Doug Hermanson, Res/cross-app v. Multi-care Health System, App/cross-resp ( 2019 )


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  •                                                                                              Filed
    Washington State
    Court of Appeals
    Division Two
    August 27, 2019
    IN THE COURT OF APPEALS OF THE STATE OF WASHINGTON
    DIVISION II
    DOUG HERMANSON, an individual,                                     No. 51387-1-II
    Respondent/Cross Appellant,
    v.
    MULTI-CARE HEALTH SYSTEM, INC., a
    Washington Corporation d/b/a TACOMA
    GENERAL HOSPITAL, JANE and JOHN
    DOES 1-10 and their marital communities
    comprised thereof,                                            PUBLISHED OPINION
    Appellant/Cross Respondent.
    WORSWICK, J. — This case presents two questions of controlling law. First, does the
    corporate attorney-client privilege apply to a nonparty physician who is an agent, but not an
    employee, of a hospital? And second, does the corporate attorney-client privilege apply to
    nonphysician employees of a hospital who are parties to the lawsuit? We answer the first
    question in the negative, and the second question in the affirmative.
    During the course of a discovery dispute, the superior court issued an order that (1)
    prohibited MultiCare Health System Inc.’s counsel from having ex parte, privileged
    communications with a physician who is an admitted agent of MultiCare but not an employee;
    (2) prohibited MultiCare’s counsel from having ex parte, privileged communications with a
    social worker employed by MultiCare; (3) allowed ex parte, privileged communications with
    nurses employed by MultiCare; and (4) required MultiCare to seek leave of court prior to having
    ex parte communications with any other “MultiCare healthcare providers.”
    No. 51387-1-II
    We affirm the superior court’s order to the extent that it (1) prohibited ex parte privileged
    communications with the physician, and (2) allowed ex parte privileged communications with
    the nurses. We reverse the superior court’s order to the extent that it (3) prohibited ex parte
    privileged communications with the social worker, and (4) required MultiCare to seek leave of
    court prior to having ex parte communications with any other MultiCare healthcare providers.
    FACTS
    A.     The Incident
    Doug Hermanson, while speeding in his pickup truck, sideswiped a parked vehicle,
    crossed the center line, and collided head on with a power pole. Hermanson’s head penetrated
    the windshield. He was transported to Tacoma General Hospital, where he was treated by a
    trauma team for his injuries. Relevant here, Hermanson received treatment from:
    (1)   Dr. David Patterson, a Trauma Trust employee, and admitted agent of
    MultiCare;
    (2)   Nurse Pauleen Wheeler, a MultiCare employee;
    (3)   Nurse Carla Defibaugh, a MultiCare employee; and
    (4)   Clinical social worker, Lori Van Slyke, a MultiCare employee.
    Hermanson was given a blood alcohol screen. He had a “high [blood alcohol level] on
    admission,” but he denied consuming alcohol. Clerk’s Papers (CP) at 88. The blood alcohol
    screen indicated a blood alcohol level of 330 mg/dL.
    Law enforcement went to Tacoma General as part of the accident investigation. At some
    point, a healthcare provider allegedly disclosed Hermanson’s blood alcohol level to law
    enforcement. At the hospital, Hermanson was issued a citation for first degree negligent driving.
    Hermanson was later charged with first degree negligent driving, and hit and run of an
    unattended vehicle.
    2
    No. 51387-1-II
    B.     MultiCare and Trauma Trust Background
    MultiCare, a nonprofit corporation, operates Tacoma General. MultiCare, CHI
    Franciscan Health Systems, Madigan Army Medical Center, and Pierce County Medical Society
    formed Trauma Trust, a nonprofit corporation, to provide trauma services. Trauma Trust was
    created to address the lack of adult trauma services being offered in the area and to share the risk
    and resources of providing those services.
    Trauma Trust employs physicians and other professionals to deliver trauma services.
    Trauma Trust employee physicians have privileges at each participating hospital, including
    Tacoma General. As it pertains to services provided at MultiCare facilities, Trauma Trust’s
    employees are agents of MultiCare, and MultiCare is responsible for any care they deliver within
    the scope of their duties providing trauma services.
    Trauma Trust is closely affiliated with MultiCare. The administrative offices for Trauma
    Trust are located within Tacoma General, and MultiCare provides billing and technical support
    to Trauma Trust. Dr. Patterson has an office at Tacoma General.
    C.     Procedural Background
    Based on the disclosure of Hermanson’s blood alcohol level, Hermanson sued MultiCare,
    and Jane and John Does 1-10, identified as individuals employed by MultiCare, for negligence,
    defamation, false imprisonment, and violation of physician-patient privilege under RCW
    3
    No. 51387-1-II
    5.60.060(4).1 Hermanson did not allege personal injuries or other medical malpractice.
    Hermanson’s complaint did not name either Trauma Trust or Dr. Patterson.2
    A single law firm was retained to represent MultiCare, Dr. Patterson, and Trauma Trust
    in connection with Hermanson’s lawsuit. Although Trauma Trust was not named in the lawsuit,
    Trauma Trust retained counsel because Hermanson’s “demand letter clearly implicated the
    Emergency Department at Tacoma General Hospital and trauma services.” CP at 543.
    Additionally, MultiCare recognized that Dr. Patterson was an agent of MultiCare in providing
    care to Hermanson. Trauma Trust, Dr. Patterson, and MultiCare signed a letter confirming joint
    representation.
    1. Protective Order
    During the initial stages of the lawsuit, MultiCare’s counsel notified Hermanson that it
    represented MultiCare and its employee-social worker and employee-nurses, Trauma Trust, and
    Dr. Patterson. Hermanson objected to MultiCare’s counsel representing the social worker,
    nurses, Trauma Trust, and Dr. Patterson.
    MultiCare sought a protective order “confirming the right of MultiCare’s attorneys to
    have ex parte privileged communications” with its clients, including but not limited to Dr.
    1
    RCW 5.60.060(4) provides that, with few exceptions, “a physician or surgeon or osteopathic
    physician or surgeon or podiatric physician or surgeon shall not, without the consent of his or her
    patient, be examined in a civil action as to any information acquired in attending such patient,
    which was necessary to enable him or her to prescribe or act for the patient.”
    2
    Dr. Patterson is not a “John Doe” listed in the complaint, because Hermanson’s complaint
    identified the Jane and John Does as employees of MultiCare. CP at 1.
    4
    No. 51387-1-II
    Patterson, the nurses, and the social worker, who had direct knowledge of the alleged negligence
    at issue.3
    MultiCare argued that it was entitled to have communications with Dr. Patterson, the
    nurses, and the social worker based on corporate attorney-client privilege under Loudon v.
    Mhyre,4 Upjohn Co. v. United States,5 and Youngs v. PeaceHealth.6 Specifically, it argued that
    its attorney-client privilege allowed ex parte privileged communications with MultiCare’s agents
    who had firsthand knowledge of the alleged negligent event, namely Dr. Patterson, the social
    worker, and the nurses. MultiCare also argued that it was entitled to ex parte privileged
    communications with Dr. Patterson under the joint representation agreement.
    3
    MultiCare’s motion for protective order references other members of the trauma team who
    treated Hermanson. Those individuals were not referenced at the hearing or in the superior
    court’s order. It appears that Dr. Patterson, the social worker, and the nurses were identified by
    name because the attorney-client dispute arose when Hermanson was attempting to schedule
    depositions with them.
    4
    Loudon v. Mhyre, 
    110 Wn.2d 675
    , 
    756 P.2d 138
     (1988). Under the “Loudon rule,” in a
    personal injury case, defense counsel is prohibited from communicating ex parte with the
    plaintiff's nonparty treating physician.
    5
    Upjohn Co. v. United States, 
    449 U.S. 383
    , 
    101 S. Ct. 677
    , 
    66 L. Ed. 2d 584
     (1981). Upjohn
    held that the corporation’s attorney-client privilege extends to low- and mid-level employees to
    encourage full disclosures and open communication with attorneys.
    6
    Youngs v. PeaceHealth, 
    179 Wn.2d 645
    , 650-51, 
    316 P.3d 1035
     (2014). Youngs held that the
    corporate attorney-client privilege trumps the Loudon rule and allows some communication
    between corporate counsel and employee physicians.
    5
    No. 51387-1-II
    Hermanson7 argued that counsel was prohibited from having ex parte privileged
    communication with Dr. Patterson under Loudon, and because he was not a MultiCare employee,
    Youngs did not apply. Hermanson further argued that counsel was prohibited from having ex
    parte privileged communication with the nurses under Youngs because they are not physicians.
    Further, Hermanson argued that because the nurses did not appear to have released Hermanson’s
    healthcare information, they could not have firsthand knowledge of the alleged negligent event
    “unless MultiCare intends on certifying [they were] present when Dr. Patterson or [the social
    worker] disclosed plaintiff’s health care information.” CP at 66. Hermanson also argued that
    counsel was prohibited from having ex parte privileged communication with the social worker
    under Loudon and Wright v. Group Health.8
    2. The Superior Court’s Decision
    The superior court ruled that, under Youngs, ex parte privileged communication with Dr.
    Patterson was prohibited because he was not MultiCare’s employee. With regard to the nurses,
    the court allowed ex parte privileged communication, noting:
    [The] nurses who may have had contact with the injured individual in this case,
    even though they’re not physicians, that would fall under the physician-patient
    purview that was before the Court with Youngs vs. PeaceHealth. These are
    7
    Hermanson alleges that “MultiCare asserted it can have secret, ex parte conversations” with
    “all of plaintiff’s MultiCare health care providers it wants, on any issue, and to prevent plaintiff
    from taking discovery on it.” CP at 56. The record controverts Hermanson’s allegations.
    MultiCare sought ex parte, privileged communications with MultiCare’s agents who had
    knowledge of the alleged negligent event and related to the alleged negligent event. Further,
    counsel told Hermanson that he is “free to ask [Dr. Patterson] about his knowledge of the facts,”
    but not about his discussions with counsel. CP at 49.
    8
    Wright v. Grp. Health Hosp., 
    103 Wn.2d 192
    , 193, 
    691 P.2d 564
     (1984). Wright held that
    employees of defendant healthcare organization were considered “parties” for purposes of the
    disciplinary rule dealing with ex parte communications if the employee had the authority to
    speak for and bind the corporation.
    6
    No. 51387-1-II
    employees of MultiCare Health System, it appears; and I think, in line with the
    reasoning given by the Court, they would fall under something that the Court did
    not have before it but very similar reasoning.
    Verbatim Report of Proceedings (VRP) (Aug. 11, 2017) at 25.
    And with regard to the social worker, the court prohibited ex parte privileged
    communications, saying:
    I believe this individual is a social worker; and I don’t believe [the social worker]
    falls under either the employee-physician or anything like a physician-patient
    analysis that the Court went through for the physicians, even though she is an
    employee of MultiCare; and, therefore, I don’t believe Youngs vs. PeaceHealth, she
    falls under that privilege that can be afforded [the nurses]; and, therefore, that ex
    parte communication would be denied.
    VRP (Aug. 11, 2017) at 25.
    The court entered an order granting in part and denying in part MultiCare’s motion for
    protective order. The court’s order also required MultiCare’s counsel to seek leave of the court
    prior to ex parte communications with “other MultiCare healthcare providers.” 9 CP at 136.
    MultiCare moved for reconsideration, which was denied.
    D.     Discretionary Review
    The trial court certified for discretionary review the protective order and order denying
    MultiCare’s motion for reconsideration. We granted MultiCare’s motion for discretionary
    9
    After the superior court entered its order on MultiCare’s motion for protective order,
    Hermanson filed an amended complaint. The amended complaint did not add additional parties.
    It added only a cause of action for violation of RCW 70.02.020 (“Disclosure by health care
    provider.”) and sought attorney fees under RCW 70.02.020.
    7
    No. 51387-1-II
    review under RAP 2.3(b)(4),10 and considered Hermanson’s response to the motion as a cross
    motion for discretionary review, which we also granted.
    ANALYSIS
    A.     Legal Principles
    1. Standard of Review
    We review a superior court’s discovery order for abuse of discretion.
    Richardson v. Gov’t Emps. Ins. Co., 
    200 Wn. App. 705
    , 711, 
    403 P.3d 115
     (2017), review
    denied, 
    190 Wn.2d 1008
     (2018). A superior court abuses its discretion where the court’s
    decision was manifestly unreasonable or made for untenable reasons. Richardson, 200 Wn. App.
    at 711. Further, a superior court abuses its discretion if its decision is based on the wrong legal
    standard, or on an improper understanding of the law. Richardson, 200 Wn. App. at 711. When
    a superior court’s decision rests on a question of law, such as statutory interpretation or judicial
    decisions, we review the decision de novo. Fellows v. Moynihan, 
    175 Wn.2d 641
    , 649, 
    285 P.3d 864
     (2012); Richardson, 200 Wn. App. at 711.
    2. Legal Background: Attorney-Client Privilege
    “The attorney-client privilege is the oldest of the privileges for confidential
    communications known to the common law.” Upjohn Co. v. United States, 
    449 U.S. 383
    , 389,
    
    101 S. Ct. 677
    , 682, 
    66 L. Ed. 2d 584
     (1981). The purpose of the privilege “is to encourage full
    and frank communication between attorneys and their clients,” recognizing “that sound legal
    10
    RAP 2.3(b)(4) provides for review where the “superior court has certified, or all the parties to
    the litigation have stipulated, that the order involves a controlling question of law as to which
    there is substantial ground for a difference of opinion and that immediate review of the order
    may materially advance the ultimate termination of the litigation.”
    8
    No. 51387-1-II
    advice or advocacy serves public ends and that such advice or advocacy depends upon the
    lawyer’s being fully informed by the client.” Upjohn, 
    449 U.S. at 389
    .
    The attorney-client privilege is codified in Washington at RCW 5.60.060(2)(a), which
    provides: “An attorney or counselor shall not, without the consent of his or her client, be
    examined as to any communication made by the client to him or her, or his or her advice given
    thereon in the course of professional employment.” To qualify for the privilege,
    communications must have been made in confidence and in the context of an attorney-client
    relationship. Newman v. Highland Sch. Dist. No. 203, 
    186 Wn.2d 769
    , 777, 
    381 P.3d 1188
    (2016).
    As both the United States Supreme Court and the Washington State Supreme Court have
    recognized, the attorney-client privilege extends to corporate clients and may include
    communications with nonmanagerial and lower level employees. Upjohn, 
    449 U.S. at 391, 396
    ;
    Newman, 
    186 Wn.2d at 777-78
    ; Youngs, 
    179 Wn.2d at 650-51
    . “[C]orporate litigants have the
    right to engage in confidential fact-finding and to communicate directions to employees whose
    conduct may embroil the corporation in disputes.” Newman, 
    186 Wn.2d at 779
    .
    The Washington Supreme Court has adopted Upjohn’s flexible approach to corporate
    attorney-client privilege and its “central policy concern” of facilitating “frank communication
    about alleged wrongdoing.” Youngs, 
    179 Wn.2d at 664, 662
    . Upjohn sought to “protect
    counsel’s ability to ‘ascertain the factual background’ of a ‘legal problem.’” Youngs, 
    179 Wn.2d at 664
     (quoting Upjohn, 
    449 U.S. at 390
    ). Upjohn noted that “in the context of corporate
    liability, low- and mid-level employees might well be the only source of information relevant to
    legal advice.” Youngs, 
    179 Wn.2d at 662
    . And without being able to have ex parte privileged
    9
    No. 51387-1-II
    communications with those employees, “corporate counsel ‘may find it extremely difficult, if not
    impossible, to determine what happened’ to trigger potential corporate liability,” and to
    adequately advise the client. Youngs, 
    179 Wn.2d at 662
     (quoting Upjohn, 
    449 U.S. at 391-92
    ).
    3. Physician-Patient Privilege
    Neither federal nor state law has recognized a physician-patient privilege at common law.
    Nw. Mem’l Hosp. v. Ashcroft, 
    362 F.3d 923
    , 926 (7th Cir. 2004); Carson v. Fine, 
    123 Wn.2d 206
    , 212, 
    867 P.2d 610
     (1994). In Washington, the physician-patient privilege is statutorily
    created, and “not a rule of substantive or constitutional law.” Carson, 
    123 Wn.2d at 212
    .
    Because the physician-patient privilege is in derogation of common law, it must be strictly
    construed. Carson, 
    123 Wn.2d at 213
    .
    The physician-patient privilege is codified at RCW 5.60.060(4), and provides that a
    physician cannot “be examined in a civil action” about any information obtained through the
    physician’s attending of the patient that was necessary to enable the care. The purpose behind
    the physician-patient privilege is to promote proper treatment by encouraging full disclosure and
    to protect the patient from embarrassment. Smith v. Orthopedics Int’l, Ltd., 
    170 Wn.2d 659
    , 667,
    
    244 P.3d 939
     (2010). The physician-patient privilege is automatically waived, to all physicians
    related to all conditions, 90 days after a plaintiff files an action for personal injuries or wrongful
    death. RCW 5.60.060(4); Youngs, 
    179 Wn.2d at 656
    .
    4. The Intersection of Attorney-Client Privilege and Physician-Patient Privilege
    Washington appears to have addressed the intersection of corporate attorney-client
    privilege and the physician-patient privilege only once, in Youngs, 
    179 Wn.2d 645
    . Youngs
    analyzed Loudon, and provided a framework for analyzing claims of conflicting attorney-client
    10
    No. 51387-1-II
    and physician-patient privileges. Youngs, 
    179 Wn.2d at 652-53
    . Both Loudon and Youngs are
    medical malpractice cases, involving personal injury and wrongful death claims. Hermanson
    does not make claims for personal injury or wrongful death.
    Loudon was a wrongful death action, and the court addressed whether defense counsel
    could have ex parte contact with the decedent’s physicians who were uninvolved in the events
    leading to the death and subsequent litigation. Loudon v. Mhyre, 
    110 Wn.2d 675
    , 676, 
    756 P.2d 138
     (1988). In Loudon, the decedent suffered injuries in a car accident in Washington. Two
    Washington physicians treated the decedent for his injuries and then released him from the
    hospital. Loudon, 
    110 Wn.2d at 676
    . The decedent then returned home to Oregon, and received
    additional treatment from two Oregon physicians. Loudon, 
    110 Wn.2d at 676
    . Roughly one
    month after returning to Oregon, the decedent suffered complications and died. Loudon, 
    110 Wn.2d at 676
    . The decedent’s father brought a wrongful death action against the two
    Washington physicians. The decedent’s father voluntarily provided medical records from the
    Oregon physicians to the Washington physicians. Loudon, 
    110 Wn.2d at 676
    . Defense counsel
    then moved for an order declaring the physician-patient privilege waived11 and authorizing ex
    parte contact with the Oregon physicians. Loudon, 
    110 Wn.2d at 676
    .
    The court held that although the decedent’s privilege had been waived, defense counsel
    was prohibited from having ex parte contact with the Oregon physicians. Loudon, 
    110 Wn.2d at 680
    , 678 n.2. The court limited defense counsel to conducting discovery through the court’s
    11
    At the time Loudon filed his action, RCW 5.60.060(4) did not provide that the plaintiff
    automatically waives the privilege 90 days after filing of a personal injury or wrongful death
    action. Loudon, 
    110 Wn.2d at
    678 n.2.
    11
    No. 51387-1-II
    procedural rules. Loudon, 
    110 Wn.2d at 680
    . Importantly, Loudon did not address attorney-
    client privilege, or communications between a corporation’s counsel and a corporation’s
    employees. See Loudon, 
    110 Wn.2d at 681
    .
    In Youngs, one of the plaintiffs was admitted to a hospital for surgery. Youngs, 
    179 Wn.2d at 654
    . While in the hospital, the plaintiff developed an infection that resulted in personal
    injuries. The plaintiff brought a personal injury action against the corporation that owned and
    operated the hospital. Youngs, 
    179 Wn.2d at 653
    . The plaintiff’s complaint identified the two
    physicians, employed by the corporation, whose conduct led to his lawsuit, but the complaint did
    not name those physicians as defendants. Youngs, 
    179 Wn.2d at 654
    . The plaintiff’s
    interrogatory answers suggested that several other unidentified physicians also were at fault.
    Youngs, 
    179 Wn.2d at 654
    . The plaintiff did not object to defense counsel’s ex parte contact
    with the two physicians identified in his complaint, but the plaintiff objected to ex parte contacts
    with “any other physician” who had treated him at the hospital. Youngs, 
    179 Wn.2d at 654
    .
    Citing Loudon, plaintiff moved to prohibit defense counsel from ex parte contact with plaintiff’s
    treating healthcare providers, except for the two physicians identified in the complaint.
    The court addressed the relationship between Upjohn and the corporate attorney-client
    privilege, Loudon, and the physician-patient privilege. Youngs, 
    179 Wn.2d at 650, 652-53
    . Our
    Supreme Court relied on Upjohn’s reasoning to resolve the potential conflict between Upjohn
    and Loudon. Youngs, 
    179 Wn.2d at 663
    . In keeping with the policy concerns announced in
    Upjohn, the court held:
    [T]he corporate attorney-client privilege trumps the Loudon rule where an ex parte
    interview enables corporate counsel “to determine what happened” to trigger the
    litigation.
    12
    No. 51387-1-II
    Youngs, 
    179 Wn.2d at 664
     (quoting Upjohn, 
    449 U.S. at 392
    ). If Loudon conflicts with a
    defendant’s corporate attorney-client privilege, Loudon “must yield to that privilege.” Youngs,
    
    179 Wn.2d at 671
    .
    This means that an attorney hired by a corporate defendant to investigate or litigate
    an alleged negligent event may engage in privileged (ex parte) communications
    with the corporation’s physician-employee where the physician-employee has
    firsthand knowledge of the alleged negligent event and where the communications
    are limited to the facts of the alleged negligent event.
    Youngs, 
    179 Wn.2d at 671
    .
    5. Expansion of the Attorney-Client Privilege
    Neither Loudon nor Youngs addresses defense counsel’s corporate attorney-client
    privilege with respect to a nonphysician healthcare provider. And Youngs does not address the
    corporate attorney-client privilege as it relates to an employee who is not a physician or a
    physician who is not an employee.
    In Youngs, the dissent advocated for applying the Loudon rule in medical malpractice
    cases, regardless of whether the physician is employed by the defendant. Youngs, 
    179 Wn.2d at 682
     (Stephens, J. concurring in part/dissenting in part). The dissent emphasized the ongoing
    value of the physician-patient relationship, arguing that the majority’s holding would create
    practical difficulties and uncertain expectations, particularly in light of the large-scale corporate
    structure of healthcare systems. Youngs, 
    179 Wn.2d at 677, 680
     (Stephens, J., dissenting in
    part).
    The dissent argued that the employer-employee relationship did not justify departing
    from the parameters established in Loudon and that the attorney-client privilege did not
    “necessitate allowing ex parte communications with nonparty treating physicians in the corporate
    13
    No. 51387-1-II
    medicine setting.” Youngs, 
    179 Wn.2d at 682
     (Stephens, J., dissenting in part). The dissent
    noted that the policies announced in Upjohn would not be “defeated by respecting the Loudon
    rule in this context, as the facts remain fully available to both parties, albeit through normal
    discovery channels.” Youngs, 
    179 Wn.2d at 682
     (Stephens, J., dissenting in part). The dissent
    argued that “the court in Loudon was ‘unconvinced that any hardship caused the defendants by
    having to use formal discovery procedures outweighs the potential risks involved with ex parte
    interviews.’” Youngs, 
    179 Wn.2d at 681
    (Stephens, J., dissenting in part) (quoting Loudon, 
    110 Wn.2d at 680
    ).
    Two years after Youngs was decided, the court addressed whether the corporate attorney-
    client relationship extended to former employees. Newman, 
    186 Wn.2d at 780
    . Consistent with
    the spirit of the Youngs dissent, the Supreme Court declined to “expand the privilege to
    communications outside the employer-employee relationship.” Newman, 
    186 Wn.2d at 780
    .
    The court acknowledged that although former employees may possess critical information and
    may expose the corporation to vicarious liability, those possibilities do “not justify expanding the
    attorney-client privilege beyond” the employer-employee relationship. Newman, 
    186 Wn.2d at 781
    .
    B.     Communications with Dr. Patterson
    MultiCare argues that the superior court erred by prohibiting ex parte privileged
    communications with Dr. Patterson because he is not an employee. Specifically, MultiCare
    argues that its corporate attorney-client privilege extends to Dr. Patterson because (1) Dr.
    Patterson is MultiCare’s admitted agent and the functional equivalent of an employee, and under
    the policy reasons announced in Youngs and Upjohn, there is no reasoned distinction between
    14
    No. 51387-1-II
    Dr. Patterson and employee; and (2) counsel represents Dr. Patterson under the joint
    representation agreement. We disagree.
    1. Agent or Employee
    The superior court, relying on Youngs, prohibited ex parte privileged communications
    with Dr. Patterson because, although he is MultiCare’s admitted agent, he is not a MultiCare
    employee. The crux of our inquiry is whether a non-employee agent of the corporation, who is
    implicated in the alleged negligent incident, falls within the scope of corporate attorney-client
    privilege.
    a. Admitted Agent
    MultiCare argues that Dr. Patterson is its admitted agent, and therefore, we should
    expand Youngs to hold that MultiCare’s corporate attorney-client privilege extends to both
    MultiCare’s employees and admitted agents. MultiCare further argues that it is responsible for
    Dr. Patterson’s acts within the scope of providing trauma services and that Dr. Patterson could
    provide valuable information to help counsel advise and represent MultiCare.
    But our Supreme Court rejected similar arguments in Newman. Newman, 
    186 Wn.2d at 780, 782
    . There, the court expressly declined to expand the scope of corporate attorney-client
    privilege beyond the employer-employee relationship. Like in Newman, Hermanson’s
    physician-patient privilege is not outweighed by the fact that Dr. Patterson is MultiCare’s
    admitted agent and that MultiCare could be held vicariously liable for Dr. Patterson’s acts. See
    Newman, 
    186 Wn.2d at 782
    .
    The corporation is still able to defend itself and protect its interests under Loudon. Under
    Loudon, corporations are still able to conduct prelitigation investigations and have quality
    15
    No. 51387-1-II
    improvement committees. See Youngs, 
    179 Wn.2d at 680
     (Stephens, J., dissenting in part).
    Further, under Loudon, a “corporate defendant remains free to engage in privileged
    communications with its employees other than the plaintiff or the plaintiff's nonparty treating
    physicians, before and throughout litigation.” Youngs, 
    179 Wn.2d at 680
     (Stephens, J.,
    dissenting in part). And hospitals are still able to seek all of the information it needs through
    medical records, depositions, or written questions, or informal interviews with both counsel
    present.
    b. Functional Equivalent
    Regarding Multicare’s argument that Dr. Patterson is the functional equivalent of an
    employee, we have been unable to find Washington authority addressing the distinction between
    agents and employees for purposes of defining the scope of the “client” in attorney-client
    privilege. Federal courts, however, have expanded the attorney-client privilege to allow
    privileged communications with a contractor who “in all relevant respects [was] the functional
    equivalent of an employee.” In Re Bieter Co., 
    16 F.3d 929
    , 937-38 (8th Cir. 1994). We note that
    in those cases, the independent contractors were enmeshed in the management structure. See
    Bieter, 
    16 F.3d at 937-38
    ; see also U.S. v. Graf, 
    610 F.3d 1148
    , 1159 (9th Cir. 2010).
    In Bieter, the Eighth Circuit extended privilege to communications between an
    independent contractor for a real estate partnership and the partnership’s counsel. Bieter, 
    16 F.3d at 933-34, 938
    . The contractor in Bieter had interacted on a daily basis with the
    partnership’s principals and was involved in the transaction that gave rise to the suit. Bieter, 
    16 F.3d at 938
    . As such, the court determined there was “no principled basis” to deny the contractor
    the same privilege afforded to an employee because “his involvement in the subject of the
    16
    No. 51387-1-II
    litigation makes him precisely the sort of person with whom a lawyer would wish to confer
    confidentially” to encourage complete disclosure. Bieter, 
    16 F.3d at 938
    .
    In Graf, the Ninth Circuit adopted the principles articulated in Bieter, finding the
    attorney-client privilege to apply to communications between a “functional employee” of a
    company and the company’s counsel. Graf, 
    610 F.3d at 1159
    . There, the court reasoned that
    although the consultant denied being an agent of the company, he consistently conducted
    business on behalf of the company and behaved as someone “empowered to act on behalf of the
    corporation.” Graf, 
    610 F.3d at 1159
    .
    It appears Washington courts have not adopted the federal courts’ approach or extended
    the corporate attorney-client privilege to the “functional equivalent of an employee.” Moreover,
    we note a reluctance of our Supreme Court to expand the reach of the corporate attorney-client
    privilege. See Newman, 
    186 Wn.2d at 781-82
    . Thus, we decline to adopt the federal courts’
    approach.
    2. Representation of Dr. Patterson Under Joint Representation Agreement
    MultiCare argues that the superior court’s order “ignored Dr. Patterson’s individual
    attorney-client privilege as a person jointly represented by defense counsel under a joint
    representation agreement” and that the order violates both Dr. Patterson and MultiCare’s due
    process right to representation by their chosen counsel. Br. of Appellant/Cross Resp’t at 17.
    a. Joint Representation Agreement
    Although neither party raised or briefed the issue on appeal, it is unclear whether
    MultiCare has standing to assert Patterson’s individual attorney-client privilege or Patterson’s
    constitutional right to counsel where Patterson is not a party to this action. Nonetheless, even
    17
    No. 51387-1-II
    assuming that MultiCare can assert Dr. Patterson’s attorney-client privilege, the argument fails.
    See Olson v. Haas, 
    43 Wn. App. 484
    , 487, 
    718 P.2d 1
     (1986).
    MultiCare appears to argue that Dr. Patterson’s joint representation agreement overrides
    Hermanson’s physician-patient privilege. MultiCare’s argument related to its right to represent
    Dr. Patterson under the joint representation agreement is based on its position that the underlying
    policies announced in Loudon are inapplicable here. But MultiCare does not offer any authority
    demonstrating that it can circumvent the rules of corporate attorney-client privilege or physician-
    patient privilege by entering into a joint representation agreement, or that MultiCare can contract
    around the plaintiff’s physician-patient privilege by entering into a joint representation
    agreement.
    b. Due Process
    We do not address MultiCare’s arguments regarding Dr. Patterson’s constitutional rights.
    First, MultiCare does not provide authority for its counsel to assert Dr. Patterson’s due process
    rights where Dr. Patterson is not a party to the action. Second, the record is devoid of any
    declaration of Dr. Patterson asserting that Multicare’s attorneys are his chosen counsel.
    C.     Communications with the Social Worker and Nurses
    MultiCare next argues that the superior court erred by prohibiting ex parte privileged
    communications with the social worker. Hermanson argues that the superior court erred by
    18
    No. 51387-1-II
    allowing ex parte privileged communications with the nurses.12 We hold that the superior court
    erred by prohibiting ex parte privileged communications with the social worker but that it did not
    err in allowing communication with the nurses.
    Similar to the physician-patient privilege, the legislature has provided statutory social
    worker-patient and nurse-patient privileges.13 RCW 5.60.060(9); RCW 5.62.020.14 We turn to
    the conflict between the social worker-patient and nurse-patient privileges and the corporate
    attorney-client privilege, where the social worker or nurse is employed by the defendant
    corporation.
    Youngs addressed a similar conflict. As discussed above, in Youngs, the attorney-client
    privilege was in conflict with the physician-patient privilege. 
    179 Wn.2d at 651
    . Youngs
    provided:
    [C]ertain ex parte communications between a hospital’s corporate defense counsel
    and hospital employees may be protected by Upjohn but barred by Loudon. Indeed,
    12
    Hermanson asserts that “it must be noted that perhaps a full one third of MultiCare’s argument
    is based on issues it did not raise below,” including the issue of whether Loudon is inapplicable
    to the social worker because she’s not a physician. Br. of Resp’t/Cross Appellant at 25.
    MultiCare disputes Hermanson’s assertion. MultiCare is correct; it did raise the issue of
    Loudon’s applicability to nonphysicians below.
    13
    Hermanson argues that the physician-patient privilege applies to the social worker and the
    nurses. Hermanson contends that the physician-patient privilege includes “not only medical
    doctors, but every provider or person facilitating that overall treatment.” Br. of Resp’t/Cross
    Appellant at 25. We note that both social workers and nurses are subject to their own respective
    patient privileges. RCW 5.60.060(9); RCW 5.62.020.
    14
    RCW 5.60.060(9) provides that an “independent clinical social worker” who is “licensed
    under chapter 18.225 RCW” may not disclose or be compelled to testify about information
    obtained from persons consulting the individual in a professional capacity in order to render
    professional services. The record provides that the social worker here is an independent clinical
    social worker. CP at 88 (showing the social worker’s name on the medical records, followed by
    “LICSW”).
    19
    No. 51387-1-II
    depriving counsel of the ability to communicate confidentially with a client
    damages the privilege just as much as disclosing a prior communication.
    We rely upon Upjohn’s reasoning to resolve this conflict. The attorney-
    client privilege is “the oldest of the privileges for confidential communications
    known to the common law,” and it “promote[s] broad[ ] public interests in the
    observance of law and administration of justice.”
    Youngs, 
    179 Wn.2d at 663
     (alteration in original) (citation omitted) (internal quotation marks
    omitted). The court addressed the underlying purposes of both privileges and adopted a
    “modified version of the Upjohn test” to resolve its inquiry. Youngs, 
    179 Wn.2d at 653
    .
    Here, the policy concerns related to the attorney-client privilege are identical to those
    discussed in Youngs and Upjohn. The parties do not argue that the social worker-patient or the
    nurse-patient privileges have divergent underlying policies from the physician-patient privilege.
    There is no reasoned distinction, under the circumstances presented here, between the physician-
    patient privilege and the social worker-patient privilege or the nurse-patient privilege.
    Consistent with Youngs and Upjohn, we hold that, pursuant to the limitations provided
    for in Youngs, the corporate attorney-client privilege trumps the social worker-patient privilege
    or nurse-patient privilege “where an ex parte interview enables corporate counsel ‘to determine
    what happened’ to trigger the litigation.” Youngs, 
    179 Wn.2d at 664
     (quoting Upjohn, 
    449 U.S. at 392
    ) (internal quotation marks omitted).
    Corporate defense counsel may have privileged ex parte communications with a
    plaintiff’s nonparty social worker or nurse who is employed by the defendant, “only where the
    communication meets the general prerequisites to application of the attorney-client privilege,”
    the communication is with a social worker or nurse “who has direct knowledge of the event or
    20
    No. 51387-1-II
    events triggering the litigation, and the communications concern the facts of the alleged
    negligent incident.” Youngs, 
    179 Wn.2d at 664
    .
    Here, the superior court abused its discretion by ruling that Loudon applies to the social
    worker but that the communications are barred by Youngs. This ruling is internally inconsistent.
    Both Loudon and Youngs discuss “physicians.” There is no discernible difference between the
    “physicians” in Loudon and the “physicians” in Youngs. If the language of Loudon prohibiting
    contact with “physicians” because of the sanctity of the physician-patient privilege applies to the
    social worker, then the language of Youngs allowing contact with “physicians” to protect the
    attorney-client privilege also applies.
    Moreover, the social worker and the nurses are named parties, further supporting the
    notion that the corporate attorney-client privilege extends to them. Hermanson’s complaint
    names “Jane and John Does 1-10,” and says that “Jane and John Does” are “individuals
    employed by defendant [MultiCare]” who acted in the “authorized course and scope of their
    employment of defendant [MultiCare].” CP at 1. Under the policies announced in Youngs,
    MultiCare’s corporate attorney-client privilege extends to the social worker and the nurses, who
    are MultiCare employees and named parties. See Youngs, 
    179 Wn.2d at 661, 664
    .
    D.      Hermanson’s Arguments Regarding Dr. Patterson, the Social Worker, and The Nurses
    We note that Hermanson inaccurately characterizes Wright v. Group Health Hospital,
    
    103 Wn.2d 192
    , 193, 
    691 P.2d 564
     (1984), and Youngs, 
    179 Wn.2d 645
     throughout his brief in
    his discussion of Dr. Patterson, the social worker, and the nurses. Br. of Resp’t/Cross Appellant
    at 19, 20.
    21
    No. 51387-1-II
    1. Wright
    Hermanson cites Wright to support his argument that corporate attorney-client privilege
    cannot be extended to Dr. Patterson because he cannot speak for the corporation. Hermanson
    also argues that ex parte privileged communication with the social worker and nurses should be
    prohibited because MultiCare’s corporate privilege does not extend to them under Wright.
    Hermanson asserts that under Wright, “mere fact witnesses, such as nurses, social workers, or
    other mere employees” and “independent contractors” have never been within the scope of
    corporate privilege because they “cannot possibly speak for the corporation.” Br. of
    Resp’t/Cross Appellant at 19 (quoting Wright, 
    103 Wn.2d at 201
    ). But Wright does not provide
    the framework for analyzing corporate attorney-client privilege.
    In Wright, the court addressed a discrete question: whether “a defendant hospital
    corporation may prohibit its current employees from conducting ex parte interviews with
    plaintiffs’ attorneys.” Wright, 
    103 Wn.2d at 193
     (emphasis added). In doing so, the court
    analyzed the scope of ethical rules’ prohibition against contact with a represented party. Wright,
    
    103 Wn.2d at 198, 200
    . The court clarified that its analysis and holding did not pertain to
    attorney-client privilege and was distinct from Upjohn. Wright, 
    103 Wn.2d at 201-02
    . And the
    Youngs court rejected the argument that Wright’s analysis was applicable to determining the
    scope of corporate attorney-client privilege. Youngs, 
    179 Wn.2d at 652
    . The court discussed the
    differences between the Upjohn analysis of corporate attorney-client privilege and its analysis of
    a disciplinary rule, noting: “A corporate employee who is a ‘client’ under the attorney-client
    privilege is not necessarily a ‘party’ for purposes of the disciplinary rule.” Wright, 
    103 Wn.2d at 202
    .
    22
    No. 51387-1-II
    2. Youngs
    Hermanson also asserts that “issues of privilege are determined by the status of a person
    as a party.” Br. of Resp’t/Cross Appellant at 20. But neither Wright nor Youngs support his
    assertion. Both Wright and Youngs are clear that the determination of a “party” to a lawsuit is a
    distinct from the determination of a “client” for purposes of attorney-client privilege. Youngs,
    
    179 Wn.2d at 652, 661
    ; Wright, 
    103 Wn.2d at 202
    .
    Hermanson argues that “Youngs rejected extension of an exception to Loudon to hospital
    staff other than physician-employees.” Br. of Resp’t/Cross Appellant at 23. Hermanson is
    incorrect, and his reading of Youngs “violates rules of formal logic in a manner known as the
    fallacy of the inverse or ‘denying the antecedent.’” State ex rel. Banks v. Drummond, 
    187 Wn.2d 157
    , 171, 
    385 P.3d 769
     (2016) (quoting State v. Brush, 
    183 Wn.2d 550
    , 568 n.8, 
    353 P.3d 213
    (2015)). Youngs does not discuss nonphysician employees. To conclude that Youngs does not
    apply because the social worker or nurses are not physicians is relying on the fallacy of the
    inverse.
    Hermanson also says that “[i]f Youngs intended its logic could be extended to any
    hospital employee as MultiCare urges, Youngs would not have reversed the trial court’s order
    allowing contact with those other employees.” Br. of Resp’t/Cross Appellant at 23-24.
    A careful inspection of Youngs reveals that the plaintiff objected to defense counsel’s ex
    parte contacts with “any other physician who treated him” at the hospital, even though he
    responded to discovery requests “in a manner that suggested he might bring claims implicating
    several additional, unidentified physicians.” Youngs, 
    179 Wn.2d at 654
    . Citing Loudon, the
    plaintiff moved to prohibit defense counsel from having ex parte contact with any of his “treating
    23
    No. 51387-1-II
    health care providers.” Youngs, 
    179 Wn.2d at 654
    . The superior court ultimately ruled that the
    defense counsel may have ex parte contact with hospital employees who provided healthcare to
    the plaintiff. Youngs, 
    179 Wn.2d at 654
    .
    The court concluded:
    [T]he trial court ruled that “counsel for PeaceHealth may have ex parte contact with
    PeaceHealth employees who provided health care to plaintiff Marc Youngs.” We
    affirm the portion of the trial court’s order permitting defense counsel’s ex parte
    communications with Mr. Youngs’ nonparty treating physicians, but only as to
    those physicians who have firsthand knowledge of the alleged negligent incident
    and only as to communications about the facts of that incident. We reverse the
    portion of that order permitting ex parte communications with Mr. Youngs’ other
    nonparty treating physicians (those lacking firsthand knowledge of the alleged
    negligent incident) and with any of Mr. Youngs’ nonparty treating physicians on
    topics other than the facts of the alleged negligent incident.
    Youngs, 
    179 Wn.2d at 672
     (emphasis added) (internal citations omitted). There is no indication
    that there were any nonphysician healthcare providers at issue. Because nonphysicians were not
    at issue, the court in Youngs did not affirmatively rule that nonphysician employees were to be
    treated unequally.
    E.     Requirement To Seek Leave of the Court
    MultiCare next argues that the superior court erred by requiring Multicare to seek leave
    of court before having ex parte privileged communications with “[o]ther MultiCare healthcare
    providers.” Br. of Appellant/Cross Resp’t at 39. Specifically, MultiCare argues that neither
    Loudon nor Youngs supports the superior court’s order and that this limitation curtails counsel’s
    ability to assess liability and develop an appropriate litigation strategy.
    We review a superior court’s discovery order for abuse of discretion. Richardson, 200
    Wn. App. at 711. A superior court abuses its discretion where the court’s decision was
    24
    No. 51387-1-II
    manifestly unreasonable, made for untenable reasons, or based on a misunderstanding of the law.
    Richardson, 200 Wn. App. at 711.
    Based on the superior court’s order prohibiting MultiCare from having ex parte
    communications with MultiCare’s employees, the court’s requirement that MultiCare seek leave
    of court before talking to other employees is based on a misapprehension of the law. Youngs
    does not require that the superior court interfere with MultiCare’s exercise of its corporate
    attorney-client privilege.
    We hold that the trial court abused its discretion in requiring MultiCare to seek trial court
    approval before engaging in ex parte privileged communications with MultiCare employees,
    pursuant to the limitations set forth in Youngs. We reverse the superior court’s order requiring
    MultiCare to seek leave of court before communicating with other MultiCare healthcare
    providers.
    Despite Hermanson’s repeated claim that MultiCare seeks to have unlimited
    communication and hide facts from discovery, the corporate attorney-client privilege does not
    allow for unlimited communication here. MultiCare’s corporate attorney-client privilege is
    subject to the limitations set forth in Youngs.15
    15
    This case illustrates some practical difficulties encountered by healthcare providers and
    attorneys in following the Youngs rule regarding the appropriate scope of their attorney-client
    communication. The parties here do not agree on the scope of communications covered by
    attorney-client privilege. MultiCare argues that Hermanson’s entire visit to the emergency room
    is subject to attorney-client privilege. Hermanson, however, argues that counsel’s ex parte
    communications must be limited to the alleged wrongful disclosure itself, not treatment
    generally. The trial court did not resolve this issue.
    25
    No. 51387-1-II
    CONCLUSION
    In conclusion, we affirm the portion of the superior court’s order prohibiting ex parte
    privileged communication with Dr. Patterson. We also affirm the portion of the order allowing
    ex parte privileged communications with the nurses. We reverse the portion of the superior
    court’s order prohibiting ex parte privileged communications with the social worker. And we
    reverse the portion of the order requiring MultiCare to seek leave of court before having ex parte
    communications with MultiCare healthcare providers.
    ______________________________
    Worswick, P.J.
    I concur:
    ________________________________
    Cruser, J.
    26
    No. 51387-1-II
    GLASGOW, J. (concurring in part, dissenting in part) — I concur in the majority’s decision
    to affirm the portions of the superior court’s order allowing ex parte privileged communications
    with the nurses, reversing the portion of the order prohibiting ex parte privileged
    communications with the social worker, and reversing the portion requiring MultiCare Health
    System to seek leave of the court before having ex parte communications with MultiCare
    employees. I disagree only with the majority’s conclusion that MultiCare cannot have privileged
    ex parte communications with Dr. David Patterson about Doug Hermanson’s claim.
    MultiCare admits that Dr. Patterson is its agent and that MultiCare is liable for his actions
    performed as its agent. I see no meaningful difference between the employer-employee
    relationship and the agency relationship that exists between Dr. Patterson and MultiCare for
    purposes of applying the attorney-client privilege. Therefore, I respectfully dissent in part, and
    would reverse the portion of the superior court’s order prohibiting MultiCare’s attorney from
    having ex parte privileged communications with Dr. Patterson.
    Youngs v. PeaceHealth recognized the limiting principle, implied in Upjohn Co. v.
    United States, that the scope of the corporate attorney-client privilege is tied to the attorney’s
    responsibility “‘to determine what happened’” in order to give sound and informed advice. 
    179 Wn.2d 645
    , 664, 
    316 P.3d 1035
     (2014) (quoting Upjohn Co. v. United States, 
    449 U.S. 383
    , 392,
    
    101 S. Ct. 677
    , 
    66 L. Ed. 2d 584
     (1981)). Under Youngs, corporate defense counsel may have
    privileged ex parte communications with the treating physician only where the communication
    meets the general prerequisites to the application of the attorney-client privilege, the
    communication is with a physician who has direct knowledge of the event or events triggering
    the litigation, and the communications concern the facts of the alleged negligent incident. 
    Id.
    27
    No. 51387-1-II
    Youngs reasoned that this rule “strikes the proper balance” between the attorney-client and
    physician-patient privileges, limiting Loudon v. Mhyre, 
    110 Wn.2d 675
    , 
    756 P.2d 138
     (1988) “to
    the extent necessary to protect a corporate defendant’s right to fully investigate its potential
    liability.” Youngs, 
    179 Wn.2d at 665
    .
    At their core, Upjohn and Youngs established a flexible approach to corporate attorney-
    client privilege, with the central goal of promoting candid and honest communication between a
    corporation’s attorney and the individuals acting as agents of the corporation who may know the
    factual details germane to the legal problem. Upjohn, 
    449 U.S. at 389
    ; Youngs, 
    179 Wn.2d at 664
    . But Youngs also set limitations to ensure maximum possible protection of the physician-
    patient privilege. Youngs struck a balance between the attorney-client and physician-patient
    privileges, a balance that I think should apply equally to employees and to individuals whom a
    defendant healthcare provider has admitted are its agents for the purposes of liability.
    Although our Supreme Court in Newman v. Highland School District No. 203 declined to
    expand the scope of the privilege outside the employer-employee relationship, in my view
    Newman is distinguishable from this case. 
    186 Wn.2d 769
    , 780, 
    381 P.3d 1188
     (2016). Newman
    involved a former employee who was no longer an agent of the corporation. Id. at 775, 780.
    The court declined to extend the scope of the privilege articulated in Upjohn beyond the
    employer-employee relationship not because of a rigid adherence to the definition of
    “employee,” but rather, because the termination of the employer-employee relationship also
    terminated their agency relationship. Id. at 780. The court reasoned that the privilege did not
    apply to a former employee because a former employee “can no longer bind the corporation and
    no longer owes duties of loyalty, obedience, and confidentiality to the corporation.” Id. Thus,
    28
    No. 51387-1-II
    without an ongoing principal-agent relationship, the former employees in Newman were no
    different from other third-party fact witnesses who could be freely interviewed by either party.
    Id. at 780-81.
    The distinction in Newman was temporal: the former employees were not covered by the
    privilege because they were no longer agents of the corporation. Here, on the other hand,
    although Dr. Patterson is formally employed by Trauma Trust, he is an admitted agent of
    MultiCare. In this way Dr. Patterson is not like other third-party witnesses. See id. He is not a
    neutral, indifferent observer, but, rather, is no different from an employee because he has an
    ongoing duty of loyalty towards MultiCare. This continuing agency relationship would surely
    benefit from forthright communication with MultiCare’s attorney “‘to determine what
    happened’” just as much as the formal employer-employee relationship contemplated by Youngs
    and Upjohn. Youngs, 
    179 Wn.2d at 664
     (quoting Upjohn, 
    449 U.S. at 392
    ). Treating Dr.
    Patterson differently is at odds with the delicate balance that our Supreme Court struck in
    Youngs, and I see no compelling justification for departing from those principles simply because
    he is an agent but not a formal employee. Newman’s exclusion of former employees does not
    prevent us from recognizing that Dr. Patterson is no different from an employee of MultiCare
    and should be covered by the corporate attorney-client privilege.
    Consistent with the Eighth and Ninth Circuits, I would instead recognize that Dr.
    Patterson is the “functional equivalent” of an employee and so should be subject to the same
    rules of corporate attorney-client privilege. See In re Bieter Co., 
    16 F.3d 929
    , 938 (1994); see
    also United States v. Graf, 
    610 F.3d 1148
    , 1159 (2010). Adopting this “functional equivalent”
    standard would be consistent with the limitations on the privilege imposed by Youngs and would
    29
    No. 51387-1-II
    support the flexible balancing of privileges envisioned by Youngs and Upjohn. Like employee
    treating physicians, those who are the functional equivalent of employees would still only be
    allowed to have privileged ex parte communications with corporate defense counsel where the
    communication meets the general prerequisites for applying the attorney-client privilege, the
    physician has direct knowledge of the events triggering the litigation, and the communications
    concern the facts of the alleged incident. Youngs, 
    179 Wn.2d at 664
    . The attorney-client
    privilege would protect the privileged communications only and it would not shield from
    opposing counsel the facts transmitted in those communications. 
    Id. at 653
    .
    With these limitations, applying the privilege to someone who is the functional equivalent of an
    employee would allow corporate counsel to quickly and fully investigate the corporation’s
    potential liability, promoting, for example, early and efficient resolution of cases. 
    Id. at 665
    .
    And the balance struck by Youngs between the attorney-client and physician-patient privileges
    would remain unaffected by including functional employees under the scope of the corporate
    attorney-client privilege. See 
    id. at 665
    .
    Like the majority, I recognize our Supreme Court’s reluctance thus far to expand the
    scope of the privilege beyond the employer-employee relationship. But Dr. Patterson is no
    different in any relevant respect from an employee of MultiCare, and allowing him to have ex
    parte privileged communications does not expand the scope of that privilege in any meaningful
    sense.
    I would therefore apply Youngs in this case and conclude that MultiCare may have
    privileged ex parte communications with Dr. Patterson, subject to the many limitations imposed
    by Youngs on those communications. I would accordingly reverse the superior court’s order
    30
    No. 51387-1-II
    prohibiting ex parte privileged communication with Dr. Patterson. In all other respects I concur
    in the majority’s decision.
    _____________________________
    Glasgow, J.
    31