Red Vision Systems, Inc. v. National Real Estate Information Services, L.P.

108 A.3d 54, 2015 Pa. Super. 5, 2015 Pa. Super. LEXIS 7, 2015 WL 151530
CourtSuperior Court of Pennsylvania
DecidedJanuary 13, 2015
Docket416 WDA 2014
StatusPublished
Cited by36 cases

This text of 108 A.3d 54 (Red Vision Systems, Inc. v. National Real Estate Information Services, L.P.) is published on Counsel Stack Legal Research, covering Superior Court of Pennsylvania primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Red Vision Systems, Inc. v. National Real Estate Information Services, L.P., 108 A.3d 54, 2015 Pa. Super. 5, 2015 Pa. Super. LEXIS 7, 2015 WL 151530 (Pa. Ct. App. 2015).

Opinion

OPINION BY

STRASSBURGER, J.:

Thomas K. Lammert, Jr. (Lammert), a non-party to this action, appeals from the February 26, 2014 order which denied his motion to quash subpoena and for protective order. Aso before us is the motion of appellees Red Vision Systems, Inc. and Television Texas, LLC (Plaintiffs, collectively) to quash some issues raised in the appeal. Mter careful review, we grant in part and deny in part Plaintiffs motion, and affirm the trial court’s February 26, 2014 order.

This action was filed by Plaintefs against National Real Estate Information Services, L.P. (NREIS, L.P.), National Real Estate Information Services, Inc. (NREIS, Inc.), and NREIS of Texas, LLC (Defendants, collectively). Plaintiffs are affiliated companies which provide real estate services such as title searches to customers throughout the United States. *57 Complaint, 5/14/2013, at 3. Plaintiffs filed a complaint in the Allegheny County Court of Common Pleas alleging that they performed a variety of services for Defendants pursuant to a number of different agreements and that Defendants failed to pay invoices for those services totaling more than $500,000. Id. at 3-6.

When Plaintiffs’ attempts in May and June of 2013 to serve Defendants with the complaint pursuant to Pa.R.C.P. 400(a) were unsuccessful, they received permission to serve Defendants through certified mail and publication pursuant to Pa.R.C.P. 430. Order, 9/23/2013. Accordingly, Plaintiffs published notice of suit and notice to defend in the Pittsburgh Post-Gazette and Pittsburgh Legal Journal, and served NREIS of Texas by certified mail. Affidavit of Service, 9/27/2014; Affidavit of Service, 11/15/2013. Plaintiffs subsequently learned that each defendant corporation was defunct and/or dissolved.

Believing that Defendants transferred substantial assets to other entities in order to avoid paying creditors such as Plaintiffs, Plaintiffs sought “to obtain information relating to the disposition of [Defendants’ assets and to identify possible sources of recovery.” Trial Court Opinion and Order, 2/26/2014, at 1. Such information might enable Plaintiffs “to amend their Complaint to raise causes of action based on the law governing fraudulent transfers.” Id. The only source of such information of which Plaintiffs are aware is Lammert, who had been in-house counsel to each of Defendants, was an officer of NREIS, Inc. prior to its interests in NREIS, L.P. being sold, and a manager of NREIS Texas, which was a subsidiary of NREIS, L.P., and NREIS, LLC. Reply Brief to Plaintiffs’ Brief in Opposition to Quash Subpoena, 12/12/2013, at 2.

On September 23, 2013, Plaintiffs filed a notice of intention to serve Lammert with a subpoena to attend and testify. In addition to requiring his testimony, the subpoena required Lammert to produce documents related to the identification of Defendants’ management personnel and insurance coverage, and any transfer of Defendants’ assets. Subpoena to Attend and Testify, 9/17/2013, at Exhibit 1.

Lammert filed a motion to quash the subpoena, claiming that many of the requested documents are protected by the attorney-client privilege, 1 or would require the disclosure of sensitive information of third parties subject to non-disclosure agreements. Motion to Quash Subpoena and for Protective Order, 12/2/2013, 2 at 3. Lammert further claimed that he would incur a “considerable burden and expense” in reviewing and categorizing the records, which are electronically-stored. Id. Plaintiffs filed an answer to Lammert’s motion contesting the existence of any privilege, agreeing to the entry of a protective order to limit Plaintiffs’ use of confidential information, and claiming that Lammert failed to demonstrate that complying with the *58 subpoena would be unduly burdensome. Answer to Motion to Quash Subpoena and for Protective Order, 11/19/2013, at 5-9.

The trial court denied Lammert’s motion by an opinion and order filed February 26, 2014, holding (1) the attorney-client privilege did not protect Defendants’ documents because Defendants no longer existed or had interests in need of protection; (2) Lammert would not violate any confidentiality agreements by producing documents pursuant to court order; and (3) because he need not concern himself with applicability of privilege or confidentiality agreement, Lammert may “blindly turn over” the documents, and thus need not undergo any burdensome review of the documents. Trial Court Opinion and Order, 2/26/2014, at 3-4.

On March 12, 2014, Lammert filed a notice of appeal. That same day, the trial court filed an order pursuant to Pa.R.A.P. 1925(a), indicating that the reasons for its decision were provided in its February 26, 2014 opinion.

Lammert presents the following questions for this Court’s review. 3

1. Whether the attorney-client privilege survives the dissolution of a limited liability company, limited partnership, corporation or other legal entity, particularly when the legal entity continues to be subject to suit in the courts of the Commonwealth?
2. Whether former counsel to a dissolved limited liability company, limited partnership, corporation or other legal entity may invoke the attorney-client privilege on behalf of the legal entity?
3. Whether the Court of Common Pleas erred in denying Appellant’s Motion to Quash Subpoena and for Protective Order where Appellant will be required to blindly produce confidential non-public personal information of third-parties and documents of clients other than Defendants?
4. Whether the Court of Common Pleas erred in requiring Appellant to produce the subpoenaed documents, which are essentially pre-complaint discovery, despite the unreasonable burden to Appellant?

Lammert’s Brief at 3 (trial court answers omitted).

We begin by considering our jurisdiction over this appeal. Lammert asserts that the trial court’s interlocutory order is immediately appealable as a collateral order under Pa.R.A.P. 313. Lammert’s Brief at 1.

Generally, discovery orders are not ap-pealable as they do not dispose of the litigation. However, Pennsylvania Rule of Appellate Procedure 313 provides that appeals may be taken from collateral orders, that is, those which are separable from and collateral to the main cause of action where the right is too important to be denied review and the question presented is such that if review is postponed until final judgment in the case, the claim will be irreparably lost.

PECO Energy Co. v. Insurance Co. of North America, 852 A.2d 1230, 1233 (Pa.Super.2004) (citations and quotation marks omitted). “Rule 313 must be interpreted narrowly, and each of the above prongs must be clearly present for an order to be considered collateral.” J.S. v. Whetzel, 860 A.2d 1112, 1117 (Pa.Super.2004).

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Cite This Page — Counsel Stack

Bluebook (online)
108 A.3d 54, 2015 Pa. Super. 5, 2015 Pa. Super. LEXIS 7, 2015 WL 151530, Counsel Stack Legal Research, https://law.counselstack.com/opinion/red-vision-systems-inc-v-national-real-estate-information-services-lp-pasuperct-2015.