Southern Guaranty Insurance Co. of Georgia v. Ash

383 S.E.2d 579, 192 Ga. App. 24, 1989 Ga. App. LEXIS 894
CourtCourt of Appeals of Georgia
DecidedJune 1, 1989
DocketA89A0447
StatusPublished
Cited by17 cases

This text of 383 S.E.2d 579 (Southern Guaranty Insurance Co. of Georgia v. Ash) is published on Counsel Stack Legal Research, covering Court of Appeals of Georgia primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Southern Guaranty Insurance Co. of Georgia v. Ash, 383 S.E.2d 579, 192 Ga. App. 24, 1989 Ga. App. LEXIS 894 (Ga. Ct. App. 1989).

Opinion

Birdsong, Judge.

This is an interlocutory appeal of a discovery order. This appeal concerns the scope of the attorney-client privilege between a corporate client and its counsel, and the distinction between legal and business advice.

The order pertinently requires “[t]he [appellant] produce all correspondence, letters, newsletters and directives from its attorneys which are of a general nature, directing and advising the insurance company in the day to day business of handling no-fault or PIP claims. The [appellant] shall also produce all letters, newsletters, and *25 other documents from its attorneys which are used by the [appellant’s] adjustors in the day to day business of handling, processing and adjusting no-fault or PIP claims. . . . The [appellant] is not required to produce correspondence or letters from its attorneys which are directed to specific cases pending in which Southern General Insurance Company of Georgia or its insureds are parties.”

Appellant asserts that the order erroneously compels production of documents clearly protected by attorney-client privilege, and that the trial court has required production of certain materials prepared by counsel, at appellant’s specific request, for the purpose of providing legal advice.

Appellee asserts that the scope of protection provided by the attorney-client privilege to an attorney’s advice to his client is controlled by Marriott Corp. v. American Academy &c., 157 Ga. App. 497 (277 SE2d 785). Although Marriott establishes a five-part test, which is controlling in determining whether certain communications from a corporate client to counsel are protected by the attorney-client privilege, it is not applicable to those situations concerning the protection of an attorney’s advice given to his corporate client. The latter situation is governed by long-standing, express statutory provisions of this state.

In Upjohn Co. v. United States, 449 U. S. 383, 393 (101 SC 677, 66 LE2d 584), the Supreme Court observed that “if the purpose of the attorney-client privilege is to be served, the attorney and client must be able to predict with some degree of certainty whether particular discussions will be protected. An uncertain privilege, or one which purports to be certain but results in widely varying applications by the courts, is little better than no privilege at all.” We will apply this philosophy in resolution of this issue to the extent that existing statutory law permits. “A proper application of the privilege . . . requires a bright line in order to reassure attorneys and corporate managers of the secrecy of their communications.” Waldman, Beyond Upjohn: The Attorney-Client Privilege in the Corporate Context, 28 William & Mary Law Rev. 473, 483.

“Our Code recognizes certain privileges, including the attorney-client privilege, and prohibits the evidentiary use of communications protected by the privilege. See OCGA §§ 24-9-21; 24-9-24 and 24-9-25.” Williams v. State, 258 Ga. 281 (5) (368 SE2d 742). “Parties may obtain discovery regarding any matter, not privileged, which is relevant to the subject matter involved in the pending action.” (Emphasis supplied.) OCGA § 9-11-26 (b) (1); Morton v. Gardner, 242 Ga. 852, 857 (252 SE2d 413).

It has been said, and not without cause, that “[t]he exact nature of matters within the attorney-client relationship in the Georgia law is in a state of hopeless confusion.” Agnor, Use of Discovery under the *26 Ga. Civil Practice Act (3rd ed.), § 2-20. There are four primary statutes that address the attorney-client privilege, and three of these statutes can be traced directly to the Code of 1860. It has been asserted “[t]hese statutes are at the center of a confusing and indefinite picture of the attorney-client privilege in Georgia.” Milich, The Attorney-Client Privilege: The Common Law & Ga.’s Uncommon Statutes, 5 Ga. State Law Rev. 27, 36. We do not attempt today to unravel this so-called web of confusion, rather we seek to establish a relatively “bright-line” test, consistent with the century-old statutes of this state.

OCGA § 24-9-21 pertinently provides: “There are certain admissions and communications excluded on grounds of public policy. Among these are ... (2) Communications between attorney and client. . . .”

OCGA § 24-9-24 pertinently provides: “Communications to any attorney . . . pending his employment or in anticipation thereof shall never be heard by the court. The attorney shall not disclose the advice or counsel he may give to his client, nor produce or deliver up . . . other papers, except evidences of debt left in his possession by his client. This Code section shall not exclude the attorney as a witness to any facts which may transpire in connection with his employment.” (Emphasis supplied.)

OCGA § 24-9-25 provides statutory direction, not here applicable, regarding when an attorney may testify for or against his client. Although we have no reservations regarding the general legal principles therein expressed, we find the facts of Gilbert v. State, 169 Ga. App. 383 (313 SE2d 107), Buffington v. McClelland, 130 Ga. App. 460 (3) (203 SE2d 575), and Parker v. Wellons, 43 Ga. App. 721 (160 SE 109) distinguishable from this case. Likewise, Clarkson Indus. v. Price, 135 Ga. App. 787 (218 SE2d 921), involving “work product” exception, is distinguishable.

OCGA § 24-9-27 (c) provides: “No party or witness shall be required to make discovery of the advice of his professional advisers or his consultation with them.” (Emphasis supplied.)

It has been suggested that “[t]o the extent these three privilege statutes [OCGA §§ 24-9-21; 24-9-24; 24-9-27] are inconsistent with common law doctrine, the courts can and should ignore them.” Milich, 5 Ga. State Univ. Law Rev., supra at 74. However, these statutes are part of the modernized recodification of Georgia laws and should be accorded full force and effect until revised or revoked. See OCGA §§ 1-1-1; 1-1-2. Moreover, “statutory privileges of counsel are conferred for the benefit of clients and are sacred.” (Emphasis supplied.) 2 EGL, Attorney & Client, § 51, citing Dover v. Harrell, 58 Ga. 572.

In 1887, the Supreme Court in Fire Assn. of Philadelphia v.

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Bluebook (online)
383 S.E.2d 579, 192 Ga. App. 24, 1989 Ga. App. LEXIS 894, Counsel Stack Legal Research, https://law.counselstack.com/opinion/southern-guaranty-insurance-co-of-georgia-v-ash-gactapp-1989.