Kulzer v Biomet et al
Filing
135
OPINION AND ORDER denying 124 Sealed Motion. Signed by Judge Robert L Miller, Jr on 4/26/12. (smp)
UNITED STATES DISTRICT COURT
NORTHERN DISTRICT OF INDIANA
SOUTH BEND DIVISION
In Re: Application of
HERAEUS KULZER GmbH for an
Order Pursuant to 28 U.S.C. § 1782
to Take Discovery Pursuant to the
Federal Rules of Civil Procedure
for Use in Foreign Proceedings
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CAUSE NO. 3:09-CV-530 RM
OPINION and ORDER
Heraeus Kulzer GmbH has filed a motion to compel Biomet, Inc. and Biomet
Orthopedics, LLC to produce documents and related information Biomet withheld
from production based on a claim of attorney-client privilege. Heraeus says it
learned only recently of two documents Biomet listed on its privilege log that,
Heraeus says, demonstrate that Biomet “apparently enlisted its counsel’s
assistance in its attempt to cover up its misdeeds and keep them from being
discovered by Heraeus.” Heraeus maintains the crime-fraud exception to the
attorney-client privilege applies and provides support for its request that Biomet
produce the documents from the privilege log. Alternatively, Heraeus asks that the
court conduct an in camera review of the documents to decide whether the
documents should be produced. Biomet and intervenor Esschem have filed
objections to Heraeus’ motion.
Crime-Fraud Exception
Heraeus argues that the crime-fraud exception to the attorney client
privilege is applicable. “The crime-fraud exception places communications made
in furtherance of a crime or fraud outside the attorney-client privilege.” United
States v. BDO Seidman, LLP, 492 F.3d 806, 818 (7th Cir. 2007). “The exception’s
purpose is to ensure that the confidentiality afforded to communications between
attorney and client does not extend to communications made for the purpose of
getting advice for the commission of a fraud or crime.” Shaffer v. American Medical
Ass’n, 662 F.3d 439, 447 (7th Cir. 2011). To prevail, Heraeus must “present prima
facie evidence that gives color to the charge by showing some foundation in fact,”
and Biomet may then “come forward with an explanation for the evidence offered
against the privilege.” United States v. Boender, 649 F.3d 650, 655 (7th Cir. 2011)
(internal quotations and citations omitted). The court must exercise its discretion
“in accepting or rejecting the proffered explanation, [and] may, if necessary,
examine the privileged communications themselves to determine whether they
further a crime or fraud.” United States v. Boender, 649 F.3d at 656; see also
Miyano Machinery USA, Inc. v. MiyanoHitec Machinery, Inc., 257 F.R.D. 456, 462
(N.D. Ill. 2008) (“The Seventh Circuit has held that a prima facie showing of fraud
does not require evidence sufficient to support a verdict but, rather, enough
evidence to require the party in the best position to explain things, to come
forward with that explanation. The privilege will remain if the district court finds
the explanation satisfactory.”).
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“[A] party seeking to invoke the crime-fraud exception must at least
demonstrate that there is probable cause to believe that a crime or fraud has been
attempted or committed and that the communications were in furtherance
thereof.” Mattenson v. Baxter Healthcare Corp., 438 F.3d 763, 769 (7th Cir. 2006)
(quoting In re Richard Roe, Inc., 68 F.3d 38, 40 (2d Cir. 1995)). “To satisfy the ‘in
furtherance of’ element of the crime-fraud exception, a logical link must exist
between the privileged communication and the proposed crime or fraud. That is,
the legal advice must relate to future illicit conduct by the client; it must be the
causa pro causa, the advice that leads to the deed. Further, it does not suffice that
the communications may be related to a crime; they must actually have been
made with an intent to further an unlawful act.” In re Neurontin Antitrust
Litigation, 801 F. Supp. 2d 304, 309-310 (D.N.J. 2011) (internal quotations and
citations omitted). “The moving party need not make a specific showing of the
client’s intent in consulting the attorney, but the evidence must support the
inference that the attorney’s representation or advice assisted the client in
committing the alleged offense.” Nobelpharma Ab v. Implant Innovations, Inc., 930
F. Supp. 1241, 1261 (N.D. Ill. 1996).
“[A] lesser evidentiary showing is needed to trigger in camera review than
is required to ultimately overcome the privilege. . . . The court should make [the]
decision [about whether to engage in an in camera review] in light of the facts and
circumstances of the particular case, including, among other things, the volume
of materials the district court has been asked to review, the relative importance
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to the case of the alleged privileged information, and the likelihood that the
evidence produced through in camera review, together with other available
evidence then before the court, will establish that the crime-fraud exception does
apply.” United States v. Zolin, 491 U.S. 554, 572 (1989).
Applicability/Extension of Exception
Biomet first argues that the crime-fraud exception doesn’t extend to an
ordinary tort case like this, and the exception should, instead, be limited to cases
where an attorney facilitates a crime or a fraud. The “unsettled and developing
nature of the law” relating to what types of alleged conduct fall within the crimefraud exception was examined in Koch v. Specialized Care Servs., Inc., 437 F.
Supp. 2d 362 (D.Md. 2005). The court first noted the following language from
RESTATEMENT (THIRD) LAW GOVERNING LAW § 82 cmt. d:
The evidence codes and judicial decisions are divided on the
questions of extending the exception to other wrongs such as
intentional torts, which, although not criminal or fraudulent, have
hallmarks of clear illegality and the threat of serious harm.
Legislatures and courts classify illegal acts as crimes and frauds for
purposes and policies different from those defining the scope of the
privilege. Thus, limiting the exception to crimes and frauds produces
an exception narrower than principle and policy would otherwise
indicate. Nonetheless, the prevailing view limits the exception to
crimes and frauds. The actual instances in which a broader exception
might apply are probably few and isolated, and it would be difficult
to formulate a broader exception that is not objectionably vague.
437 F. Supp. 2d at 375. The Koch court interpreted the Restatement as “not
outrightly” rejecting the expansion of the exception “outside the traditional notions
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of crime or fraud,” but, rather, as recognizing that while a blanket expansion
couldn’t be “easily codified into language suitable for purposes of the
Restatement,” specific expansions could be proper “on a factual, case-by-case
basis.” 437 F. Supp. 2d at 375.
The Koch court noted, too, that “[a] survey of case law demonstrates judicial
willingness to expand the exception to the kind of conduct alleged here [i.e.,
tortious interference with contract].” 437 F. Supp. 2d at 376 (citing cases). The
Koch court ultimately concluded that “the policies underlying the attorney-client
privilege would not support the protection of communications in furtherance of
‘the injurious conduct or fraud’ alleged by the plaintiffs.” 437 F. Supp. 2d at 376;
see also Blanchard v. EdgeMark Fin. Corp., 192 F.R.D. 233, 241 (N.D. Ill. 2000)
(“[T]he term ‘crime-fraud’ is a bit of a misnomer, as it is clear that many courts
have recognized other situations in which the exception might apply.” (citing
cases)); Cleveland Hair Clinic, Inc. v. Puig, 968 F. Supp. 1227, 1241 (N.D. Ill.
1996) (applying crime-fraud exception to counsel’s sanctionable misconduct under
Rules 11 and 37); 1100 West, LLC v. Red Spot Paint and Varnish Co., Inc., No.
1:05-cv-1670, 2009 WL 232060, at *5 (S.D. Ind. Jan. 30, 2009) (applying crimefraud exception to circumstances where 1100 West “provided prima facie evidence
that Red Spot purposefully concealed relevant documents during discovery”).
No party in this case has alleged that the crime-fraud exception applies
because a crime was committed, but Heraeus’ claims against Biomet could be
viewed as allegations that Biomet committed a fraud by concealing relevant
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documents. The court concludes, contrary to Biomet’s argument, that extending
the crime-fraud exception to the circumstances present here is justified.
Discussion
Heraeus maintains the record shows that Daniel Smith (the Biomet
employee in charge of developing Biomet’s bone cements) and Dr. Rainer Specht
(Biomet’s European scientist who, having previously worked for Merck, had direct
access to Heraeus’ confidential information) each acknowledged that they were
trying to make Heraeus’ trade secrets available to Esschem to assist Esschem in
developing a bone cement for Biomet. Heraeus points to
– A March 11, 2004 letter from Dan Smith to Esschem, asking
Esschem to develop two copolymers, specifying that the “chemical
formulation of the polymer powders must be nominally identical, and the
morphology very similar to the polymeric components of [Heraeus’] Palacos
R Bone Cement. The cement made using these polymer powders should
mirror Palacos in both handling and mechanical properties. The
combination of publically available information and laboratory analysis of
currently-marketed cements should provide you with a good starting point
for development of processes to produce these polymer powders. . . . Within
a few days I will be sending several units of Palacos R from various
distributors (Schering-Plough, Richard’s, and Biomet) and several units of
Osteopal Bone Cement.” Heraeus Exh. A.
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– An April 29, 2004 e-mail from Dr. Specht to Mr. Smith: forwarding
a recipe for the new Biomet bone cement, which he referred to as “our
Palacos-me-too product.” Heraeus Exh. B, p. 1366.
– A May 7, 2004 e-mail from Dr. Specht to Mr. Smith: “Attached for
your information I send you an information I had received from Kulzer
concerning the chlorophyll. Of course this is not public information.”
Heraeus Exh. B, p. 2981.
– A July 12, 2004 e-mail from Dr. Specht to Mr. Smith: “[A]ttached I
have a description from Kulzer about the preparation of the chlorophyll for
the cement and a clear description, in which form the chlorophyll is added
to the powder and the liquid. I have to admit that at present I do not see a
possibility how to get this information to Esschem. Do you have an idea?”
Heraeus Exh. B, p. 2985.
Heraeus says documents it relies on also show that Biomet obtained Heraeus’
confidential specifications for the copolymers Heraeus purchases from Rhom,
which Biomet then used to evaluate the copolymers produced by Esschem, see
Heraeus Exh. B, p. 2291, and that Dan Smith “scoured literature looking for
snippets about chlorophyll that might be pieced together and provided to Esschem
using Heraeus’ confidential information as a roadmap.” Heraeus Exh. B, p. 2982.
Heraeus says, too, that Mr. Smith’s reference to “look[ing] the packet over
with legal” in his February 17, 2004 e-mail to Dr. Specht was code for seeking
legal advice about how Biomet could supply Esschem with Heraeus’ trade secrets
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for Esschem’s use in developing a bone cement for Biomet without disclosing
where the information came from:
I am very pleased with the public information that you have
identified. I think that with this information and samples of the
‘target’ cements, Esschem can proceed efficiently (I think you found
the key piece of puzzle both in the Carlsson et al. paper and the
Schering-Plough literature). . . . Finally, would you forward copies of
the literature on your list and any additional instructions that you
think would be appropriate to provide to Esschem. We will look the
packet over with legal and upon agreement that its all OK, either you
or I can forward the packet to Esschem.
Heraeus Exh. B, p. 3024.
Heraeus concludes that “the documents and testimony show that Dr.
Specht possessed Heraeus’ confidential information, Dr. Specht and Mr. Smith
used that information to assist Esschem in producing copolymers for Biomet, and
Biomet’s lawyers were enlisted to assist Dr. Specht and Mr. Smith to accomplish
this scheme.” Memo., at 7. Heraeus asks the court to require Biomet to disclose
the documents Biomet listed on its privilege log – Dan Smith’s February 27, 2004
request for “legal advice regarding business relationship with Esschem,” and
Robert Ronk’s October 22, 2004 request for “legal advice regarding business
relationship with Esschem and development of bone cements” – under the crimefraud exception to the attorney-client privilege because, according to Heraeus,
those “allegedly privileged communications were made in preparation or
furtherance of Biomet’s illicit scheme to use Heraeus’ trade secrets and
confidential information and indeed to cover up that scheme.” Memo., at 2.
Heraeus says the “most plausible inference” to be drawn from the timing and
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topics of those e-mails is that Messrs. Smith and Ronk were trying to get
“assistance from Biomet’s lawyers in furtherance of the plan to use Heraeus’ trade
secrets and confidential information in the creation of Biomet’s competing bone
cements. Indeed, it appears that Biomet’s employees enlisted its counsel to assist
it in covering up its misappropriation of Heraeus’ trade secrets.” Memo., at 12-13.
Heraeus says at the very least the court should conduct an in camera examination
of the documents to evaluate whether the crime-fraud exception applies.
Biomet responds that Heraeus hasn’t pointed to “any actual fraudulent or
criminal activity, much less any such activity furthered by the advice of counsel.”
Biomet admits it contacted Esschem to develop a bone cement product that would
be similar to and able to compete with Heraeus’ product, but in the process of
working with Esschem in that development “Biomet was careful to not provide any
confidential or nonpublic information to Esschem to assist in developing the
copolymers.” Resp., at 6. Dan Smith testified in his deposition that he was careful
to forward only publically available information to Esschem and, in fact, didn’t see
any need to use information that wasn’t publically available, especially since one
of the public documents the parties relied on was a book written by Dr. K. Kuhn,
a Heraeus employee, describing some of the properties of the components of
Heraeus bone cements, and the product samples relied on were publically
available polymers. Biomet maintains that “[w]ithin this framework of public
information – and with its extensive industry experience – Esschem began
developing the requested co-polymers.” Resp., at 7, 15-16.
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Biomet counters that the “most plausible inferences” to be drawn from Mr.
Smith and Mr. Ronk having sought legal advice are, first, that they were seeking
legal advice for legitimate purposes because Biomet’s supply relationship with
Esschem was new, the project with Esschem was important to Biomet, and
numerous rules and regulations surround products like bone cements, and,
second, in light of the litigious history between Heraeus and Biomet-related
entities (over 15 foreign suits since 2005), Messrs. Smith and Ronk were seeking
legal advice to protect the Biomet companies. According to Biomet, “there are any
number of valid reasons Messrs. Smith and Ronk may have contacted their
General Counsel. Heraeus has offered no proof that the contrary is true, and none
exists.” Resp., at 18.
Biomet maintains that Heraeus hasn’t provided evidence that Biomet’s
counsel helped the company in misappropriating Heraeus’ trade secrets, nor has
Heraeus presented a factual basis “adequate to support a good faith belief by a
reasonable party that in camera review of the materials may reveal evidence to
establish that the claim that the crime-fraud exception applies.” Resp., at 18-19.
Biomet concludes that it is willing to provide “the documents and witness
declarations explaining the communications and the circumstances surrounding
them” for the court’s review if asked to do so. Resp., at 20.
Intervenor Esschem indicated in its response to Heraeus’ motion that while
Esschem “takes no position on the validity of Biomet’s privilege claim since the
two documents that are the subjects of [Heraeus’] motion do not implicate any
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privilege belonging to Esschem,” the company believes that Heraeus hasn’t
identified any evidence showing that Heraeus’ confidential information was ever
transmitted to Esschem or that Esschem needed any such information to develop
copolymers for Biomet. Esschem represents that it “developed the copolymers at
issue through experimentation and chemical analysis using Esschem’s own
confidential formulas, processes, equipment, and know-how that Esschem had
developed over those years.” Esschem concludes that “[t]o the extent the relief
sought by Heraeus is premised on the argument that Biomet used confidential
trade secrets it had misappropriated from Heraeus to guide Esschem’s
development efforts, that relief should be denied.”
The attorney-client privilege is “the oldest of the privileges for confidential
communications known to the common law. . . . The attorney-client privilege must
necessarily protect the confidences of wrongdoers, but the reason for that
protection – the centrality of open client and attorney communication to the
proper functioning of our adversary system of justice – ‘ceas[es] to operate at a
certain point, namely, where the desired advice refers not to prior wrongdoing, but
to future wrongdoing.’” United States v. Zolin, 491 U.S. 554, 562-563 (1989)
(quoting 8 J. WIGMORE, EVIDENCE § 2298, p. 573 (McNaughton rev. 1961) (emphasis
in original)). “The party seeking to abrogate the privilege meets its burden by
bringing forth sufficient evidence to justify the [] court in requiring the proponent
of the privilege to come forward with an explanation for the evidence offered
against it. The privilege will remain if the [] court finds that explanation
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satisfactory.” United States v. BDO Seidman, LLP, 492 F.3d 806, 818-819 (7th
Cir. 2007).
Heraeus claims the evidence establishes that Biomet’s attorneys aided
Biomet employees in supplying Esschem with Heraeus’ trade secrets so Esschem
could develop a competing bone cement, but the court can’t agree. That two
Biomet employees sought legal advice from Biomet’s counsel relating to Biomet’s
“business relationship with Esschem” doesn’t “establish,” as Heraeus summarily
concludes, that those employees were “enlisting counsel’s assistance to cover up
[their] misdeeds.” Heraeus maintains the evidence also establishes that Biomet
“handpicked publicly available references to create a road map for Esschem to
follow based on [Heraeus’] trade secrets” and then used Heraeus’ trade secrets to
evaluate Esschem’s copolymers, but review and use of public documents isn’t a
crime and doesn’t amount to fraudulent conduct. Heraeus labels e-mails between
Biomet employees as “self-serving letters designed to create the appearance that
Esschem developed the copolymers independently,” but Biomet has countered
that claim with deposition and affidavit testimony from Dan Smith that Biomet
employees who were working with Esschem took care to not supply Esschem with
Heraeus’ trade secrets. Too, Esschem independently insists that it had the
experience and know-how to develop the requested bone cement products on its
own without needing or receiving any help from Heraeus’ confidential information.
“To invoke the crime-fraud exception, a party challenging the attorney-client
privilege must make a prima facie showing that the communication was made ‘in
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furtherance of’ a crime or fraud.” Abbott Labs. v. Andrx Pharmaceuticals, Inc., 241
F.R.D. 480, 487 (N.D. Ill. 2007). The evidence “must support the inference that the
attorney’s representation or advice assisted the client in committing the alleged
offense.” Sound Video Unlimited, Inc. v. Video Shack, Inc., 661 F. Supp. 1482,
1486 (N.D. Ill. 1987). The evidence upon which Heraeus relies doesn’t rise to the
level of a prima facie showing or support an inference that Biomet employees
sought legal advice and conspired with counsel to further a scheme to use
Heraeus’ trade secrets. Even if the court were to find Heraeus’ conclusion
plausible – that Biomet employees sought legal advice about how to successfully
use Heraeus’ trade secrets without detection – Biomet’s alternative explanation is
equally plausible – that Biomet employees sought legal advice relating to the
company’s new relationship with Esschem and how to properly conduct that
business.
Conclusion
The attorney-client privilege “remains intact when a person consults an
attorney in an effort to receive legal advice or assistance.” Stopka v. Alliance of
American Insurers, No. 95 C 7487, 1996 WL 204324, at *9 (N.D. Ill. Apr. 25,
1996). In fact,
The attorney-client privilege is strongest when a client seeks
advice to determine the legality of conduct before taking action.
Business entities, like the defendants, operating in today's
labyrinthine legal and regulatory environments, routinely seek legal
advice about how to deal with all sorts of matters . . . . There is
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nothing inherently suspicious about the officers of a corporation
seeking such advice, and the attorney-client privilege exists to
promote and protect those kinds of endeavors.
In re Sulfuric Acid Antitrust Litigation, 235 F.R.D. 407, 424-425 (N.D. Ill. 2006)
(internal citations omitted).
Consideration of the arguments presented by all parties convinces the court
that Heraeus hasn’t made a showing of probable cause sufficient to support an
inference that a fraud was committed and that Biomet employees enlisted counsel
to further that fraud, especially in light of the explanations offered by Biomet and
Esschem that those companies took steps to not use Heraeus’ trade secrets. The
court concludes that application of the crime-fraud exception isn’t warranted and,
so, DENIES Heraeus’ motion to compel [docket # 124].
SO ORDERED.
ENTERED:
April 26, 2012
/s/ Robert L. Miller, Jr.
Judge, United States District Court
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