United States et al v. Purdue Pharma L. P. et al
Filing
181
MEMORANDUM OPINION AND ORDER denying Realtor's 155 MOTION to Quash Subpoenas Seeking to Depose Their Counsel. Signed by Magistrate Judge R. Clarke VanDervort on 10/2/2014. (cc: attys; any unrepresented party) (cds)
IN THE UNITED STATES DISTRICT COURT
FOR THE SOUTHERN DISTRICT OF WEST VIRGINIA
BECKLEY DIVISION
UNITED STATES
ex rel. Steven May and
Angela Radcliffe, et al.,
Plaintiff,
v.
PURDUE PHARMA L.P., et al.,
Defendants.
)
)
)
)
)
)
)
)
)
)
Civil Action No. 5:10-1423
MEMORANDUM OPINION AND ORDER
This is a qui tam action under the False Claims Act, 31 U.S.C. §§ 3729 – 3733. Plaintiff
[hereinafter “Relators”] contends that in selling and marketing their pain relief drug OxyContin,
Defendants [hereinafter “Purdue”] defrauded the United States by falsely representing that
OxyContin was twice as potent as, and less expensive than, MS Contin causing doctors to prescribe,
and Medicaid to pay for, OxyContin rather than MS Contin. (Document No. 87 (Amended
Complaint), pp. 9 - 10, ¶¶ 33 - 34.)1
On August 14, 2014, Purdue filed and served Notices that they were subpoenaing the
depositions of Relators’ attorneys Mr. Paul Roop and Mr. Mark Hurt.2 (Document Nos. 125 and
1
2
Relators initiated this action by filing their Complaint on December 30, 2010.
Relator Angela Radcliffe is married to Mark Radcliffe who worked as a drug representative
for Purdue beginning in 1996 and was promoted to district manager. Relator Steven May worked
as a sales representative for Purdue beginning in 1999 and was supervised by Mark Radcliffe.
(Document No. 87 (Amended Complaint), pp. 5 - 6 , ¶¶ 14, 18 and 19.) Mark Radcliffe left his
employment with Purdue in 2005. He filed a qui tam action under the False Claims Act in the
Western District of Virginia. Because he entered a general release in leaving his employment with
Purdue, his action was dismissed. United States v. Purdue Pharma L.P., 600 F.3d 319 (4th Cir.
2010), cert. denied, U.S. , 131 S.Ct. 477, 178 L.Ed.2d 315 (October 12, 2010). Attorneys Hurt
and Roop represented Mr. Radcliffe in that matter.
126.) The subpoenas included Requests for Documents to be Produced.3 Relators filed a Motion to
Quash Subpoenas Seeking to Depose Their Counsel Paul Roop and Mark Hurt on September 10,
2014. (Document No. 155.) On September 17, 2014, Purdue filed an Opposition to Relators’ Motion
to Quash. (Document No. 165.) On Spetember29, 2014, Relators filed their Reply to Purdue’s
Response. (Document No. 179.) The parties assert that they must complete the depositions of Mr.
Roop and Mr. Hurt and have the information and documents prior to an evidentiary hearing before
the District Court respecting the application of the public disclosure bar to jurisdiction in this matter
on Thursday, October 9, 2014. (Document No. 158.)4
In moving to quash the subpoenas of the depositions of their attorneys (Document No. 155.),
Relators cite the Eighth Circuit’s decision in Shelton v. Am. Motors Corp., 805 F.2d 1323 (8th Cir.
1986), as setting the standard for determining whether or not the deposition of an opposing party’s
attorneys is appropriate and a decision of the District Court for the Eastern District of Virginia
3
Purdue requests, among other things, that Mr. Roop and Mr. Hurt produce drafts of the
Complaint and Amended Complaints in Mark Radcliffe’s action and this matter, documents upon
which the allegations contained in those pleadings were derived and documents and communications
concerning the preparation of those pleadings. Purdue states, “This request includes, but is not
limited to, any documents supporting or undermining the statements regarding the preparation of
the complaint set forth in the enclosed Declaration of Mark Hurt dated December 3, 2007, filed at
Dkt. No. 58-2 in United States, et al., ex rel. Mark Radcliffe v. Purdue Pharma L.P., et al., Case No.
1:05CV00089, United States District Court Western District of Virginia . . ..”
4
31 U.S.C. § 3730(e)(4)(A) provides that “[t]he court shall dismiss an action or claim under
this section, unless opposed by the government, if substantially the same allegations or transactions
as alleged in the action or claim were publicly disclosed – (i) in a Federal criminal, civil, or
administrative hearing in which the government or its agent is a party; (ii) in a congressional,
Government Accountability Office, or other Federal report, hearing, audit, or investigation; or (iii)
from the news media, unless the action is brought by the Attorney General or the person bringing
the action is an original source of the information.” The public disclosure bar applies in False Claims
Act actions based “even in part” upon publicly disclosed information. United States ex rel. May v.
Purdue Pharma L.P., 737 F.3d 908, 920 (4th Cir. 2013.)
2
indicating that the Shelton standard has been followed in the Fourth Circuit. (Id., p. 2.) The Court
in Shelton stated as follows:
We do not hold that opposing trial counsel is absolutely immune from being
deposed. We recognize that circumstances may arise in which the court should order
the taking of opposing counsel’s deposition. But those circumstances should be
limited to where the party seeking to take the deposition has shown that (1) no other
means exist to obtain the information than to depose opposing counsel . . .; (2) the
information sought is relevant and nonprivileged; and (3) the information is crucial
to the preparation of the case.
Shelton, 805 F.2d at 1327 (citation omitted.). Quoting Shelton, Relators contend that Courts
generally view requests to depose an opposing party’s attorneys as a harassing, disruptive and
abusive tactic and “almost always” deny them. (Id., pp. 2 - 3.) Relators then contend that Purdue
cannot meet the three requirements set forth in Shelton for taking their attorneys’ depositions
respecting matters pertaining to the public disclosure jurisdictional bar. Relators assert that the work
their attorneys did in preparing the Complaint is protected from disclosure under the attorney work
product doctrine. (Id., p. 6.) Relators then contend that the District Court determined in Mark
Radcliffe’s qui tam action that the Court had jurisdiction. Relators state that the Fourth Circuit found
in ruling in this action that Mark Radcliffe’s action was dismissed on non-jurisdictional grounds.
Relators argue that the public disclosure bar did not apply in Mark Radcliffe’s action and “principles
of collateral estoppel operate to bar Purdue from relitigating this issue in this action.” (Id., p. 8.)
Relators further contend that the Fourth Circuit’s ruling in this case that Mark Radcliffe’s action was
dismissed on non-jurisdictional grounds is the law of the case barring Purdue from relitigating the
issue in this case. (Id., pp. 8 - 9.) Relators further claim that because their attorneys prepared the
Complaints in Mark Radcliffe’s action and this action, “it would have been impossible for either .
. . to have acquired their knowledge of the allegations in those complaints from the subsequent
3
public disclosure of those complaints that they had drafted and filed.” (Id., pp. 9 - 10.) Relators
argue that for this reason, “Purdue has no legitimate need to depose [their attorneys] as to where they
derived their knowledge of the allegations of the complaints in this action that overlap the
allegations in the Radcliffe complaint; thus, that information is certainly not crucial to Purdue’s
preparation for the adjudication of that issue.” (Id., p. 11.) Finally, Relators contend that while
Purdue can depose them to learn where they obtained their knowledge of the facts alleged in their
pleadings, any inquiry respecting their communications with their attorneys is nevertheless attorneyclient privileged. (Id.)
In their Opposition to Relators Motion to Quash (Document No. 165.), Purdue contends that
the facts and circumstances in this matter meet the Shelton standard and the “more flexible balancing
approach” adopted by those Courts which reject the Shelton standard. (Id., p. 7.) Purdue contends
that it has no other way of learning what and how information and documents were obtained,
transmitted and utilized in the preparation of the Complaint and Amended Complaint in this case
than through the depositions of Relators’ attorneys. (Id.) Purdue states that it has been and is unable
to learn these things through the depositions of Relators themselves because Relators either do not
know or assert privileges. (Id., p. 8.) Purdue then appears to contend that Relators have waived the
privileges and protections which they are asserting by their conduct leaving the only avenue to
obtaining the facts germane to the issue before District Court through the depositions of their
attorneys. (Id., pp. 9 - 11.) Purdue asserts that the information is crucial to the preparation of its case
stating, “[e]ither Relators’ knowledge of the allegations underlying this case is at least partly based
on public disclosures associated with the prior litigation, or it is not. But to determine whether
Relators succeeded in laundering the publicly disclosed materials from the prior case through their
4
private discussions with Mark Radcliffe and their lawyers, Purdue (and the Court) must have
evidence of how – and how perfectly or imperfectly – the information was laundered. Anything less
would be unfair to Purdue, but would put the Court in the position of basing its jurisdictional factfinding on the untested assertions of Relators and their lawyers.” ((Id., p. 11.) Purdue concludes by
pointing out that Relators made no mention of the documents which Purdue requested in
subpoenaing their attorneys’ depositions and contending that they should be deemed to have waived
any objection to producing them. (Id., pp. 11 - 12.)
In their Reply to Purdue’s Response (Document No. 179.), Relators basically reiterate that
Purdue has not met the Shelton standard. They argue that Purdue does not dispute facts which render
the taking of their attorneys’ depositions unnecessary. Specifically, Relators claim that Purdue does
not dispute that (1) the Complaint in Mark Radcliffe’s qui tam suit against Purdue is the only public
disclosure in issue in this case; (2) Purdue is collaterally estopped from contending that the
allegations in Mark Radcliffe’s suit were derived from a public disclosure; and (3) Relators’
attorneys drafted and filed the Complaint in Mark Radcliffe’s suit and logically therefore gained
knowledge of the allegations contained in the Complaint before its public disclosure. (Id., p. 3.)
Relators then assert that how their attorneys prepared the Complaint in this case “is irrelevant
because Relators’ counsel’s source of their knowledge of any allegations included in the complaint
that they drafted that overlapped with those in the Mark Radcliffe complaint . . . was necessarily
derived from nonpublic sources – sources other than the public disclosure of the Mark Radcliffe
complaint.” (Id., p. 5.) Next, Relators assert that because they know how they obtained the
information contained in their Complaint, Purdue has learned how they did so by taking their
deposition, and they testified that they did not learn of their allegations from Mark Radcliffe’s
5
Complaint or news reports. (Id., pp. 6 - 7.) It follows, Relators argue, that their attorneys did not
show them the Complaint in the Mark Radcliffe suit before they filed their Complaint in this matter.
(Id., pp. 7 - 8.) Relators then contend that their attorneys became their agents as they undertook their
representation and the manner in which they learned of the information alleged in Mark Radcliffe’s
Complaint, i.e., from nonpublic disclosures, is imputed to Relators. Relators state that “after this
knowledge was properly imputed to Relators on the formation of the attorney-client relationship,
the subsequent communication of any details of those allegations to Relators is irrelevant since they
would already have the knowledge of all of the allegations in the Mark Radcliffe complaint imputed
to them that overlapped the allegations in their case.” (Id., p. 9.) Having asserted that nothing of any
relevance would be gained from their attorneys’ depositions and they are unnecessary, Relators
assert that even if information relevant to the public disclosure bar might be obtained, they have not
waived any privileges. Relators assert that they cannot be found to have impliedly waived their right
to rely upon privileges simply because their attorneys prepared Mark Radcliffe’s Complaint.
Relators state that “[j]ust by bringing a lawsuit, a plaintiff and his lawyer make many issues relevant.
And almost all privileged information is going to be relevant to one of those issues. However, the
lawyer and his client do not thereby waive their attorney-client and attorney work-product privileges
so as to allow the defendant to interrogate the lawyer whether what his client told him is consistent
with his client’s testimony and to rummage through his confidential work papers to see his thought
processes in drafting the complaint.” (Id., p. 11.) Relators urge that implied waiver of privileges
occurs when a party puts privileged communications and documents in issue and claim that they
have not done so. (Id., p. 12.) Relators state that ordering their attorneys’ deposition “is
unprecedented. Granting Purdue’s request would set a dangerous precedent that would encourage
6
others to threaten to seek the depositions of their opponent’s lawyers as a strong-arm tactic to gain
leverage in the litigation, a tactic that Shelton rightfully condemns as discovery abuse.” (Id., pp. 13 14.) Finally, Relators claim that they have not waived objecting to the Request for Documents to be
Produced which is included with the subpoena of their attorneys because the subpoenas have not
been served upon their attorneys. (Id., p. 14.)
DISCUSSION
“[A] qui tam action is based on a public disclosure when its allegations share a substantial
identity with the allegations contained in prior litigation.” United States ex rel. King v. Hillcrest
Health Ctr., Inc., 264 F.3d 1271, 1279 (10th Cir. 2001), cert. denied, 535 U.S. 905, 122 S.Ct. 1205,
152 L.Ed.2d 143 (2002). The undersigned has compared Mark Radcliffe’s Fourth Amended
Complaint in Mark Radcliffe’s Western District of Virginia action with Relators’ Complaint in this
matter and finds that in some places Relators’ Complaint contains language taken verbatim from
Mark Radcliffe’s Fourth Amended Complaint. Relators’ Complaint is obviously an adaptation of
Mark Radcliffe’s Fourth Amended Complaint. In cases such as this, jurisdictional facts are often not
“intertwined with the central merits” of the substantive claims. See U.S. ex rel. Vuyyuru v. Jadhav,
555 F.3d 337, 350 (4th Cir. 2009). The undersigned finds that facts germane to the issue of the
application of the public disclosure bar pertaining to when and how Relators obtained knowledge
of the substantive allegations of fraud are distinct from and not intertwined with the central merits
of Relators’ fraud claims as set forth in their Amended Complaint. “Once a defendant files a motion
to dismiss based on the public-disclosure bar, the relator bears the burden of proving by a
preponderance of the evidence that the bar does not apply.” U.S. ex rel. Ahumada v. NISH, 256 F.3d
268, 274 (4th Cir. 2014). Relators apparently claim that the bar does not apply in this case because
they learned all of the facts underlying the substantive allegations of fraud in this case from Mark
7
Radcliffe privately and independently of any public source. It appears that Relators are claiming that
they learned of those facts to some extent through private disclosure of publicly disclosed documents
and information, i.e., the documents and information of record in Mark Radcliffe’s Western District
of Virginia action. It is undisputed that Relators’ attorneys Mr. Roop and Mr. Hurt, who had also
been Mark Radcliffe’s attorneys in his Western District of Virginia action, themselves facilitated
the allegedly private disclosure of documents and information to Relators which they filed in Mark
Radcliffe’s action in a meeting at Mr. Hurt’s law office late in 2010 with Mark and Angela
Radcliffe, Steven May, Mr. Roop and Mr. Hurt in attendance. Relators filed their Complaint in this
action shortly thereafter. Purdue has attempted to learn when and how Relators obtained knowledge
of the substantive allegations of fraud set forth in their Complaint by taking Relators’ depositions.
Relators and their attorneys have relied upon several privileges including the attorney-client and
work product privileges to limit Purdue in its attempt though it clearly appears that they worked
together to contrive a factual basis in avoidance of the public disclosure bar. Relators and their
attorneys clearly have information relevant to whether Relators obtained knowledge of the
substantive allegations of fraud contained in their Complaint “to any extent” from a public
disclosure. Now Purdue has indicated that it is necessary to depose Relators’ attorneys. The
undersigned agrees.
The undersigned finds that the Shelton standard applies in this matter but does not apply with
respect to matters pertaining to Relators’ attorneys’ representation in the Mark Radcliffe action. In
Pamida, Inc., v. E. S. Originals, Inc., 281 F.3d 726 (8th Cir. 2002), the Eighth Circuit considered
application of the Shelton standard when a party, unsuccessful in underlying patent infringement
litigation, requested the deposition of the attorney for the successful party as the successful party
8
sought indemnification of attorney’s fees and costs in a subsequent case. The Eighth Circuit
modified the Shelton standard stating as follows:
Shelton was not intended to provide heightened protection to attorneys who
represented a client in a completed case and then also happened to represent that
same client in a pending case where the information known only by the attorneys
regarding the prior concluded case was crucial. In such circumstances, the protection
Shelton provides to opposing counsel only applies because opposing counsel is
counsel in the instant case and not because opposing counsel had represented the
client in the concluded case. Therefore, the Shelton test applies only to the instant
case, not to the concluded case.
Pamida Inc., v. E. S. Originals, Inc., 281 F.3d at 730; See also Asbury v. Litton Loan Servicing, LP,
2009 WL 973095 at *3 (S.D.W.Va.)(District Judge Chambers) (discussing the standard for
considering when the deposition of opposing counsel is and is not appropriate). Purdue may
therefore take Relators’ attorneys’ depositions respecting their management of the documents and
information which formed the factual basis for Mark Radcliffe’s allegations of fraud while they
maintained them privately and after they saw to their public disclosure in the Mark Radcliffe case.
Applying the Shelton standard in this case, the undersigned finds that the first and third factors are
easily met and the second factor is met in part. Purdue has shown that Relators’ attorneys managed
documents and information privately and then facilitated the public disclosure of those documents
and information, the very same documents and information which are the factual basis for Relators
substantive allegations of fraud. Relators’ attorneys are therefore uniquely positioned to provide
information respecting when and how Relators obtained knowledge of the documents and
information underlying their substantive allegations of fraud. The information sought is obviously
relevant and crucial to the adjudication of the public disclosure bar issue. In re Pioneer Hi-Bred
Intern, Inc., 238 F.3d 1370, 1376 (Fed.Cir. 2001)(“Counsel is often a fact witness with respect to
various events, and may testify on deposition by the opposing party as to such matters without
9
waiver. A different result would obtain, of course, if counsel were offered to testify as to privileged
or protected matters and might obtain if counsel were offered as a fact witness at trial by his client.”)
It remains to determine whether Relators have adequately demonstrated that the information which
Purdue seeks is privileged and if so that they have not waived their privileges. The undersigned
finds that they have not.
The attorney-client privilege protects confidential communications between an attorney and
client as the client seeks and obtains legal advice. The Fourth Circuit has “adopted the ‘classic test’
for determining the existence of attorney-client privilege[.]” Hawkins v. Stables, 148 F.3d 379, 383
(4th Cir. 1998) The attorney client privilege only protects against disclosure of communications. It
does not stand as an impediment to discovery of facts underlying those communications. Zeus
Enterprises, Inc., v. Alphin Aircraft, Inc., 190 F.3d 238, 244 (4th Cir. 1999)(“The privilege does not
protect all aspects of the attorney-client relationship; it only protects confidential communications
between lawyer and client.”) The party asserting the privilege must prove that the privilege applies
with respect to the specific communications at issue and was not waived. Id.; Hawkins v. Stables,
148 F.3d 379, 384 fn. 4 (4th Cir. 1998)(“Proof of the attorney client privilege requires that the
proponent make a showing on multiple issues.”) The party asserting the privilege must demonstrate
that the attorney-client communication was intended to be confidential and its primary purpose was
to obtain legal advice. In re Grand Jury Proceedings (John Doe), 727 F.2d 1352, 1355 (4th Cir.
1984). “Communications are not privileged merely because one of the parties is an attorney or
because an attorney was present when the communications were made.” U.S. v. Cohn, 300
F.Supp.2d 672, 683
(D.Md. 2003). Hawkins v. Stables, 148 F.3d at 384 fn. 4 (“As a general rule, implied waiver occurs
10
when the party claiming the privilege has made any disclosure of a confidential communication to
any individual who is not embraced by the privilege.”)
“[T]he work-product doctrine is distinct from and broader than the attorney-client privilege.”
United States v. Nobles, 422 U.S. 225, 238 at n. 11, 95 S.Ct. 2160, 2170 at n. 11, 45 L.Ed.2d 141
(1975), citing Hickman v. Taylor, 329 U.S. 495, 508, 67 S.Ct. 385, 392, 91 L.Ed. 451 (1947).The
work product doctrine protects against disclosure of “documents and tangible things that are
prepared in anticipation of litigation or for trial . . ..” Federal Rule of Civil Procedure 26 (b)(3)(A).
The work product privilege may also be waived. Nobles, 422 U.S. at 239, 95 S.Ct. at 2170.
Generally, work product waiver occurs through voluntary disclosure of documents or information
to which the doctrine applies to third parties. But “[t]he work product privilege is not automatically
waived by any disclosure to third persons. Rather, the courts generally find a waiver of work product
privilege only if the disclosure “substantially increases the opportunity for potential adversaries to
obtain the information.” Frank Betz Assocs., Inc., v. Jim Walter Homes, Inc., 226 F.R.D. 533, 535
(D.S.C. 2005)(quoting In re Grand Jury, 561 F.Supp. 1247, 1257 (E.D.N.Y. 1982).
“The work product immunity and attorney-client privilege are not waived by exchange of
documents and information between persons with common interests in the subject matter.”
Chambers v. Allstate Ins. Co., 206 F.R.D. 579, 589 (S.D.W.Va. 2002). “This . . . ‘common interest’
doctrine is an extension of the attorney-client privilege and presupposes the existence of an
otherwise valid privilege. In determining the applicability of the privilege, the focus is not on when
the documents were generated but on the circumstances surrounding the disclosure of the privileged
documents to a jointly interested third party.” LaSalle Bank Nat. Ass’n, v. Lehman Bros. Holdings,
Inc., 209 F.R.D. 112, 116 (D.Md. 2002)(Citation omitted).
11
Relators have acknowledged in responding to Interrogatory No. 2 of Purdue’s First Set of
Interrogatories that “later in 2010, a meeting was held among Mark Hurt, Paul Roop, Mark
Radcliffe, Steven May and Angela Radcliffe at the law offices of Mark Hurt. The subject-matter of
the conversation was this prospective action as well as related potential claims that Mark Radcliffe
had vis-a vis Purdue. The details of the discussion are protected from disclosure by the attorneyclient, attorney-work product, and common interest privileges. The parties agreed to cooperate and
share information on their claims, which included Mark Radcliffe allowing relators’ counsel to use
all of the original source documents and nonpublic information from the action that Mark Radcliffe
had brought, and to keep that information confidential from third-parties.” Apparently, this meeting
occurred just after the United States Supreme Court denied Mark Radcliffe’s Petition for Certiorari
(October 10, 2010). It is not evident that Relators’ attorneys’ representation of Mark Radcliffe
continued after the Supreme Court’s denial. It clearly appears that a primary purpose of the meeting
was the conveyance or transfer of documents and information from Mark Radcliffe to Relators so
that Relators could file their Complaint in this matter. Because, as is evident, Mark Radcliffe was
not represented at the meeting, his conveyance or transfer of documents and information to Relators
cannot be said to have been covered by the attorney-client privilege or the work product doctrine.
He obviously participated in the meeting voluntarily, and nothing he said or did during the meeting
is protected. As a practical matter, Mark Radcliffe may have had a common interest with Relators
in creating the factual basis for their allegations, but legally he did not. The common interest
doctrine does not apply in absence of the attorney-client or work product privilege, and in any event
Mark Radcliffe’s interest which he might have shared with Relators expired prior to the meeting
when the Supreme Court denied his Certiorari Petition. The result is not altered by the fact that
12
Relators’ attorneys were present at the meeting. They were there representing Relators as they were
planning the filing of the Complaint in this matter. They were not representing Mark Radcliffe. To
the extent that they actually participated in the conveyance and transfer of documents and
information from Mark Radcliffe to relators, they did not do so as Mark Radcliffe’s attorneys. Of
course, they might have had confidential communications with Relators without Mark Radcliffe
being present. Those communications would be privileged. Having found that no privilege applies
to Mark Radcliffe’s conveyance or transfer of documents and information to Relators at the late
2010 meeting, the Shelton Standard is met.
It is therefore hereby ORDERED that Relators’ Motion to Quash Subpoenas Seeking to
Depose Their Counsel (Document No. 155.) is DENIED. Purdue may take the depositions of
Relators’ attorneys. Purdue should focus its questioning upon learning when and how Relators
gained knowledge of the facts and circumstances underlying the allegations contained in Relators’
Complaint. Purdue should be careful to limit its questioning respecting the late 2010 meeting to
matters pertaining to Mark Radcliffe’s and Relators’ attorneys’ conveyance and transfer of
documents and information to Relators.
The Clerk is directed to transmit a copy of this Memorandum Opinion and Order to counsel
of record.
ENTER: October 2, 2014.
R. Clarke VanDervort
United States Magistrate Judge
13
Disclaimer: Justia Dockets & Filings provides public litigation records from the federal appellate and district courts. These filings and docket sheets should not be considered findings of fact or liability, nor do they necessarily reflect the view of Justia.
Why Is My Information Online?