United States v. At&t Inc.

CourtDistrict Court, District of Columbia
DecidedFebruary 20, 2018
DocketCivil Action No. 2017-2511
StatusPublished

This text of United States v. At&t Inc. (United States v. At&t Inc.) is published on Counsel Stack Legal Research, covering District Court, District of Columbia primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
United States v. At&t Inc., (D.D.C. 2018).

Opinion

UNITED STATES DISTRICT COURT

FoR THE DISTRICT oF CoLUMBIA F I L E D UNITED sTATEs oF AMERICA, ) FEB 2 0 2013 Plaintiff, § c(i':iié idrs£h[iisbi;irts§igi'ii:\iiiiia v. § Civil Case No. 17-2511 (RJL) AT&T INC., ex al., § Defendants. § -¢H/ MEMoRANDUM oPlNIoN AND oRDER (February _Zg, 2018)

On November 2(), 2017, the United States, acting through the Department of Justice’s Antitrust Division (“plaintiff’ or “the Government”), brought this action to enjoin the merger of defendants AT&T/DirecTV and Time Warner (collectively, “defendants”) under Section 7 of the Clayton Act, 15 U.S.C. § 18. See generally Compl. [Dkt. # l]. In answering the complaint, defendants raised the defense that plaintiff’s claim _“reflects improper selective enforcement of the antitrust laws.” Answer 28 [Dkt. # 20]. Speciflcally, defendants assert that the challenge to their vertical merger was brought not due to any credible antitrust concerns, but because one of the Time Warner networks to be acquired, CNN, has engaged in political speech disfavored by President Trump. See, e.g., 2/16/2018 Hr’g Tr. (“Hr’g Tr.”) 35:12-24 [Dkt. # 67].

In December 2017, defendants asked plaintiff to produce discovery relating to their “selective enforcement” defense. Id. at 21 : 12. In particular, defendants have asked

plaintiff to compile and produce summary documents, known as privilege logs, cataloguing

the existence (but not the contents) of certain written and oral communications regarding the White House’s views of the proposed AT&T-Time Warner merger. Plaintiff has completed and produced one Such log setting forth a list of “all written communications between the White House and the Antitrust Division that relate to the subject of th[e] merger.” Icl. at 39:21-4():2. Although that log apparently indicates that there were no “untoward” communications between the White House and the Antitrust Division, id. at 41 :4, defendants, through document requests and interrogatories, have asked plaintiff to produce similar logs listing: 1) all written “communications between the Antitrust Division and the Attorney General’s Offlce” in which “the White House[’s] views are expressed about the merger,” id. at 55:5-8; 2) all written communications and documents “between the Attorney General’s Office and the White House about this merger,” id. at 55112-14; and 3) all “oral communications between the White House and the Antitrust Division with regard to the AT&T merger,” id. at 46:8-9, 19-20; see also id. at 56:7-1(). Plaintiff objects to providing any of that information. That brings us to the dispute currently before the Court.

By joint letter dated February 13, 2018, the parties, in accordance with the procedures established in the Case l\/lanagement Order [Dkt. # 54], informed the Court that they were at an impasse in their negotiations over defendants’ entitlement to the requested privilege logs. The parties explained their dispute at a status hearing held on February 16, 2018. On the one hand, defendants assert that they are entitled to the requested privilege logs because those logs are relevant to their selective enforcement defense. Accordingly,

defendants ask that this Court require plaintiff to compile and turn over privilege logs that

are responsive to the outstanding discovery requests. See l-Ir’g Tr. 55:5-56:23. Plaintiff, for its part, argues that defendants have failed to establish their right to discovery on the issue ofselective enforcement See id. at 5911-16. Plaintiff has moved to strike defendants’ selective enforcement defense as well as to quash any outstanding discovery requests related to that defense. See id. at 60:4-9.

With the trial date in this case fast approaching, all agree that we cannot afford to spend much of the little remaining preparation time litigating this matter. Even without the luxury of back-and-forth briefing, however, the parties, through arguments of able counsel, have made their positions clear. Both sides acknowledge that the Supreme Court’s decision in United Stales v. Armslrong, 517 U.S. 456 (1996), controls the analysis of defendants’ entitlement to additional selective enforcement discovery. See Hr’g Tr. 11:1 1- 18, 21:23-24. Thus, the issue here is whether defendants have satisfied Armstrong’s requirements For the reasons discussed below, l conclude they have not.

As our Circuit has often recognized, “[p]rosecutors have broad discretion to enforce the law, and their decisions are presumed to be proper absent clear evidence to the contrary.” United Stales v. Slalten, 865 F.3d 767, 799 (D.C. Cir. 2017) (citing Armstrong, 517 U.S. at 464). To be sure, defendants are correct that Executive Branch enforcement decisions are “subject to constitutional constraints,” including a prohibition on selectively prosecuting individuals for exercising their constitutional rights. Armstrong, 517 U.S. at 464 (internal quotation marks omitted); see Att ’y Gen. OfUm`lea’ Slates v. Irish People, lnc., 684 F.Zd 928, 932, 935 & n.1l (D.C. Cir. 1982). But the Supreme Court has emphasized

that court orders allowing discovery into the exercise of prosecutorial discretion_just as

those resolving the merits ofa selective enforcement claim_raise a number of “substantial concerns.” Wayte v. United States, 470 U.S. 598, 607 (1985); see Armstrong, 517 U.S. at 468. Those concerns range from a recognition of the judiciary’s inability to competently assess the basis for a decision to prosecute, to the threat that courts may “unnecessarily impair” the Executive Branch’s performance of a “core” constitutional function, to the practical fact that selective enforcement discovery “will divert prosecutors’ resources and may disclose the Government’s prosecutorial strategy.” Armstrong, 517 U.S. at 465, 468.

For those reasons, the Supreme Court and our Circuit have established a “rigorous standard” that defendants must meet before even obtaining discovery on a selective enforcement defense. Ia’. at 468. Under that standard, defendants must put forward “some evidence tending to show the existence of the essential elements of the defense, discriminatory effect ana discriminatory intent.” Icl. (emphasis added) (internal quotation marks omitted); see Irz`sh People, 684 F.Zd at 932. “lf either part of the test is failed, the defense fails,” meaning that defendants cannot “subject[] the Government to discovery” unless they make a colorable showing that this enforcement action was in fact selective. lrz`sh People, 684 F.2d at 947; see Armstrong, 517 U.S. at 469-70. They cannot do so here.

Defendants have fallen far short of establishing that this enforcement action was selective»that is, that there “exist persons similarly situated who have not been prosecuted.” lrz`sh People, 684 F.2d at 946; see also ia’. (“Discrimination cannot exist in a vacuum; it can be found only in the unequal treatment of people in similar circumstances.”). As our Circuit has noted, defendants are “similarly situated” for

purposes of a selective enforcement claim “when their circumstances present no

distinguishable legitimate prosecutorial factors that might justify making different prosecutorial decisions with respect to them.” Branch Minz`strz'es v. Rossottz`, 21 1 F.3d 137, 145 (D.C. Cir. 2000) (quoting Unitea’ Staz‘es v. Hastz`ngs, 126 F.3d 310, 315 (4th Cir. 1997)).

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Related

Wayte v. United States
470 U.S. 598 (Supreme Court, 1985)
United States v. Armstrong
517 U.S. 456 (Supreme Court, 1996)
United States v. James C. Hastings
126 F.3d 310 (Fourth Circuit, 1997)
United States v. Nicholas Slatten
865 F.3d 767 (D.C. Circuit, 2017)

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