In Re: Green Grand Jury v. ( 2007 )


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  •                     United States Court of Appeals
    FOR THE EIGHTH CIRCUIT
    ___________
    No. 06-3938
    No. 06-4030
    ___________
    * Appeal from the United States
    In re: Green Grand Jury Proceedings   * District Court for the
    * District of Minnesota.
    ___________
    Submitted: March 15, 2007
    Filed: July 20, 2007
    ___________
    Before WOLLMAN, JOHN R. GIBSON, and MURPHY, Circuit Judges.
    ___________
    WOLLMAN, Circuit Judge.
    The district court1 granted in part and denied in part the government’s motion
    to compel the production of documents and an attorney’s testimony before a federal
    grand jury. The government appeals that portion of the district court’s order denying
    its motion to compel. The client cross-appeals, contesting the order insofar as it
    granted the motion. We affirm.
    I.
    In light of the need to observe the requirements of grand jury secrecy, we will
    provide only a basic recitation of the facts. In the course of earlier, unrelated
    1
    The Honorable James M. Rosenbaum, Chief Judge, United States District
    Court for the District of Minnesota.
    proceedings, the client was the target of an investigation into whether he had received
    improper payments. The client received the assistance of the attorney in responding
    to these accusations and provided the attorney with an alternate, non-criminal
    explanation for his conduct. The attorney relied upon this explanation in formulating
    his legal advice and drafted documents that memorialized what the client said had
    taken place. The government contends that the client knowingly lied to the attorney
    by providing the attorney with a false back-story for the monies the client had
    allegedly improperly received.
    In November 2005, a federal grand jury issued subpoenas to the client’s
    attorney and the attorney’s law firm, seeking documents as well as the attorney’s
    testimony. In response to the subpoena, the law firm produced a privilege log,
    identifying 1,604 documents that it claims are protected under the attorney-client or
    work product privileges. The attorney declined to answer the grand jury’s questions,
    citing attorney-client privilege. In June 2006, the grand jury indicted the client and
    another party.
    The government moved to compel the production of the documents and the
    attorney’s testimony. The government argued that because the client had used his
    attorney’s services to perpetrate a fraud, the attorney-client and attorney work product
    privileges were vitiated under the crime-fraud exception to these privileges.
    The district court reviewed 179 documents in camera, 139 of which the
    government had asked the court to examine. Following a hearing and briefing by the
    parties, the district court concluded that, under the crime-fraud exception, the client
    could not assert the attorney-client or work product privileges because the government
    had presented a prima facie case that the client had used his attorney’s counsel in
    furtherance of a fraud. The court also concluded that because there was no evidence
    that the attorney had known of the client’s fraud, the crime-fraud rule did not preclude
    the attorney from asserting his own work product privilege. The district court ordered
    -2-
    the disclosure of thirty-six documents that it determined had been generated in
    furtherance of the fraud, but permitted the attorney to assert his work product privilege
    as to any opinion work product that might be contained therein. The district court
    determined that the rest of the documents it had reviewed were not discoverable under
    the crime-fraud exception because they were not generated in furtherance of any
    fraud.2 The district court also permitted the attorney to decline to answer the grand
    jury’s questions, except for questions relating to the origins of documents. The
    government contests the redactions and the restrictions on the attorney’s grand jury
    testimony. The client appeals that portion of the district court’s order requiring the
    production of the thirty-six documents and the attorney’s limited testimony.
    II.
    A.    Issues Pertaining Primarily to the Government’s Appeal
    Attorney-client communications and attorney work product are privileged and
    are not ordinarily discoverable – even by the grand jury. See In re Grand Jury
    Subpoenas Duces Tecum, 
    773 F.2d 204
    , 206 (8th Cir. 1985) (noting that the grand
    jury’s “broad investigatory powers do not require production of evidence protected
    by a valid claim of privilege”); In re Grand Jury Proceedings (Duffy), 
    473 F.2d 840
    ,
    845 (8th Cir. 1973) (work product privilege applies in grand jury proceedings).
    Neither the attorney-client privilege nor the work product privilege is absolute,
    however. Under the crime-fraud exception, attorney-client privilege “does not extend
    2
    The government suggests in its opening brief that the district court shielded
    these documents from discovery not because they were not generated in furtherance
    of a fraud, but because the court had determined that all of the documents it had
    reviewed were opinion work product. The government’s characterization of the
    district court’s order is mistaken. The district court would not have permitted the
    discovery of the thirty-six documents had it considered all 179 documents to be
    opinion work product.
    -3-
    to communications made for the purpose of getting advice for the commission of a
    fraud or a crime.” United States v. Zolin, 
    491 U.S. 554
    , 563 (1989) (quotation
    omitted). Accordingly, we have recognized that, under the crime-fraud exception,
    “‘[a]ttorney-client communications lose their privileged character when the lawyer is
    consulted not with respect to past wrongdoings but rather to further a continuing or
    contemplated criminal fraud or scheme.’” Gundacker v. Unisys Corp., 
    151 F.3d 842
    ,
    848 (8th Cir. 1998) (quoting In re Berkley & Co., 
    629 F.2d 548
    , 553 (8th Cir. 1980)).
    We have not yet explicitly held that the crime-fraud exception applies to the work
    product privilege as well. See In re Murphy, 
    560 F.2d 326
    , 337 (8th Cir. 1977)
    (stating that the applicability of the crime-fraud exception to the work product
    privilege is an unresolved question). We so hold today. As set forth in greater detail
    below, a client who has used his attorney’s assistance to perpetrate a crime or fraud
    cannot assert the work product privilege as to any documents generated in furtherance
    of his misconduct. We also hold that an attorney who does not knowingly participate
    in the client’s crime or fraud may assert the work product privilege as to his opinion
    work product.
    The work product privilege is “distinct from and broader than the attorney-
    client privilege.” In re Murphy, 
    560 F.2d at 337
     (quotation omitted). While the
    purpose of the attorney-client privilege “is to encourage clients to make a full
    disclosure of all favorable and unfavorable facts to their legal counsel,” 
    id.,
     the work
    product privilege “functions not merely and (perhaps) not mainly to assist the client
    in obtaining complete legal advice but in addition to establish a protected area in
    which the lawyer can prepare his case free from adversarial scrutiny.” In re Special
    September 1978 Grand Jury (II), 
    640 F.2d 49
    , 62 (7th Cir. 1980). “Because the work
    product privilege protects not just the attorney-client relationship but the interests of
    attorneys to their own work product,” both the attorney and the client hold the
    privilege. United States v. Under Seal (In re Grand Jury Proceedings #5), 
    401 F.3d 247
    , 250 (4th Cir. 2005) (citation omitted).
    -4-
    Other circuits have concluded that a client who has used an attorney’s
    assistance in furtherance of a fraud may not assert the work product privilege. See,
    e.g., In re Special September 1978 Grand Jury (II), 
    640 F.2d at 63
     (“When the case
    being prepared involves the client’s ongoing fraud, however, we see no reason to
    afford the client the benefit of this doctrine.”). We agree. “Although there is a
    societal interest in enabling clients to get sound legal advice, there is no such interest
    when the communications or advice are intended to further the commission of a crime
    or fraud.” United States v. Richard Roe, Inc. (In re Richard Roe, Inc.), 
    68 F.3d 38
    , 40
    (2d Cir. 1995).
    An attorney’s independent assertion of his work product privilege, on the other
    hand, stands on a very different footing because the attorney’s privilege is based on
    the attorney’s interest in protecting his opinions and thought processes from
    disclosure. This is a protection that benefits all of the attorney’s clients because it
    accords the attorney a measure of privacy within which he can candidly compose his
    thoughts.
    To determine the proper scope of an attorney’s work product privilege when the
    client has committed a crime or a fraud, it is necessary first to distinguish between
    two kinds of work product: ordinary work product, which includes “raw factual
    information,” and opinion work product, which encompasses “counsel’s mental
    impressions, conclusions, opinions or legal theories.” Baker v. General Motors Corp.
    (In re GMC), 
    209 F.3d 1051
    , 1054 (8th Cir. 2000). We have recognized that opinion
    work product enjoys “substantially greater protection than ordinary work product.”
    In re Murphy, 
    560 F.2d at 336
    . Ordinary work product is generally discoverable
    “upon a showing of substantial need and an inability to secure the substantial
    equivalent of the materials by alternate means without undue hardship.” 
    Id.
     Opinion
    work product, by contrast, “enjoys a nearly absolute immunity and can be discovered
    only in very rare and extraordinary circumstances.” 
    Id.
     We suggested, for example,
    that opinion work product might be discoverable if it contained evidence of the
    -5-
    attorney’s misconduct. 
    Id.
     at 336 n.19. The central question regarding opinion work
    product, then, is whether client misconduct (of which the attorney is unaware) is a
    “rare and extraordinary circumstance” warranting an exception to the “nearly absolute
    immunity” adhering to opinion work product.
    Other circuits recognizing the ordinary/opinion work product distinction have
    concluded that an attorney may assert the work product privilege with regard to
    opinion work product even if the client has used the attorney’s services to commit a
    crime or perpetrate a fraud, so long as the attorney was unaware that the client was
    doing so. In re Grand Jury Proceedings #5, 
    401 F.3d at 252
     (holding that “while the
    attorney-client privilege may be vitiated without showing that the attorney knew of
    the fraud or crime, those seeking to overcome the opinion work product privilege must
    make a prima facie showing that the attorney in question was aware of or a knowing
    participant in the criminal conduct” (quotation omitted)); In re Grand Jury
    Proceedings, 
    867 F.2d 539
    , 541 (9th Cir. 1989) (affirming district court’s order
    permitting an innocent attorney to refuse to disclose opinion work product); In re
    Antitrust Grand Jury, 
    805 F.2d 155
    , 168 (6th Cir. 1986) (ordering the district court
    to require disclosure of opinion work product should it find that the attorneys were
    “knowing and willing conspirators in the alleged crime”); In re Special September
    1978 Grand Jury (II), 
    640 F.2d at 63
     (remarking that requiring an innocent attorney
    to disclose “mental impressions, conclusions, opinions, and legal theories”would be
    an “invasion not justified by the misfortune of representing a fraudulent client”).3 In
    3
    The government suggests that some circuits have held that an attorney’s work
    product privilege may be vitiated by client fraud even if the attorney was not aware
    of the client’s wrongdoing. In most of the cases cited by the government for this
    proposition, however, it appears that the clients were the parties on appeal — not the
    attorneys. See In re Richard Roe, Inc., 
    68 F.3d 38
    , 39 (2d Cir. 1995); In re Grand
    Jury Subpoena Duces Tecum, 
    731 F.2d 1032
    , 1036 (2d Cir. 1984); In re Grand Jury
    Subpoena, 
    419 F.3d 329
    , 335 (5th Cir. 2005). In the one case in which the attorneys
    were parties, the court determined that they lacked standing. In re Grand Jury
    Proceedings, 
    604 F.2d 798
    , 800 (3d Cir. 1979). Accordingly, it is not clear that the
    -6-
    keeping with the significant protection we accord opinion work product, we hold, as
    have our sister circuits, that an attorney who is not complicit in his client’s
    wrongdoing may assert the work product privilege with respect to his opinion work
    product. In light of the lesser protection accorded ordinary work product, we
    conclude that an innocent attorney may be required to disclose ordinary work product.
    Cf. In re Grand Jury Proceedings #5, 
    401 F.3d at 252
     (“Because fact work product
    enjoys less protection than opinion work product, it may be discovered upon prima
    facie evidence of a crime or fraud as to the client only and thus even when the attorney
    is unaware of the crime of fraud.”); In re Antitrust Grand Jury, 
    805 F.2d at 163
    (concluding that ordinary work product may be disclosed if there has been client
    fraud).
    The government contends that even if the district court correctly held that the
    attorney’s opinion work product was shielded from disclosure, the district court did
    not properly draw the line between ordinary and opinion fact work product. In
    particular, the government disagrees with the district court’s determination that the
    attorney’s notes and his recollections about conversations he may have had with the
    client were protectable as opinion work product. We discern no error in the district
    court’s division between opinion and fact work product.
    “Notes and memoranda of an attorney, or an attorney’s agent, from a witness
    interview are opinion work product entitled to almost absolute immunity.” Baker, 
    209 F.3d at 1054
    . An attorney’s notes of a witness interview are opinion work product
    because “when taking notes, an attorney often focuses on those facts that she deems
    legally significant.” 
    Id.
     Accordingly, the district court correctly determined that the
    attorney’s notes were protectable as opinion work product. The district court’s
    determination regarding the attorney’s recollections of conversations with the client
    attorneys’ interest in their work product was squarely before the respective courts in
    these cases.
    -7-
    was also sound. In Duffy, we concluded that an attorney’s recollections of
    conversations with a client were protectable work product. 
    473 F.2d at 848
    .
    Although, as the government points out, Duffy did not explicitly distinguish between
    ordinary and opinion work product, Duffy did remark that testimony regarding an
    attorney’s recollections of conversations with clients would reveal the attorney’s
    mental impressions and thought processes. 
    Id.
     In other words, the attorney’s
    recollections are protectable as opinion work product. In sum, we conclude that the
    district court drew an appropriate line between ordinary and opinion work product in
    this case.4
    B.    Issues Pertaining Primarily to the Client’s Cross-Appeal5
    The client takes issue with the standard the district court used to determine that
    the thirty-six documents were generated in furtherance of a crime or fraud. The
    district court held that the crime-fraud standard was met because the government’s
    evidence, if it were believed by the trier of fact, would establish the existence of a
    crime or fraud. The district court also determined that it would have found that the
    4
    The government also suggests in its responsive brief that because the district
    court erred in drawing the line between opinion and fact work product, it may have
    erred in its determination that the majority of the documents it had reviewed were not
    generated in furtherance of the fraud. We disagree.
    5
    The government argues that the client’s appeal was rendered moot because the
    client produced the documents and did not take advantage of the district court’s offer
    to stay compliance with its order pending appeal. We disagree. First, the appeal is
    not moot because the courts can still offer some “effectual relief” by ordering the
    return or destruction of the documents. Church of Scientology v. United States, 
    506 U.S. 9
    , 12 (1992). Second, we are not persuaded that the client’s decision to forgo the
    district court’s offer to stay the production rendered the appeal moot, even if this
    inaction may be relevant to waiver. Regarding waiver, the government has not
    provided us with sufficient reason to conclude that we should not entertain the client’s
    arguments.
    -8-
    crime-fraud exception applied even if it had used a probable cause standard, as the
    client had suggested. The client argues on appeal that otherwise privileged documents
    should be discoverable under the crime-fraud exception only if the district court finds
    “by clear and convincing evidence” that the documents were generated in furtherance
    of a crime or fraud. The client also contends that a district court should take into
    account evidence countervailing the application of the crime-fraud exception.6
    With respect to the quantum of proof, before the crime-fraud exception may be
    applied, the moving party must “make a prima facie showing that the legal advice has
    been obtained in furtherance of an illegal or fraudulent activity.” United States v.
    Horvath, 
    731 F.2d 557
    , 562 (8th Cir. 1984); see also In re Murphy, 
    560 F.2d at 337
    (“To invoke [the crime-fraud] exception, there must be a prima facie showing that the
    client was engaged or planned to engage in illegal or fraudulent activity when he
    sought the legal advice.”). Courts of appeals have articulated varying standards
    regarding the quantum of proof necessary to make this prima facie showing. Compare
    In re Grand Jury Proceedings (Corporation), 
    87 F.3d 377
    , 381 (9th Cir. 1996)
    (requiring “reasonable cause to believe” that the attorneys were being utilized in
    furtherance of a crime or fraud (quotation omitted)), and In re Antitrust Grand Jury,
    
    805 F.2d 155
    , 166 (6th Cir.1986) (requiring a prima facie showing based on evidence
    that would provide a prudent person with “‘a reasonable basis to suspect the
    perpetration of a crime or fraud’” (quoting In re Grand Jury Subpoena Duces Tecum,
    
    731 F.2d 1032
    , 1039 (2d Cir. 1984))), with Haines v. Liggett Group, Inc., 
    975 F.2d 81
    , 95-96 (3d Cir. 1992) (requiring “evidence which, if believed by the fact-finder,
    would be sufficient to support a finding that the elements of the crime-fraud exception
    were met”), In re Grand Jury Subpoena, 
    419 F.3d 329
    , 336 (5th Cir. 2005) (requiring
    evidence “such as will suffice until contradicted and overcome by other evidence” to
    6
    Because the district court articulated an “evidence if believed by a trier of fact”
    standard, we will assume that contrary evidence did not factor into the final decision.
    It is clear, however, that the district court did consider each party’s legal arguments.
    -9-
    establish crime or fraud (quotation omitted)), In re Sealed Case, 
    107 F.3d 46
    , 50 (D.C.
    Cir. 1997) (requiring evidence “that if believed by the trier of fact would establish the
    elements of an ongoing or imminent crime or fraud” (quotation omitted)), and In re
    Grand Jury Proceedings #5, 
    401 F.3d at 251
     (requiring evidence “that, if believed by
    a trier of fact, would establish the elements of some violation that was ongoing or
    about to be committed” and noting that “proof either by a preponderance or beyond
    a reasonable doubt of the crime or fraud is not required”).
    In considering the disparate formulations regarding the level of proof necessary
    to justify the application of the crime-fraud exception, we look to Supreme Court
    precedent. In Zolin v. United States, the Court considered, inter alia, the level of
    proof necessary to justify a district court’s ordering the production of documents for
    the purpose of an in camera review to determine whether the crime-fraud exception
    applied. The Court ruled that a district court may not order the production of
    documents for in camera review unless the party urging production has made the
    threshold showing “of a factual basis adequate to support a good faith belief by a
    reasonable person’ that the crime-fraud exception applies.” Id., at 572. Although the
    Court did not specify the level of proof necessary to trigger the crime-fraud exception,
    it suggested that a higher burden than that required for in camera review would be
    necessary to overcome the privilege. Zolin, 
    491 U.S. at 572
    . We believe that both
    of the standards enunciated by the district court meet this higher threshold. One
    requires that crime or fraud be “established,” and the other requires that there be
    probable cause to believe that a crime or fraud had been perpetrated.
    We reject the client’s suggestion that fraud must be proved by clear and
    convincing evidence. Apart from the fact that it is not harmonious with the standards
    articulated by our sister circuits,7 the standard is too exacting for proceedings at the
    7
    The client contends that the “Tenth Circuit has indicated its agreement with a
    ‘substantial and competent evidence’ standard,” citing Intervenor v. United States (In
    re Grand Jury Subpoenas), 
    144 F.3d 653
     (10th Cir. 1998). This case does not assist
    -10-
    grand jury stage. The Supreme Court has cautioned that any rule that “would saddle
    a grand jury with minitrials and preliminary showings would assuredly impede its
    investigation and frustrate the public’s interest in the fair and expeditious
    administration of the criminal laws.” United States v. Dionisio, 
    410 U.S. 1
    , 17 (1973);
    see also In re Grand Jury Investigation, 
    842 F.2d 1223
    , 1226 (11th Cir. 1987) (“If
    courts always had to hear testimony and conflicting evidence on such matters, the
    rationale behind the prima facie standard – the promotion of speed and simplicity at
    the grand jury stage – would be lost.”). The grand jury is an investigative body; we
    do not believe that it would be prudent to “saddle” its proceedings with a clear and
    convincing evidence standard, which would unduly impede its investigation.
    We turn next to the related question whether, in the grand jury context, the
    district court may be or is required to consider evidence presented in opposition to the
    application of the crime-fraud exception. We have suggested that in a civil case the
    party opposing the application of the crime-fraud exception is entitled to present
    countervailing evidence. In re General Motors Corp., 
    153 F.3d 714
    , 716 (8th Cir.
    1998); see also UMG Recording, Inc. v. Bertelsmann AG (In re Napster, Inc.
    Copyright Litig.), 
    479 F.3d 1078
    , 1093 (9th Cir. 2007) (holding that a party has the
    right to present countervailing evidence in civil cases). Moreover, In re Murphy
    implies that consideration of contrary evidence may properly undermine the
    government’s prima facie showing. 
    560 F.2d at 338
     (noting that the government’s
    evidence regarding one client, which was “ambiguous and controverted,” was not
    “sufficiently convincing to support a prima facie case of fraud” and that the evidence
    pertaining to another client was infirm, in part, because evidence of the alleged crimes
    was found insufficient in two trials on the merits).
    the client. Although the Tenth Circuit affirmed the district court, which used the
    “substantial and competent evidence” standard, the court gave no indication that a
    lesser burden would have been inappropriate. Id. at 660-61.
    -11-
    The “rules of the game” may be different in the grand jury context, however.
    In re Grand Jury Subpoena, 
    223 F.3d 213
    , 218 (3d Cir. 2000). As we noted earlier,
    grand jury proceedings should not be encumbered with procedures that would
    frustrate the efficient execution of its investigative purposes. In light of this concern,
    the Sixth Circuit concluded in In re Antitrust Grand Jury that “the district court did not
    err in considering only the evidence submitted by the government,” 
    805 F.2d at 168
    ,
    remarking that “[i]f the district court were required to weigh all conflicting evidence,
    it would be tantamount to a mini-trial, which the courts do not sanction at the grand
    jury stage.” 
    Id. at 167
    . The Tenth Circuit has observed that determining whether a
    crime has occurred is best determined “only in a trial on the merits,” adding that “[t]he
    contest of a subpoena may not be converted into a preliminary trial.” In re September
    1975 Grand Jury Term, 
    532 F.2d 734
    , 737 (10th Cir. 1976). Moreover many of the
    formulations regarding the requisite quantum of proof set forth above imply that no
    contrary evidence should be considered. See In re Grand Jury Subpoena, 
    419 F.3d at 336
     (whether the moving party’s evidence is “such as will suffice until contradicted
    and overcome by other evidence” to establish crime or fraud (quotation omitted); In
    re Sealed Case, 
    107 F.3d at 50
     (requiring evidence “that if believed by the trier of fact
    would establish the elements of an ongoing or imminent crime or fraud” (citation and
    quotation marks omitted)). But see Intervenor v. United States (In re Grand Jury
    Subpoenas), 
    144 F.3d 653
    , 663 (10th Cir. 1998) (noting that the district court
    “understood it had the authority to hear rebuttal evidence”).
    We need not decide today whether the district court may or should consider
    contrary evidence. Even if the district court could have (or should have) accorded the
    countervailing evidence some measure of consideration, we do not believe that
    consideration of the contrary evidence in this case would have properly affected the
    district court’s crime-fraud determination. The client’s rebuttal evidence appears to
    consist primarily of statements by the client and others that essentially convey the
    client’s innocent explanations for his conduct. The assessment of credibility will
    typically be better left to the fact-finder, which may, in this case, later credit the
    -12-
    client’s explanations. Nor should the district court’s crime-fraud inquiry devolve into
    a mini-trial, with the district court engaging in a finely calibrated weighing of the
    evidence. Accordingly, even if it had been proper for the district court to accord the
    contrary evidence some measure of consideration (again, a matter we do not decide
    today), we do not believe that such consideration would extend to rejecting an
    otherwise sound prima facie case merely because the district court is more persuaded
    by the client’s explanations.8
    The client also argues that the crime-fraud exception is inapplicable because he
    had simply consulted his attorney in good faith about the legal implications of prior
    conduct. This argument fails. We review the district court’s crime-fraud ruling for
    an abuse of discretion. In re Grand Jury Subpoenas Duces Tecum, 
    773 F.2d at 206
    .
    Considering the district court’s familiarity with the record, which familiarity “should
    not be lightly regarded,” we accord its determinations considerable deference. 
    Id.
    The evidence indicates that the client had never sought advice regarding prior conduct
    because he had never told his attorney what that conduct was. Instead, the
    government has made a prima facie showing that the client lied about his prior
    conduct by providing a false back-story that became the basis of the attorney’s legal
    advice.9
    8
    We leave open the possibility that, in some circumstances, weighing contrary
    evidence or rejecting the government’s evidence could be warranted. There may be
    cases, for example, where the government’s evidence appears so facially unreliable
    (or the countervailing evidence so compelling) that a more critical gaze, perhaps
    informed by contrary evidence, may be appropriate. The client suggests, for example,
    that it would not be appropriate to assume that the government’s evidence is true if
    that evidence consists of “testimony of a demonstrably incompetent, confused, or
    biased witness.” That may well be true, but we need not reach that conclusion today
    because the government’s evidence does not suffer from such deficiencies.
    9
    The client cites In re BankAmerica Corp. Secs. Litig., 
    270 F.3d 639
     (8th Cir.
    2001), for the proposition that soliciting an attorney’s advice in support of a “cover-
    up” will not trigger the crime-fraud exception. The client’s reliance upon
    -13-
    The client also suggests that he did not solicit his attorney’s assistance in
    committing a fraud and never suggested that any particular course of action be
    undertaken, but merely acquiesced in counsel’s advice. As the government points out,
    however, it cannot be expected that a client seeking to enlist an attorney’s
    (unknowing) aid in perpetrating a fraud will provide his attorney with precise legal
    directions for carrying it out. After all, the client is relying on the attorney’s expertise.
    In this case, there is evidence that the client, in the face of allegations of wrongdoing,
    relayed to his attorney a false explanation for his conduct and that his attorney relied
    upon this false explanation in, inter alia, executing a legal response to the
    accusations. In other words, even if the client did not necessarily have any precise
    legal response in mind, the evidence indicates that he knowingly took advantage of
    his attorney’s expertise in aid of his endeavor to mislead others with a false cover-
    story regarding his conduct. See In re Richard Roe, Inc., 
    68 F.3d at 40
     (remarking that
    the crime-fraud exception applies when the client intends to use the attorney’s services
    “to facilitate or to conceal the criminal activity”). In light of the foregoing, we can
    discern no abuse of discretion in the district court’s crime-fraud determination.
    The client contends, finally, that the subpoena should have been quashed in its
    entirety because the government is using the grand jury subpoena as a way of
    obtaining pre-trial discovery against him. The government may not use the grand
    BankAmerica is misplaced. In that case, the client sought legal advice regarding its
    disclosure obligations under securities laws and then committed an unintentional
    disclosure violation by not disclosing certain losses it had sustained on some loans.
    We held that “the crime-fraud exception does not apply when a publicly held company
    seeks legal advice concerning its disclosure obligations and then commits an
    unintentional disclosure violation.” 
    270 F.3d at 643
    . We added that the crime-fraud
    exception will apply if a client seeks “legal advice in furtherance of intentional
    securities law fraud.” 
    Id.
     In the present case, there is a prima facie case that the client
    sought the attorney’s advice to perpetrate a fraud. It also bears mention that in
    BankAmerica, there was no “cover-up” of wrongdoing; the nondisclosure itself was
    the wrongdoing.
    -14-
    jury’s investigative powers “for the sole or dominant purpose of preparing a pending
    indictment for trial.” United States v. Puckett, 
    147 F.3d 765
    , 770 (8th Cir. 1998)
    (quotation omitted). If the grand jury proceedings are directed toward other charges
    or persons, “its scope cannot be narrowly circumscribed and any collateral fruits from
    bona fide inquiries may be utilized by the government.” United States v. Wadlington,
    
    233 F.3d 1067
    , 1074 (8th Cir. 2000) (quotation omitted). The government has
    represented to the district court and to us that the grand jury is investigating another
    party. The client contends that this assertion is belied by the fact that the subpoena
    seeks information pertaining to the client rather than another individual. Having
    reviewed the record, we conclude that this argument lacks merit.
    The judgement is affirmed.
    ______________________________
    -15-
    

Document Info

Docket Number: 06-3938

Filed Date: 7/20/2007

Precedential Status: Precedential

Modified Date: 10/14/2015

Authorities (30)

In Re: Grand Jury Subpoenas, Jane Roe and John Doe. ... , 144 F.3d 653 ( 1998 )

In Re September 1975 Grand Jury Term. Harvey W. Thompson, ... , 532 F.2d 734 ( 1976 )

In Re Richard Roe, Inc., and John Doe, Inc. United States ... , 68 F.3d 38 ( 1995 )

In Re GRAND JURY SUBPOENA , 223 F.3d 213 ( 2000 )

In Re Grand Jury Investigation. Appeal of Glen J. Schroeder,... , 842 F.2d 1223 ( 1987 )

In Re Grand Jury Subpoena Duces Tecum Dated September 15, ... , 731 F.2d 1032 ( 1984 )

In Re Special September 1978 Grand Jury (Ii). Appeal of ... , 640 F.2d 49 ( 1980 )

United States of America, in Re Grand Jury Subpoenas Duces ... , 773 F.2d 204 ( 1985 )

In Re Grand Jury Subpoena , 419 F.3d 329 ( 2005 )

united-states-v-jesse-puckett-united-states-of-america-v-lyndon-simmons , 147 F.3d 765 ( 1998 )

In Re: Grand Jury Proceedings 5 Empanelled January 28, 2004 ... , 401 F.3d 247 ( 2005 )

In Re Grand Jury Proceedings. Appeal of Fmc Corporation, ... , 604 F.2d 798 ( 1979 )

susan-haines-as-administratrix-ad-prosequendum-and-of-the-estate-of-peter , 975 F.2d 81 ( 1992 )

in-re-antitrust-grand-jury-advance-publications-inc-plain-dealer , 805 F.2d 155 ( 1986 )

Erik Gundacker v. Unisys Corporation , 151 F.3d 842 ( 1998 )

In Re: General Motors Corporation , 153 F.3d 714 ( 1998 )

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

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

United States v. Paul E. Horvath, Jr., Robert M. Horvath, ... , 731 F.2d 557 ( 1984 )

In Re BANKAMERICA CORP. SECURITIES LITIGATION Petition of ... , 270 F.3d 639 ( 2001 )

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