Justice SAYLOR.
In this appeal, we consider whether, and to what degree, the attorney-client privilege attaches to attorney-to-client communications.
This litigation entails a claim of bad faith arising out of insurance companies' handling of Appellee's uninsured motorist claim. During discovery, Appellee sought production of all documents from the file of the law firm representing the insurers in the underlying litigation (who are the appellants here). Appellants withheld and redacted documents created by counsel, asserting the attorney-client privilege.
In response, Appellee sought to compel production. Appellee took the position that the attorney-client privilege in Pennsylvania is very limited—according to Section 5928 of the Judicial Code—to confidential
42 Pa.C.S. § 5928.
Appellee's motion allowed, in the abstract, that certain lawyer-initiated communications might contain information originating with the client and, accordingly, may be privileged. Appellee observed, however, that Appellants had not sought such derivative protection, but rather, asserted the privilege broadly, as if it were a "two-way street." Appellee maintained that the privilege is, in fact, a "one-way street" and must be strictly contained to effectuate the will of the General Assembly and minimize interference with the truth-determining process. As further support, Appellee referenced Birth Center v. St. Paul Cos., Inc., 727 A.2d 1144, 1164 (Pa.Super.1999) ("The attorney-client privilege. . . only bars discovery or testimony regarding confidential communications made by the client during the course of representation.").
For their part, Appellants highlighted the privilege's purpose to foster the free and open exchange of relevant information between the lawyer and his client.
During in camera review proceedings in the presence of counsel, the common pleas court adopted the "one-way street" perspective. See N.T., Mar. 29, 2007, at 8 ("According to the Pennsylvania statute, the attorney-client protection only applies to communications made by the client. That's my ruling."). Further, as reflected in the following interchange with defense counsel, the court repeatedly grounded its ruling on the direction of the flow of the information, not the content, suggesting that derivative protection was absent:
Id. at 8-9. Additionally, the common pleas court couched its ruling as a "blanket" one. Id. 27.
In its opinion under Rule of Appellate Procedure 1925, the court referenced the following decisions as supportive of its ruling: Slater v. Rimar, Inc., 462 Pa. 138, 148, 338 A.2d 584, 589 (1975) ("[T]he law wisely declares that all confidential communications and disclosures, made by a client to his legal adviser for the purpose of obtaining his professional aid or advice, shall be strictly privileged[.]" (citation and quotation marks omitted)); Commonwealth v. Maguigan, 511 Pa. 112, 131, 511 A.2d 1327, 1337 (1986) (describing the attorney-client privilege in the context of the criminal law, see 42 Pa.C.S. § 5916, as "limited to confidential communications and disclosures made by the client to his legal advisor"); and In re Estate of Wood, 818 A.2d 568, 571 (Pa.Super.2003) ("[T]he privilege applies only to confidential communications made by the client to the attorney[.]"). The court, however, appeared to moderate its focus on the direction of flow and to accept the possibility of some derivative protection. Nevertheless, it explained that Appellants had not argued that the withheld attorney communications contained information originating with the client.
Appellants filed an interlocutory appeal, invoking the collateral order doctrine. See Pa.R.A.P. 313; Ben v. Schwartz, 556 Pa. 475, 483-85, 729 A.2d 547, 551-52 (1999). The Superior Court exercised jurisdiction and affirmed in a brief memorandum opinion, relying on Nationwide Mutual Insurance Co. v. Fleming, 924 A.2d 1259, 1269 (Pa.Super.2007) (holding that "protection is available only for confidential communications made by the client to counsel" (emphasis in original)), aff'd on other grounds by an equally divided court, 605 Pa. 468, 992 A.2d 65 (2010). Consistent with Fleming, the Gillard panel treated the privilege as being "strictly limited." See Gillard v. AIG Ins. Co., No. 1065 EDA 2007, slip op. at 4, 947 A.2d 836 (Pa.Super. Jan. 4, 2008).
Like Appellee, the Superior Court did recognize Fleming's allowance for some derivative protection of attorney-to-client communications. See id. at 5-6 ("Fleming makes it clear that communications from an attorney to a client are protected . . . under Section 5928, but only to the extent that they reveal confidential communications previously made by the client to counsel for the purpose of obtaining legal advice." (quotation marks omitted and emphasis in original)). Nevertheless, the panel discerned no specific claim that the sought-after documents would disclose confidential communications made by Appellants to their attorneys. Thus, it held, the privilege did not apply. See id. at 6.
Central to the argument of the Fleming appellants (also insurance companies) was that, in National Bank of West Grove v. Earle, 196 Pa. 217, 46 A. 268 (1900), this Court determined the privilege did apply to the advice of counsel. Earle explained that,
Id. at 221, 46 A. at 269. The Fleming appellants stressed that the statutory prescription for the privilege already was in place, via a predecessor statute, at the time of Earle's issuance. See 42 Pa.C.S. § 5928, Official Comment (explaining the statute is "[substantially a reenactment of act of May 23, 1887 (P.L. 158) (No. 89), § 5(d) (28 P.S. § 321)").
The lead opinion in Fleming did not resolve the facial tension between Earle's broad perspective on the privilege and the statute's narrower focus. Rather, the lead Justices found the appellants had waived the attorney-client privilege by producing documents reflecting the same subject matter as the withheld documents. See Fleming, 605 Pa. at ___, 992 A.2d at 69-70 (opinion in support of affirmance).
The opinion supporting reversal differed with this finding of waiver. Furthermore, and as relevant here, the Justices favoring reversal also took a broader approach to the attorney-client privilege than that of the Superior Court. The opinion expressed agreement with amici that a "narrow approach to the attorney-client privilege rigidly centered on the identification of specific client communications" was unworkable, "in that attorney advice and client input are often inextricably intermixed." Id. at ___, 992 A.2d at 71 (opinion in support of reversal). The Justices supporting this opinion also reasoned that allowing for derivative protection but closely limiting its scope would lead to uncertainty and undue precaution in lawyer-client discussions, rather than fostering the desired frankness. Their opinion concluded:
Id. at ___, 992 A.2d at 73-74 (footnotes omitted); cf. Alexander, 253 Pa. at 203, 97 A. at 1065 ("The general rule is, that all professional communications are sacred." (citation and quotation marks omitted)).
In the aftermath of the divided Fleming decision, this appeal was selected to determine the appropriate scope of the attorney-client privilege in Pennsylvania.
Appellants couch the threshold issue as "whether communications from an attorney to the client may ever enjoy protection from disclosure as an attorney-client communication." Brief for Appellants at 7 (emphasis in original). They acknowledge the particular terms of the statute protecting confidential client communications, but they assert the provision was not intended to change or limit the essential nature of the common law governing confidential lawyer-to-client communications. Cf. 8 WIGMORE, EVIDENCE § 2320 (McNaughton rev. 1961) ("That the attorney's communications to the client are also within the privilege was always assumed in the earlier cases and has seldom been brought into question." (emphasis in original)); accord 81 AM.JUR.2D Witnesses § 357 (2010). Moreover, according to Appellants, Earle interpreted and clarified the confidential-communications statute, validating the position that attorney advice is within the scope of the protection. In this regard, Appellants recognize that Earle made no specific reference to the statute, but their position is that it should be presumed the decision was interpretive in nature.
Throughout their brief, Appellants stress the historical acceptance of the privilege, see, e.g., Commonwealth v. Chmiel, 558 Pa. 478, 493, 738 A.2d 406, 414 (1999) ("Although now embodied in statute, the attorney-client privilege is deeply rooted in the common law. Indeed, it is the most revered of the common law privileges." (citations omitted)), as well as the underlying policy justifications, see supra note 1.
More broadly, it is Appellants' position that centering the privilege on the purpose of the communications, rather than the direction of flow, best serves the overall interests of justice. See generally In re Investigating Grand Jury of Phila. County No. 88-00-3503, 527 Pa. 432, 440, 593 A.2d 402, 406 (1991) ("The intended beneficiary. . . is not the individual client so much as the systemic administration of justice which depends on frank and open client-attorney communication." (citing, inter alia, Search Warrant B-21778, 513 Pa. at 441, 521 A.2d at 428)). Appellants maintain that strict and formalistic limits on derivative protection are unrealistic and unworkable, on account of the close relationship between client confidences and responsive advice. This point is stated by one group of amici, as follows:
Brief for Amici Ass'n of Corporate Counsel, et al. at 17, 20.
Accordingly, consistent with the approach of the Restatement Third, Appellants contend the privilege should extend to all attorney-to-client communications containing advice, analysis, and/or legal opinions. See RESTATEMENT (THIRD) OF THE LAW GOVERNING LAWYERS § 69.
Appellants conclude with a request for a clear articulation from this Court endorsing the broader approach to the privilege. Accord Brief for Amici Ass'n of Corporate Counsel, et al. at 2 ("Amici urge the Court to reverse the Superior Court with a clear statement that communications made within the lawyer/client relationship are privileged when made for the very purpose of soliciting or providing legal advice.").
Several of Appellants' amici focus specifically on the privilege as it applies to in-house counsel, asserting that, given their proximity to the employer/client's business affairs, they are uniquely subject to the intertwining of advice and confidential information. Along these lines, Energy Association of Pennsylvania offers the following observations:
Brief for Amicus Energy Ass'n of Pa. at 1-2. See generally Upjohn, 449 U.S. at 392, 101 S.Ct. at 684 ("The narrow scope given the attorney-client privilege by the court below not only makes it difficult for corporate attorneys to formulate sound advice when their client is faced with a specific legal problem but also threatens to limit the valuable efforts of corporate counsel to ensure their client's compliance with the law."). According to this amicus, "[a] reliably confidential relationship between counsel and client is needed more than ever for companies to operate as the good citizens the people of the Commonwealth expect them to be." Brief for Amicus Energy Ass'n of Pa. at 3.
Finally, several amici argue that, even if this Court were to discern a legislative intent underlying Section 5928 consistent with the Superior Court's narrow approach to the privilege, Article V, Section 10(c) of the Pennsylvania Constitution allocates the decisional authority on the subject to this Court. See PA. CONST. art. V, § 10(c) (investing the Court with procedural rulemaking authority).
Appellee opens, in his initial statement of jurisdiction, with the observation that this appeal was taken as of right under the collateral order doctrine. He then references the United States Supreme Court's recent decision in Mohawk Industries, Inc. v. Carpenter, ___ U.S. ___, 130 S.Ct. 599, 175 L.Ed.2d 458 (2009), for the proposition that interlocutory appellate review does not extend as of right to discovery disputes centered on the assertion of the attorney-client privilege. See id. at ___, 130 S.Ct. at 609. Appellee indicates that this Court needs to decide whether to depart from the contrary approach prevailing under its own decision in Ben v. Schwartz to follow Mohawk.
On the merits, Appellee initially "agrees that attorney `advice, analysis, and/or opinions' is privileged if confidential client communications are intermixed." Brief for Appellee at 10.
Appellee also criticizes any extension of the attorney-client privilege beyond close derivative protection, denominating such expansion as inappropriate judicial interference with the prevailing legislative scheme. See Brief for Appellee at 22 ("With all due respect to this Court, Appellee submits that it is the role of the courts to interpret statutes enacted by the General Assembly[, . . . not to] substitute its own policy determinations whenever this Court believes the General Assembly enacted a statute outside of the majority rule, and which this Court believes may affect the Commonwealth's financial well-being with corporations."). While Appellee acknowledges the argument that the authority to determine the scope of the privilege appropriately rests with this Court under Article V, Section 10(c) of the Pennsylvania Constitution, he tersely couches this position as reflecting amici's improper belief that "it is the role of this Court to substitute its policy determinations for that of the legislature [sic] branch." Id. at 22 n. 7.
According to Appellee, strong policy concerns influenced the General Assembly to take a narrow approach to the codification of the attorney-client privilege, id. at 10, including the adverse impact on the truth-determining process of a broadly applied privilege. Indeed, Appellee asserts that public policy favors strict construction of all testimonial exclusionary privileges. See id. at 24 (citing Ebner v. Ewiak, 335 Pa.Super. 372, 377, 484 A.2d 180, 183 (1984) ("Testimonial exclusionary rules and privileges contravene the fundamental principle that `the public . . . has a right to every man's evidence.' . . . As such, they must be strictly construed and accepted `only to the very limited extent that permitting a refusal to testify or excluding relevant evidence has a public good transcending the normally predominant principle of utilizing all rational means for ascertaining the truth.'" (quoting Trammel v. United States, 445 U.S. 40, 50, 100 S.Ct. 906, 912, 63 L.Ed.2d 186 (1980)))); accord Commonwealth v. Stewart, 547 Pa. 277, 282, 690 A.2d 195, 197 (1997). Appellee contends that an extension of the privilege to advice, analysis, and/or opinion will foster uncertainty as to the scope of the protection, and that in camera review proceedings will proliferate as a result. Furthermore, Appellee asserts, attorney analysis and opinion already is governed by the work product doctrine under Rule of Civil Procedure 4003.3, which would be rendered meaningless under Appellants' broad approach to the attorney-client privilege.
As to Earle, Appellee draws support from Coregis in contending that the decision had been displaced. See Coregis, 186 F.Supp.2d at 570 n. 2 ("Given that the Pennsylvania Supreme Court has never cited to Earle in the past 110 years, although having repeated opportunity to do so, and that the legislature in 1976 re-enacted the original attorney-client privilege
Appellee's argument thus returns to Section 5928, which he contends is appropriately encapsulated by Coregis, as follows:
Coregis, 186 F.Supp.2d at 569 (citations omitted) (emphasis added). In this regard, Appellee also points back to the Slater, Maguigan, and Wood decisions, expressing the privilege in the narrower terms. Accord Commonwealth v. Chmiel, 585 Pa. 547, 599, 889 A.2d 501, 531 (2005) (plurality, in relevant part) ("[T]he privilege applies only to confidential communications made by the client to the attorney in connection with the provision of legal services.").
Finally, Appellee asserts that the broader matters discussed in the amicus briefs, such as issues faced by corporate counsel, simply are not pertinent to the limited controversy presently before the Court.
As noted, Appellee initially highlights the difference between the prevailing application, in Pennsylvania, of the collateral order doctrine to discovery orders requiring disclosure over the assertion of a privilege, and the federal approach, under the recent Mohawk decision, which denies interlocutory appellate review as of right of such orders. See Mohawk, ___ U.S. at ___, 130 S.Ct. at 609.
In Commonwealth v. Harris, No. 8 EAP 2009, this Court recently requested briefing and entertained argument on the question of whether we should adopt the Mohawk approach to Pennsylvania collateral order review. Pending our resolution of the question in an appropriate case, however, the decision in Ben v. Schwartz governs. Since the Superior Court followed Ben v. Schwartz, and this case was not accepted for further consideration of the collateral order doctrine, we will proceed to the merits question, which has been ably argued by the parties and amici. Cf. Castellani v. Scranton Times, L.P., 598 Pa. 283, 292 n. 5, 956 A.2d 937, 943 n. 5 (2008).
As is apparent from the above, Pennsylvania courts have been inconsistent in expressing the scope of the attorney-client privilege.
Initially, here and elsewhere, it is now recognized by all that the privilege does afford derivative protection. Moreover, it is our own considered judgment, like that of the United States Supreme Court, that—if open communication is to be facilitated—a broader range derivative protection is implicated. See Upjohn, 449 U.S. at 394-95, 101 S.Ct. at 685. In this regard, we agree with those courts which have recognized the difficulty in unraveling attorney advice from client input and stressed the need for greater certainty to encourage the desired frankness. See, e.g., id.; see also supra note 5. Indeed, we believe it would be imprudent to establish a general rule to require the disclosure of communications which likely would not exist (at least in their present form) but for the participants' understanding that the interchange was to remain private.
We acknowledge Appellee's arguments relative to Section 5928. Nevertheless, we do not find it clear that the Legislature intended strict limits on the necessary derivative protection. Cf. Search Warrant B-21778, 513 Pa. at 441, 521 A.2d at 428 (characterizing the attorney-client privilege as a "broad privilege"). While, in light of Earle's brevity and relative obscurity, reliance on the legislative presumption pertaining to reenactments (1 Pa.C.S. § 1922(4); see generally supra note 3) may be regarded as somewhat of a fiction, Earle dovetails with our own present assessment concerning the privilege's proper application. Moreover, and in any event, statutory construction frequently entails resort to necessary, legitimate, and expressly authorized assumptions about legislative purposes.
In his dissent, Justice McCaffery chastises us for legislating, asserting that Section 5928 "could be hardly clearer," and thus, contending that it is inappropriate
Accordingly, the dissent itself recognizes that it is not possible to employ close literalism relative to Section 5928 and, at the same time, give effect to its purpose of facilitating open communication in soliciting legal advice. There is, therefore, material ambiguity in the scope of the universally-recognized (but legislatively unstated) derivative protection, and we regard our disagreement with the dissents as one of degree rather than direction. For this reason, we also believe that, in determining the appropriate scope of this derivative protection, it is essential to consider the underlying purpose of the privilege. Such approach is consistent with logic and established principles of statutory construction. In terms of those purposes, we appreciate that client communications and attorney advice are often inextricably intermixed, and we are not of the view that the Legislature designed the statute to require "surgical separations" and generate the "inordinate practical difficulties" which would flow from a strict approach to derivative protection. Spectrum Sys. Int'l Corp., 575 N.Y.S.2d 809, 581 N.E.2d at 1060.
We also agree with amici that, under the Pennsylvania Constitution, this Court does maintain a role beyond the mere construction of statutes in determining the appropriate scope of testimonial privileges.
Finally, as in other areas, we acknowledge the possibility for abuses. See, e.g., Gregory C. Sisk & Pamela J. Abbate, The Dynamic Attorney-Client Privilege, 23 GEO. J. LEGAL ETHICS 201, 230-35 (2010) (discussing the "ruse abuse," in which ordinary business matters are disguised as relating to legal advice). For the present, at least, we believe the existing practices, procedures, and limitations, including in camera judicial review and the boundaries ascribed to the privilege, see supra note 8, are sufficient to provide the essential checks.
The order of the Superior Court is reversed, and the matter is remanded for further proceedings consistent with this opinion.
Chief Justice CASTILLE, Justices BAER, TODD and ORIE MELVIN join the opinion.
Justice EAKIN files a dissenting opinion.
Justice McCAFFERY files a dissenting opinion.
Justice EAKIN.
I cannot agree with the majority that the attorney-client privilege applies with equal force to attorney-to-client communications as it does to client-to-attorney communications. Certainly a derivative privilege equally protects those attorney-to-client communications containing client-to-attorney communication,
Appellee Gillard was injured January 21, 1997. He had paid premiums to appellants for $200,000 in uninsured motorist coverage. On the eve of arbitration, appellants offered full policy limits, having theretofore made no settlement offer at all. This delay led to the present suit, wherein Gillard alleges the seven-year refusal to honor the claim, followed by the 11th hour acknowledgment of full liability, shows a breach of the duty to act in good faith.
The pronouncement of my colleagues, certainly thoughtful and well-reasoned,
One must assume the defense to the bad faith claim includes an assertion the failure to offer settlement was predicated, at least in part, on a belief that there was a legitimate legal basis for contesting payment. If counsel's advice was to the contrary, can appellants still assert good faith while hiding this fact under a claim of privilege?
The attorney-client privilege is a limited evidentiary privilege, and privileges are exceptions to normal evidentiary concepts and rules:
Commonwealth v. Spetzer, 572 Pa. 17, 813 A.2d 707, 717 (2002) (quoting Trammel v. United States, 445 U.S. 40, 50, 100 S.Ct. 906, 63 L.Ed.2d 186 (1980)) (internal citations omitted). Pennsylvania's attorney-client privilege statute provides, "In a civil matter counsel shall not be competent or permitted to testify to confidential communications made to him by his client, nor shall the client be compelled to disclose the same, unless in either case this privilege is waived upon the trial by the client." 42 Pa.C.S. § 5928. Because § 5928 unambiguously applies the attorney-client privilege only to those communications made by the client, the attorney-client privilege cannot apply to communications made by the attorney. See 1 Pa.C.S. § 1921(b) ("When the words of a statute are clear and free from all ambiguity, the letter of it is not to be disregarded under the pretext of pursuing its spirit.").
I acknowledge the arguments advanced for extending the attorney-client privilege to protect attorney-to-client communications. It may be that the Court should expand the attorney-client privilege by Rule, after publication and comment, but
Justice McCAFFERY.
Relying primarily on policy-based arguments, the majority reads a provision not enacted by the General Assembly into the Pennsylvania attorney-client privilege statute. With this decision, the majority has, in my view, acted in a legislative capacity, and therefore, I must respectfully dissent.
The attorney-client privilege as codified in this Commonwealth could hardly be clearer; it expressly applies to "confidential communications made to [counsel] by his [or her] client." 42 Pa.C.S. § 5928. This Court recently stated the following with regard to application of this privilege:
Commonwealth v. Chmiel, 585 Pa. 547, 889 A.2d 501, 531 (2005) (plurality)
Although the statute expressly refers only to communications made by the
Here, the majority ignores the plain text of the statute and decades of decisional law faithful to that statutory text to hold that the privilege operates in a "two-way fashion" not only to protect confidential client-to-attorney communications, but also to protect broadly attorney-to-client communications regardless of whether they implicate confidential facts disclosed by the client. Gillard v. AIG Insurance Co., slip op. at 21. In other words, the majority removes the statute-based requirement that attorney-to-client communications be based upon confidential communications initially made by the client to counsel in order to be protected under attorney-client privilege.
As part of the rationale for this departure from the statute, the majority concludes that Pennsylvania courts have been "inconsistent" and characterized by "disharmony" in "expressing the scope of the attorney-client privilege." Gillard, supra, slip op. at 19. I cannot agree with this blanket assertion. While an occasional sentence taken out of context might support the majority's view, my analysis of the facts and holdings of prior cases decided by the appellate courts of this Commonwealth, including this Court, reveals little inconsistency or disharmony in judicial understanding or application of the attorney-client privilege.
The opinions from Pennsylvania courts cited by the majority as precedential or persuasive for the proposition that the Pennsylvania attorney-client privilege statute affords broad two-way protection are not determinative. See National Bank of West Grove v. Earle, 196 Pa. 217, 46 A. 268 (1900) (cited by Gillard, supra, slip op. at 5-6, 8, 17-18, and 20), and Maiden Creek T.V. Appliance, Inc. v. General Casualty Insurance Co., No. Civ.A. 05-667, 2005 WL 1712304, at *2 (E.D.Pa. July 21, 2005) (cited by Gillard, supra, slip op. at 3). Earle is over 100 years old, never mentions the words "attorney-client privilege," does not purport to interpret the statute, and had never been cited by an appellate court until this Court's divided opinion in Nationwide Mutual Insurance Co. v. Fleming, 605 Pa. 468, 992 A.2d 65 (2010). Even the majority concedes that Earle's brevity and relative obscurity make reliance on this case somewhat questionable. Gillard, supra, slip op. at 20. Maiden Creek, which the majority recognizes as cited by Appellants, is an unpublished federal district court case citing only federal law—notably,
The majority claims that I have implicitly acknowledged "material ambiguity" in the attorney-client privilege statute by recognizing derivative protection for attorney to client communications to the extent that they are based upon confidential facts initially disclosed to the attorney by the client. Gillard, supra, slip op. at 21-22. I cannot agree. It would completely undermine and contradict the clear text of the statute if confidential client to attorney communications lost all protection if those client communications were subsequently mouthed or written by the attorney. Such an interpretation would render the statute absurd. The derivative protection long and uniformly recognized by this Court is in no manner comparable to the majority's broad expansion of the privilege to encompass attorney communications not contemplated by the statutory text.
Finally, I must emphasize that I do not dismiss the policy concerns, as raised by Appellants and the various amici, which have apparently convinced the majority that the Legislature did not intend for the attorney-client privilege statute to mean what it says. However, many if not most of these policy concerns are addressed by the work-product privilege, which provides as follows:
Pa.R.Civ.P. 4003.3 (emphasis added).
I agree with the majority that it is beyond the scope of the instant case to determine the precise breadth of the work-product privilege. However, I cannot accept the majority's assertion that its two-way reading of the attorney-client privilege does not totally encompass, and essentially render redundant, the work-product privilege merely based on the latter's limited application to materials prepared in anticipation of litigation. Gillard, supra, slip op. at 21-22 n. 14. I am loath to consider an undeveloped assertion concerning the scope of the work-product privilege as support for a non-textual, policy-based interpretation of the attorney-client privilege statute.
For all of the above reasons, I respectfully but firmly dissent from the majority's holding, and would affirm the order of the Superior Court.
American Bar Association Task Force on the Attorney-Client Privilege, Recommendation 111 (adopted by ABA House of Delegates, Aug. 2005), cited in, Brief for Amici Ass'n of Corporate Counsel, et al. at 7.
Indeed, in his arguments, Appellee accepts the legitimacy of the work-product privilege reflected in this Court's rules. See Brief for Appellee at 23 (citing Pa.R.Civ.P. No. 4003.3).
Initially, we question the dissent's apparent premise that advice concerning the validity of defenses invariably can be separated from client confidences regarding the claim. Moreover, exceptions may apply in such circumstances depending on variables not considered by the dissent. For example, where a client blatantly disregards the law and is untruthful in submissions to the courts, the crime-fraud exception may apply. See supra note 8. See generally Lewis E. Hassett and Cindy Chang, Bad Faith Allegations Versus an Insurer's Attorney-Client Privilege, 9 No. 11 INS. COVERAGE L. BULL. 1 (Dec.2010) (discussing the crime-fraud exception and other approaches to waiver of the attorney-client privilege in the context of bad-faith litigation conduct). At a minimum, the insurer acting in bad faith will be deprived of an advice-of-counsel defense (or, alternatively, risk revelation of what counsel actually said).
Thus, while the two privileges overlap, they are not coterminous.
In Search Warrant B-21778, 513 Pa. 429, 521 A.2d 422 (1987), this Court held that a client's business records were not protected from discovery merely because the client had given them to his attorney and then claimed attorney-client privilege. We stated the purpose of the attorney-client privilege as follows:
Id. at 428 (emphasis added).
In Alexander v. Queen, 253 Pa. 195, 97 A. 1063 (1916), the issue was whether an attorney-client relationship existed between the defendant and a lawyer-acquaintance he had consulted. Concluding that an attorney-client relationship did exist, we held that the communications made by the client to his attorney were privileged. Id. at 1064.
In Cohen v. Jenkintown Cab Company, 238 Pa.Super. 456, 357 A.2d 689 (1976), the issue was whether, under the particular and unusual facts of the case, the court could require disclosure of communications from a client to his attorney. Explaining the attorney-client privilege, the Cohen court stated the following:
Id. at 691 (citation omitted).
Id. at 692 (citation omitted).
Thus, in each of the above cases cited by the majority, the issue concerned a client communication to his attorney.
The only case in the majority's list arguably consistent with the majority's expansion of the attorney-client privilege is Sedat, Inc. v. Department of Environmental Resources, 163 Pa.Cmwlth. 29, 641 A.2d 1243 (1994). We note only that this seventeen-year-old opinion, rendered by a single judge in the Commonwealth Court's original jurisdiction, has never been cited by any appellate court.