United States v. Weed

99 F. Supp. 3d 201, 2015 U.S. Dist. LEXIS 52538, 2015 WL 1774480
CourtDistrict Court, D. Massachusetts
DecidedApril 14, 2015
DocketCriminal No. 14-cr-10348-DPW
StatusPublished
Cited by3 cases

This text of 99 F. Supp. 3d 201 (United States v. Weed) is published on Counsel Stack Legal Research, covering District Court, D. Massachusetts primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
United States v. Weed, 99 F. Supp. 3d 201, 2015 U.S. Dist. LEXIS 52538, 2015 WL 1774480 (D. Mass. 2015).

Opinion

MEMORANDUM OF DECISION AND ORDER ON GOVERNMENT’S MOTION FOR AN ORDER AS TO THE APPLICABILITY OF THE CRIME FRAUD EXCEPTION

DEIN, United States Magistrate Judge.

I. INTRODUCTION

The defendant, Richard Weed, is charged in an Indictment with conspiracy in violation of 18 U.S.C. § 371, securities fraud in violation of 15 U.S.C. §§ 78j(b) and 78ff, and nine counts of wire fraud in violation of 18 U.S.C. § 1343. The Indictment charges Weed with conspiring with co-conspirators 1 and 2 (“CC-1” and “CC-[204]*2042”) to manipulate the value of stock in various publicly traded companies. This matter is before the court on the Government’s Motion for an Order as to the Applicability of the Crime Fraud Exception (Docket No. 31). By this motion, the government is seeking an order that the crime fraud exception to the attorney-client privilege applies to documents it received from CC-1, which reflect communications among the defendant, who is an attorney, CC-1 and CC-2, both of whom have waived the attorney-client privilege, and a third person, Individual A, who has not been approached by the Government and has not waived any potential claim of privilege. According to the co-conspirators, these communications relate to the manipulation of the shares of Company A, an entity which is not identified in the Indictment. The Government is seeking permission to review and produce these documents to the defendant. By its motion, the Government is also seeking leave to proceed without giving notice to Individual A.

After careful consideration of the parties’ written submissions1 and oral argument, this court finds that the Government has'established “that there is a reasonable basis to believe that the lawyer’s services were used by the elient[s] to foster a crime or fraud.” In re Grand Jury Proceedings, 417 F.3d 18, 23 (1st Cir.2005). Specifically, I find that the Government has made a prima facie showing (1) that the clients were “engaged in (or [were] planning) criminal or fraudulent activity when the attorney-client communications took place; and (2) that the communications were intended by the client[s] to facilitate or conceal the criminal or fraudulent activity.” In re Grand Jury Proceedings (Gregory P. Violette), 183 F.3d 71, 75 (1st Cir.1999). Therefore, the crime-fraud exception applies, and the Government’s motion (Docket No. 31) is ALLOWED. Moreover, I find that the Government may proceed without giving notice to Individual A. See id. at 79.

II. STATEMENT OF FACTS

The Government has submitted evidence to the effect that CC-1 and CC-2 have admitted to engaging the legal services of the defendant for the purpose of facilitating criminal activity in the form of manipulating the value of shares of stock in CitySide Tickets, Inc., as alleged in the Indictment. The co-conspirators have pleaded guilty to charges arising out of the so-called “CitySide Scheme.” In addition, CC-1 and CC-2 have waived any attorney-client privilege with respect to communications regarding the CitySide Scheme, and those documents have been produced to the defendant.

The co-conspirators have also admitted to engaging the legal services of the defendant for the purpose of a similar scheme relating to Company A, which is not referenced in the Indictment. CC-1 and CC-2 have waived any attorney-client privilege with respect to communications regarding this scheme as well. However, this scheme also allegedly included Individual A, who participated in the attorney-client communications with the defendant. CC-1 and CC-2 have attested that they, along with Individual A, engaged the defendant to facilitate or conceal their fraudulent activity in connection with Company A. The Government has not approached Individual A or sought his/her cooperation or waiver of the attorney-client privilege.

Additional facts will be provided below where appropriate.

[205]*205III. ANALYSIS

A. The Crime-Fraud Exception

Under usual circumstances, attorneys’ confidential communications with their clients are protected by the attorney-client privilege. “Familiarly, the attorney-client privilege—somewhat simplified—is a privilege of a client to refuse to testify or to have his counsel testify as to confidential communications between the two made in connection with the rendering of legal representation.” In re Grand Jury Proceedings, 417 F.3d at 21. “The attorney-client privilege is the oldest of the privileges for confidential communications known to the common law. Its purpose is to encourage full and frank communication between attorneys and their clients and thereby promote broader public interests in the observance of law and administration of justice. The privilege recognizes that sound legal advice or advocacy serves public ends and that such advice or advocacy depends upon the lawyer’s being fully informed by the client.” Upjohn Co. v. United States, 449 U.S. 383, 389, 101 S.Ct. 677, 682, 66 L.Ed.2d 584 (1981) (internal citations omitted).

Despite the importance of the attorney-client privilege, it is not inviolate. The crime-fraud exception to the privilege “ensures that the attorney-client privilege will not extend to communications made for the purpose of getting advice for the commission of a fraud or crime. Thus, the attorney-client privilege is forfeited inter alia where the client sought the services of the lawyer to enable or aid the client to commit what the client knew or reasonably should have known to be a crime or fraud.” In re Grand Jury Proceedings (Gregory P. Violette), 183 F.3d at 75 (internal quotations and citations omitted). Accordingly, under the crime-fraud exception, communications between an attorney and his client which would ordinarily be privileged, are not entitled to such protection. In re Grand Jury Proceedings, 417 F.3d at 22.

For the crime-fraud exception to apply, the party invoking it must make a prima facie showing first, that the client was engaged in (or was planning) criminal or fraudulent activity at the time of the attorney-client communications, and, second, that the client intended that the communications would facilitate or conceal the wrongful activity. In re Grand Jury Proceedings (Gregory P. Violette), 183 F.3d at 75. See also United States v. Albertelli, 687 F.3d 439, 450 (1st Cir.2012). “[I]t is enough to overcome the privilege that there is a reasonable basis to believe that the lawyer’s services were used by the client to foster a crime or fraud.” In re Grand Jury Proceedings, 417 F.3d at 23.

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Cite This Page — Counsel Stack

Bluebook (online)
99 F. Supp. 3d 201, 2015 U.S. Dist. LEXIS 52538, 2015 WL 1774480, Counsel Stack Legal Research, https://law.counselstack.com/opinion/united-states-v-weed-mad-2015.