United States ex rel. Bagley v. TRW, Inc.

204 F.R.D. 170, 2001 U.S. Dist. LEXIS 24618, 2001 WL 1359221
CourtDistrict Court, C.D. California
DecidedOctober 25, 2001
DocketNo. CV95-4153-AHM(AJWX)
StatusPublished
Cited by12 cases

This text of 204 F.R.D. 170 (United States ex rel. Bagley v. TRW, 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
United States ex rel. Bagley v. TRW, Inc., 204 F.R.D. 170, 2001 U.S. Dist. LEXIS 24618, 2001 WL 1359221 (C.D. Cal. 2001).

Opinion

MEMORANDUM AND ORDER REGARDING DEFENDANT’S MOTION FOR A PROTECTIVE ORDER

WISTRICH, United States Magistrate Judge.

Introduction

Before the court is defendant TRW, Inc.’s motion for a protective order regarding 29 inadvertently produced privileged documents.1 Specifically, defendant asks the court to direct plaintiff United States, its counsel, and counsel for relator Richard D. Bagley (“relator”), to do the following:

(1) Return all of the Defendant’s inadvertently disclosed privileged documents listed in Exhibit “A” hereto that are in their possession or the possession of any of their agents; (2) Destroy all notes or other work product reflecting the content of such documents; (3) Delete from any computer database or other computer file any information reflecting the contents of such documents; and (4) Further prohibiting them from disclosing or using any information obtained from such inadvertently disclosed documents.

[Joint Submission at 1]. The parties apparently agree that the documents fall within the scope of the attorney-client privilege. [See Joint Submission at 38 n. 11]. The only questions requiring resolution are: (1) Was the attorney-client privilege waived by defendant’s inadvertent production or the documents?; and (2) Does the crime-fraud exception to the attorney-client privilege strip some of the documents of their otherwise privileged status?

Facts2

In 1995, plaintiff, through the Office of the Inspector General in the Department of Defense, served two administrative subpoenas on defendant. At the time plaintiff issued the subpoenas to defendant, plaintiff was not a party to this case. Nevertheless, pursuant to a cooperation agreement, plaintiff gave relator’s counsel access to the documents produced in response to the subpoenas. [See Joint Submission at 2 & 12-15].

The first subpoena, which was received by defendant on May 24, 1995, required production of documents by June 12, 1995. The second subpoena, which was received by defendant on October 2, 1995, required production of documents by October 31, 1995.3 Defendant did not request an extension of time to respond to the October 2, 1995, subpoena. [See Joint Submission at 2 & 12-15].

Supervised by the business ethics compliance director for defendant’s Redondo Beach, California, facility, and defendant’s vice president and assistant general counsel, a team of in-house paralegals, legal secretaries, and non-legal personnel reviewed the documents gathered in response to the October 2, 1995, subpoena to determine if any should be withheld from production on the ground of privilege. The reviewers were given a list of attorneys who had represented defendant in the past. Lawyers provided guidance to the non-lawyers, and were available to answer questions as the review proceeded. Potentially privileged documents flagged with post-its by the privilege review team were examined by defendant’s assistant general counsel, an in-house litigation attorney, or a in-house [173]*173patent attorney. An administrative assistant removed documents identified as privileged from the documents assembled for production. [See Joint Submission at 4-11],

In response to the October 2, 1995, subpoena, defendant produced 95 boxes of documents (approximately 200,000 pages) by October 31, 1995. An additional 33 boxes of documents responsive to the October 2, 1995, subpoena were collected later. Those were produced on January 22, 1996. [See Joint Submission at 5 & 15].

Defendant withheld more than 300 documents from production on the ground of privilege. The documents withheld included a December 9, 1993, memorandum written by attorneys employed by defendant’s outside law firm Fried, Frank, Harris, Shriver & Jacobson (“Fried, Frank”), and a Fried, Frank, internal document entitled “TRW IR & D/OITE issue summary.” Although some copies of those documents were withheld, other copies were produced by mistake. Additional privileged documents, including some which refer to the Fried, Frank documents, also were produced. Defendant’s production of privileged documents was unintentional. [See Joint Submission at 6].

Defendant did not discover that it had produced privileged documents on its own. Instead, in a letter dated May 22, 1997, relator’s counsel notified defendant’s counsel that they had encountered what appeared to be privileged documents when reviewing the documents which had been produced by defendant. Although at least some of those documents were labeled “attorney client privileged,” and although relator’s counsel initially assumed that the documents had been produced inadvertently, relator’s counsel studied them for a couple of weeks, and shared a written analysis of them with plaintiffs counsel, before notifying defendant of their production. [See Joint Submission at 7-8 & 18].

Defendant’s counsel immediately requested return of the documents, telephoning both relator’s counsel and plaintiffs counsel on May 28,1997, the day after defendant’s counsel received the May 22, 1997, letter. That request was reiterated in a letter sent on May 29, 1997. Although defendant’s request was refused, the parties agreed that the inadvertently produced privileged documents would be retained by counsel for plaintiff and relator, but would be segregated and sealed pending negotiations, and, if necessary, judicial determination, regarding their status. [See Joint Submission at 8 & 86 n. 29].4

After having been alerted that some privileged documents had been produced in response to the October 2, 1995, subpoena, defendant’s outside counsel, Fried, Frank, which had not been involved in the production, began the process of reviewing defendant’s production to determine whether other privileged documents had been inadvertently produced. Fried, Frank’s review of defendant’s production revealed that other errors had been made. Starting in November 1997, defendant began requesting the return of scores of additional privileged documents, a process that continued for over two years. [See Joint Submission at 9].

Defendant’s compliance with its obligation to specify its privilege claim can only be described as “poor.” Defendant waited a long time before serving a privilege log.5 In a letter accompanying the October 31, 1995, production, defendant informed plaintiff that it was withholding some responsive documents on the ground of privilege, and promised to serve a privilege log with the next delivery of documents. Presumably, defendant was referring to the delivery that ultimately occurred on January 22, 1996. Similarly, in a letter accompanying defendant’s January 22, 1996, production, defendant promised that a privilege log would be pro[174]*174vided “shortly.” No privilege log (or specific claim of privilege sufficient to satisfy the requirements of Rule 26(b)(5) in a different form) was provided substantially contemporaneously with either the October 31, 1995, production or the January 22, 1996, production. Plaintiff, however, apparently did not complain about the delay. [See Joint Submission at 15-17].

Defendant’s first privilege log, which listed 124 documents that had been produced inadvertently, was served on November 24, 1997, more than two years after defendant began its production in response to the October 2, 1995, subpoena.

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Bluebook (online)
204 F.R.D. 170, 2001 U.S. Dist. LEXIS 24618, 2001 WL 1359221, Counsel Stack Legal Research, https://law.counselstack.com/opinion/united-states-ex-rel-bagley-v-trw-inc-cacd-2001.