Hudson v. Greater Cleveland Regional Transit Auth. , 2021 Ohio 576 ( 2021 )


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  • [Cite as Hudson v. Greater Cleveland Regional Transit Auth., 
    2021-Ohio-576
    .]
    COURT OF APPEALS OF OHIO
    EIGHTH APPELLATE DISTRICT
    COUNTY OF CUYAHOGA
    ORLANDO HUDSON,                                       :
    Relator-Appellant,                    :
    No. 109405
    v.                                    :
    GREATER CLEVELAND REGIONAL
    TRANSIT AUTHORITY,                                    :
    Respondent-Appellee.                  :
    JOURNAL ENTRY AND OPINION
    JUDGMENT: AFFIRMED
    RELEASED AND JOURNALIZED: March 4, 2021
    Civil Appeal from the Cuyahoga County Court of Common Pleas
    Case No. CV-19-910726
    Appearances:
    Haber Polk Kabat, L.L.P., Andrew A. Kabat, and Daniel M.
    Connell; Ciano & Goldwasser, L.L.P., and Andrew S.
    Goldwasser, for appellant.
    Sheryl King Benford, General Counsel — Deputy General
    Manager for Legal Affairs, and Keith A. Ganther, Acting
    Deputy General Counsel — Litigation; Gallagher Sharp
    L.L.P., Joseph W. Pappalardo, and Richard C.O. Rezie, for
    appellee.
    EILEEN T. GALLAGHER, J.:
    Relator-appellant Orlando Hudson (“Hudson”) appeals from the
    judgment of the trial court granting summary judgment in favor of respondent-
    appellee Greater Cleveland Regional Transit Authority (“GCRTA”) on Hudson’s
    complaint for writ of mandamus seeking certain public records that GCRTA refused
    to produce on the grounds of attorney-client privilege. After a thorough review of
    the facts and the law, we affirm the judgment of the trial court.
    I. Factual and Procedural History
    The underlying issues in this matter stem from an internal
    discrimination complaint brought by Hudson, a lieutenant in the GCRTA police
    force, against GCRTA Police Chief John Joyce (“Joyce”), among others. GCRTA
    hired the law firm of Tucker Ellis to conduct an investigation into Hudson’s
    complaint. According to the affidavit of GCRTA’s Deputy General Counsel, Janet E.
    Burney, GCRTA retained outside counsel Tucker Ellis in order to provide advice and
    legal recommendations to GCRTA in anticipation of possible future litigation and
    because Hudson’s allegations were lodged against upper-level management
    employees at GCRTA.          During the investigation, Hudson filed a second
    discrimination complaint, adding further allegations against Joyce and some
    against Commander Michael Gettings.
    At the conclusion of its investigation, Tucker Ellis provided a report and
    executive summary to GCRTA, which provided legal advice and recommendations
    regarding the allegations. The report was initially disseminated to RTA’s in-house
    attorneys, along with the senior manager of RTA’s Office of Equal Opportunity,
    Felicia Brooks-Williams (“Brooks-Williams”), RTA’s chief operating officer, Dr.
    Floun’say Caver (“Caver”), and RTA’s chief executive officer and general manager,
    Joseph Calabrese (“Calabrese”).
    Caver and Calabrese then met with Joyce and provided him with a copy
    of the report to review. As chief, Joyce was one of the people at GCRTA responsible
    for the design and implementation of measures that would be taken in response to
    the conclusions and recommendations of the Tucker Ellis report. Joyce was asked
    during his deposition about sharing the report with lieutenants and sergeants. He
    responded that he believed the justification for sharing the report with “the higher
    level of the command staff” was for them to understand the investigation and
    changes that would be taken and to obtain their input on any new processes.
    Ms. Brooks-Williams met with Hudson and permitted him to view the
    report, but he was not permitted to retain a copy. At this time, she also provided
    him with a confidential memorandum that stated that the investigation into his
    complaints was finished and briefly summarized the findings of the investigation.
    Several months later, Hudson filed a charge alleging race
    discrimination and retaliation with the Equal Employment Opportunity
    Commission (“EEOC”), and GCRTA filed its position statement in response. The
    charge was ultimately dismissed by the EEOC, and Hudson instituted his own civil
    action, which is currently pending.
    Hudson submitted a public-records request seeking the Tucker Ellis
    report, executive summary, all documents on the same subject, all communications
    between Tucker Ellis and GCRTA officials/employees regarding the investigation,
    and all prior drafts of the report and executive summary prepared by Tucker Ellis.
    GCRTA produced certain documents in response to the request, but refused to
    produce the remainder, asserting that they were exempt from disclosure due to
    attorney-client privilege and protected by the work-product doctrine.
    Hudson sought a writ of mandamus in the Cuyahoga County Court of
    Common Pleas. Hudson moved for summary judgment, arguing that (1) privilege
    did not apply to the documents because GCRTA voluntarily disclosed the documents
    to Hudson and Joyce; (2) the documents did not constitute work product because
    they were not created in anticipation of, or preparation for, litigation; and (3) even
    if the work-product doctrine did apply, GCRTA waived privilege because, in relying
    on the report in defense of Hudson’s complaint filed with the EEOC, GCRTA utilized
    the Faragher/Ellerth defense, which Hudson claims effects a waiver of any privilege
    attaching to a party’s investigation of alleged harassment.
    GCRTA opposed summary judgment, arguing that the documents
    were, in fact, work product because GCRTA was concerned about potential litigation
    before the investigation was concluded and the report produced. Further, GCRTA
    asserted that privilege was not waived because it was permitted to disclose the
    documents to Hudson and Joyce, who were high-ranking employees at GCRTA.
    Finally, GCRTA argued that assertion of the Faragher/Ellerth defense cannot
    constitute waiver because Hudson never alleged that GCRTA failed to investigate his
    complaints.
    The trial court denied Hudson’s motion for summary judgment,
    finding that “the limited disclosure to high-ranking individuals within GCRTA did
    not constitute a waiver of RTA’s privilege.” The court therefore held that the sought
    documents were not subject to disclosure as a public record and fell within the
    exception to the Ohio Public Records Act.
    Hudson filed the instant appeal, asserting the following assignment of
    error for our review:
    The trial court erred by finding that an investigation report, the draft
    investigation reports, and the investigation materials were not subject
    to disclosure under Ohio’s Public Records Act on the grounds that they
    were privileged despite the fact that Respondent knowingly and
    voluntarily disclosed the investigation report to third parties, including
    the complaining party and the subject of the complaint, and where the
    Respondent relied upon the report as the basis for its Faragher/Ellerth
    affirmative defense.
    II. Law and Analysis
    A. Standard of Review
    We review summary judgment rulings de novo, applying the same
    standard as the trial court. Grafton v. Ohio Edison Co., 
    77 Ohio St.3d 102
    , 105, 
    671 N.E.2d 241
     (1996). We accord no deference to the trial court’s decision and conduct
    an independent review of the record to determine whether summary judgment is
    appropriate.
    Under Civ.R. 56, summary judgment is appropriate when no genuine
    issue exists as to any material fact and, viewing the evidence most strongly in favor
    of the nonmoving party, reasonable minds can reach only one conclusion that is
    adverse to the nonmoving party, entitling the moving party to judgment as a matter
    of law. On a motion for summary judgment, the moving party carries an initial
    burden of identifying specific facts in the record that demonstrate his or her
    entitlement to summary judgment. Dresher v. Burt, 
    75 Ohio St.3d 280
    , 292-293,
    
    662 N.E.2d 264
     (1996). If the moving party fails to meet this burden, summary
    judgment is not appropriate; if the moving party meets this burden, the nonmoving
    party has the reciprocal burden to point to evidence of specific facts in the record
    demonstrating the existence of a genuine issue of material fact for trial. Id. at 293.
    Summary judgment is appropriate if the nonmoving party fails to meet this burden.
    Id.
    B. Ohio’s Public Records Act
    R.C. 149.43, Ohio’s Public Records Act, imposes a responsibility on
    public offices and officials throughout Ohio to ensure the public has access to public
    records maintained by those entities. “‘Public record’ means records kept by any
    public office.” R.C. 149.43(A)(1). Unless an exception to disclosure enumerated in
    the Act applies, records maintained by a public office are open and available for
    inspection. Public offices, including the city and its divisions, have a responsibility
    to maintain a system of records that ensures easy public access. R.C. 149.43(B)(2).
    Where a public office or official has failed to provide records in a
    reasonable time, mandamus is one appropriate avenue of relief made available by
    R.C. 149.43(C)(1). State ex rel. Cincinnati Enquirer v. Pike Cty. Coroner’s Office,
    
    153 Ohio St.3d 63
    , 
    2017-Ohio-8988
    , 
    101 N.E.3d 396
    , ¶ 15, citing State ex rel.
    Physicians Commt. for Responsible Medicine v. Ohio State Univ. Bd. of Trustees,
    
    108 Ohio St.3d 288
    , 
    2006-Ohio-903
    , 
    843 N.E.2d 174
    , ¶ 6. The Public Records Act
    is to be liberally construed so as to ensure broad access to records. 
    Id.
    To prevail on a claim for mandamus relief in a public-records case, the
    relator must establish, by clear and convincing evidence, a clear legal right to the
    requested relief and a corresponding clear legal duty on the part of the respondent
    to provide the relief. State ex rel. Ellis v. Maple Hts. Police Dept., 
    158 Ohio St.3d 25
    , 
    2019-Ohio-4137
    , 
    139 N.E.3d 873
    , ¶ 5; State ex rel. Carr v. London Corr. Inst.,
    
    144 Ohio St.3d 211
    , 
    2015-Ohio-2363
    , 
    41 N.E.3d 1203
    , ¶ 19-20. Clear and convincing
    evidence is “‘that measure or degree of proof * * * which will produce in the mind of
    the trier of facts a firm belief or conviction as to the facts sought to be established.’”
    State ex rel. Husted v. Brunner, 
    123 Ohio St.3d 288
    , 
    2009-Ohio-5327
    , 
    915 N.E.2d 1215
    , ¶ 18, quoting Cross v. Ledford, 
    161 Ohio St. 469
    , 
    120 N.E.2d 118
     (1954),
    paragraph three of the syllabus.
    C. Waiver of Attorney-Client Privilege
    1. Disclosure of the Report to Hudson and Joyce
    In the case sub judice, there is no dispute that the documents
    constitute public records or that they are subject to attorney-client privilege. The
    only question is whether GCRTA waived the privilege. Hudson argues that privilege
    was waived both when GCRTA disclosed the report to Joyce and Hudson and
    through GCRTA’s assertion of the Faragher/Ellerth defense. GCRTA contends that
    it was permitted to disclose the report to Joyce and Hudson without destroying
    privilege, and the Faragher/Ellerth defense waiver does not apply because Hudson
    never challenged the sufficiency of the investigation.
    We will begin with the argument that privilege was waived when the
    report was disclosed to Hudson and Joyce. GCRTA contends that it did not waive
    its attorney-client privilege by disclosing the Tucker Ellis report to its high-level
    employees, policy makers, and policy implementers, such as Hudson or Joyce,
    within the course and scope of their employment. GCRTA asserts that the Tucker
    Ellis report contained certain policies and changes that needed to be implemented;
    thus, it is unquestionable that Joyce, as chief, and Hudson, as one of his lieutenants,
    needed to be apprised of the contents of the report.
    Hudson acknowledges that GCRTA had the right to disclose the report
    to “high-ranking individuals” within GCRTA. He further does not dispute that both
    he and Joyce qualify as such people in the organization. His argument is instead
    based upon the reasoning for the disclosure. Hudson asserts that the disclosure was
    made not to GCRTA employees who needed to be aware of the conclusions and
    recommendations of the Tucker Ellis investigation in order to perform their job.
    Rather, Hudson contends that GCRTA decided to disclose the Tucker Ellis report to
    him to “be fair,” rather than any other purpose.
    This court has previously held:
    “The attorney-client privilege bestows upon a client a privilege to refuse
    to disclose and to prevent others from disclosing confidential
    communications made between the attorney and client in the course of
    seeking or rendering legal advice. Thus, the attorney-client privilege
    belongs to the client, and the only materials protected are those which
    involve communications with his attorney.”
    (Emphasis sic.) Miller v. Bassett, 8th Dist. Cuyahoga No. 86938, 
    2006-Ohio-3590
    ,
    ¶ 13, quoting Frank W. Schaefer, Inc. v. C. Garfield Mitchell Agency, Inc., 
    82 Ohio App.3d 322
    , 329, 
    612 N.E.2d 442
     (2d Dist.1992).
    “In Upjohn Co. v. United States, 
    449 U.S. 383
    , 
    66 L.Ed.2d 584
    , 
    101 S.Ct. 677
     (1981), the United States Supreme Court addressed the attorney-client
    privilege as it applies to a corporate client and determined that the attorney-client
    privilege protects and prevents the disclosure of communications between a
    company’s attorney and that company’s employees.” Clapp v. Mueller Elec. Co., 
    162 Ohio App.3d 810
    , 
    2005-Ohio-4410
    , 
    835 N.E.2d 757
    , ¶ 53 (8th Dist.).
    Further, attorney-client privilege
    extends not only to top executives, officers and agents of the
    corporation, but also to middle-level and lower-level employees of the
    corporation. In order to fall within the attorney-client privilege, the
    communications between the attorney and the corporate employees
    must concern matters within the scope of the employees’ corporate
    duties and the employees need to be aware that the communications
    were for the purpose of obtaining legal advice.
    (Emphasis added.) Jacobs v. Equity Trust Co., 9th Dist. Lorain No. 20CA011621,
    
    2020-Ohio-6882
    , ¶ 12, citing Upjohn Co. at 394.
    In the instant matter, the communications sought by Hudson
    certainly concern matters within the scope of his and Joyce’s duties. Joyce, as chief,
    and Hudson, as a lieutenant, were among the higher-level employees that would be
    responsible for implementing the policies and changes recommended by Tucker
    Ellis. In addition, Hudson does not argue that he and Joyce were unaware that the
    communications were for the purpose of legal advice.
    Moreover, contrary to Hudson’s argument, the reasoning behind the
    disclosure does not appear to have any bearing on whether or not the
    communications were privileged. The test is simply whether the communications
    concerned matters within the employee’s duties and that the employee was aware
    the communications were for the purpose of legal advice. See 
    id.
     The disclosure of
    the report to Joyce and Hudson therefore fell within the parameters of Upjohn Co.,
    and attorney-client privilege remained intact. Hudson’s argument that attorney-
    client privilege was waived based upon the disclosure of the report to himself and
    Joyce is without merit.
    2. Faragher/Ellerth Defense
    Hudson further contends that any applicable privilege was waived
    when GCRTA asserted the Faragher/Ellerth defense in the EEOC proceedings. This
    defense allows an employer to “‘mitigate or avoid liability by showing (1) that it
    exercised reasonable care to prevent and promptly correct any harassing behavior
    and (2) that the plaintiff unreasonably failed to take advantage of any preventive or
    corrective opportunities that were provided.’” Diemer v. Minute Men, Inc., 2018-
    Ohio-1290, 
    110 N.E.3d 152
    , ¶ 30 (8th Dist.), quoting Vance v. Ball State Univ., 
    570 U.S. 421
    , 
    133 S.Ct. 2434
    , 
    186 L.Ed.2d 565
     (2013), citing Faragher v. Boca Raton,
    
    524 U.S. 775
    , 807, 
    118 S.Ct. 2275
    , 
    141 L.Ed.2d 662
     (1998); Burlington Industries,
    Inc. v. Ellerth, 
    524 U.S. 742
    , 765, 
    118 S.Ct. 2257
    , 
    141 L.Ed.2d 633
     (1998).
    Hudson argues that GCRTA’s use of the Faragher/Ellerth defense
    waives any privilege attaching to the investigation of Hudson’s claims. Hudson is
    correct in his assertion that the use of the Faragher/Ellerth defense has been held
    to constitute a waiver of attorney-client privilege; however, this holding has been in
    cases where the defense is actually being asserted in the litigation itself. It has not
    been used in a case such as this, where a writ of mandamus was sought after a public-
    records request was denied. Simply because the entity that is denying the public-
    records request on the grounds of privilege may have raised the Faragher/Ellerth
    defense in a prior legal proceeding does not mean that the privilege is waived in all
    other actions. We decline to extend the use of the Faragher/Ellerth defense as
    grounds for waiving privilege to an action for mandamus that is entirely separate
    from any proceeding in which the merits of harassment or discrimination claims are
    being litigated and defended.
    Accordingly, for all of the above reasons, GCRTA has not waived
    privilege and the records sought are excepted from disclosure under Ohio’s Public
    Records Act. Summary judgment was properly granted in favor of GCRTA.
    D. Work-Product Doctrine
    Finally, based upon our determination that attorney-client privilege
    was not waived as to the records sought by Hudson, we need not consider, as an
    alternative basis for summary judgment, GCRTA’s assertion that the records were
    protected by the work-product doctrine.
    III. Conclusion
    GCRTA did not waive attorney-client privilege by disclosing the report
    to Hudson and Joyce. The records sought by Hudson in his public-records request
    were therefore excepted from disclosure under Ohio’s Public Records Act, and the
    trial court properly granted summary judgment in favor of GCRTA. Hudson’s sole
    assignment of error is overruled, and the judgment of the trial court is affirmed.
    Judgment affirmed.
    It is ordered that appellee recover from appellant costs herein taxed.
    The court finds there were reasonable grounds for this appeal.
    It is ordered that a special mandate be sent to said court to carry this judgment
    into execution.
    A certified copy of this entry shall constitute the mandate pursuant to Rule 27
    of the Rules of Appellate Procedure.
    ____________________________
    EILEEN T. GALLAGHER, JUDGE
    MARY J. BOYLE, A.J., and
    EILEEN A. GALLAGHER, J., CONCUR