Nelson v. City of Billings and MMIA , 390 Mont. 290 ( 2018 )


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  •                                                                                                02/28/2018
    DA 17-0074
    Case Number: DA 17-0074
    IN THE SUPREME COURT OF THE STATE OF MONTANA
    
    2018 MT 36
    KEVIN NELSON,
    Petitioner and Appellant,
    v.
    CITY OF BILLINGS, MONTANA, and MONTANA
    MUNICIPAL INTERLOCAL AUTHORITY of
    Helena, Montana,
    Respondents and Appellees.
    APPEAL FROM:           District Court of the Thirteenth Judicial District,
    In and For the County of Yellowstone, Cause No. DV 14-1028
    Honorable Michael G. Moses, Presiding Judge
    COUNSEL OF RECORD:
    For Appellant:
    Kevin Nelson, Self-Represented, Billings, Montana
    For Appellees:
    Harlan B. Krogh, Crist, Krogh & Nord, PLLC, Billings, Montana
    Submitted on Briefs: October 18, 2017
    Decided: February 28, 2018
    Filed:
    __________________________________________
    Clerk
    Justice Beth Baker delivered the Opinion of the Court.
    ¶1     Kevin Nelson filed a Petition for Release of Documents with the Thirteenth Judicial
    District Court requesting “everything related to” a civil judgment the Montana Municipal
    Interlocal Authority1 (MMIA) paid on behalf of the City of Billings (City). The City and
    MMIA released to Nelson all non-privileged documents and provided privilege logs
    describing    those   documents      withheld       on   the   ground   of   attorney-client   or
    attorney-work-product privilege. The District Court granted summary judgment to the City
    and MMIA on the ground that Nelson had received all of the documents that he was entitled
    to examine. Nelson appeals, arguing that Montana’s constitutional right to know forecloses
    the City’s and MMIA’s privilege claims. We affirm.
    PROCEDURAL AND FACTUAL BACKGROUND
    ¶2     Steven Feuerstein, a former Billings City police officer, secured a $1.6 million
    judgment in a 2006 civil rights lawsuit against the City. MMIA, an interlocal government
    agency that provides insurance coverage to the City, paid the full judgment to Feuerstein.
    MMIA determined, however, that the City’s policy did not cover certain portions of the
    judgment and sought reimbursement from the City for $900,000. The City’s and MMIA’s
    reinsurer, Specialty National, declared bankruptcy and did not participate in paying the
    judgment.
    1
    Nelson’s Petition erroneously named MMIA as the “Montana Municipal Insurance Authority.”
    As noted by the Respondents, the organization is properly titled the “Montana Municipal Interlocal
    Authority.” We have amended the caption accordingly.
    2
    ¶3     Sometime in 2009, the City and MMIA attempted to discuss the matter in a closed
    session. The Billings Gazette filed suit to enjoin the closed session, and a district court
    issued a preliminary injunction, prohibiting any non-public discussions about the matter.
    That case was dismissed as moot when the City and MMIA agreed not to engage in further
    discussions.
    ¶4     MMIA later filed suit in district court against the City and Specialty National for
    reimbursement. Nelson alleges that during the course of that litigation, the City held closed
    meetings—in violation of the Montana Constitution and Open Meeting laws—to discuss
    litigation strategy, including a work session on June 24, 2013, which Nelson had asked to
    attend. The City and MMIA eventually reached a settlement agreement in which the City
    agreed to pay MMIA $500,000 to dispose of MMIA’s lawsuit.
    ¶5     Nelson first requested documents from MMIA relating to the Feuerstein matter in
    August 2013. Nelson wrote a letter asking for “all documents in the matter of City of
    Billings/Feuerstien [sic].” He wrote that he would “pay any reasonable copying and
    postage fees of not more than $50.00” for the documents. MMIA responded to Nelson’s
    letter and informed him that MMIA’s files contained privileged documents that would need
    to be reviewed by general counsel and redacted before the documents could be given to
    Nelson. MMIA explained that, given Nelson’s broad request, the costs of reviewing the
    documents and copying them would far exceed fifty dollars. MMIA sent another letter to
    Nelson a few weeks later that included copies of agendas and minutes for all MMIA
    meetings in which the Feuerstein case was discussed. In response, Nelson requested “all
    communication” “in the matter of MMIA/City of Billings/Feuerstein,” including all
    3
    correspondence between the parties and their attorneys. Nelson again stated that he would
    pay copying and postage fees up to fifty dollars. MMIA responded with a letter again
    explaining that the documents Nelson requested may be protected from disclosure by
    privilege and that in order to fulfill Nelson’s request general counsel would need to review
    thousands of documents at a cost far exceeding fifty dollars “in staff time and legal bills.”
    MMIA requested that Nelson agree to pay these costs before MMIA proceeded. MMIA
    never received a response from Nelson.
    ¶6     Nelson also requested documents from the City in August 2013. His initial request
    to the City was for meeting minutes and agendas from three dates, including the June 24,
    2013 meeting from which he was excluded. The City provided him with minutes and
    agendas from two of the meetings he requested, along with minutes and agendas from two
    other meetings that took place around the same time. The City informed him that there
    were no minutes from the June 24, 2013 meeting because at that time Montana law did not
    require minutes to be kept for closed litigation strategy sessions. In a follow-up letter,
    Nelson requested “access to and copy of in the matter of MMIA/City of
    Billings/Feuerstein, all communication.” As in his correspondence to MMIA, Nelson
    wrote that he would pay copying and postage fees up to fifty dollars. The City responded
    that some of the requested documents may be protected by privilege and that given the
    broad request, the cost of searching for, reviewing, and copying the documents would
    exceed fifty dollars. The City requested Nelson to advise it on how he wished to proceed.
    The City never received a response from Nelson.
    4
    ¶7     On July 23, 2014, Nelson filed with the District Court a Petition for Release of
    Documents against MMIA and the City, asking for the release of “everything” “related to
    the matter of Steve Feuerstein/The City of Billings/Montana Municipal Insurance
    Authority.” His petition also alleged that the closure of meetings during the litigation was
    a violation of the Montana Constitution and open meeting laws. He asked the court to
    compel the release of all documents, order an investigation to determine whether his
    constitutional rights were violated, and order other remedies. MMIA and the City provided
    Nelson with over seven thousand pages of documents and a privilege log detailing the
    documents withheld. MMIA and the City then moved for summary judgment on the basis
    that all non-privileged documents had been released. Nelson did not file a response or
    opposition to that motion, but rather filed a one-page “Motion to Deny Summary
    Judgment” with no supporting brief. Following a hearing, the District Court granted
    summary judgment in favor of MMIA and the City and dismissed the petition.
    STANDARD OF REVIEW
    ¶8     This Court exercises plenary review over matters of constitutional interpretation.
    Cross v. VanDyke, 
    2014 MT 193
    , ¶ 5, 
    375 Mont. 535
    , 
    332 P.3d 215
    ; Bryan v. Yellowstone
    Cnty. Elementary Sch. Dist. No. 2, 
    2002 MT 264
    , ¶ 16, 
    312 Mont. 257
    , 
    60 P.3d 381
    .
    DISCUSSION
    ¶9     Nelson argues on appeal that Montana Constitution Article II, Section 9, protects
    his right to know and allows him to examine any documents of public bodies or agencies
    of state government with only one exception: when individual privacy clearly exceeds the
    merits of public disclosure. He argues that because neither the City nor MMIA can claim
    5
    any right to individual privacy, they cannot refuse to produce any documents to him based
    on the attorney-client or attorney-work-product privileges.
    ¶10    MMIA and the City argue that privileged documents are not subject to disclosure
    under the Montana Constitution because they are not “documents . . . of . . . public bodies.”
    Therefore, they reason, Article II, Section 9, does not require the City and MMIA to make
    documents protected by the attorney-client or attorney-work-product privileges available
    for Nelson’s examination. Alternatively, the City and MMIA argue that the District
    Court’s order can be affirmed summarily because Nelson failed to respond in a
    procedurally proper manner to their motion for summary judgment.
    ¶11    We first reject the City’s and MMIA’s argument that the District Court’s grant of
    summary judgment can be affirmed in a summary manner due to Nelson’s procedural
    deficiencies. Although Nelson failed to brief the issues before the District Court on
    summary judgment, this failure to respond did “not relieve the District Court of the duty to
    engage in a Rule 56 analysis when presented with a motion for summary judgment.”
    Chapman v. Maxwell, 
    2014 MT 35
    , ¶ 11, 
    374 Mont. 12
    , 
    322 P.3d 1029
    . The District Court
    properly held a hearing and issued a judgment considering the claims under the standards
    set out in M. R. Civ. P. 56. Applying de novo review, we consider Nelson’s claims under
    the same standards.
    ¶12    Montana Constitution Article II, Section 9, provides: “No person shall be deprived
    of the right to examine documents . . . of all public bodies or agencies of state government
    and its subdivisions, except in cases in which the demand of individual privacy clearly
    exceeds the merits of public disclosure.” We have held that the language of Article II,
    6
    Section 9, is unique, clear, unambiguous, and speaks for itself without requirement for
    “extrinsic aids or rules of construction.” Great Falls Tribune Co. v. Great Falls Pub. Sch.,
    
    255 Mont. 125
    , 129, 
    841 P.2d 502
    , 504 (1992) (Tribune II); Associated Press v. Bd. of Pub.
    Educ., 
    246 Mont. 386
    , 391-92, 
    804 P.2d 376
    , 379 (1991); Great Falls Tribune v. Dist.
    Court of the Eighth Judicial Dist, 
    186 Mont. 433
    , 437-38, 
    608 P.2d 116
    , 119 (1980)
    (Tribune I). Pursuant to the plain meaning of the language of Article II, Section 9, we have
    construed the term “documents . . . of . . . public bodies or agencies” to mean documents
    “generated or maintained” by the bodies or agencies in relation to their “function and
    duties.” Becky v. Butte-Silver Bow Sch. Dist. No. 1, 
    274 Mont. 131
    , 138, 
    906 P.2d 193
    ,
    197 (1995).
    ¶13    As a right expressly enumerated in the Montana Constitution, the right to know is a
    fundamental right subject to the highest degree of protection. Walker v. State, 
    2003 MT 134
    , ¶ 74, 
    316 Mont. 103
    , 
    68 P.3d 872
    ; Butte Cmty. Union v. Lewis, 
    219 Mont. 426
    , 430,
    
    712 P.2d 1309
    , 1311 (1986). Like other constitutional rights, however, the right to know
    is not absolute. See Great Falls Tribune v. Mont. Pub. Serv. Comm’n, 
    2003 MT 359
    , ¶ 39,
    
    319 Mont. 38
    , 
    82 P.3d 876
    (Tribune III); Worden v. Mont. Bd. of Pardons & Parole,
    
    1998 MT 168
    , ¶¶ 33-37, 
    289 Mont. 459
    , 
    962 P.2d 1157
    ; State ex rel. Smith v. Dist. Court
    of the Eighth Judicial Dist., 
    201 Mont. 376
    , 383, 
    654 P.2d 982
    , 986 (1982); Tribune 
    I, 186 Mont. at 438-39
    , 608 P.2d at 119.
    ¶14    In construing constitutional provisions, we apply the same rules used in construing
    statutes. Grossman v. Mont. Dep’t of Natural Res., 
    209 Mont. 427
    , 451, 
    682 P.2d 1319
    ,
    1331 (1984).     The intent of the Framers controls the Court’s interpretation of a
    7
    constitutional provision. Cross, ¶ 10; Butte-Silver Bow Local Gov’t v. State, 
    235 Mont. 398
    , 403, 
    768 P.2d 327
    , 330 (1989); Keller v. Smith, 
    170 Mont. 399
    , 405, 
    553 P.2d 1002
    ,
    1006 (1976). Borrowing from the rules of statutory construction, we often declare that we
    must discern the Framers’ intent from the plain meaning of the language used and may
    resort to extrinsic aids only if the express language is vague or ambiguous. See, e.g., Cross,
    ¶¶ 10, 21-28; State ex rel. Racicot v. Dist. Court of the First Judicial Dist., 
    243 Mont. 379
    ,
    386-88, 
    794 P.2d 1180
    , 1184-86 (1990); Butte-Silver Bow Local 
    Gov’t, 235 Mont. at 403-05
    , 768 P.2d at 330-31; 
    Keller, 170 Mont. at 404-09
    , 553 P.2d at 1006-08. Even in
    the context of clear and unambiguous language, however, we have long held that we must
    determine constitutional intent not only from the plain meaning of the language used, but
    also in light of the historical and surrounding circumstances under which the Framers
    drafted the Constitution, the nature of the subject matter they faced, and the objective they
    sought to achieve. Rankin v. Love, 
    125 Mont. 184
    , 187-88, 
    232 P.2d 998
    , 1000 (1951);
    State ex rel. Hamshaw v. Justice Court of Union Twp., 
    108 Mont. 12
    , 15, 
    88 P.2d 1
    , 2
    (1939); State ex rel. Hillis v. Sullivan, 
    48 Mont. 320
    , 325-26, 
    137 P. 392
    , 393-94 (1913);
    accord, e.g., Judicial Standards Comm’n v. Not Afraid, 
    2010 MT 285
    , ¶¶ 17, 25, 
    358 Mont. 532
    , 
    245 P.3d 1116
    ; State v. Schneider, 
    2008 MT 408
    , ¶¶ 15, 18, 
    347 Mont. 215
    , 
    197 P.3d 1020
    ; Tribune III, ¶¶ 33-37; Kottel v. State, 
    2002 MT 278
    , ¶¶ 9, 35-39, 
    312 Mont. 387
    , 
    60 P.3d 403
    ; Mont. Envtl. Info. Ctr. v. Dep’t of Envtl. Quality, 
    1999 MT 248
    , ¶¶ 65-77, 
    296 Mont. 207
    , 9
    88 P.2d 1
    236; 
    Becky, 274 Mont. at 137
    , 906 P.2d at 196-97; 
    Grossman, 209 Mont. at 433-34
    , 
    451-52, 682 P.2d at 1322-23
    , 1332; Sch. Dist. No. 12 v. Hughes, 
    170 Mont. 267
    , 272-74, 
    552 P.2d 328
    , 331 (1976); Great N. Utils. Co. v. Pub. Serv. Comm’n,
    8
    
    88 Mont. 180
    , 219-21, 
    293 P. 294
    , 304 (1930); State ex rel. Rankin v. Harrington, 
    68 Mont. 1
    , 21, 
    217 P. 681
    , 685 (1923); Davis v. Stewart, 
    54 Mont. 429
    , 434-37, 
    171 P. 281
    , 283-84
    (1918); State ex rel. Fenner v. Keating, 
    53 Mont. 371
    , 378-80, 
    163 P. 1156
    , 1157-58
    (1917); State v. Keeler, 
    52 Mont. 205
    , 216-18, 
    156 P. 1080
    , 1083 (1916); N. Pac. Ry. v.
    Mjelde, 
    48 Mont. 287
    , 296-97, 
    137 P. 386
    , 388 (1913); State ex rel. McGowan v. Sedgwick,
    
    46 Mont. 187
    , 191-93, 
    127 P. 94
    , 96 (1912); State ex rel. Jackson v. Kennie, 
    24 Mont. 45
    ,
    56-57, 
    60 P. 589
    , 593 (1900).
    ¶15    “In determining the meaning of the constitution, the Court must keep in mind that
    it is not the beginning of law for the state, but a constitution assumes the existence of a
    well understood system of law which is still to remain in force and to be administered, but
    under constitutional limitation.” 
    Grossman, 209 Mont. at 451-52
    , 682 P.2d at 1332. The
    constitution refers to many terms and concepts that it does not define. 
    Hillis, 48 Mont. at 326
    , 137 P. at 394. The Court examines these concepts in the context of “‘the previous
    history’ of this community [and] ‘the well-understood system’ then in use.” 
    Hillis, 48 Mont. at 326
    , 137 P. at 394. We have not considered previously whether any privileges
    protected by statute or common law at the time of adoption survived enactment of the 1972
    Constitution. Nelson’s appeal presents that question.
    ¶16    As with statutory interpretation, constitutional construction should not “lead to
    absurd results, if reasonable construction will avoid it.” 
    Grossman, 209 Mont. at 451
    , 682
    P.2d at 1332. The principle of reasonable construction “allows courts to fulfill their
    adjudicatory mandate and preserve the [Framers’] objective.” 2A Norman J. Singer &
    Shambie Singer, Statutes and Statutory Construction, § 45:12, 115 (7th ed. 2014) (hereafter
    9
    Singer). Thus, a fundamental rule of constitutional construction is that we must determine
    the meaning and intent of constitutional provisions from the plain meaning of the language
    used without resort to extrinsic aids except when the language is vague or ambiguous or
    extrinsic aids clearly manifest an intent not apparent from the express language. See 2A
    Singer, supra, § 46:7, 267-73 (when interpreting statutes, courts may look beyond the
    literal text if it is inconsistent with legislative meaning or intent); see also Associated Press,
    Inc. v. Mont. Dep’t of Revenue, 
    2000 MT 160
    , ¶¶ 105-08, 
    300 Mont. 233
    , 
    4 P.3d 5
    (Nelson,
    J., specially concurring).
    ¶17    The Framers drafted Article II, Section 9, in broad and general terms. In its report
    to the whole convention, the Bill of Rights Committee explained that the purpose of the
    provision was to “presume the openness of government documents and operations” to
    combat “government’s sheer bigness[, which] threatens the effective exercise of
    citizenship.” Montana Constitutional Convention, Committee Proposals, February 22,
    1972, p. 631. The Bill of Rights Committee of the 1972 Constitutional Convention clearly
    modeled the language of Article II, Section 9, on Montana’s 1963 open meeting law, which
    applied to “[a]ll meetings of public or governmental bodies, boards, bureaus, commissions
    [and] agencies of the state or any political subdivision.” See § 82-3402, RCM (1947)
    (emphasis added); 1963 Mont. Laws ch. 159, § 2; Montana Constitutional Convention,
    Committee Proposals, February 22, 1972, pp. 631-32; Montana Constitutional Convention,
    Verbatim Transcript, March 7, 1972, pp. 1669-70. The Committee intended that Article
    II, Section 9, would expand the availability of government documents beyond the more
    narrow 1895 statutory definitions of public and private writings then codified at Title 93,
    10
    chapter 1001, §§ 2-3, RCM (1947). See Montana Constitutional Convention, Committee
    Proposals, February 22, 1972, pp. 631-32; Montana Constitutional Convention, Verbatim
    Transcripts, March 7, 1972, p. 1670. We thus have construed Article II, Section 9, as
    creating “a constitutional presumption that every document within the possession of public
    officials is subject to inspection.” Bryan, ¶ 39.
    ¶18    The Bill of Rights Committee cautioned, however, that the right to know is not
    absolute. Montana Constitutional Convention, Committee Proposals, February 22, 1972,
    p. 632 (“The committee intends by this provision that the right to know not be absolute.”).
    Recognizing that they were defining a constitutional right and not drafting a statute, the
    Chair of the Bill of Rights Committee, Wade Joseph Dahood, explained to the other
    delegates that Article II, Section 9, is
    stated in a broad principle form. It’s the type of constitutional right that must
    necessarily be expressed in general terms; the specific guidelines that
    perhaps some of the critics would like cannot be stated within that particular
    section if it’s to fall within the framework of a true constitutional principle.
    It’s a principle that must endure for the decades and the ages. . . . [T]he court
    shall interpret within this particular doctrine.
    ¶19    Montana Constitutional Convention, Verbatim Transcript, March 16, 1972, p. 2489.
    Though largely focused on balancing with the individual right to privacy protected by
    Article II, Section 10—see Montana Constitutional Convention, Committee Proposals,
    February 22, 1972, p. 632; Montana Constitutional Convention, Verbatim Transcript,
    March 7, 1972, p. 1670; Montana Constitutional Convention, Verbatim Transcript, March
    16, 1972, p. 2484—the Framers understood that the right to know would be subject to
    interpretation and considered together with other constitutional rights and existing laws.
    11
    See Montana Constitutional Convention, Verbatim Transcript, March 7, 1972, p. 1679
    (noting that “all rights have to be balanced against a police power” in accord with “that
    doctrine” of the U.S. Supreme Court in response to Delegate McDonough’s question as to
    whether Article II, Section 9, would afford criminal defendants a broader right to examine
    confidential criminal justice information).       The Framers recognized that, like other
    fundamental rights protected in the federal and state constitutions, the parameters of the
    right to know would be interpreted over time in the context of particular factual situations.
    ¶20    Importantly, during debate on Article II, Section 9, the delegates acknowledged
    instances, unrelated to individual privacy concerns, in which the right to know would not
    apply: when “necessary for the integrity of government.” Montana Constitutional
    Convention, Verbatim Transcript, March 7, 1972, p. 1678. For example, the delegates
    acknowledged the then-existing open meeting laws and existing exceptions to open
    meetings. Multiple delegates expressed the intention that Article II, Section 9, did not
    abrogate those laws; no delegate spoke to the opposite conclusion. Montana Constitutional
    Convention, Verbatim Transcript, March 7, 1972, pp. 1677-78. Further, the delegates
    discussed multiple other instances in which they did not intend for Article II, Section 9, to
    change current law and practice.         Montana Constitutional Convention, Verbatim
    Transcript, March 16, 1972, pp. 2494-2500.           Of singular import here, convention
    deliberations clearly indicate that the Framers did not intend for Article II, Section 9, to
    abolish, supersede, or alter preexisting legal privileges applicable to government
    proceedings and documents.
    12
    ¶21    For example, opposing a motion to revise the language of Article II, Section 9, to
    allow the Legislature to define privacy exceptions to the public’s right to know as
    advocated by press interests, the Chairman of the Bill of Rights Committee stated:
    How about the confidential relationships that are set by statute that are
    zealously guarded? Should they not be protected?                 Should not
    communication with respect to a private matter that deals with some
    governmental concern between attorney and client not be protected? Perhaps
    there’s some disclosure between priest and penitent, doctor and patient, the
    sacred relationships that are so important in a free society; should they not
    be paramount? Should they not be supreme?
    Montana Constitutional Convention, Verbatim Transcript, March 5, 1972, pp. 1673-74
    (emphasis added). In response to concerns that the broad language of Article II, Section 9,
    would upset preexisting privileges protecting the integrity of government operations, the
    Chairman of the Bill of Rights Committee advised the Committee that it would not:
    DELEGATE SKARI: Mr. Dahood, in Section 82-3402, Revised Codes of
    Montana, in Section 4, they say that one of the exceptions is “the purchasing
    of public property, the investing of public funds, or other matters involving
    competition or bargaining which, if made public, may adversely affect the
    public security or financial interest of the state or any political subdivision or
    agency of the state.” Does your Bill of Rights Section 9 cover that sort of
    thing? In other words, can the state’s interest be protected here?
    DELEGATE DAHOOD: Yes, I think the state’s interest is protected in those
    instances where there’s a need for that protection. Where you’ve got a
    bidding situation, of course, that particular matter must be kept confidential
    until the bidding is over.
    *    *   *
    DELEGATE SKARI: Well, as I read it, Section 9 states “except in the case
    where the demand of individual privacy exceeds the merits of public
    disclosure.” I have a little trouble with that.
    13
    DELEGATE DAHOOD: Well, Delegate Skari, what we are talking about
    here, of course, is protecting basically the right of the individual with respect
    to those matters that may affect him. I think what you’re talking about is the
    statute that has to do with certain functions of government in securing
    property for the operation of government to serve the citizen. . . . I think, as
    you read it, that indicated that there must be some confidentiality up to a
    particular point; is that not true?
    DELEGATE SKARI: Yes.
    DELEGATE DAHOOD: And I think that’s necessary for the integrity of
    government within that particular area. I do not think that anyone would
    expect to have information before a particular point of decision is reached in
    that situation, because the reason for it, of course, is to secure property for
    the government at the best obtainable price.
    DELEGATE SKARI: Thank you.
    *     *   *
    DELEGATE DAVIS: Mr. Dahood, . . . is it your intention on this to repeal
    the existing statutes on open hearings, or do you feel that they would still
    remain in full force and effect?
    DELEGATE DAHOOD: I feel they would still remain in full force and
    effect.
    Montana Constitutional Convention, Verbatim Transcript, March 7, 1972, pp. 1677-78,
    1680 (emphasis added).2 Addressing similar concerns that the undefined and unqualified
    reference to “public bodies” in Article II, Section 9, would require deliberations of juries,
    2
    In addition to various express exceptions involving individual privacy interests, the then-existing
    open meeting law also included express exceptions for: (1) “[n]ational or state security;” (2) “the
    purchasing of public property;” (3) “the investing of public funds or other matters involving
    competition or bargaining which, if made public may adversely affect the public security or
    financial interest of the state or any political subdivision or agency of the state;” and (4) “[l]aw
    enforcement, crime prevention, probation or parole.” Section 82-3402, RCM (1947).
    14
    grand juries, and this Court to be open to the public contrary to established law, the
    Chairman of the Bill of Rights Committee advised the Committee that it would not:
    DELEGATE BERG: I have been concerned as a lawyer about the use of the
    word “public bodies” . . . When I think of a public body deliberating, I think
    first of a jury . . . I think also of grand juries. . . . Those deliberations ought
    not to be open. . . . For that reason I think we should strike the words “bodies
    or,” because . . . that terminology . . . is clearly broad enough to include the
    deliberations of a . . . jury. Similarly, . . . take the deliberations of the
    Supreme Court. That’s a public body. Is it to be understood that Mr. Davis,
    or Mr. Dahood, or myself, if we’re on opposite sides of the case, having
    finished the argument, may then go into chambers with the court and observe
    their deliberations in the judgment of the case we just argued? . . . Now I
    want to see all agencies, in particular, opened up to the public. I want their
    documents examined; I want their deliberations open. I am particularly
    interested in the operations of the city councils and boards of county
    commissioners, as well as all other agencies and commissions and forms of
    government. . . . But I do not think that the term “public bodies” adds
    anything, and it may create problems which we do not otherwise
    envisage. . . .
    *     *    *
    DELEGATE DAHOOD: I think [Delegate Berg’s] concern is one that
    should concern us all. And I think the interpretation that he has given could
    possibly be laid against this section, but . . . I’m not satisfied in my mind and
    judgment that a court could conceivably give that interpretation to “bodies.”
    We are referring there to public bodies; perhaps city councils, perhaps some
    bureaucratic groups or some bureau that may have been established perhaps
    for some particular special public purpose that may not fall within the term
    of “agencies.” . . . I think our comments clearly indicate that we are not trying
    to upset any traditional rule of procedure with respect to anything within the
    judiciary. . . . I just do not think that that problem would arise. And with
    those comments in the record and in the journal, I would stand with the
    present language.
    Montana Constitutional Convention, Verbatim Transcript, March 16, 1972, pp. 2499-500
    (emphasis added).
    15
    ¶22    Consistent with the Framers’ manifest intent that Article II, Section 9, would not
    affect preexisting legal privileges against public disclosure, the 1972 Constitution included
    a Transition Schedule that, in pertinent part, provided:
    All laws . . . and rules of court not contrary to, or inconsistent with, the
    provisions of this Constitution shall remain in force, until they shall expire
    by their own limitation or shall be altered or repealed pursuant to this
    Constitution.
    Mont. Const. Transition Schedule § 6. The Transition Schedule “presuppose[d] that the
    laws . . . in force upon the effective date of the new Constitution [were] those which [were]
    not contrary to or inconsistent with” the Constitution. State ex rel. Woodahl v. Dist. Court
    of the Second Judicial Dist., 
    162 Mont. 283
    , 294, 
    511 P.2d 318
    , 324 (1973).
    ¶23    The attorney-client privilege has deep roots in the American legal system. See
    Upjohn Co. v. United States, 
    449 U.S. 383
    , 389, 
    101 S. Ct. 677
    , 682 (1981) (“The
    attorney-client privilege is the oldest of the privileges for confidential communications
    known to the common law.”); see also United States v. Jicarilla Apache Nation, 
    564 U.S. 162
    , 165, 
    131 S. Ct. 2313
    , 2318 (2011) (“The attorney-client privilege ranks among the
    oldest and most established evidentiary privileges known to our law.”). The attorney-client
    privilege protects confidential communications between an attorney and client during the
    course of the professional relationship. Section 26-1-803, MCA; Am. Zurich Ins. Co. v.
    Mont. Thirteenth Judicial Dist. Court, 
    2012 MT 61
    , ¶ 9, 
    364 Mont. 299
    , 
    280 P.3d 240
    . The
    purpose of this privilege is to “encourage full and frank communication between attorneys
    and their clients and thereby promote broader public interests in the observance of law and
    administration of justice. The privilege recognizes that sound legal advice or advocacy
    16
    depends upon the lawyer’s being fully informed by the client.” State ex rel. U.S. Fid. &
    Guar. Co. v. Mont. Second Judicial Dist. Court, 
    240 Mont. 5
    , 10, 
    783 P.2d 911
    , 914 (1989)
    (quoting Upjohn 
    Co., 449 U.S. at 389
    , 101 S. Ct. at 682). The privilege also serves “to
    ensure attorneys freely give accurate and candid advice to their clients without the fear it
    will later be used against the client.” Am. Zurich Ins. Co., ¶ 9. The privilege promotes the
    attorney-client relationship and the functioning of the legal system. Am. Zurich Ins. Co.,
    ¶ 24.
    ¶24     Likewise, the attorney-work-product privilege, although articulated as such only in
    the twentieth century, has a long history in this country. See Hickman v. Taylor, 
    329 U.S. 495
    , 510-11, 
    67 S. Ct. 385
    , 393 (1947) (“In performing his various duties, however, it is
    essential that a lawyer work with a certain degree of privacy, free from unnecessary
    intrusion by opposing parties and their counsel. . . . That is the historical and the necessary
    way in which lawyers act within the framework of our system of jurisprudence to promote
    justice and to protect their clients’ interests.”). This opinion work-product privilege
    “shelters the mental processes of the attorney, providing a privileged area within which he
    can analyze and prepare his client’s case.” Diacon ex rel. Palmer v. Farmers Ins. Exch.,
    
    261 Mont. 91
    , 116, 
    861 P.2d 895
    , 910 (1993) (quoting United States v. Nobles, 
    422 U.S. 225
    , 238, 
    95 S. Ct. 2160
    , 2170 (1975)). The privilege “serves the adversarial process
    directly by enabling attorneys to prepare cases without fear that their work product will be
    used against their clients.” Am. Zurich Ins. Co., ¶ 24 (internal quotation omitted). As the
    United States Supreme Court recognized when articulating the attorney-work-product
    privilege: “Were such materials open to opposing counsel on mere demand, much of what
    17
    is now put down in writing would remain unwritten. . . . And the interests of the clients and
    the cause of justice would be poorly served.” 
    Hickman, 329 U.S. at 511
    , 67 S. Ct. at 393-
    94.
    ¶25    Evidentiary privileges—like the attorney-client and attorney-work-product
    privileges—protect governmental agencies and employees like any other party to civil
    litigation to ensure “broader public interests in the observance of law and administration
    of justice.” See Upjohn 
    Co., 449 U.S. at 389
    , 101 S. Ct. at 682; Jicarilla Apache 
    Nation, 564 U.S. at 170
    , 131 S. Ct. at 2321 (“[G]overnmental agencies and employees enjoy the
    same privilege as nongovernmental counterparts.” (quoting 1 Restatement (Third) of the
    Law Governing Lawyers § 74 cmt. b (1998))). Attorney-client and attorney-work-product
    privileges are integral to the operation of our legal system and encourage an attorney’s
    candid advice to prevent or resolve disputes.
    ¶26    The inviolate nature of these privileges is a cornerstone of our judicial system,
    reflecting “the policy of the law to encourage confidence and to preserve it inviolate.”
    Section 26-1-801, MCA; see 
    Hickman, 329 U.S. at 511
    , 67 S. Ct. at 393.
    ¶27    What’s more, both privileges were ingrained in Montana’s legal landscape at the
    time the 1972 Montana Constitution was drafted and ratified. The attorney-client privilege
    was first adopted in Montana in 1867—twenty-two years before statehood. See 1867 Mont.
    Laws §§ 373-77, pp. 210-11. Montana adopted the Federal Rules of Civil Procedure in
    1961, which the United States Supreme Court had interpreted fourteen years earlier to
    include an attorney-work-product privilege. See 1961 Mont. Laws ch. 13; 
    Hickman, 329 U.S. at 511
    , 67 S. Ct. at 393.
    18
    ¶28    The Constitution vests this Court with authority over procedural rules for the
    judicial system under Article VII, Section 2(3). Evidentiary privileges long have been
    protected in the Montana Rules of Civil Procedure, preventing opposing parties from
    discovering privileged documents during litigation. See, e.g., M. R. Civ. P. 26(b)(1), (3).
    Such protections were in the Montana Rules of Civil Procedure both before and after the
    1972 Constitution was adopted. See 1961 Mont. Laws ch. 13; No. AF 07-0157, Or. (Mont.
    April 26, 2011). It is not reasonable to conclude that the Framers intended to eliminate
    these privileges for public bodies in Montana without a single acknowledgment of such an
    intention during the convention debates. Cf. 
    Hillis, 48 Mont. at 326
    -28, 137 P. at 394-95
    (examining constitutional authority of judges and county commissioners vis-à-vis the
    employment of court staff in light of the laws in place and the functions of each “well
    known when our Constitution was adopted”).
    ¶29    Further, the Framers validated this Court’s historical authority to set procedural
    rules to perpetuate and maintain the legal system of this state. See 1959 Mont. Laws ch.
    255, § 5; Mont. Const. art. VII, § 2(3). In fact, the Framers chose to strengthen this Court’s
    role in the rulemaking process by eliminating the statutory requirement for legislative
    approval of court rules. But they left in place a constitutional check on judicial rulemaking:
    our rules are subject to disapproval by the Legislature within two legislative sessions of
    their passage. Mont. Const. art. VII, § 2(3). Importantly, the Legislature did not disapprove
    of court rules that retain these privileges.
    ¶30    Given this history, the 1972 Convention proceedings, and the Constitution’s own
    Transition Schedule, we conclude that the Framers’ intent is manifest that the preexisting
    19
    attorney-client and work-product privileges would carry forward inviolate as essential
    components of the preexisting legal system regardless of the broad, clear, and unambiguous
    language of Article II, Section 9.3 Therefore, we hold that documents protected by the
    attorney-client or attorney-work-product privileges are not subject to disclosure under
    Article II, Section 9.
    ¶31    Pointedly, just as the fundamental right to know is not absolute, neither are these
    privileges. And just as the right to know is not a tool for private litigation interests, see
    Friedel, LLC v. Lindeen, 
    2017 MT 65
    , 
    387 Mont. 102
    , 
    392 P.3d 141
    , neither are these
    privileges a means for public bodies and government agencies to impede transparency. We
    construe the attorney-client privilege narrowly because it obstructs the truth-finding
    process. Am. Zurich Ins. Co., ¶ 10. As such, “the [attorney-client] privilege protects only
    those disclosures—necessary to obtain informed legal advice—which might not have been
    made absent the privilege.” Am. Zurich Ins. Co., ¶ 10 (internal quotation omitted). Too,
    the attorney-work-product privilege does not grant absolute protection.4
    3
    There are other instances in which the Constitution’s literal language has been construed to
    perpetuate the common law existing at the time of adoption. For example, “although Article II,
    Section 26 of Montana’s Constitution provides that ‘[t]he right of trial by jury is secured to all and
    shall remain inviolate,’ the right to jury trial encompassed by § 26 embraces only those causes of
    action ‘in which the right was enjoyed when the constitution was adopted.’” State v. Chilinski,
    
    2016 MT 280
    , ¶ 8, 
    385 Mont. 249
    , 
    383 P.3d 236
    (citations omitted).
    4
    “The immunity offered by the work-product doctrine depends on the type of work product being
    sought.” Diacon ex rel. 
    Palmer, 261 Mont. at 115
    , 861 P.2d at 910. Ordinary work product,
    “which relates to factual matters,” may be discoverable “to the extent that it is not privileged,”
    Diacon ex rel. 
    Palmer, 261 Mont. at 115
    , 861 P.2d at 910, upon showing of substantial need and
    inability to obtain the substantial equivalent without undue hardship, M. R. Civ. P. 26(b)(3)(A).
    Opinion work product, which relates to mental impressions, opinions, conclusions, or legal
    theories, enjoys broader protection. M. R. Civ. P. 26(b)(3)(B).
    20
    ¶32    Courts assess privilege claims carefully in the context of litigation discovery
    disputes, and they should follow the same course when privilege is asserted in response to
    a right-to-know request. See, e.g., Draggin’ Y Cattle Co. v. Addink, 
    2013 MT 319
    , ¶ 50,
    
    372 Mont. 334
    , 
    312 P.3d 451
    (“For work product privilege it should be determined whether
    the various records were created or obtained due to the prospect of litigation or in the
    ordinary course of business for [the government]. For attorney-client privilege the court
    should determine whether the communications . . . were made for the ultimate purpose of
    seeking legal advice.”). Because of its “presumption” of disclosure, Bryan, ¶ 39, Article
    II, Section 9, embodies the principle that “the agency would be the one which would have
    to prove the burden” that a privilege applies.        Montana Constitutional Convention,
    Verbatim Transcript, March 16, 1972, p. 2489.
    ¶33    It is plain, then, that in a court’s review of a claimed privilege when a citizen seeks
    government information, it should not treat the privileges as sacrosanct. Particularly in
    light of the presumption of openness the Constitution endows, a reviewing court must
    examine whether the claimed privilege in a given document is sufficient to keep that
    document from public disclosure. The attorney-client privilege raises special concerns
    when the client is a government entity. Though the attorney-client and work-product
    privileges apply equally to government entities as well as private entities, see Inter-Fluve
    v. Mont. Eighteenth Judicial Dist. Court, 
    2005 MT 103
    , ¶¶ 32-34, 
    327 Mont. 14
    , 
    112 P.3d 258
    (attorney-client privilege), we must recognize the peculiar nature of government
    entities vis-à-vis the privileges and the public’s right to know. As a threshold matter, the
    attorney-client and work-product privileges belong to, and benefit, their public sector
    21
    clients, not the lawyers. Diacon ex rel. 
    Palmer, 261 Mont. at 106-09
    , 861 P.2d at
    904-06. Unlike their private adversaries, state and local government entities exist for the
    sole purpose of serving the public. See §§ 2-3-103(1) and -201, MCA. As corporate
    entities, state and local governments can act only through their authorized officers and
    agents. Inter-Fluve, ¶¶ 33-34. Because public officers and agents hold their positions as
    “a public trust, created by the confidence that the electorate reposes in [their] integrity,”
    those officers and agents act in their official capacities solely “for the benefit of the people.”
    Section 2-2-103(1), MCA.
    ¶34    Consequently, because they obstruct “the truth-finding process” and—as applied to
    government agencies and public bodies—collide with the public’s fundamental right to
    know under Article II, Section 9, the attorney-client and work-product privileges must be
    narrowly construed to effect their limited purposes.           See Draggin’ Y, ¶ 41.         The
    attorney-client “privilege protects only those disclosures” made by the client “to obtain
    informed legal advice” and the legal advice given. Draggin’ Y, ¶ 41 (quoting Am. Zurich
    Ins. Co., ¶ 10). For example, the California Supreme Court has held that the attorney-client
    privilege “is not applicable when the attorney acts merely as a negotiator for the client or
    is providing [non-legal] advice.” Costco Wholesale Corp. v. Super. Court of Los Angeles
    Cnty., 
    219 P.3d 736
    , 743 (Cal. 2009). That Court also has held that, except to the extent
    that they directly or indirectly disclose the substance of legal advice given or facts
    communicated by the client to the attorney for the purpose of obtaining legal advice, the
    attorney-client privilege does not protect attorney-client billing records. Los Angeles Cnty.
    Bd. of Supervisors v. Super. Court of Los Angeles Cnty., 
    386 P.3d 773
    , 779-82 (Cal. 2016)
    22
    (holding that attorney-client billing records disclosing amounts billed to or spent by
    government on terminated litigation were not protected by the attorney-client privilege).
    ¶35    As with other evidentiary privileges, the attorney-client and work-product privileges
    must cease to exist when they no longer serve their underlying purposes. See Herrig v.
    Herrig, 
    199 Mont. 174
    , 177-81, 
    648 P.2d 758
    , 760-62 (1982) (attorney-client privilege
    ceases to exist after death of client where the claim of right at issue derives from the
    deceased and the privileged communication is probative of deceased’s intent in regard
    thereto); State v. Boatwright, 
    401 P.3d 657
    , 663 (Kan. 2017) (“Attorney-client privilege . . .
    does not extend to communications ‘made for the purpose of getting advice for the
    commission of a fraud’ or crime.” (quoting United States v. Zolin, 
    491 U.S. 554
    , 563, 
    109 S. Ct. 2619
    , 2626 (1989)); Costco Wholesale 
    Corp., 219 P.3d at 743
    ; see also § 1-3-201,
    MCA (common law maxim that rule should cease where its justification ends); cf. State v.
    Forsythe, 
    2017 MT 61
    , ¶¶ 15, 27, 35, 
    387 Mont. 62
    , 
    390 P.3d 931
    (holding that spouse’s
    threatening statements to the other were not privileged because the threats did not further
    the privilege’s purpose of preserving the sanctity of the marriage); State v. Nettleton, 
    233 Mont. 308
    , 315-17, 
    760 P.2d 733
    , 738-39 (1988) (holding that spousal admission about the
    fact and manner of a third-party murder made for purposes of terrifying and intimidating
    spouses to remain silent did not further purpose of preserving the sanctity of the marriage);
    In re Marriage of Sarsfield, 
    206 Mont. 397
    , 406, 
    671 P.2d 595
    , 600-01 (1983) (holding
    that spousal admission about the fact of sexual abuse of couple’s child did not further the
    purpose of preserving the sanctity of the marriage); In re J.H., 
    196 Mont. 482
    , 484-87, 640
    
    23 P.2d 445
    , 447-48 (1982) (holding that spousal admission about the fact of abuse of couple’s
    child did not further the purpose of preserving the sanctity of the marriage).
    ¶36    Upon a demand for public documents under Article II, Section 9, the government
    entity asserting the attorney-client or work-product privilege has the burden of proving the
    application and the scope of the asserted privilege to the court upon in camera inspection.5
    Cf. Bryan, ¶ 39. Upon finding privileged material, the reviewing court must—as possible
    based on the nature and substance of the documents—give effect to both the subject
    privilege and the public’s right to know by ordering appropriate redaction of the privileged
    information and disclosure of the unprivileged balance of the document, if any.
    ¶37    The City and MMIA produced detailed privilege logs from which the validity of
    their privilege claims could be evaluated. In response, Nelson simply presented a blanket
    challenge, insisting that no documents could be withheld on privilege grounds consistent
    with Article II, Section 9. The case thus does not require us to determine under what
    circumstances the City’s and MMIA’s claimed privileges could yield to the right to know,
    and we decline to speculate. The District Court appropriately recognized that Nelson’s
    position that the government cannot withhold privileged documents would be “antithetical
    to” the public interests the privileges serve and would “render[ ] the attorney client
    privilege [and attorney-work-product privilege] meaningless.” Nelson was free to object
    to MMIA’s and the City’s claims of privilege on the legal grounds that the privileges should
    5
    This in camera review also necessarily may involve appropriate balancing of the public’s right
    to know against asserted or implicated rights to individual privacy or other fundamental
    constitutional rights in conflict with the right to know.
    24
    not apply to protect particular documents. But he did not do so. Based on the record before
    it, the District Court correctly determined that documents protected by the attorney-client
    and attorney-work-product privileges were not subject to release under Article II, Section
    9, of the Montana Constitution.
    CONCLUSION
    ¶38    The District Court’s judgment is affirmed.
    /S/ BETH BAKER
    We Concur:
    /S/ MIKE McGRATH
    /S/ JAMES JEREMIAH SHEA
    /S/ DIRK M. SANDEFUR
    /S/ JIM RICE
    Justice Laurie McKinnon, specially concurring.
    ¶39    Although I believe the Court’s analysis is significantly flawed, I reach the same
    conclusion and therefore specially concur. The Court’s reasoning contains inconsistent
    statements and rules of law, distorted interpretations of the 1972 Convention proceedings,
    and is inundated with unnecessary dicta.1 Although the Court states that the attorney-client
    1
    I take issue with the Court’s excessive insertion of dicta. In an attempt to thwart future issues
    which are sure to arise from the Court’s blanket exclusion of attorney-client privileged information
    from the public’s right to know, the Court states that certain information does not fall under the
    privilege’s protection. Opinion, ¶ 34. Specifically, the Court cites to a case from California for
    the proposition that the attorney-client privilege does not apply to cases where the attorney acts as
    a negotiator or provides non-legal advice, and thus presumably such information would be
    discoverable pursuant to the public’s right to know. See Opinion, ¶ 34 (citing Costco Wholesale
    25
    privilege is not absolute, Opinion, ¶ 31, the Court confuses narrowly interpreting the
    privilege, Opinion, ¶ 34, with its creation of an impenetrable exception to a citizen’s
    constitutional right to inspect documents of public bodies.              Thus, regardless of the
    information contained within the document and the need of citizens to inspect its contents
    in order to effectuate the right to know and monitor a particular activity of their
    government, the documents are automatically beyond the purview of a court and citizens
    whenever the document is created out of the government’s relationship with its counsel.2
    An impenetrable judicially created exception to the public’s constitutional right to know is
    not only unsupported by our precedent and Montana’s Constitution, but is an unwise
    impediment to a citizen’s ability to monitor the functioning of its government.3 The
    interests of the government in protecting the confidentiality of particular documents and
    the constitutional presumption of a citizen’s right to inspect those documents should be
    
    Corp., 219 P.3d at 743
    ). The Court also cites to another California case holding that the
    attorney-client privilege does not protect an attorney’s billing records except to the extent that the
    records “disclose the substance of legal advice given or facts communicated by the client to the
    attorney for the purpose of obtaining legal advice.” Opinion, ¶ 34 (citing Los Angeles Cnty. Bd.
    of 
    Supervisors, 386 P.3d at 779-82
    ). Such matters are not at issue in the current case and do not
    ultimately support the Court’s decision to remove all attorney-client privileged documents from
    scrutiny under Article II, Section 9.
    2
    The Court’s explanation that the privilege will not “impede transparency” is itself a misnomer.
    Opinion, ¶ 31. Pursuant to the Court’s analysis, a privileged document is automatically protected
    from disclosure, regardless of its content. It would appear that maintaining confidentiality of a
    document without regard for its contents actually does “impede transparency.”
    3
    In these proceedings, Nelson appears as a self-represented litigant and did not have counsel
    before the District Court or on appeal. This Court has not had the benefit of well-developed
    arguments on appeal, except those made by counsel for MMIA and the City. In my opinion, the
    Court should not decide an issue of constitutional magnitude such as this one without having the
    benefit of counsel experienced in this particular area of law. I am sure that, upon invitation by the
    Court, any number of attorneys with an interest in constitutional litigation of this sort would have
    offered assistance to the Court in developing the arguments and issues.
    26
    balanced by a court; a court is both neutral and in the best position to consider the
    circumstances of any particular case and claim.
    ¶40    This Court has long recognized that the right to know is not absolute and must be
    balanced against other constitutional interests. I would not jettison decades of precedent,
    as the Court implicitly does, to reach a distorted conclusion that documents prepared by a
    public entity in relation to its business of governance are not presumptively “documents of
    public bodies.”     Opinion, ¶ 30.      Despite this Court’s apparent desire to simplify
    right-to-know disputes by placing governance and litigation upon which it becomes
    embroiled beyond public examination, it is the job of the courts to protect constitutional
    rights as they are expressly written and to consider them in the context of other weighty
    and compelling interests. Indeed, balancing of competing interests by the third branch of
    government, a court, was envisioned by the Delegates, not just within the parameters of
    Article II, Section 9, itself, but as a mechanism to consider the constitutional provision
    within the circumstances of a particular case. Our courts routinely balance these interests
    and have well-developed precedent to guide them. Nonetheless, the Court, for the first
    time in our history interpreting this constitutional provision, applies a statutory privilege
    available generally to any litigant to keep public documents confidential. The Court does
    so without proper regard for the constitutional right to know or adequate consideration that
    the litigant here is not just any litigant, but a public body.
    ¶41    It is my opinion that the Court errs, first, by concluding that documents created out
    of the government’s relationship with counsel are not documents of public bodies subject
    to disclosure under Article II, Section 9. Opinion, ¶ 30. Second, the Court errs when it
    27
    unconditionally subjugates an express constitutional right to a statutory privilege, thus
    excepting from judicial scrutiny any consideration of the public’s right to know and
    monitor a particular activity of governance. Opinion, ¶¶ 30-31, 36. Finally, the Court’s
    analysis categorically adopts general principles of a statutory privilege to circumscribe a
    constitutional right—without regard to the public nature of the client. The Court’s “back
    door” approach of defining a constitutional right by a statutory privilege is unsound and
    compromises fundamental principles underlying the right to know. Such an approach will
    prove difficult when citizens have a need, for example, to learn of government practices
    that can only be ascertained by examining documents created in the context of the
    government’s relationship with counsel.       Under the Court’s approach, the statutory
    privilege takes priority over the constitutional right, thus directing the inquiry and
    precluding any judicial review of the public’s constitutional right to know the contents of
    the documents.
    ¶42    The starting point for any right-to-know analysis is the constitutional provision
    itself. The Montana Constitution, Article II, Section 9, provides:
    No person shall be deprived of the right to examine documents or to observe
    the deliberations of all public bodies or agencies of state government and its
    subdivisions, except in cases in which the demand of individual privacy
    clearly exceeds the merits of public disclosure.
    There is no dispute that MMIA and the City are government entities subject to the
    disclosure requirements of Article II, Section 9. Further, this Court has recognized that the
    Delegates’ adoption of Article II, Section 9, created a “constitutional presumption that
    every document within the possession of public officials is subject to inspection.” Bryan,
    28
    ¶ 39. If the issue could be resolved completely within the confines of Article II, Section 9,
    then Nelson would be entitled to the documents in MMIA and the City’s possession
    because the privacy protection included in the latter section of Article II, Section 9, does
    not pertain to non-human entities, such as MMIA and the City. See Tribune III, ¶ 36-37.
    However, Nelson’s claim made pursuant to his presumptive right to inspect the documents
    is only the starting point for the inquiry. The analysis must thereafter consider the
    government’s potentially countervailing confidentiality privileges, which are substantial
    and exist outside the parameters of Article II, Section 9.
    ¶43    However, the Court completely excludes the documents from disclosure under
    Article II, Section 9, by finding that documents protected by the attorney-client and
    attorney-work-product privileges are not documents of public bodies. Opinion, ¶ 30. To
    support its finding that the privileged documents are not subject to Article II, Section 9,
    scrutiny, the Court considers the historical roots of the privileges, the 1972 Convention
    proceedings, and the Constitution’s Transition Schedule.          Opinion, ¶ 30.      While
    recognizing that Article II, Section 9, contains “broad, clear, and unambiguous language”
    requiring disclosure of all public documents, the Court maintains that the privileges were
    “essential components” of the legal system prior to 1972 and thus privileged documents
    are not subject to disclosure under Article II, Section 9. Opinion, ¶ 30. I disagree with the
    Court’s reasoning that privileged documents are not documents of public bodies due,
    almost exclusively, to the fact that the privileges predated the 1972 Constitution.
    ¶44    I take particular issue with the way in which the Court relies upon portions of the
    Constitutional Convention Transcripts.       The Court first recognizes, based on the
    29
    Transcripts, that “the Framers understood that the right to know would be subject to
    interpretation and considered together with other constitutional rights and existing laws”
    and that “like other fundamental rights protected in the federal and state constitutions, the
    parameters of the right to know would be interpreted over time in the context of particular
    factual situations.” Opinion, ¶ 19. I agree that the right to know is subject to our
    interpretation and should be considered together with other constitutional rights and
    existing laws. Further, I see this case as an opportunity to consider how the right to know
    may limit certain evidentiary privileges.       However, the Court completely removes
    documents protected by the attorney-work-product and attorney-client privileges from
    constitutional scrutiny under Article II, Section 9, based, in large part, upon the Delegates’
    purported intent as ascertained from the Constitutional Convention Transcripts.
    ¶45    I find the Court’s analysis of the Transcripts inconsistent with the context of the
    Delegates’ discussions. For example, in Opinion, ¶¶ 20-21, the Court extensively quotes
    and cites from the Delegates’ discussion on March 7, 1972, Verbatim Transcript pages
    1673-78, in support of its conclusion that the Delegates did not intend for the right to know
    to affect the existing privileges. However, that debate was solely focused on whether the
    right to know should contain an explicit exception for cases in which the demands of
    individual privacy exceeded the merits of public disclosure. Montana Constitutional
    Convention, Verbatim Transcript, March 7, 1972, p. 1672.             Some Delegates were
    concerned that the individual privacy exception was too subjective and that public bodies
    would be able to cover up “vital public matters” by hiding information within the
    exception. Montana Constitutional Convention, Verbatim Transcript, March 7, 1972,
    30
    p. 1672. Proponents of the exception went on to explain that the exception was necessary
    because certain documents, such as an individual’s welfare application containing personal
    and sensitive information, should not be available for public inspection.         Montana
    Constitutional Convention, Verbatim Transcript, March 7, 1972, p. 1673.
    ¶46    It was within that conversation, focused on the right to know’s exception for
    individual privacy, that the Chairman of the Bill of Rights Committee stated that
    confidential relationships set by statute should be “zealously guarded.” Opinion, ¶ 21
    (quoting Montana Constitutional Convention, Verbatim Transcript, March 7, 1972,
    pp. 1673-74). The Charmain opined that the attorney-client relationship should protect
    communication between attorney and client “with respect to a private matter that deals with
    some governmental concern.” Montana Constitutional Convention, Verbatim Transcript,
    March 7, 1972, p. 1673. The Chairman was not contemplating a situation where the
    government is the client and commenting on whether the right to know applies to that
    attorney-client relationship; instead, he was commenting on instances in which the demand
    of an individual’s privacy, which is undisputedly not at issue here, may exceed the merits
    of public disclosure.
    ¶47    Similarly, the Court’s quoted material regarding protecting the integrity of
    government operations, Opinion, ¶ 21, was also pulled from the Delegates’ debate over the
    individual privacy exception.      See Montana Constitutional Convention, Verbatim
    Transcript, March 7, 1972, pp. 1677-78. Further, that conversation was focused on open
    meetings and the Delegates were specifically discussing whether the right to know would
    alter or limit existing statutes as they relate to open meetings. Montana Constitutional
    31
    Convention, Verbatim Transcript, March 7, 1972, p. 1677. The Court’s conclusion that
    the Delegates intended all statutes to remain in full effect, despite the new right to know
    provision, is inconsistent with the Delegates’ actual conversation, which was simply a
    discussion regarding different Delegates’ opinions on how the right to know, as drafted
    with an exception for individual privacy, would limit or otherwise affect existing open
    meeting laws.
    ¶48    Further, the Court cites the Transcript pages 2494-2500 for the proposition that “the
    delegates discussed multiple other instances in which they did not intend for Article II,
    Section 9, to change current law and practice.” Opinion, ¶ 20. However, during those
    debates, the Delegates were considering whether the right to know’s exception for
    individual privacy should be amended to add language that “the Legislature, subject to
    court interpretation, shall have determined that the demands of individual privacy exceed
    the merits of public disclosure.” Montana Constitutional Convention, Verbatim Transcript,
    March 16, 1972, pp. 2484-99 (emphasis added). Thus, that conversation was, again,
    focused on the individual privacy exception to the right to know. One Delegate also
    proposed amending Section 9 to rephrase “public bodies or agencies” to “public agencies,”
    based on concerns for individual privacy. Montana Constitutional Convention, Verbatim
    Transcript, March 16, 1972, pp. 2499-2500 (focusing, still, on the privacy exception, as
    evidenced by Delegate Berg stating, “I would call your attention to the last portion which
    reads that: ‘unless the demands of individual privacy clearly exceed the merits of public
    disclosure.’”). The amendment ultimately failed, but it was sought to clarify that certain
    deliberations, including those of juries, grand juries, and the Supreme Court, were not
    32
    subject to public viewing under the right to know. Montana Constitutional Convention,
    Verbatim Transcript, March 16, 1972, p. 2501.            The Court inappropriately takes
    bits-and-pieces of specific Delegates’ opinions, as stated during Convention debate, and
    asserts those opinions as the intent of all of the Delegates. In doing so, the Court takes the
    Delegates’ statements out of the contexts in which they were made.
    ¶49    The Court states that it “is not reasonable to conclude that the Framers intended to
    eliminate these privileges for public bodies in Montana,” Opinion, ¶ 28, and I agree that
    the privileges, as applied to public bodies, surely survived enactment of the 1972
    Constitution. In my opinion, however, the Court’s decision today neglects the fact that the
    1972 Constitution contains a right-to-know provision requiring disclosure of documents of
    public bodies. The Bill of Rights Committee presented the right to know to the rest of the
    Convention as creating a general constitutional presumption that government documents
    and operations would be open to the public.           Montana Constitutional Convention,
    Committee Proposals, February 22, 1972, p. 631. The Committee intended the provision
    to be “a long step forward” in assuring government openness to increase the public’s
    confidence in government operations. Montana Constitutional Convention, Committee
    Proposals, February 22, 1972, p. 632. The Court’s decision goes against the Committee’s
    stated interests by completely excluding privileged documents of public bodies from
    Article II, Section 9, scrutiny. As the Court recognizes, “a constitution assumes the
    existence of a well understood system of law which is still to remain in force and to be
    administered, but under constitutional limitation.” Opinion, ¶ 15 (quoting 
    Grossman, 209 Mont. at 451-52
    , 682 P.2d at 1332) (emphasis added). The Court further relies on the
    33
    Constitution’s Transition Schedule, which states, in part, that laws and rules in existence
    prior to the Constitution’s enactment “remain in force, until they . . . shall be altered or
    repealed pursuant to this Constitution.” Opinion, ¶ 22 (quoting Mont. Const. Transition
    Schedule § 6(1)) (emphasis added). Accordingly, while I agree that enactment of the
    right-to-know provision in 1972 did not eliminate public bodies’ privileges, I believe that
    we must determine whether documents protected by the privileges are subject to Article II,
    Section 9, scrutiny, and, if subject to the right to know, how the privileges are now limited
    or altered by the constitutional right.
    ¶50    Nonetheless, the Court, once again, distorts precedent by relying on Chilinski for
    the proposition that a privilege existing at common law may withstand the clear and express
    language of a subsequently adopted constitutional provision. Opinion, ¶ 30. In Chilinski,
    this Court recognized that the right to a jury trial was adopted as part of the 1889
    Constitution and was recodified in the 1972 Constitution. Based upon recodification of the
    right, this Court held that a jury trial was guaranteed in the class of cases where the right
    was enjoyed when the constitution was adopted in 1889. The 1972 constitutional provision
    for a jury trial did not alter, repeal, or limit the 1889 constitutional provision; rather it
    adopted in full force the provision as it existed in 1889. Chilinski, ¶¶ 8-9. In contrast, here,
    the express language of Article II, Section 9, which was new to the 1972 Constitution,
    constitutionally limits any preexisting rules and laws inconsistent with the right to know.
    It requires, as the Delegates envisioned, that a court would balance the competing interests
    of a particular case in order to determine whether documents of a public entity should be
    disclosed.
    34
    ¶51    I find it necessary to distinguish the attorney-client privilege from the
    attorney-work-product privilege before analyzing how the right to know applies in these
    proceedings.    Both privileges generally protect a client’s interest in effective legal
    representation—an interest that is essential in our adversarial system of justice. The United
    States Supreme Court, as well as this Court, consistently protect this interest. See 
    Hickman, 329 U.S. at 510-11
    , 67 S. Ct. at 393, and other authority cited by this Court in Opinion,
    ¶¶ 23-26. While neither privilege is memorialized as a constitutional right, the privileges
    have deep historical roots and are fundamental to our legal profession and the
    administration of justice. Opinion, ¶¶ 23-24, 27.
    ¶52    Although fulfilling the same general purpose of ensuring clients receive adequate
    legal representation, the two privileges have different specific purposes and ultimately
    protect different information. Am. Zurich Ins. Co., ¶ 24. The attorney-work-product
    privilege protects an attorney’s mental processes. Opinion, ¶ 24 (citing 
    Palmer, 261 Mont. at 116
    , 861 P.2d at 910). The privilege “serves the adversarial process directly” by
    permitting attorneys the freedom to prepare their cases assured that their work product will
    not be used against their clients.       Am. Zurich Ins. Co., ¶ 24.         Specifically, the
    attorney-work-product privilege protects “documents and tangible things that are prepared
    in anticipation of litigation or for trial” unless those materials are “otherwise discoverable
    under [M. R. Civ. P.] 26(b)(1)” or if “the party shows that it has substantial need for the
    materials to prepare its case and cannot, without undue hardship, obtain their substantial
    equivalent by other means.” M. R. Civ. P. 26(b)(3)(A)(i)-(ii). Thus, a party cannot hide
    relevant facts by asserting attorney-work-product privilege, because parties may access
    35
    information within the privilege that is not otherwise discoverable.                      The
    attorney-work-product privilege is unique, as an attorney must be able to “assemble
    information, sift what he considers to be the relevant from the irrelevant facts, [and] prepare
    his legal theories and plan his strategy without undue and needless interference” in order
    to adequately represent his client. 
    Hickman, 329 U.S. at 511
    , 67 S. Ct. at 393.
    ¶53    The attorney-work-product privilege is focused on the documents an attorney
    herself produces as she represents a client. The work-product is particular to that attorney
    and is privileged from disclosure to protect the client’s interests. An attorney, in working
    through a case, creates her own documents, makes her own notations, and organizes her
    own files in a particular manner consistent with her strategies specific to that case. The
    work-product is not a document of a public body, as the attorney, not the client, created the
    work-product. Accordingly, the attorney’s work-product cannot be subject to disclosure
    under the right to know, as the work-product is not a document of a public body or agency.
    Thus, I agree with the Court that documents appropriately protected under the
    attorney-work-product privilege are not documents of public bodies subject to disclosure
    under Article II, Section 9. Opinion, ¶ 30. If the documents are not documents of public
    bodies, then Article II, Section 9, is not applicable and Nelson has no constitutional right
    to know their contents. Because attorney-work-product is not subject to disclosure under
    Article II, Section 9, no further constitutional analysis is needed, as the right to know does
    not apply to documents that are not those of public bodies.
    ¶54    I disagree, however, with the Court’s conclusion that documents protected under the
    attorney-client privilege are not documents of public bodies and therefore never subject to
    36
    disclosure under Article II, Section 9. Opinion, ¶ 30. The attorney-client privilege protects
    “any communication made by the client to the attorney or the advice given to the client in
    the course of professional employment.” Section 26-1-803(1), MCA. The attorney-client
    privilege promotes and protects the attorney-client relationship by encouraging clients to
    fully inform their attorneys and encouraging attorneys to provide candid legal advice to
    their clients. Am. Zurich Ins. Co., ¶¶ 9, 24. The privilege is necessarily narrow, protecting
    only “disclosures—necessary to obtain informed legal advice—which might not have been
    made absent the privilege.” Opinion, ¶ 31 (quoting Am. Zurich Ins. Co., ¶ 10). Documents
    relating to such communications and advice are protected under the attorney-client
    privilege, but also may be considered “documents of public bodies” when the client is a
    public body, based on the “constitutional presumption that every document within the
    possession of public officials is subject to inspection.” Bryan, ¶ 39.
    ¶55    I do not believe, however, that the documents, as documents of public bodies, are
    always discoverable pursuant to Article II, Section 9, as Nelson contends. As the Court
    recognizes, the right to know is not absolute. Opinion, ¶ 13. Article II, Section 9, does not
    unequivocally require disclosure of public documents where the sought-after information
    is elsewhere protected from disclosure by statute or the federal or state constitutions.
    Tribune III, ¶ 39. While there exists a “constitutional presumption that all documents of
    every kind in the hands of public officials are amenable to inspection, regardless of
    legislation, special exceptions [are] made to accommodate the exercise of constitutional
    police power and other competing constitutional interests, such as due process.”
    37
    Associated Press, Inc., ¶ 85 (Nelson, J., specially concurring) (quoting Belth v. Bennett,
    
    227 Mont. 341
    , 344, 
    740 P.2d 638
    , 640 (1987)).
    ¶56    In my opinion, the right to know is a fundamental constitutional right that may
    sometimes demand public disclosure of attorney-client privileged documents. Instead of
    recognizing that the attorney-client privilege may now be limited by the right to know, the
    Court completely excludes the privileged, public documents from Article II, Section 9,
    scrutiny. Opinion, ¶ 30. The Court’s blanket exclusion of all privileged documents from
    Article II, Section 9, analysis is unwarranted, as there are some instances where the merits
    of public disclosure may indeed exceed the asserted privilege. To use a current national
    event as an example, it was recently revealed that Stormy Daniels (Stephanie Clifford) was
    paid $130,000 in the fall of 2016 to keep quiet about an alleged on-again, off-again affair
    between herself and Donald Trump.4 Daniels received the payment from a shell company
    in Delaware; a company set up by Trump’s lawyer, Michael Cohen, for the sole purpose
    of passing the payment to Daniels. Cohen, in a recent statement, indicated that he used
    personal funds to facilitate the payment, but it is still unclear who actually paid Daniels the
    $130,000. It is also unclear whether and to what extent Trump himself was personally
    involved in any negotiation discussion or payment. Because Cohen is Trump’s attorney,
    the attorney-client privilege likely protects most of the information regarding Trump’s
    potential involvement. Under the Court’s decision, if a similar matter was at issue in
    Montana, the public would be excluded from requesting any information regarding the
    4
    Paul Waldman, Trump’s lawyer just made the Stormy Daniels affair much more interesting, The
    Washington Post (February 14, 2018), https://perma.cc/HW6N-SJBF.
    38
    monetary exchange pursuant to Article II, Section 9, if the information is protected by the
    attorney-client privilege. However, it is my view that the public should be able to utilize
    its right to know and ask for privileged information if the public’s interest in the
    information is sufficiently weighty or compelling.       Accordingly, in situations where
    attorney-client privileged documents are requested pursuant to Article II, Section 9, I
    believe the appropriate approach is to balance the public’s right to know with the weighty
    and compelling attorney-client privilege to determine whether, in that case, the merits of
    public disclosure exceed the privilege’s protections.
    ¶57    Such an analysis is consistent with our Article II, Section 9, precedent. Significant
    to our discussion here, the right to know “can be properly circumscribed when the right or
    interest against which it competes is weighty or compelling.” 
    Smith, 201 Mont. at 383
    ,
    654 P.2d at 986. For example, in Tribune I we recognized that the public’s right to know
    was not absolute and that a defendant’s constitutional rights to a fair and speedy trial must
    be balanced against the public’s right to know. We observed that a “balancing of these
    competing rights is required.” Tribune 
    I, 186 Mont. at 438-39
    , 608 P.2d at 119. In Tribune
    III, we observed that a power company may assert a claim of confidentiality if the
    documents in question constituted a property right which was protected under
    constitutional due process requirements. Tribune III, ¶ 39. We remanded for a hearing to
    consider “all of the circumstances” and whether the property right asserted was a “trade
    secret” warranting due process protections. Tribune III, ¶ 62.
    ¶58    Similarly, in Smith, we balanced the defendant’s right to a fair and impartial trial
    against the public’s constitutional right to know. We emphasized that the public’s right
    39
    was not absolute and noted that it can be properly circumscribed when the competing right
    or interest is “weighty or compelling.” 
    Smith, 201 Mont. at 383
    , 654 P.2d at 986. We
    considered the competing rights and decided that the public may be excluded from an
    otherwise public hearing “only if dissemination of information acquired at the hearing
    would create a clear and present danger to the fairness of defendant’s trial and no
    reasonable alternative means can be utilized to avoid the prejudicial effect of such
    information.” 
    Smith, 201 Mont. at 385
    , 654 P.2d at 987. Accordingly, Smith and Tribune
    I and III establish that the public’s right to know under Article II, Section 9, must be
    balanced with other rights and interests. Those other rights and interests, however, must
    be weighty or compelling enough to justify nondisclosure of otherwise public information.
    ¶59    In determining whether a right or interest is weighty or compelling enough to
    overcome the public’s right to know, we must balance various factors while looking at the
    totality of the circumstances. The relevant factors to balance will depend on the specifics
    of each case. In the same way we balance “the competing constitutional interests in the
    context of the facts of each case, to determine whether the demands of individual privacy
    clearly exceed the merits of public disclosure,” Associated Press, Inc., ¶ 24 (internal
    quotations, citations, and emphasis omitted), we should also balance other competing
    interests to determine whether, based on the facts of each case, a right or interest is weighty
    or compelling enough to exceed the merits of public disclosure. For example, in Associated
    Press, Inc., the Court considered factors such as “the type of taxpayer involved . . . , the
    source of the information provided by the taxpayer, and the public’s interest in the
    40
    information” to determine “whether a taxpayer’s right of privacy outweighs the public’s
    right to know.” Associated Press, Inc., ¶ 27.
    ¶60    Likewise, in Worden, we balanced an inmate’s right of privacy in his parole file
    with the public’s right to know. Worden, ¶ 21. We held that “each document in an Inmate’s
    file must be examined to determine whether all or part of it is subject to the privacy
    exception of the right to know.” Worden, ¶ 29. We acknowledged the fluidity and
    case-specific nature of such an inquiry, pointing out that “an Inmate has a strong privacy
    interest in his or her own parole file,” and that a third person’s request to examine the file
    requires a different analysis than the inmate’s request to examine his own file. Worden,
    ¶ 30. Thus, we decided that we must determine, on a case-by-case basis, whether an inmate
    or a third party has a privacy interest in each “document that outweighs the requesting
    party’s right to know.” Worden, ¶ 30. In the same way, we should require a case-specific
    balancing of the right to know with the other rights or interests being asserted to determine
    whether a right or interest is weighty or compelling enough to exceed the merits of public
    disclosure.
    ¶61    In these proceedings, I would clarify that documents appropriately protected by the
    attorney-work-product privilege are not documents of public bodies and thus not subject
    to Article II, Section 9, analysis. I would then reaffirm that the right to know, like all
    constitutional rights, is not absolute, as there could be instances where the public has the
    right to know information which is also protected by the statutory attorney-client privilege.
    Under such circumstances, the statutory privilege should not automatically preclude a
    court’s consideration of a litigant’s constitutional right to know.          Rather, as our
    41
    well-established jurisprudence recognizes, we should balance the statutory attorney-client
    privilege asserted by MMIA and the City to determine whether the privilege constitutes an
    interest weighty or compelling enough to overcome the constitutional presumption of the
    public’s right to inspect the documents. Here, Nelson presented a blanket challenge to
    MMIA and the City’s claims of privilege.5 Based on the record, I would affirm the District
    Court’s determination that the documents are protected by the attorney-work-product and
    attorney-client privileges. I would further hold that any documents covered only by the
    attorney-client privilege were properly withheld by MMIA and the City because, in this
    case, the parties’ interest in protecting the documents under the attorney-client privilege is
    weighty and compelling enough to exceed the merits of public disclosure.
    ¶62    Accordingly, I disagree with the Court’s analysis and maintain that it is unsound
    and unsupported by the Montana Constitution and this Court’s precedent. However, I agree
    that Nelson’s blanket challenge to MMIA and the City’s claim of privilege is insufficient
    to compel disclosure of the documents.
    `                              /S/ LAURIE McKINNON
    5
    Again, I regret that the Court has made a decision of such constitutional magnitude based upon
    this record, after a blanket challenge to an asserted statutory privilege, and without the benefit of
    counsel advocating adversarial positions.
    42
    

Document Info

Docket Number: 17-0074

Citation Numbers: 2018 MT 36, 412 P.3d 1058, 390 Mont. 290

Filed Date: 2/28/2018

Precedential Status: Precedential

Modified Date: 1/12/2023

Authorities (41)

Draggin' Y Cattle Co. v. Addink , 372 Mont. 334 ( 2013 )

State Ex Rel. United States Fidelity & Guaranty Co. v. ... , 240 Mont. 5 ( 1989 )

Associated Press v. Bd. of Public Educ. , 246 Mont. 386 ( 1991 )

Keller v. Smith , 170 Mont. 399 ( 1976 )

State v. Nettleton , 233 Mont. 308 ( 1988 )

Kottel v. State , 312 Mont. 387 ( 2002 )

Great Falls Tribune v. DISTRICT COURT, ETC. , 186 Mont. 433 ( 1980 )

State Ex Rel. Racicot v. District Court of the First ... , 243 Mont. 379 ( 1990 )

Great Northern U. Co. v. Public Ser. Com. , 88 Mont. 180 ( 1930 )

State Ex Rel. Hamshaw v. Justice Court , 108 Mont. 12 ( 1939 )

State v. Items of Property (Chilins , 385 Mont. 249 ( 2016 )

State v. Forsythe , 387 Mont. 62 ( 2017 )

Friedel v. Lindeen , 387 Mont. 102 ( 2017 )

Chapman v. Maxwell , 374 Mont. 12 ( 2014 )

In Re the Marriage of Sarsfield , 206 Mont. 397 ( 1983 )

Rankin v. Love , 125 Mont. 184 ( 1951 )

Belth v. Bennett , 227 Mont. 341 ( 1987 )

Great Falls Tribune v. Montana Public Service Commission , 319 Mont. 38 ( 2003 )

Bryan v. Yellowstone County Elementary School District No. 2 , 312 Mont. 257 ( 2002 )

Great Falls Tribune v. Public Schools , 255 Mont. 125 ( 1992 )

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