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Giannicos v. Bellevue Hosp. Med. Ctr.

Supreme Court of the State of New York, New York County
Feb 1, 2005
793 N.Y.S.2d 893 (N.Y. Sup. Ct. 2005)

Opinion

25042.

Decided February 1, 2005.


Pursuant to CPLR 2308(a), defendants New York City Health and Hospitals Corporation ("HHC") and Miguel Figueroa ("Dr. Figueroa") (collectively, "the Moving Defendants") move by Order to Show Cause for an order compelling plaintiff Francis Giannicos, as guardian of the person and property of Peter Giannicos ("Mr. Giannicos"), an incapacitated person, to comply with their subpoenas dated October 4, 2004. Plaintiff cross-moves to quash these subpoenas.

Background

In this medical malpractice action commenced July 20, 2001 plaintiff claims that defendants negligently treated Mr. Giannicos for hydrocephalus, a condition causing an excessive accumulation of fluid resulting in the enlargement and atrophy of the brain. The Moving Defendants' Affirmation in Support of Order to Show Cause ("Aff."), at 2. The cause of action is against HHC, a government entity. Id. HHC claimed that plaintiff failed to file a timely notice of claim pursuant to General Municipal Law § 50-e(5). Aff., at 3. As a result, on January 4, 2004, defendants moved to dismiss plaintiff's complaint. Id. This Court granted defendants' motion to dismiss with respect to Mr. Giannicos's wife, Georgia Giannicos, but held in abeyance the motion to dismiss as against Mr. Giannicos pending the determination of whether he qualified for an insanity toll to the statute of limitations under CPLR 208. Id. The basis of the toll was to ascertain Mr. Giannicos's capacity at the commencement of this action and thereafter. Id. He was scheduled to appear on January 6, 2005 before a Special Referee for a hearing regarding his mental competency. Aff., at 2.

The Moving Defendants now move to compel plaintiff's attorneys, Argyropoulos Bender, to testify at that hearing pursuant to subpoenas dated October 4, 2004. Aff., at 3. They also move to compel plaintiff's attorneys to produce all of the writings, forms, documents or records that memorialize conversations between Mr. Giannicos and his attorneys. Aff., at 4. They argue that by signing a retainer and discussing the merits of his case, Mr. Giannicos demonstrated his competency to his attorneys. Id.

Plaintiff opposes this motion and cross-moves to quash the subpoenas, arguing that the information is privileged under CPLR 4503 and 3101, and that his attorneys cannot be compelled to testify against him. Plaintiff's Affirmation in Opposition ("Opp."), at ¶ 2. Plaintiff states that the documents were created with and for him, and therefore, are exempt from disclosure as attorney work-product. Opp., at ¶ 3. He also argues that the Moving Defendants are making this motion with the ultimate improper purpose of attempting to have his attorneys disqualified. Opp., at ¶ 12.

Analysis

CPLR 3101 mandates that there "shall be full disclosure of all matter material and necessary in the prosecution or defense of an action." The Court of Appeals has explained that the words "material and necessary" are to be liberally construed "to require disclosure, upon request, of any facts bearing on the controversy which will assist preparation for trial by sharpening the issues and reducing delay and prolixity." Allen v. Crowell-Collier Pub. Co., 21 NY2d 403, 406-07 (1968). Thus, the CPLR "requires the disclosure of all evidence relevant to the case and all information reasonably calculated to lead to relevant evidence." See, Siegel, New York Prac. § 344, at 525 (3d ed. 1999). Nonetheless, the Court has discretion to limit disclosure and issue a protective order to prevent "unreasonable annoyance, expense, embarrassment, disadvantage, or other prejudice." CPLR 3103; Pomeranz v. Pomeranz, 99 AD2d 407 (1st Dep't 1984); Byck v. Byck, 294 AD2d 456, 457 (2d Dep't 2002).

Furthermore, CPLR 3101(b) provides that upon "objection by a person entitled to assert [a] privilege, privileged matter shall not be obtainable." In Spectrum Sys. Intl. Corp. v. Chem. Bank, 78 NY2d 371, 377 (1991), the Court of Appeals determined that "the burden of establishing any right to protection [from disclosure] is on the party asserting it; the protection claimed must be narrowly construed; and its application must be consistent with the purposes underlying the immunity." See also, New York Times Newspaper Div. of the New York Times Co. v. Lehrer McGovern Bovis, Inc., 300 AD2d 169, 171 (1st Dep't 2002).

Work-Product

To defeat this motion, plaintiff must first prove that the subpoenaed documents are protected by the attorney work-product privilege as "uniquely the product of a lawyer's learning and professional skills." Aetna Cas. and Sur. Co. v. Certain Underwriters at Lloyd's, 263 AD2d 367, 368 (1st Dep't 1999); see, CPLR 3101(e). Notes and memoranda made by a lawyer during the interview of a witness or client constitute attorney work-product and are "absolutely exempt from discovery." Siemens Solar Indus. v. Atlantic Richfield Co., 246 AD2d 476 (1st Dep't 1998).

Here, the Moving Defendants are asking for the writings and documents of plaintiff's attorneys that memorialize conversations with Mr. Giannicos. Opp., at ¶ 4. These documents fall squarely within the attorney work-product privilege because they contain the impressions and conclusions of Mr. Giannicos's attorneys and reflect confidential communications. Therefore, the Moving Defendants' motion to compel production of these documents is denied.

Attorney-Client Privilege and Public Policy

Although the attorney work-product privilege protects plaintiff's attorneys' written materials, it does not protect their observations and oral communications. To protect from disclosure details regarding attorney-client conversations and counsel's unnoted observations of Mr. Giannicos's competency, Mr. Giannicos must prove that the attorney-client privilege applies and that the subpoenaed conversations and materials were "confidential communications * * * made for the purpose of obtaining legal advice and directed to an attorney who [was] consulted for that purpose." Priest v. Hennessy, 51 NY2d 62, 69 (1980); New York Times Newspaper Div. of the New York Times Co. v. Lehrer McGovern Bovis, Inc., 300 AD2d, at 171; see, CPLR 4503(a).

An attorney's observations of a client's demeanor, physical characteristics and mental capacity are not protected by the attorney client privilege, however, because any member of the public could make these observations. People v. Kinder, 126 AD2d 60, 63 (4th Dep't 1987), app denied 70 NY2d 649; Fodelmesi v. Schepperly, 1990 WL 89320 (S.D.NY 1990) (applying New York law); see, McCormick on Evidence § 89 (5th ed. 2003). Therefore, the attorney-client privilege will not protect plaintiff's attorneys from having to reveal their observations about Mr. Giannicos's competency and demeanor.

Nonetheless, public policy mandates that they not be compelled to testify. Discussion of this principle that attorneys should not be compelled to testify against their clients primarily arises in the context of depositions, most likely because the practice of calling opposing counsel as a witness at trial is so offensive to our conception of the adversarial process. Courts have made clear that attorneys should, only in rare and special circumstances, be forced to testify against their own clients.

In Shelton v. Amer. Motors Corp., 805 F.2d 1323 (8th Cir. 1986), the Eight Circuit Court of Appeals concluded that defense counsel could not be deposed by plaintiff's counsel. The court explained that, "The practice of forcing trial counsel to testify as a witness * * * has long been discouraged. * * * It causes the standards of the profession to suffer." Id. at 1327 (internal citations omitted).

Similarly, in Harriston v. Chicago Tribune Co., 134 F.R.D. 232 (N.D. Ill. 1990), the Northern District Court of Illinois stated, "courts have not looked with favor upon attempts to depose opposing counsel. The practice is disruptive of the adversarial process and lowers the standards of the legal profession." Id. at 232.

Likewise, in West Peninsular Title Co. v. Palm Beach County, 132 F.R.D. 301 (S.D. Fla. 1990), the court held that, "depositions of attorneys inherently constitute an invitation to harass the attorney and parties, and to disrupt and delay the case." Id. at 302.

In Kaiser v. Mut. Life Ins. Co. of New York, 161 F.R.D. 378 (S.D. Ind. 1994), the court articulated that, "depositions [of opposing counsel] may lead to the disqualification of counsel who may be called as witnesses * * * [and] would have a chilling effect on the truthfulness of attorney-client communications." Id. at 381.

Moreover, in Dunkin' Donuts, Inc. v. Mandorico, Inc., 181 F.R.D. 208 (D.P.R. 1998), the court held that, "deposing an opponent's attorney is a drastic measure and is infrequently proper." Id. at 209.

To address the problem, the Eighth Circuit in Shelton developed a three-prong test, all prongs of which must be satisfied before a party will be permitted to depose opposing counsel. Significantly, a party must establish that: "(1) no other means exist to obtain the information than to depose opposing counsel; (2) the information sought is relevant and nonprivileged; and, (3) the information is crucial to the preparation of the case." Shelton v. Amer. Motors Corp., 805 F.2d, at 1327 (internal citations omitted). This test was then adopted in several other circuits. See, e.g., Dunkin' Donuts, Inc. v. Mandorico, Inc., 181 F.R.D., at 210 (1st Cir.); Alcon Laboratories, Inc. v. Pharmacia Corp., 225 F.Supp.2d 340, 342 (S.D.NY 2002) (2d Cir.); M R Amusements Corp. v. Blair, 142 F.R.D. 304, 305-06 (N.D. Ill. 1992) (7th Cir.); Amer. Cas. Co. of Reading, PA v. Krieger, 160 F.R.D. 582, 586 (S.D. Ca. 1995) (9th Cir.); West Peninsular Title Co. v. Palm Beach County., 132 F.R.D., at 302 (11th Cir.); see also, Alcon Laboratories, Inc. v. Pharmacia Corp., 225 F.Supp.2d, at 342; Madanes v. Madanes, 199 F.R.D. 135, 151 (S.D.NY 2001); United States Fid. Guar. Co. v. Braspetro Oil Serv. Co., 2000 WL 1253262, at 1-2 (S.D.NY 2000); Bogan v. Northwestern Mut. Life Ins. Co., 152 F.R.D. 9, 14 (S.D.NY 1993).

Here, pursuant to CPLR 3103, this Court has discretion to issue a protective order "denying, limiting, conditioning or regulating the use of any disclosure device * * * to prevent unreasonable annoyance, expense, embarrassment, disadvantage, or other prejudice." Pomeranz v. Pomeranz, 99 AD2d 407 (1st Dep't 1984); Byck v. Byck, 294 AD2d 456, 457 (2d Dep't 2002). Thus, it will apply the Shelton test, which is well accepted, in furtherance of sound public policy.

The Moving Defendants' failure to satisfy the Shelton test requires denial of their motion. To begin, the Moving Defendants have several other means from which to obtain the information requested. For example, Mr. Giannicos's daughter, Francis Giannicos, testified extensively at her deposition about her father's functional abilities and mental capacities. Plaintiff's Reply ("Reply"), at ¶ 13. Indeed, Ms. Giannicos is likely in the best position to evaluate her father's mental condition because she lived with him continuously throughout the period in question. Id. Furthermore, the Moving Defendants have in their possession Mr. Giannicos's medical records, which include the observations of his treating physicians: Dr. Paul Lerner and Dr. Emanuel Lambrakis. Reply, at ¶ 18. Again, these physicians had more contact with Mr. Giannicos during the period in question than his attorneys did, and are likely in a better position to testify to Mr. Giannicos's mental capacity than are plaintiff's counsel. The Moving Defendants have not yet exhausted these resources. "The rule requires exhaustion of all other reasonable alternatives before a party should seek to depose his opponent's attorney." M R Amusements Corp. v. Blair, 142 F.R.D., at 306.

The Moving Defendants' requests also fail to meet prong three of the Shelton test because the information sought is not crucial. To defend their case, the Moving Defendants must demonstrate that Mr. Giannicos is not eligible for the insanity toll to the notice of claim period because he was competent at the time of and after the malpractice.

General Municipal Law § 50-e(1) requires that a notice of claim be served on a public corporation within ninety days after the cause of action arises. Section 50-e(5) further authorizes a court, "in its discretion" to extend the time to serve a notice of claim. The extension, however, "shall not exceed the time limited for the commencement of an action by the claimant against the public corporation." General Municipal Law § 50-e(5). Thus, a court generally has discretion to grant a motion to serve a late notice of claim provided that it is made within the one-year-and-ninety-day statute of limitations. See, General Municipal Law § 50-i (action against public corporation must be commenced "within one year and ninety days after the happening of the event upon which the claim is based").

The one-year-and-ninety-day limitation period prescribed by the General Municipal Law is subject to a toll for insanity for the period of the disability. General Municipal Law § 50-e(5). "If a person entitled to commence an action is under a disability * * * at the time the cause of action accrues, * * * the time shall be extended by the period of disability." CPLR 208; see also, Butler v. Town of Ramapo, 242 AD2d 570, 571 (2d Dep't 1997) (applying CPLR 208 to notice of claim). As a result, a person eligible for the insanity toll under CPLR 208 has one year and ninety days from the time he attains sanity to file a notice of claim.

In this case, therefore, Mr. Giannicos must prove that he was mentally incapacitated from the time of the medical malpractice 1999 until at least October 2002 (one year and ninety days before he moved to file a late notice of claim). The test is not whether he ever attained lucidity during that period, it is whether, generally, he was "unable to protect [his] legal rights because of an over-all inability to function in society." Barnes v. County of Onondaga, 65 NY2d 664 (1985); McCarty v. Volkswagen of Amer., 55 NY2d 543 (1982); Jessamy v. Parkmed Assoc., 306 AD2d 34, 35 (1st Dep't 2003); see also, Eberhard v. Elmira School Dist., 6 AD3d 971, 973 (3d Dep't 2004); Rosenfeld v. Schlecker, 5 AD3d 461 (2d Dep't 2004); Butler v. Town of Ramapo, 242 AD2d, at 571. Indeed, even if Mr. Giannicos had a window of lucidity when he met with his attorneys or generally communicated to them the facts of his malpractice case, that would not necessarily defeat his claim.

Furthermore, if plaintiff's attorneys are compelled to testify against their client, defendants may then attempt to disqualify them under the advocate-witness rule. The rule, codified at Code of Professional Responsibility DR 5-102 ( 22 N.Y.C.R.R. 1200.21), prohibits a lawyer "from representing a client in pending litigation when he * * * ought to be called as a witness." Price v. Price, 289 AD2d 11, 12 (1st Dep't 2001); see also, Matter of Estate of Levinson, 11 AD3d 826 (3d Dep't 2004). This Court will not create a situation in which plaintiff is forced to obtain new counsel after being represented by the same attorneys for three years.

Finally, the cases in which attorneys have been compelled to testify against their clients in competency hearings are plainly distinguishable. For example, in People v. Kinder, 126 AD2d 60 (4th Dep't 1987), app denied 70 NY2d 649, the Appellate Division compelled defendant's attorney to testify at his client's competency reconstruction hearing. Id. at 62. Kinder a criminal case involved application of a very different competency test, explicitly inquiring about the defendant's ability to consult with counsel and understand the proceedings against him. Id. at 64. Clearly, defense counsel in Kinder was in the best, and perhaps only, position to determine satisfaction of that test, which is itself based on the attorney-client relationship. Also, the attorney in Kinder was forced to testify post-trial after he completed the representation of his client.

This case, by contrast, is a civil case involving an insanity toll to the statute of limitations. The test for competency does not inherently require examination of the attorney-client relationship and simply focuses on the ability of Mr. Giannicos to protect his legal rights because of an overall inability to function in society a completely different standard. McCarty v. Volkswagen of Amer., 55 NY2d, at 543. Here, moreover, the Moving Defendants are asking this Court to compel plaintiff's attorneys to testify in a hearing before trial subjecting themselves to potential disqualification. As a result, Kinder and like cases are inapplicable.

In the end, public policy mandates denial of this motion. The Moving Defendants will not be permitted to compel plaintiff's attorneys to testify in a competency hearing because it would undermine the essence of the adversarial process and the client-attorney relationship. Moreover, the Moving Defendants have not proved that the testimony of plaintiff's attorneys is necessary, crucial or only available through these means. This Court must exercise its discretion under CPLR 3103 to limit prejudice and unfair disadvantage. As such, the Moving Defendants' subpoenas must be quashed and plaintiff's attorneys will not be compelled to testify at Mr. Giannicos's competency hearing.

Accordingly, it is

ORDERED that the Moving Defendants' motion to compel is denied; and it is further

ORDERED that plaintiff's motion for a protective order is granted.

This constitutes the Decision and Order of the Court.


Summaries of

Giannicos v. Bellevue Hosp. Med. Ctr.

Supreme Court of the State of New York, New York County
Feb 1, 2005
793 N.Y.S.2d 893 (N.Y. Sup. Ct. 2005)
Case details for

Giannicos v. Bellevue Hosp. Med. Ctr.

Case Details

Full title:FRANCIS GIANNICOS, as guardian of the person and property of PETER…

Court:Supreme Court of the State of New York, New York County

Date published: Feb 1, 2005

Citations

793 N.Y.S.2d 893 (N.Y. Sup. Ct. 2005)

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