UMG Recordings, Inc. v. MySpace, Inc.

526 F. Supp. 2d 1046, 2007 U.S. Dist. LEXIS 91179, 2007 WL 4305929
CourtDistrict Court, C.D. California
DecidedDecember 10, 2007
DocketCV 06-7361 AHM (AJWx)
StatusPublished
Cited by12 cases

This text of 526 F. Supp. 2d 1046 (UMG Recordings, Inc. v. MySpace, Inc.) is published on Counsel Stack Legal Research, covering District Court, C.D. California primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
UMG Recordings, Inc. v. MySpace, Inc., 526 F. Supp. 2d 1046, 2007 U.S. Dist. LEXIS 91179, 2007 WL 4305929 (C.D. Cal. 2007).

Opinion

ORDER DENYING MOTION TO DISQUALIFY O’MELVENY & MYERS, LLP

A. HOWARD MATZ, District Judge.

I. INTRODUCTION

The tale that follows reveals quite a lot about how law is practiced at certain levels of the legal profession. It reflects the pitfalls that large firms representing pow *1048 erful clients in high stakes disputes often encounter in complying with ethical and professional requirements that were promulgated in a different era.

Several years ago, what has been described as the largest music recording and distribution company in the United States became embroiled in highly publicized copyright litigation involving Napster. A federal judge ordered the company to produce documents it had withheld under the attorney-client privilege, finding that the company had used the documents to perpetrate a fraud. At stake was whether the recording company colluded with competitors to misuse copyrights and thereafter deceived the United States Department of Justice and others. The company, already represented by a prominent law firm, retained a giant multinational law firm to overturn that ruling on appeal and to deal with the Department of Justice. The law firm already represented other clients that were likely to have legal disputes with the recording company, and so it obtained a waiver of potential conflicts of interest. Although the waiver was negotiated over a lengthy period, it was never reduced to a single document. Meanwhile, the firm enlisted nineteen of its lawyers, from different offices, to work on the engagement. Ultimately, by virtue of a settlement, the client-record company was not required to produce the documents and the Department of Justice inquiry was terminated.

Shortly afterward, the recording company filed an unrelated action against the world’s largest social networking internet website. Sure enough, the website defendant retained the huge law firm to defend it. The law firm created an ethical wall and filed an answer containing eighteen affirmative defenses. One such defense, the third, alleged in its entirety: “Each and every cause of action in the [First Amended Complaint] is barred by the misuse of copyright doctrine.” A few months later, the law firm served discovery responses and requests relating to that affirmative defense. Those documents caused the recording company to charge that the law firm had thereby breached its duty to preserve its confidential information, and it moved to disqualify the law firm. That motion is now before the Court.

Plaintiff UMG Recordings, Inc. (“UMG”) filed this lawsuit on November 17, 2006, claiming that Defendants MySpace, Inc. and News Corporation (collectively, “MySpace”) have enabled or induced others to infringe, their copyrights. On August 20, 2007 UMG moved to disqualify the law firm for Defendants, O’Melveny & Myers (“OMM”). OMM previously represented UMG in an action entitled In re Napster Copyright Litigation and a related Department of Justice (“DOJ”) inquiry. UMG alleges that OMM’s prior representation of UMG in those matters is substantially related to issues in this litigation, thereby mandating OMM’s disqualification. OMM responds that the two matters are not substantially related but that even if they are, UMG waived any right to object and to have OMM disqualified.

The Court finds that OMM did transgress its duties to UMG, but DENIES Plaintiffs motion because a number of factors, in the aggregate, enable the Court to fashion a remedy that achieves the purposes of the applicable ethical rules without depriving Defendants of their right to select their own counsel. Those factors include MySpace’s abandonment of the contentions and efforts that created the conflict; the absence of any actual disclosure of confidential information; and the Court’s exercise of its inherent authority to preclude MySpace from pursuing such conflict-triggering matters. In addition the Court will require MySpace to reim *1049 burse UMG for its substantial attorneys fees.

II. FACTS 1

A. Prior Hummer Winblad Litigation.

In 1999, various record companies (including UMG, f/k/a Polygram Records, Inc.) filed suit against Napster, Inc. (“Napster”) for copyright infringement. Napster unsuccessfully asserted copyright misuse as an affirmative defense, and the district court enjoined it from operating its peer-to-peer music file sharing service. See A & M Records, Inc. v. Napster, Inc., 114 F.Supp.2d 896, 923 (N.D.Cal.2000). At some unspecified point during the pendency of that case, UMG entered into a joint venture with Sony Music Entertainment (“Sony”) for the digital distribution of online music. The venture was called “pressplay.”

In July 2001, the Antitrust Division of the United States Department of Justice (“DOJ”) launched an investigation into whether pressplay was a smokescreen designed to enable UMG and Sony to collaborate to block meaningful distribution of digital music on the Internet. In December 2002, UMG and Sony submitted a “White Paper” to the DOJ, setting forth their position regarding the pressplay joint venture. Sometime thereafter, UMG and Sony sold their controlling interests in pressplay, and on December 23, 2003, the DOJ closed its inquiry into pressplay, stating that it “uncovered no evidence that the major record labels’ joint ventures have harmed competition or consumers of digital music” and “found no impermissible coordination among the record labels as to the terms on which they would individually license their music to third-party services.” See DOJ Press Release at http://www. usdoj.gov/atr/public/press — releases/2003 /201946.htm.

On April 21, 2003, after Napster had filed bankruptcy, UMG filed separate suits against Napster’s major investors, Hummer Winblad Venture Partners (“Hummer Winblad”) and Bertelsmann AG. The cases were consolidated before the Honorable Marilyn Patel in the Northern District of California. UMG and the other plaintiffs claimed that by investing in Napster and assuming control of the Napster file-sharing network, defendants contributorily and vicariously infringed plaintiffs’ exclusive rights under the Copyright Act. On August 31, 2004, Hummer Winblad filed an Answer, setting forth the affirmative defense that UMG had engaged in “copyright misuse” and counterclaiming against UMG for alleged antitrust violations, including collusion with other record companies, Sony and BMG among them, to eliminate competition in the market for the online distribution of recorded music.

On December 12, 2005, Hummer Win-blad moved to compel the production of documents that UMG had provided to the DOJ in connection with the 2002 “White Paper.” UMG had refused to provide the documents on the basis that they were privileged under the attorney-client privilege. Hummer Winblad contended that UMG knew that those arguments were false or misleading and that the “crime-fraud” exception to the attorney-client privilege precluded UMG from withholding them.

There were three categories of alleged misrepresentations that Hummer Winblad pointed to.

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Bluebook (online)
526 F. Supp. 2d 1046, 2007 U.S. Dist. LEXIS 91179, 2007 WL 4305929, Counsel Stack Legal Research, https://law.counselstack.com/opinion/umg-recordings-inc-v-myspace-inc-cacd-2007.