James Keefe And Kathy Keefe Vs. Renald Bernard And Mcfarland Clinic, P.c. ( 2009 )


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  •                IN THE SUPREME COURT OF IOWA
    No. 06–1939
    Filed October 30, 2009
    JAMES KEEFE and KATHY KEEFE,
    Appellees,
    vs.
    RENALD BERNARD and McFARLAND CLINIC, P.C.,
    Appellants.
    Appeal from the Iowa District Court for Story County, Timothy J.
    Finn, Judge.
    Interlocutory appeal of order compelling discovery in medical
    malpractice action.   DISTRICT COURT ORDER AFFIRMED IN PART,
    REVERSED IN PART, AND REMANDED WITH INSTRUCTIONS.
    Robert C. Rouwenhorst and Susanna Brown of Rouwenhorst &
    Brown, P.C., West Des Moines, for appellants.
    Thomas P. Slater of Slater & Norris, P.L.C., West Des Moines, for
    appellees.
    2
    STREIT, Justice.
    In this interlocutory appeal, we decide if the defendants in a
    medical malpractice action must produce a memorandum constituting
    attorney work product as a sanction for violation of an Iowa statute
    requiring notice before consultation with a plaintiff’s treating physician.
    The memorandum memorialized a meeting between defendant’s counsel
    and one of plaintiff’s treating physicians, which took place without notice
    to the plaintiff.    The district court granted plaintiffs’ motion to compel
    production of the memorandum. On interlocutory appeal, we hold the
    memorandum is not protected by the attorney-client privilege but is
    protected by the attorney-work-product doctrine. We also hold counsel
    for defendants violated the notice provision in Iowa Code section
    622.10(3)(e) (2005) and the appropriate sanction is partial disclosure of
    the memorandum.
    I. Background Facts and Proceedings. 1
    This is a medical malpractice action brought by James and Kathy
    Keefe against Dr. Renald Bernard, M.D. and his employer, McFarland
    Clinic, P.C. Dr. Bernard treated James Keefe for a shoulder injury. He
    eventually referred Keefe to an orthopedic surgeon in the clinic,
    Dr. David Sneller, M.D. Dr. Sneller examined Keefe before referring him
    to another specialist.
    Robert C. Rouwenhorst represents Dr. Bernard and McFarland
    Clinic. The Keefes are represented by Thomas P. Slater. In preparation
    for trial, Rouwenhorst met with Dr. Sneller and discussed the treatment
    and injury that are the subject of this litigation. Rouwenhorst authored
    a memorandum to memorialize his recollection of the meeting.                       This
    1The   facts are provided solely for the purpose of resolving this motion.
    3
    meeting took place without the knowledge or consent of Slater or the
    Keefes.
    Slater learned of the meeting between Rouwenhorst and Dr. Sneller
    and the memorandum during a pretrial deposition of Dr. Bernard.
    Dr. Bernard stated       he had       read the memorandum prepared by
    Rouwenhorst prior to the deposition and that the memorandum
    attributed a statement to Dr. Sneller to the effect that Dr. Bernard could
    have made the referral earlier than he did. 2
    After Dr. Bernard’s deposition, Rouwenhorst included Dr. Sneller
    in the designation of defendant’s expert witnesses. Slater then deposed
    Dr. Sneller and sought discovery of the matters Dr. Sneller discussed
    with Rouwenhorst. Rouwenhorst repeatedly objected to the questioning
    and directed Dr. Sneller not to answer. In response to a separate line of
    questioning by Slater, Dr. Sneller testified he did not “really form” an
    2During   the deposition of Dr. Bernard, the following exchange occurred in
    response to questioning by attorney Slater:
    Q: All right. Did Dr. Sneller ever call you and tell you what he
    had found in respect to this patient? A: No, he never. But I knew -- to
    answer a little bit into your question, I knew that he met with Bob, and
    I’ve seen the report. Bob talked to me about the report, you know, of the
    chart, what he looks at my treatment, you know, on that.
    Q: What conversation did you have with Dr. Sneller about the
    meeting he had with Bob? A: I just said to him thank you to have taken
    the time, you know, with Bob to review the chart, you know, on that.
    And I think in gross, I want the report -- when Bob showed me the report
    in gross --
    Q: What report are you talking about? Are you just talking about
    the medical record? MR. ROUWENHORST: It’s a memo that summarizes
    my conversation with Dr. Sneller. A: Yeah. And I said thank you to
    have that done because I feel it was a good report. I feel it was a good
    report. I feel it was -- he was objective and, you know, I don’t think he
    did blame me on some, on something specifically, you know, on that.
    Q: Did he blame you on anything? A: No, he didn’t. He said he
    could have -- he could have refer [sic] a little bit before, a couple two to
    three weeks before. You know, a referral to a doctor than [sic] I have
    referred. But he said the outcome will be about the same.
    4
    opinion whether Dr. Bernard should have referred James Keefe to him
    earlier than he did. Instead, he testified he was only concerned about
    treating his patient at that time.
    Rouwenhorst later refused to provide Slater with a copy of the
    memorandum, claiming it was protected by the attorney-client privilege
    and the attorney-work-product doctrine.       The Keefes filed a motion to
    compel production of the memorandum and “the mental impressions and
    opinions of Dr. Sneller.” The district court held a hearing and conducted
    an in camera inspection of the memorandum. The ruling by the district
    court only addressed discovery of the memorandum. The court granted
    the motion to compel because it held the memorandum:
    is not privileged or otherwise protected from discovery either
    as an attorney/client communication or under a theory of
    “joint representation” or under “work product privilege” or
    otherwise protected from discovery and is in fact
    discoverable under the Iowa Rules of Civil Procedure.
    Dr. Bernard and the McFarland Clinic sought, and we granted,
    interlocutory review.
    II. Standard of Review.
    Our review of a ruling by the district court on a motion to compel
    discovery is for abuse of discretion. See Wells Dairy, Inc. v. Am. Indus.
    Refrigeration, Inc., 
    690 N.W.2d 38
    , 43 (Iowa 2004). “ ‘A ruling based on
    an erroneous interpretation of a discovery rule can constitute an abuse
    of discretion.’ ”   Exotica Botanicals, Inc. v. Terra Int’l, Inc., 
    612 N.W.2d 801
    , 804 (Iowa 2000) (quoting Shook v. City of Davenport, 
    497 N.W.2d 883
    , 885 (Iowa 1993), overruled on other grounds by Wells 
    Dairy, 690 N.W.2d at 44
    –47). To the extent a challenge to a trial court ruling on the
    admissibility of evidence implicates the interpretation of a statute, our
    review is for errors at law. See State v. Stone, 
    764 N.W.2d 545
    , 548 (Iowa
    2009).
    5
    III. Merits.
    A.   Statutory Physician-Patient Privilege.       Iowa Code section
    622.10(1) provides that a physician or surgeon
    shall not be allowed, in giving testimony, to disclose any
    confidential communication properly entrusted to the person
    in the person’s professional capacity, and necessary and
    proper to enable the person to discharge the functions of the
    person’s office according to the usual course of practice or
    discipline.
    There was no physician-patient privilege at common law, and therefore
    “the physician-patient privilege arises solely by virtue of section 622.10.”
    State v. Bedel, 
    193 N.W.2d 121
    , 123–24 (Iowa 1971).           However, the
    testimonial physician-patient privilege has been recognized by our
    legislature for over 150 years. See Iowa Code § 2393 (1851) (representing
    an early predecessor to section 622.10).
    The statutory physician-patient privilege in section 622.10
    prevents a physician from disclosing confidential information in “giving
    testimony.” In Roosevelt Hotel Ltd. Partnership v. Sweeney, 
    394 N.W.2d 353
    (Iowa 1986), we addressed ex parte informal interviews between
    attorneys and treating physicians. Roosevelt Hotel noted the arguments
    that ex parte interviews save time and litigation cost and that such
    interviews raise the possibility of inadvertent wrongful disclosure of
    confidential matters. 
    Id. at 357.
    We held section 622.10, as it existed in
    1986, did not “speak to” the issue of informal interviews and therefore
    did not prevent them. 
    Id. at 355.
    As a practical matter, however, doctors
    were often unwilling to participate in informal interviews because of the
    physicians’ own duties of confidentiality.     
    Id. at 356.
       Although we
    recognized that in practice, this reluctance might prevent ex parte
    interviews, we refused to hold the patient must provide a waiver that
    6
    would allow the treating physician to participate in ex parte interviews.
    
    Id. at 357.
    In 1997, our legislature amended section 622.10 by adding
    subsection 3.     1997 Iowa Acts ch. 197, § 8 (codified at Iowa Code §
    622.10 (1999)).     Generally, subsection 3 provides a procedure for
    defendants in a lawsuit to informally “consult” with a plaintiff’s treating
    physician in cases in which the plaintiff’s condition is an element of the
    claim. Subsection 3 requires a plaintiff to execute a waiver which allows
    the physician to “[c]onsult with the attorney for the adverse party prior to
    providing testimony regarding the plaintiff’s medical history and the
    condition alleged and opinions regarding health etiology and prognosis
    for the condition alleged.” Iowa Code § 622.10(3)(a)(2).
    The waiver of the physician-patient privilege for informal
    interviews is not unlimited. The legislature counterbalanced the waiver
    by requiring the defendant’s counsel to provide written notice of the
    consultation allowed by the subsection and to allow plaintiff’s counsel to
    be present at the consultation. 
    Id. § 622.10(3)(e).
    Section 622.10(3)(e) does not apply to a meeting between a
    physician and his or her own attorney.           The language of section
    622.10(3)(e) refers separately to the “plaintiff’s physician” and the
    “defendant,” suggesting they are not one and the same.            Any other
    interpretation    would   prevent    physician    defendants    in   medical
    malpractice suits from consulting with their own defense attorneys and
    would prevent defendant or potential defendant physicians and their
    employers,    hospitals   or   clinics,   from   obtaining   effective   legal
    representation. See Harlan v. Lewis, 
    982 F.2d 1255
    , 1264–65 (8th Cir.
    1993) (noting that although Arkansas discovery rule was interpreted to
    prevent ex parte interviews with treating physicians, the language of the
    7
    rule could not be read to include consultation between a physician and
    the   physician’s      own    attorney     because      the    right    to    counsel    “is
    meaningless without the ability to converse freely with counsel about the
    representation”).
    The legislature did not construct a specific remedy within the
    statute for noncompliance with the notice requirement under section
    622.10(3)(e). 3 However, “trial courts have inherent power to enforce our
    discovery rules and have discretion to impose sanctions for a litigant’s
    failure to obey them.” White v. Citizens Nat’l Bank of Boone, 
    262 N.W.2d 812
    , 816 (Iowa 1978).
    Because Iowa Code section 622.10(3) provides a method for
    discovery of information pertinent to a pending lawsuit, we hold a trial
    court’s discretion to impose discovery sanctions, when appropriate,
    applies to violations of section 622.10.              A trial court may consider a
    variety of sanctions, or may decide sanctions are unwarranted, based on
    the circumstances surrounding a violation of the notice provision in
    section 622.10(3)(e).        See, e.g., 
    Harlan, 982 F.2d at 1257
    –58, 1261–62
    (affirming    monetary       sanctions     for   ex parte     contact        with   treating
    physicians and also requiring disclosure of attorney notes if treating
    physicians called as witness in part because of Arkansas statute
    interpreted to prohibit such contact); Manion v. N.P.W. Med. Ctr. of N.E.
    Pa., Inc., 
    676 F. Supp. 585
    , 595–96 (M.D. Pa. 1987) (granting plaintiff’s
    motion in limine to exclude plaintiff’s former treating physicians from
    being called as expert witnesses based on defense counsel’s ex parte
    contact with those physicians); Younggren v. Younggren, 
    556 N.W.2d 3Sectio
    n  622.10(3)(b) provides a remedy if a plaintiff fails to sign a waiver within
    the prescribed time period. Under such circumstances the court may order disclosure
    or compliance and failure to comply “may be grounds for dismissal of the action or any
    other relief authorized under the rules of civil procedure.”
    8
    228, 233 (Minn. Ct. App. 1996) (holding sanction for failure to follow
    Minnesota statute comparable to Iowa Code section 622.10 “could
    include a refusal to admit [] evidence.         However, the trial court is not
    required to impose sanctions. The trial court declined to do so in this
    case . . .”). As we discuss below, partial disclosure of a memorandum
    summarizing the consultation made in violation of the statute is an
    available sanction.
    B. Attorney-Client Privilege. The Iowa legislature has codified
    the attorney-client privilege: Iowa Code section 622.10 bars attorneys
    from   disclosing     confidential     communications.       “Any   confidential
    communication between an attorney and the attorney’s client is
    absolutely privileged from disclosure against the will of the client.”
    
    Shook, 497 N.W.2d at 886
    .            This privilege is “of ancient origin.   It is
    premised on a recognition of the inherent right of every person to consult
    with legal counsel and secure the benefit of his advice free from any fear
    of disclosure.” Bailey v. Chicago, Burlington & Quincy R.R., 
    179 N.W.2d 560
    , 563 (Iowa 1970). The party seeking to assert the privilege bears the
    burden to show an attorney-client relationship existed and that the
    communication was made in confidence. 
    Id. at 564.
    Rouwenhorst asserts he is Dr. Sneller’s personal attorney, and
    therefore section 622.10 would not prevent an ex parte informal meeting.
    In the alternative, Rouwenhorst asserts section 622.10 is inapplicable
    because he is the attorney for McFarland Clinic and Dr. Sneller is an
    employee of the clinic within the attorney-client privilege.         He further
    asserts it was consistent with the attorney-client privilege to share the
    memorandum with Dr. Bernard because of the “joint client” exception.
    We hold the memorandum was not protected by the attorney-client
    privilege of either Dr. Sneller personally or McFarland Clinic.
    9
    1. Personal Attorney-Client Privilege.               We question whether
    Rouwenhort’s assertion that he is Dr. Sneller’s attorney is enough to
    carry the burden to show an attorney-client relationship in this context.
    Although there may be circumstances in which a lawyer may represent
    two physicians individually as well as their employer, the soundness of
    such a claim in this particular context is brought into question by the
    potential conflict of interest. 4        Dr. Sneller’s actions have not been
    implicated in the suit against Dr. Bernard and McFarland Clinic.
    Regardless, Dr. Sneller is entitled to consult a personal attorney without
    the presence of patients’ attorneys. If Dr. Sneller consulted Rouwenhorst
    for legal advice, those past conversations must be privileged. 5 See Iowa
    Code § 622.10(1).
    There has been no showing, however, that the memorandum at
    issue was prepared pursuant to an attorney-client consultation between
    Rouwenhorst and Dr. Sneller personally. Based on an in camera review,
    4
    See State v. Smitherman, 
    733 N.W.2d 341
    , 348 (Iowa 2007) (noting conflict of
    interest where defense co-counsel represented prosecution witness in separate case but
    holding new trial was not required because defendant was not adversely affected where
    co-counsel withdrew); State v. Watson, 
    620 N.W.2d 233
    , 241–42 (Iowa 2000) (holding
    defense counsel had actual conflict of interest where he concurrently represented
    prosecution witness and ordering new trial); Iowa R. Prof’l Conduct 32:1.7 cmt. 6 (“[A]
    directly adverse conflict may arise when a lawyer is required to cross-examine a client
    who appears as a witness in a lawsuit involving another client, as when the testimony
    will be damaging to the client who is represented in the lawsuit.”).
    5The   proper remedy for a conflict of interest between two current clients is
    attorney disqualification from one or both representations, not forced disclosure of the
    attorney’s privileged conversations with either client. See Iowa R. Prof’l Conduct 32:1.7
    cmts. 4–5 (“If a conflict arises after representation has been undertaken, the lawyer
    ordinarily must withdraw from the representation . . . . Where more than one client is
    involved, whether the lawyer may continue to represent any of the clients is determined
    both by the lawyer’s ability to comply with duties owed to the former client and by the
    lawyer’s ability to represent adequately the remaining client or clients, given the
    lawyer’s duties to the former client. . . . The lawyer must continue to protect the
    confidences of the client from whose representation the lawyer has withdrawn.”
    (emphasis added)).
    10
    the memorandum does not reflect legal advice sought by Dr. Sneller. 6
    Instead, it demonstrates an investigation by Rouwenhorst into the
    hospital’s liability for Dr. Bernard’s actions.                The memorandum is
    therefore      not   protected    by    Dr.    Sneller’s    personal     attorney-client
    privilege. 7    Rouwenhorst cannot claim each witness as his client to
    prevent factual discovery. See Samaritan Found. v. Goodfarb, 
    862 P.2d 870
    , 880–81 (Ariz. 1993) (holding hospital’s attorney could not “silence
    the employees by shielding their communications in the cloak of the
    [personal] attorney-client privilege” where the employees were interviewed
    regarding what they witnessed and not their own actions and the
    employees did not perceive a need for legal advice); cf. Restatement
    (Third) of The Law Governing Lawyers § 14 cmt. f, at 130 (2000) (“Where
    appropriate, due consideration should be given to the unreasonableness
    of a claimed expectation of entering into a co-client status when a
    significant and readily apparent conflict of interest exists between the
    organization or other client and the associated person or entity claimed
    to be a co-client.”).
    2. Corporate Attorney-Client Privilege. Rouwenhorst argues even if
    his memorandum is not protected by his alleged personal representation
    6The district court considered the memorandum at issue in camera and we have
    done the same. See Wells 
    Dairy, 690 N.W.2d at 49
    ; Tausz v. Clarion-Goldfield Cmty.
    Sch. Dist., 
    569 N.W.2d 125
    , 128 (Iowa 1997).
    7Additionally,   even if the memorandum was protected by Dr. Sneller’s personal
    attorney-client privilege, the privilege may have been waived when the memorandum
    was shown intentionally to Dr. Bernard or when Dr. Bernard gave deposition testimony
    about the substantive content of the memorandum. See Restatement (Third) of The
    Law Governing Lawyers § 79, at 596 (“The attorney-client privilege is waived if the
    client, the client’s lawyer, or another authorized agent of the client voluntarily discloses
    the communication in a nonprivileged communication.”). It is unlikely that Dr. Sneller
    and Dr. Bernard could be considered joint clients in a situation where Dr. Sneller is
    expressing an opinion as a subsequent treating physician and potential expert because
    such representation is limited by “the extent of the legal matter of common interest.”
    Restatement (Third) of The Law Governing Lawyers § 75 cmt. c, at 580.
    11
    of Dr. Sneller, it is protected because Dr. Sneller is employed by
    Rouwenhorst’s client McFarland Clinic.             Therefore, we must determine
    whether the memorandum is protected based on McFarland Clinic’s
    attorney-client privilege. 8
    This court has yet to address the proper test to determine when
    communications between legal counsel for a corporate entity and its
    employees or agents are privileged under the attorney-client privilege.
    Because a corporate entity “can only act through its agents,” some
    communications between agents and corporate counsel must be
    protected    if   corporate    entities    are   to   have    legal   representation.
    Samaritan 
    Found., 862 P.2d at 875
    .                 Some courts have adopted a
    “control group” test which extends a corporate entity’s attorney-client
    privilege to the corporate employees who are in a position to control or
    take a substantial part in corporate decisions.               Upjohn Co. v. United
    States, 
    449 U.S. 383
    , 390, 
    101 S. Ct. 677
    , 683, 
    66 L. Ed. 2d 584
    , 591–92
    (1981).    The U.S. Supreme Court, acting pursuant to federal common
    law, rejected this “control group” doctrine, but declined to affirmatively
    proscribe a test. 
    Id. at 390–91,
    101 S. Ct. at 
    683, 66 L. Ed. 2d at 592
    (stating the control group test “overlooks the fact that the privilege exists
    to protect not only the giving of professional advice to those who can act
    on it but also the giving of information to the lawyer to enable him to give
    sound and informed advice”).
    Other courts have also created tests for determining the limits of a
    corporation’s attorney-client privilege. In Harper & Row Publishers, Inc.
    8The Keefes sued Dr. Bernard and his employer, McFarland Clinic, based on
    vicarious liability. It is likely that Dr. Bernard and McFarland Clinic are joint clients
    and therefore the attorney-client privilege would not be waived by disclosure of the
    memorandum to Dr. Bernard. We need not reach this issue, however, because we hold
    below that the memorandum was not protected by McFarland Clinic’s attorney-client
    privilege.
    12
    v. Decker, 
    423 F.2d 487
    (7th Cir. 1970), aff’d by an equally divided court,
    
    400 U.S. 348
    , 
    91 S. Ct. 479
    , 
    27 L. Ed. 2d 433
    (1971), the Seventh Circuit
    rejected the “control group” test. Harper & Row held communications by
    corporate     employees   to   legal   counsel were   privileged where the
    employee’s disclosures were made at the direction of their corporate
    superiors and the subject matter was the “performance by the employee
    of the duties of his 
    employment.” 423 F.2d at 491
    –92. The court noted
    it was “not dealing in this case with the communications of employees
    about matters as to which they are virtually indistinguishable from
    bystander witnesses.” 
    Id. at 491.
    The test crafted in Harper & Row is
    often referred to as the “subject matter” test.
    In Diversified Industries, Inc. v. Meredith, 
    572 F.2d 596
    (8th Cir.
    1978) (rehearing en banc), the court adopted the “subject matter” test,
    but with additional limitations.        Diversified held the attorney-client
    privilege applies to employee communications where:
    (1) the communication was made for the purpose of securing
    legal advice; (2) the employee making the communication did
    so at the direction of his corporate superior; (3) the superior
    made the request so that the corporation could secure legal
    advice; (4) the subject matter of the communication is within
    the scope of the employee’s corporate duties; and (5) the
    communication is not disseminated beyond those persons
    who, because of the corporate structure, need to know its
    contents.
    
    Id. at 609.
    In Samaritan Foundation, the Supreme Court of Arizona considered
    these tests and focused on whether the subject matter of the
    communication concerns actions by an employee that have “exposed the
    corporation to liability” or whether it is “fair to characterize the employee
    as a ‘witness’ rather than as a 
    client.” 862 P.2d at 875
    –77. In Samaritan
    Foundation, the plaintiff had sued a hospital and physicians based on a
    problem during surgery. A hospital paralegal interviewed three nurses
    13
    and a scrub technician who had observed the surgery. 
    Id. at 873.
    The
    Arizona Supreme Court held the memoranda were not protected by the
    hospital’s attorney-client privilege because the nurses were interviewed
    as witnesses. 
    Id. at 880–81.
    We agree with the United States Supreme Court that the corporate
    attorney-client privilege should not be limited to those in the “control
    group.” Instead, the test must focus on the substance and purpose of
    the communication. If an employee of a corporation or entity discusses
    his or her own actions relating to potential liability of the corporation,
    such communications are protected by the attorney-client privilege. See
    Samaritan 
    Found., 862 P.2d at 876
    (“It is universally accepted that
    communications directly initiated by an employee to corporate counsel
    seeking legal advice on behalf of the corporation are privileged.”). If, on
    the other hand, a corporate employee is interviewed as a “witness” to the
    actions of others, the communication should not be protected by the
    corporation’s attorney-client privilege. 9
    Here, to the extent Dr. Sneller discussed his own actions and
    McFarland Clinic’s potential liability for his actions with McFarland
    Clinic’s attorney, Rouwenhorst, such communications are protected by
    McFarland Clinic’s attorney-client privilege. However, to the extent Dr.
    Sneller discussed his observations as a witness to or expert on the effects
    of Dr. Bernard’s treatment of the patient, his communications are not
    protected by McFarland Clinic’s attorney-client privilege. Based on our
    9When   a corporate employee participates in discussions with legal counsel
    because of his or her position within the corporate decision making structure, not
    because of either the employee’s own actions or what the employee has witnessed, such
    communications are also protected by the corporation’s attorney-client privilege. Cf.
    
    Diversified, 572 F.2d at 609
    (material protected if “not disseminated beyond those
    persons who, because of the corporate structure, need to know its contents” (emphasis
    added)). There has been no suggestion that Dr. Sneller was consulted in this capacity.
    14
    in camera review of the memorandum prepared by Rouwenhorst, we find
    the memorandum reflects Dr. Sneller’s observations as a witness or
    expert regarding Dr. Bernard’s treatment decisions based on his position
    as a subsequent treating physician. Therefore, the memorandum is not
    protected by McFarland Clinic’s attorney-client privilege.
    Because we conclude the memorandum is not protected by the
    attorney-client privilege, we hold Rouwenhorst was not shielded from the
    notice provision of Iowa Code section 622.10(3)(e).                    Even when a
    memorandum is not protected by the attorney-client privilege, however, it
    may still be protected by the attorney-work-product doctrine if prepared
    in anticipation of litigation. Therefore, we must consider the interaction
    of the attorney-work-product doctrine and non-compliance with Iowa
    Code section 622.10.
    C. Attorney Work Product. Iowa Rule of Civil Procedure 1.503(3)
    codifies a qualified immunity from discovery of materials prepared in
    anticipation of litigation. 10     
    Shook, 497 N.W.2d at 886
    .            Rule 1.503(3)
    [previously rule 122(c)] closely tracks Federal Rule of Civil Procedure
    26(b)(3), “and the history and cases under the federal rule provide
    guidance in interpreting the Iowa counterpart.” 
    Id. 10The rule
    provides:
    Subject to the provisions of rule 1.508, a party may obtain discovery of
    documents and tangible things otherwise discoverable under rule
    1.503(1) and prepared in anticipation of litigation or for trial by or for
    another party or by or for that other party’s representative (including the
    party’s attorney, consultant, surety, indemnitor, insurer, or agent) only
    upon a showing that the party seeking discovery has substantial need of
    the materials in the preparation of the case and that the party seeking
    discovery is unable without undue hardship to obtain the substantial
    equivalent of the materials by other means. In ordering discovery of such
    materials when the required showing has been made, the court shall
    protect against disclosure of the mental impressions, conclusions,
    opinions, or legal theories of an attorney or other representative of a
    party concerning the litigation.
    Iowa R. Civ. P. 1.503(3).
    15
    Federal rule 26(b)(3) codifies immunity for attorney work product
    recognized in the landmark case of Hickman v. Taylor, 
    329 U.S. 495
    , 
    67 S. Ct. 385
    , 
    91 L. Ed. 451
    (1947).        In Hickman, the Supreme Court
    recognized the privacy interests of an attorney in preparing the client’s
    case, but stopped short of declaring attorney work product absolutely
    immune from discovery in all cases.       
    Id. at 511,
    67 S. Ct. at 
    394, 91 L. Ed. at 462
    .    Instead, the Court held, “[w]here relevant and non-
    privileged facts remain hidden in an attorney’s file and where production
    of those facts is essential to the preparation of one’s case, discovery may
    properly be had.” 
    Id. Courts generally
    interpret Hickman as providing two layers of
    protection for attorney work product. See 8 Charles Alan Wright, Arthur
    R. Miller & Richard L. Marcus, Federal Practice and Procedure § 2026, at
    396–402 (2d ed. 1994).        Generally, federal rule 26(b)(3) “permits
    disclosure of documents and tangible things constituting attorney work
    product upon a showing of substantial need and inability to obtain the
    equivalent without undue hardship.” 
    Upjohn, 449 U.S. at 400
    , 101 S. Ct.
    at 
    688, 66 L. Ed. 2d at 598
    . However, Hickman and rule 26(b)(3) accord
    “special protection to work product revealing the attorney’s mental
    processes.” 
    Id. Like its
    federal counterpart, Iowa Rule of Civil Procedure 1.503(3)
    provides for production of “documents and tangible things” that have
    been “prepared in anticipation of litigation” by opposing counsel “only
    upon a showing that the party seeking discovery has substantial need of
    the materials . . . and . . . is unable without undue hardship to obtain
    the substantial equivalent of the materials by other means.” Iowa R. Civ.
    P. 1.503(3).   This rule requires the court, however, to “protect against
    disclosure of the mental impressions, conclusions, opinions, or legal
    16
    theories of an attorney” when ordering such discovery. Iowa R. Civ. P.
    1.503(3).
    As was the case in Hickman and Upjohn, the Keefes are demanding
    discovery of attorney notes of a witness’s statement created in
    anticipation of litigation. 11   This type of discovery has been held to be
    opinion work product. Baker v. Gen. Motors Corp., 
    209 F.3d 1051
    , 1054
    (8th Cir. 2000).       “Attorney notes reveal an attorney’s legal conclusions
    because, when taking notes, an attorney often focuses on those facts
    that she deems legally significant.” Id.; see also 
    Upjohn, 449 U.S. at 399
    400, 101 S. Ct. at 687
    –88, 66 L. Ed. 2d at 597–98 (“Forcing an attorney
    to disclose notes and memoranda of witnesses’ oral statements is
    particularly disfavored because it tends to reveal the attorney’s mental
    processes . . . .”).
    We agree a memorandum prepared by counsel concerning
    counsel’s recollections of an interview with a treating physician in a
    medical malpractice case constitutes attorney work product. Therefore,
    the memorandum at issue in this case constitutes attorney work
    product.     Facts or information contained in the memorandum are
    discoverable upon a showing of “substantial need” and “undue
    hardship.” However, in accordance with the two tiers of work product
    recognized by Iowa rule 1.503(3), we hold “so much of the work product
    that reflects the mental impressions or opinions of the lawyer is, for all
    practical purposes, absolutely immune from discovery.”               
    Shook, 497 N.W.2d at 886
    ; accord Squealer Feeds v. Pickering, 
    530 N.W.2d 678
    , 689
    (Iowa 1995) (citing Shook), overruled on other grounds by Wells 
    Dairy, 690 N.W.2d at 44
    –47.
    11There   is no dispute the memorandum at issue in this case was produced in
    anticipation of litigation.
    17
    We specifically reject the claim by the Keefes that such a
    memorandum cannot constitute work product because the physician’s
    statements recorded by defense counsel were initially the mental
    impressions of the physician.             Mental impressions of an expert are
    discoverable under Iowa Rule of Civil Procedure 1.508, but not mental
    impressions that have been filtered through the mental processes of an
    attorney and transformed into attorney work product. We also reject the
    claim that a memorandum cannot qualify as attorney work product when
    the mental impressions and information in the memorandum emanated
    from a process that was not compliant with the statute governing
    discovery of the information.           With or without the required statutory
    notice, the information gathered and impressions formulated became
    attorney work product. Therefore, the Keefes were required to make the
    special showing required by rule 1.503(3) for the discovery of attorney
    work product. 12       (We will separately consider whether noncompliance
    with the governing statute by an attorney serves as an additional ground
    to permit discovery of attorney work product.)
    We first examine whether the Keefes have a substantial need for
    the memorandum and the information is unavailable by other means.
    Iowa R. Civ. P. 1.503(3); 
    Upjohn, 449 U.S. at 400
    , 101 S. Ct. at 
    688, 66 L. Ed. 2d at 598
    . When a witness is available to provide discovery and to
    testify at trial, it is normally unnecessary for one attorney to gain access
    12
    Attorney work product was not waived when Rouwenhorst showed the
    memorandum to Dr. Bernard. See Restatement (Third) of The Law Governing Lawyers §
    91 cmt. b, at 662 (“Work product, including opinion work product, may generally be
    disclosed to the client . . . .”). The Keefes also argue attorney work product protection of
    the memorandum was waived when Dr. Bernard discussed substantive portions of the
    memorandum during his deposition. As will be noted below, we order partial disclosure
    of non-opinion work product contained in the memorandum, including the statement
    attributed to Dr. Sneller and referenced by Dr. Bernard in his deposition. Because Dr.
    Bernard disclosed only non-opinion work product, we do not address the issue of
    waiver. Cf. In re Martin Marietta Corp., 
    856 F.2d 619
    , 626 (4th Cir. 1988) (holding
    waiver applied only to non-opinion work product).
    18
    to the notes of an opposing counsel who has met with the witness in
    preparation for trial. See, e.g., 
    Baker, 209 F.3d at 1054
    (“Discovery of a
    witness statement to an attorney is generally not allowed if that witness
    is available to the other party.”); In re Grand Jury Proceedings, 
    473 F.2d 840
    , 849 (8th Cir. 1973) (reversing district court’s order to compel
    discovery of attorney’s recollections or written summaries of witness
    statements when “[o]ther than its conjecture that ‘something different
    might have been said’ the Government has offered little if any evidence
    upon which a finding of good cause could be predicated”). Dr. Sneller is
    not unavailable. Slater had the opportunity to ask Dr. Sneller if he had
    ever formed or expressed an opinion that Dr. Bernard should have
    referred the patient earlier than he did. Slater also had the opportunity
    to ask Dr. Sneller if Dr. Bernard could have referred James Keefe earlier.
    The Keefes claim special circumstances establish a substantial
    need for the memorandum authored by Rouwenhorst in this case.
    Without the memorandum, the Keefes assert they cannot otherwise know
    if Dr. Sneller expressed an opinion to Rouwenhorst regarding the timing
    of the referral that is inconsistent with his deposition testimony. Thus,
    the Keefes primarily want the memorandum as a potential source to
    impeach Dr. Sneller with a prior inconsistent statement made to
    Rouwenhorst or to help show at trial that he may have changed his
    opinion.
    We conclude the record fails to support the Keefes’ claim of
    substantial need.    The Keefes have shown no greater need for the
    memorandum than would ordinarily occur when one attorney discusses
    a case with a witness or expert outside the presence of opposing counsel.
    As noted above, the district court ordered the memorandum produced
    based on a determination that it was not protected by the attorney work
    19
    product doctrine.     Because the memorandum is protected by the
    attorney-work-product doctrine, the district court abused its discretion
    in ordering the memorandum produced without a showing of substantial
    need. We will now consider whether the memorandum was, nonetheless,
    discoverable as a sanction for Rouwenhorst’s violation of section
    622.10(3).
    D.   Remedy for Violation of Iowa Code Section 622.10.            As
    noted above, Iowa Code section 622.10(3) represents a compromise
    position reached by our legislature which allows defense attorneys to
    meet informally with treating physicians when a plaintiff’s condition is at
    issue in litigation by forcing the plaintiff to provide a waiver, but imposes
    certain restraints.   The defense attorney must provide the plaintiff’s
    counsel with notice and an opportunity to be present at the meeting. As
    noted above, we hold Rouwenhorst was required to follow the notice
    provision in section 622.10(3)(e).
    The Keefes assert if Rouwenhorst had properly given notice of his
    meeting with Dr. Sneller, the Keefes’ counsel would have heard the
    analysis provided by Dr. Sneller and would not be in the position of
    seeking the memorandum containing Rouwenhorst’s work product.
    Therefore, the Keefes argue, disclosure of the memorandum is the
    appropriate remedy in this circumstance.
    We conclude an appropriate sanction under these circumstances
    is disclosure of facts, information, and statements in the memorandum
    attributable to Dr. Sneller, even though, as we held above, such
    statements are attorney work product when filtered into a memorandum
    by an attorney. Statements made by Dr. Sneller cannot be shielded from
    discovery where the Keefes’ counsel should have had the opportunity to
    be present at the meeting.     However, we hold the second tier of work
    20
    product—any “mental impressions, conclusions, opinions, or legal
    theories” of Rouwenhorst—are still protected from disclosure.      Iowa R.
    Civ. P. 1.503(3); see also 
    Shook, 497 N.W.2d at 886
    (“[S]o much of the
    work product that reflects the mental impressions or opinions of the
    lawyer is, for all practical purposes, absolutely immune from discovery.”).
    Therefore, we remand to the trial court for redaction of opinion work
    product in camera before production to the Keefes.
    IV. Conclusion.
    The memorandum at issue is not protected from discovery by the
    attorney-client privilege. The memorandum is generally protected from
    discovery by the attorney-work-product doctrine. However, in this case
    we compel production of the memorandum, after redaction in camera for
    attorney mental impressions, opinions, or legal theories, as a remedy for
    violation of Iowa Code section 622.10. We affirm in part and reverse in
    part the district court.   The case is remanded for further proceedings
    consistent with this opinion.
    DISTRICT COURT ORDER AFFIRMED IN PART, REVERSED IN
    PART, AND REMANDED WITH INSTRUCTIONS.
    All justices concur, except Baker, J., who takes no part.
    

Document Info

Docket Number: 06–1939

Filed Date: 10/30/2009

Precedential Status: Precedential

Modified Date: 2/28/2018

Authorities (20)

Kenneth Lee Baker Steven Robert Baker, Melissa Thomas v. ... , 209 F.3d 1051 ( 2000 )

White v. Citizens National Bank of Boone , 1978 Iowa Sup. LEXIS 1201 ( 1978 )

State v. Smitherman , 2007 Iowa Sup. LEXIS 74 ( 2007 )

Hickman v. Taylor , 329 U.S. 495 ( 1947 )

Upjohn Co. v. United States , 101 S. Ct. 677 ( 1981 )

Wells Dairy, Inc. v. American Industrial Refrigeration, Inc. , 2004 Iowa Sup. LEXIS 313 ( 2004 )

Manion v. N.P.W. Medical Center of N.E. Pennsylvania, Inc. , 676 F. Supp. 585 ( 1987 )

State v. Bedel , 1971 Iowa Sup. LEXIS 821 ( 1971 )

In Re Martin Marietta Corporation, United States of America ... , 856 F.2d 619 ( 1988 )

Bernard M. Decker, United States District Judge v. Harper & ... , 91 S. Ct. 479 ( 1971 )

Roosevelt Hotel Ltd. Partnership v. Sweeney , 1986 Iowa Sup. LEXIS 1304 ( 1986 )

State v. Stone , 2009 Iowa Sup. LEXIS 34 ( 2009 )

Samaritan Foundation v. Goodfarb , 176 Ariz. 497 ( 1993 )

Harper & Row Publishers, Inc. v. Honorable Bernard M. ... , 423 F.2d 487 ( 1970 )

Tausz v. Clarion-Goldfield Community School District , 1997 Iowa Sup. LEXIS 242 ( 1997 )

Bailey v. Chicago, Burlington & Quincy Railroad Co. , 1970 Iowa Sup. LEXIS 881 ( 1970 )

Squealer Feeds v. Pickering , 1995 Iowa Sup. LEXIS 91 ( 1995 )

Exotica Botanicals, Inc. v. E.I. Du Pont De Nemours & Co. , 2000 Iowa Sup. LEXIS 115 ( 2000 )

In the Matter of Grand Jury Proceedings. Frank J. Duffy v. ... , 473 F.2d 840 ( 1973 )

Shook v. CITY OF DAVENPORT, IOWA , 1993 Iowa Sup. LEXIS 62 ( 1993 )

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