TP ST Acquisition, LLC et al v. Lindsey et al
Filing
77
ORDER denying 57 Motion for In Camera Inspection. Signed by Magistrate Judge James P. O'Hara on 11/17/2021. (amh)
Case 2:21-cv-02020-JAR-JPO Document 77 Filed 11/17/21 Page 1 of 7
UNITED STATES DISTRICT COURT
FOR THE DISTRICT OF KANSAS
TP ST ACQUISITION, LLC, et al.,
Plaintiffs,
v.
Case No. 21-2020-JAR
KEVIN LINDSEY, et al.,
Defendants.
ORDER
Defendants have filed a motion asking the court to review in camera four e-mails
listed on plaintiffs’ privilege log to evaluate plaintiffs’ assertion of privilege (ECF No. 57).
Plaintiffs oppose the motion, arguing in their response that the documents are properly
withheld under the work-product doctrine and there is no need for the court to review them
because an amended privilege log—with information contained in the response—has been
served.
Because defendants do not suggest the amended privilege log inaccurately
describes the withheld documents, and because plaintiffs demonstrated the elements of
work-product protection, the motion is denied.
At issue are four documents, “two of which are identical to the other two, and all
four of which are substantially identical.”1 Plaintiffs describe documents Bates stamped
1
ECF No. 69 at 1.
1
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TPST-L010608 and TPST-L010618 as “duplicate email chains with the top email
communication among Plaintiffs’ management/representatives Matt Rohs, Andy Mason,
and Glenn Andrews, sent April 30, 2020 at 12:53 PM.”2 Plaintiffs identify documents
Bates stamped TPST-L010591 and TPST-L010722 as “identical to TPST-L010608 and
TPST-L010618, except [they] have one additional email from Matt Rohs to Andy Mason
and Glenn Andrews, sent April 30, 2020 at 1:13 PM.”3 Earlier e-mails in the chain have
either been produced (the original e-mail authored by Janine Akers) or withheld under the
attorney-client privilege and logged separately without challenge (seven e-mails between
Rohs, Andrews, and an attorney).4 Plaintiffs assert the e-mails that followed in the chain
between Rohs, Mason, and Andrews (the subject e-mails) “constitute client work product
. . . and continue to discuss the subject matters of the Attorney-Client Communications that
precede them.”5 Plaintiffs argue they are subject to work-product protection because they
“involve discussions regarding evidence, strategy, and the bases for a potential lawsuit
against Akers, which was filed and is currently pending in the Superior Court of the State
of Delaware.”6
2
Id. at 2.
3
Id.
4
See id. at 3.
5
Id.
6
Id.
2
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Plaintiffs acknowledge that their first privilege log “inadvertently failed” to denote
the subject e-mails as protected by the work-product doctrine (asserting instead only
attorney-client privilege based on the attorney communications earlier in the chain), but
plaintiffs note they have “served a revised privilege log to correct this oversight.”7
Plaintiffs also assert that defense counsel failed to abide by D. Kan. Rule 37.2’s
requirement to meet and confer with their counsel before filing the motion, and had defense
counsel done so, “this oversight would have been discovered, the privilege log would have
been revised, and with the explanations provided herein, the necessity for the Motion would
have been mooted.”8 Although defendants do not challenge plaintiffs’ revised log, they
also do not agree that their motion for review is mooted by the new assertion of workproduct protection.9 Thus, the court proceeds to evaluate the assertion.10
7
Id. at 5.
8
Id.
9
See ECF No. 74.
10
As plaintiffs correctly observe, the court could deny the motion solely on the
procedural ground that defendants failed to comply with Rule 37.2. But for the sake of
efficiency, and considering neither side is faultless in the circumstances leading to the
motion, the court exercises its discretion to decide the motion on its merits. See Stephenson
v. Young, No. 10-2197-KHV, 2010 WL 4961709, at *2 (D. Kan. Nov. 29, 2010) (“Despite
the unqualified language of the federal and local rules, the Court, in its discretion, may
choose to determine a motion to compel on its merits even when the duty to confer has not
been fulfilled under certain circumstances.”); Benney v. Midwest Health, Inc., No. 172548-HLT, 2018 WL 6067347, at *3 (D. Kan. Nov. 20, 2018) (deciding merits of motion,
despite Rule 37.2 violation, where neither side was without fault); Schlup v. Depositors
Ins. Co., No. 19-2095-HLT, 2020 WL 5094709, at *8 (D. Kan. Aug. 28, 2020) (deciding
discovery motion on its merits, despite violation of Rule 37.2, “in the interest of moving
this matter to pretrial”).
3
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Because this litigation arises out of a federal-statutory scheme, federal law governs
the application of the work-product doctrine.11 The doctrine, first recognized by the
Supreme Court in Hickman v. Taylor,12 is now set out in Fed. R. Civ. P. 26(b)(3), which
reads:
Ordinarily, a party may not discover documents and tangible things that are
prepared in anticipation of litigation or for trial by or for another party or its
representative (including the other party=s attorney, consultant, surety,
indemnitor, insurer, or agent).
Thus, for documents to be protected under the work-product doctrine, the party claiming
the protection must demonstrate “(1) the materials sought to be protected are documents or
tangible things; (2) they were prepared in anticipation of litigation or for trial; and (3) they
were prepared by or for a party or a representative of that party.”13 There is no dispute here
that the first and third elements are established.
As to the second element, the court considers two components in determining
whether the subject e-mails were prepared in anticipation of litigation:
The first is the causation requirement—the document in question must have
been created because of the anticipation of litigation (i.e. to prepare for
litigation or for trial). The second component imposes a reasonableness limit
11
Fed. R. Evid. 501; New Jersey v. Sprint Corp., 258 F.R.D. 421, 425 (D. Kan.
2009); Western Res., Inc. v. Union Pacific R.R. Co., No. 00-2043, 2002 WL 181494, at *4
n.4 (D. Kan. Jan. 31, 2002) (citing Burton v. R.J. Reynolds Tobacco Co., 167 F.R.D. 134,
139 (D. Kan. 1996)).
12
329 U.S. 495, 510B11 (1947).
13
U.S. Fire Ins. Co. v. Bunge N. Am., Inc., 247 F.R.D. 656, 657 (D. Kan. 2007)
(citing Johnson v. Gmeinder, 191 F.R.D. 638, 643 (D. Kan. 2000)).
4
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on a party’s anticipation of litigation—the threat of litigation must be “real”
and “imminent.”14
Courts look “to the primary motivating purpose behind the creation of the document . . . .
Materials assembled in the ordinary course of business or for other non-litigation purposes
are not protected by the work-product doctrine.”15 Our court has explained that “the
doctrine is not intended to protect investigative work unless done so under the supervision
of an attorney in preparation for the real and imminent threat of litigation or trial.”16
“‘[T]he work product doctrine requires more than a mere possibility of litigation.’”17
Rather, “there must be a real and substantial probability that litigation will occur at the time
the documents were created.”18
As noted above, plaintiffs argue the four e-mails at issue are protected work product
because they “involve discussions regarding evidence, strategy, and the bases for a
potential lawsuit against Akers, which was filed and is currently pending in the Superior
Court of the State of Delaware.”19
14
They contend the causation requirement of element
Kannaday v. Ball, 292 F.R.D. 640, 648–49 (D. Kan. 2013) (emphasis added).
15
Id. at 649 (quoting Marten v. Yellow Freight System, Inc., No. 96B2013, 1998 WL
13244, at *10 (D. Kan. Jan. 6, 1998)).
16
Id.
17
AKH Co. v. Universal Underwriters Ins. Co., 300 F.R.D. 684, 688 (D. Kan. 2014)
(quoting Pouncil v. Branch Law Firm, No. 10–1314–JTM, 2011 WL 5025033, *4 (D. Kan.
Oct. 21, 2011)).
18
Kannaday, 292 F.R.D. at 648.
19
ECF No. 69 at 3.
5
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two is met because the e-mails “relate directly to preparation for the Akers Litigation.”20
Rather than being made in the ordinary course of business, plaintiffs state the e-mails “were
specifically aimed at determining facts and documents relevant to the claims brought in the
Akers Litigation.”21 As to the requirement in element two that the anticipation of litigation
be reasonable, plaintiffs represent the e-mails were exchanged “at a time where the threat
of litigation was real and imminent (indeed, Kluger Kaplan was engaged shortly after the
date of these emails).”22
The court finds plaintiffs have met their burden to demonstrate the four e-mails are
subject to work-product protection. Interestingly, defendants do not address in their reply
brief whether plaintiffs met the specific elements of work-product protection in the revised
privilege log or in plaintiffs’ response brief.23 Rather, defendants seem to take the
untenable position that the court must determine whether work-product protection is
properly asserted by performing an in camera review.24 If this were true, the court would
20
Id. at 6.
21
Id.
22
Id.
Defendants’ reply brief instead continues to focus on the applicability of the
attorney-client privilege (e.g., “whether legal advice predominates” and that “the mere
inclusion of in-house counsel in an email string does not make the communication
privileged”). ECF No. 74 at 2-3. These arguments are misplaced because, as noted above,
defendants did not challenge plaintiffs’ assertion of attorney-client privilege over the
earlier e-mails in the string that involved the attorney.
23
24
Id. at 3.
6
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be overburdened with review requests. Instead, the decision whether to review documents
in camera is discretionary.25 The court must have some ground for conducting the review,
which may be useful when there’s a genuine dispute between the parties as to the accuracy
of the withholding party’s description of the documents.26 “Notably, though, such review
is not to be routinely undertaken.”27
Based on a review of the briefing, the court declines to require in camera review
here. Defendants do not argue plaintiffs’ revised privilege log insufficiently describes the
documents at issue, and the court doesn’t find a reason to exercise its discretion to require
review. As noted, defendants have not attempted to dispute plaintiffs’ assertions of workproduct protection. Defendants do not dispute the accuracy of the revised privilege log,
merely whether the protection applies. Accordingly, the court finds no valid ground to
conduct in camera review.
IT IS THEREFORE ORDERED that defendants’ motion for in camera review is
denied.
Dated November 17, 2021, at Kansas City, Kansas.
s/ James P. O=Hara
James P. O=Hara
U.S. Magistrate Judge
25
Jaiyeola v. Garmin Int'l, Inc., No. 20-2068-HLT, 2021 WL 492654, at *6 (D.
Kan. Feb. 10, 2021) (citing Black & Veatch Corp. v. Aspen Ins. (UK) Ltd., 297 F.R.D. 611,
621 (D. Kan. 2014)).
26
Id.
27
Id.
7
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