Merritt v. Superior Court

9 Cal. App. 3d 721, 88 Cal. Rptr. 337, 1970 Cal. App. LEXIS 1986
CourtCalifornia Court of Appeal
DecidedJuly 17, 1970
DocketCiv. 36154
StatusPublished
Cited by28 cases

This text of 9 Cal. App. 3d 721 (Merritt v. Superior Court) is published on Counsel Stack Legal Research, covering California Court of Appeal primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Merritt v. Superior Court, 9 Cal. App. 3d 721, 88 Cal. Rptr. 337, 1970 Cal. App. LEXIS 1986 (Cal. Ct. App. 1970).

Opinion

Opinion

SELBER, J.

* Petitioner seeks a writ of mandate, prohibition or other appropriate relief from an order of respondent superior court requiring petitioner to give further answers to certain interrogatories.

A brief statement of the facts is essential to an understanding of the discovery issues involved in this proceeding. On or about March 22, 1966, petitioner, as plaintiff, filed an action against Reserve Insurance Company and Stuyvesant Insurance Company in the respondent court. The complaint in that action alleges that petitioner had previously obtained a judgment against J. A. Stafford Trucking Company and Salvadore Bernal in Los Angeles Superior Court case No. 773931 for personal injuries in the sum of $434,441.68; that Reserve Insurance Company (real party in interest herein) had issued a policy of liability insurance in favor of said defendants in that action; * 1 and that said insurance companies negligently and in bad *724 faith failed to protect the interest of their said insureds. 2 It is further alleged therein that the said defendants, Stafford and Bernal, individually assigned to petitioner any claims which they might have against the carriers. Thus, in effect, the cause of action is a claim against an insurance company for satisfaction of the judgment in excess of the policy limits for wrongful failure by said insurance company to settle the claim within policy limits. In the original personal injuries action petitioner was both the plaintiff and a cross-defendant, the defendant therein having filed a cross-complaint. He was represented on his complaint by the law firm of Magana, Olney, Levy and Cathcart, among others, and as a cross-defendant by the law firm of Longenecker and Estes. It is undisputed that by the time of the trial of the original action petitioner had received substantial benefits by way of workmen’s compensation and that Longenecker and Estes were also the attorneys for the workmen’s compensation carrier.

From the depositions and the interrogatories in the instant case, it appears that plaintiff’s allegation of bad faith by Reserve in failing to settle the previous personal injury action rests in part upon the contention that Reserve disabled plaintiff’s personal injury counsel from settling the case within policy limits by furnishing conflicting and irreconcilable statements concerning the amount of insurance coverage which confused plaintiff’s counsel.

On February 23, 1968, Reserve served first interrogatories to plaintiff. 3 Plaintiff answered said interrogatories on October 8, 1969. 4 Only interrogatory No. 27 need be considered in connection with this petition. That interrogatory and the answer thereto is set forth as follows:

“27. Was the plaintiff covered by workmen’s compensation at the time of said accident of February 20, 1961? If so, state the following: (a) the name, address, and telephone number of the workmen’s compensation insurance carrier involved.”
Answer: “Transport Indemnity Company, Los Angeles, California.”
“(b) The names of all employees or other agents of said carrier with whom you or your attorneys communicated in connection with said suit.”
*725 Answer: “Harold Q. Longenecker, George Fiore, William Munro, possibly Neville Duvall and others whose names are not presently recalled.”
“(c) With respect to each communication with each such employee or other agent of said carrier, set forth:
“(6) The substance of the communication, (or, in the alternative, if it was written, a copy thereof may be attached to your answers to these interrogatories).”
66 »
Answer: “Decline to answer on the ground that any communications of the type requested in said Interrogatories, if pertaining to the lawsuit, are privileged under the attorney-client privilege and the work product rule. Any communications not related to the lawsuit are irrelevant and are not likely to lead to any discoverable information.”
“(g) The effect of the existence of the workmen’s compensation coverage and lien on the handling of said suit by your attorneys in connection with:
“(1) Their investigation of said accident of February 20, 1961.
“(2) Their preparation for the trial of said suit.
“(3) Their trial strategy in said suit.
“(4) Their evaluation of the settlement potential of said suit.
“(5) Their handling of the possible settlement of said suit.”
Answer: “Decline to answer on the grounds that the information is irrelevant and is not likely to lead to any discoverable information and, further, said information is privileged under the attorney-client privilege and the work product privilege.”

Thereafter, on November 10, 1969, defendant Reserve filed its notice of motion to compel answers to interrogatories. On December 16, 1969, petitioner filed his opposition papers. The matter was heard in respondent superior court on December 18, 1969, at which time the court ordered that the parties might submit letter briefs dealing with the attorney-client privilege and the work product rule. Both parties filed letter briefs and on January 2,1970, the court, by minute order, overruled petitioner’s objections and ordered petitioner to answer interrogatory 27(b) to (g), inclusive. That minute order reads in pertinent part as follows:

*726 “. . . To the extent attorney work product may be involved, denial of discovery will unfairly prejudice defendants in preparing their defense and will result in injustice. To the extent Attorney-Client privilege may be involved, plaintiff has waived such privilege in the initiation and prosecution of this case.”

Petitioner’s motion for reconsideration was heard on February 10, 1970, and the respondent court denied the motion.

It is petitioner’s contention herein that the respondent court exceeded its jurisdiction in requiring petitioner to answer interrogatory 27 in that the communications necessary to be disclosed thereunder are protected under the attorney-client privilege and are the work product of petitioner’s attorney; also that petitioner has not waived the right to claim the attorney-client privilege rule nor the work product rule through the institution or prosecution of the present action.

Interrogatory 27(a) and (b) are both preliminary in nature and have been answered by petitioner. Neither of these subdivisions involve either the attorney-client privilege or the work product rule. We need not consider them further.

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Cite This Page — Counsel Stack

Bluebook (online)
9 Cal. App. 3d 721, 88 Cal. Rptr. 337, 1970 Cal. App. LEXIS 1986, Counsel Stack Legal Research, https://law.counselstack.com/opinion/merritt-v-superior-court-calctapp-1970.