case of conspiracy and that any protection afforded to the documents submitted to the Court for in camera inspection by the attorney-client privilege or work product doctrine has been vitiated. Defendants claim that no prima facie case of conspiracy has been established and that the protection afforded by the attorney-client privilege and work product doctrine remains intact. For the reasons discussed below, the Court agrees with defendants.

DISCUSSION

In determining plaintiffs motion to compel, the first and most obvious point is that the parties who invoke the attorney-client privilege have the burden of establishing both the existence of the attorney-client relationship and the confidential nature of the communication. See, e.g., U.S. v. Flores, 628 F.2d 521, 526 (9th Cir.1980); U.S. v. Kelly, 569 F.2d 928, 938 (5th Cir.1978). Similarly, the party claiming work product protection must show that the disputed documents were prepared in anticipation of litigation or for trial by or for that party or by or for that party’s representative. Fed.R.Civ.P. 26(b)(3). Often, as in this case, the determination of whether documents are protected by the work product doctrine and the attorney-client privilege is made by in camera inspection.

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Bluebook (online)
104 F.R.D. 13, 39 Fed. R. Serv. 2d 1312, 1984 U.S. Dist. LEXIS 24106, Counsel Stack Legal Research, https://law.counselstack.com/opinion/lemelson-v-bendix-corp-ded-1984.