Southern California Gas Co. v. Public Utilities Commission

784 P.2d 1373, 50 Cal. 3d 31, 265 Cal. Rptr. 801, 1990 Cal. LEXIS 147
CourtCalifornia Supreme Court
DecidedJanuary 29, 1990
DocketS006168
StatusPublished
Cited by50 cases

This text of 784 P.2d 1373 (Southern California Gas Co. v. Public Utilities Commission) is published on Counsel Stack Legal Research, covering California Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Southern California Gas Co. v. Public Utilities Commission, 784 P.2d 1373, 50 Cal. 3d 31, 265 Cal. Rptr. 801, 1990 Cal. LEXIS 147 (Cal. 1990).

Opinion

Opinion

BROUSSARD, J.

*35 Facts

In 1978, SoCalGas entered into a long-term gas supply contract with the predecessor in interest to Getty Synthetic Fuels, Inc. (Getty). Under the terms of the contract, SoCalGas agreed to purchase gas as long as Getty could produce economically viable quantities from a landfill in Monterey Park, California. In 1983, the terms of the contract called for the price of the gas to be determined by a “cost-plus” formula that required SoCalGas to pay prices that were much higher than other sources of gas available to it.

On August 23, 1984, in an informal phone conference between several representatives of SoCalGas and the commission, SoCalGas explained why the contract with Getty was undesirable and “requested permission” from the commission to negotiate a buyout to escape from the contract. In response to a question from the commission, SoCalGas stated that its attorneys had looked over the contract and found no way that SoCalGas could unilaterally terminate the contract without being subject to liability. The commission’s staff members approved the negotiations. In February 1986, SoCalGas negotiated a buyout of the contract for $7.4 million.

On March 21, 1986, SoCalGas submitted an informal advice letter to the commission seeking approval of the buyout agreement. 1 In this letter, SoCalGas noted that it had consulted SoCalGas legal staff prior to negotiating the agreement and that “staff indicated its concurrence with the plan.” In response, the commission’s Division of Ratepayer Advocates (DRA) 2 sent a data request to SoCalGas on June 9, 1986, seeking, among other information, the identity of staff consulted, the basis of staff’s concurrence, and copies of notes and memoranda taken in preparing for or summarizing any meetings regarding the negotiations. SoCalGas abandoned this informal procedure when the commission would not approve its buyout without the information from its attorneys.

In September 1986, SoCalGas applied for a consolidated adjustment mechanism (CAM) proceeding to determine that its buyout was prudent and reasonable. In this proceeding SoCalGas sought the commission’s authorization to recover its purchased gas costs and a finding from the commission that its gas purchases were reasonable. 3 The commission questioned *36 the reasonableness of the buyout because it believed that Getty may have been in breach of the contract and that SoCalGas could have terminated the contract without having to negotiate the $7.4 million buyout. 4

The DRA requested discovery of documents with any legal analyses regarding early termination of the Getty contract. SoCalGas identified 15 confidential memos written by its attorneys, but refused to disclose them on grounds of the attorney-client privilege. SoCalGas stated that it would not rely on advice of counsel as a justification for its decision to buy out the Getty contract. Nonetheless, the presiding administrative judge ordered SoCalGas to produce the documents for an in camera review. SoCalGas refused to comply and appealed the judge’s order to the full commission.

In December 1987, the commission decided that SoCalGas had impliedly waived the attorney-client privilege and ordered it to submit the documents in question to an administrative judge other than the one presiding in the matter for an in camera review or to withdraw its application to recover the cost of its expenditures. 5 (Cal.P.U.C. Dec. No. 87-12-071.) The commission did not determine whether the attorney-client privilege applied in its CAM proceedings. It concluded that there is “little guidance in statute and case law by which we can determine to which of our proceedings or activities the privilege is meant to apply and to which of them it is not.” 6 (Cal.P.U.C. Dec. No. 87-12-071, p. 40.) The commission determined that even if the privilege applied, an implied waiver arose from SoCalGas’s CAM application under the specific facts of this case. On June 18, 1988, the commission issued an order (Cal.P.U.C. Dec. No. 88-06-029) that modified its December decision to clarify its reasoning and deny rehearing. We granted review of that order and conclude the attorney-client privilege does apply in this proceeding, and SoCalGas has not waived its privilege.

*37 I. Applicability of Attorney-client Privilege

The attorney-client privilege, codified in Evidence Code section 954, provides in pertinent part: “Subject to Section 912 and except as otherwise provided in this article, the client, whether or not a party, has a privilege to refuse to disclose, and to prevent another from disclosing, a confidential communication between client and lawyer. . . .” The attorney-client privilege has been a well established part of Anglo-American jurisprudence for over 400 years. (McCormick, Evidence (2d ed. 1972) § 87, pp. 175-179.) It has been part of California statutory law in one form or another since 1851. (See Cal. Civil Practice Act, Stats. 1851, ch. 5, §§ 395-399, p. 114.) As this court has previously noted, “the privilege seeks to insure ‘the right of every person to freely and fully confer and confide in one having knowledge of the law, and skilled in its practice, in order that the former may have adequate advice and a proper defense.’ ” (Mitchell v. Superior Court (1984) 37 Cal.3d 591, 599 [208 Cal.Rptr. 886, 691 P.2d 642], citing Baird v. Koerner (9th Cir. 1960) 279 F.2d 623, 629.) If a lawyer could not promise to maintain the confidentiality of his client’s secrets, the only advice he or she could provide would be, “‘Don’t talk to me.’” (Welfare Rights Organization v. Crison (1983) 33 Cal.3d 766, 771, fn. 3 [190 Cal.Rptr. 919, 661 P.2d 1073, 31 A.L.R.4th 1214].) Application of the privilege will occasionally shield relevant information which may very well create obstacles for the party seeking the privileged information; however, the Legislature and the courts of this state have determined that the party’s concern is “outweighed by the importance of preserving confidentiality in the attorney-client relationship.” (Mitchell v. Superior Court, supra, 37 Cal. 3d at p. 599.)

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Bluebook (online)
784 P.2d 1373, 50 Cal. 3d 31, 265 Cal. Rptr. 801, 1990 Cal. LEXIS 147, Counsel Stack Legal Research, https://law.counselstack.com/opinion/southern-california-gas-co-v-public-utilities-commission-cal-1990.