Judgments

Decision Information

Decision Content

T-1160-92
Merck & Co. Inc., Merck Frosst Canada Inc. and Yamanouchi Pharmaceutical Co. Ltd. (Plaintiffs)
v.
Interpharm Inc., Allen Barry Shechtman, Bernard Sherman, Northam Medication Service Inc., Inter-American Office Service Inc., Medicine Club of America Inc., Leonard Clayman, Bluma Clayman, 643402 Ontario Limited and Medichem Inc. (Defendants)
INDEXED AS: MERCK & CO. V. INTERPHARM INC. (T.D.)
Trial Division, Giles A.S.P.—Toronto, September 14 and 18, 1992.
Barristers and Solicitors — Implied undertaking of confi dentiality — Motion to remove Gowling, Strathy & Henderson as solicitors for plaintiffs — While enforcing Anton Pillar type order when acting for another plaintiff in another patent infringement action, Gowling may have obtained information about defendants' operations useful to plaintiffs herein — Information so obtained subject to implied undertaking of con fidentiality — Whether solicitor should be removed if might or could wrongfully deploy information subject to undertaking — Motion dismissed — Cases dealing with solicitor and client privilege not applicable as no solicitor and client relationship between defendants and Gowling, merely implied obligation on Gowling — Implied undertaking of confidentiality of insuffi cient public interest, when balanced against right of party to choose own solicitors and public interest in efficient adminis tration of justice, to require Court to disqualify any solicitor who might wrongly deploy information subject to undertaking — Solicitor who fails to observe undertaking subject to citation for contempt — Implied undertaking restrains what solicitor does with information, but cannot prevent solicitor from retain ing it in his mind — So long as existence and content of any disclosure not disclosed outside firm, retaining counsel having experience of similar cases in interest of efficient administra tion of justice.
STATUTES AND REGULATIONS JUDICIALLY CONSIDERED
Federal Court Rules, C.R.C., c. 663.
CASES JUDICIALLY CONSIDERED DISTINGUISHED:
MacDonald Estate v. Martin, [1990] 3 S.C.R. 1235; (1990), 77 D.L.R. (4th) 249; [1991] 1 W.W.R. 705; 70 Man. R. (2d) 241; 121 N.R. 1.
CONSIDERED:
Eli Lilly and Co. v. Interpharm Inc. (1992), 42 C.P.R. (3d) 4 (F.C.T.D.); Crest Homes Plc. v. Marks, [1987] A.C. 829 (H.L.); Spiliada Maritime Corpn. v. Cansule Ltd., [1987] A.C. 460 (H.L.); Home Office v. Harman, [1983] 1 A.C. 280 (H.L.).
REFERRED TO:
Bibby Bulk Carriers Ltd. v. Cansulex Ltd., [1989] Q.B. 155.
MOTION by defendants to remove Gowling, Strathy & Henderson as solicitors for plaintiffs. Motion dismissed.
COUNSEL:
Gordon F. Henderson, Q. C. for plaintiffs. Harry B. Radomski for defendants.
SOLICITORS:
Gowling, Strathy & Henderson, Ottawa, for
plaintiffs.
Goodman & Goodman, Toronto, for defendants.
The following are the reasons for order and order rendered in English by
GILES A.S.P.: The motion before me was for an order removing Gowling, Strathy & Henderson (hereinafter "Gowling's") as solicitors for the plain tiffs. The principal ground was based on the fact that Gowling's had acted for the plaintiffs ("Eli Lilly") in Eli Lilly and Co. v. Interpharm Inc. (1992), 42 C.P.R. (3d) 4 (F.C.T.D.), an action by Eli Lilly against some of the defendants in this case and others for infringe ment of patents of certain drugs, not at issue in this case, allegedly infringed in the same manner as a pat ent at issue in this case has allegedly been infringed. In the course of prosecuting the Eli Lilly action an Anton Pillar type of order was obtained and in the course of enforcing that order the solicitors for Eli Lilly would have obtained information about the operations of these defendants which would possibly
be of use to the plaintiffs in this action. The informa tion so obtained would be subject to an implied undertaking of confidentiality. The moving defend ants argue that to allow solicitors who are subject to such an implied undertaking to act for another party in whose favour they might deploy (to use a neutral term) the information was to risk bringing justice into disrepute and for that reason counsel sought to persuade me that Gowling's should be ordered removed as solicitors for the plaintiffs. I dismissed the motion for reasons given from the bench but indi cated that if counsel requested, I would give brief written reasons, which on request I now do.
Counsel pressed me to analogize to those cases where solicitors were removed for being in a position of possibly being able to infringe solicitor and client privilege. In those cases cited the solicitor of a client had become or was associated with the solicitor for a party with opposing interests to the client. In this case there is no suggestion that any member of the plain tiffs' legal firm ever entered into a solicitor and client relationship with the defendants or any of them. While there is no allegation of any use of the infor mation subject to the implied undertaking by the par ticular member of the firm acting for the plaintiffs, nor even of any transmission of that information by other members of the firm who acted for Eli Lilly to the member who is acting for these plaintiffs, neither is there any evidence of any chalkline, cone of silence or any other steps being taken to attempt to ensure that the particular members of the firm who acted for Lilly do not communicate with the members of the firm acting for the plaintiffs. Should I have found that the principles in the solicitor and client cases applied, and that therefore there was an onus on the plaintiffs' solicitors to prove an absence of possi ble conflict, I would have been required by MacDon- ald Estate v. Martin, [1990] 3 S.C.R. 1235 to order the solicitors removed because there is no evidence whatsoever to prove that a breach of the undertaking could not have taken place.
Solicitor and client privilege is one of the basic principles which permit the operation of our justice system and public confidence in it. In order to sup port the public interest in the inviolability of the solicitor and client relationship the courts have imposed great inconvenience and have overridden without question personal rights such as the right of a person to choose his own counsel. In this case there is no suggestion that a lawyer who once acted for the defendant is now with the plaintiffs' firm. There is no suggestion of a solicitor and client relationship hav ing been established between the defendants and any one at Gowling's. The public interest in solicitor and client relationship is not engaged.
In my view the implied undertaking would be most impractical if it resulted in an ability to remove from a case any solicitor who was bound by an implied undertaking. The implied undertaking is not of suffi cient public interest when balanced against the right of a party to choose his own solicitors and the public interest in the efficient administration of justice to require the Court to disqualify any solicitor who might wrongly deploy information subject to the undertaking. If a solicitor fails to observe the under taking the remedy is to cite him for contempt, not to remove him.
A lawyer who takes cases regularly must have acquired a great deal of information subject to implied undertakings. In these days of specialized education and long work hours for junior lawyers, it is possible that a significant percentage of a lawyer's general knowledge will have been acquired in his practice of law, there having been little other oppor tunity for him to acquire the same. It is equally possi ble that a large portion of that general knowledge will be subject to implied undertakings. If the defendants' submissions are correct, few lawyers who have been called for any length of time will be able to take part in litigation. It is to be remembered that the undertak ing is to the Court and is not limited to deploying
information in cases involving one or more of the same parties.
Counsel were unable to cite any case where the question of whether a solicitor should be removed who might or could wrongfully deploy information subject to the undertaking was considered. There are however a number of cases where it is hard to con ceive that if there were any such general principle that it would not have been considered. In Crest Homes Plc. v. Marks, [1987] A.C. 829 (H.L.) (case in which it is noted that the implied undertaking applies to information acquired as the result of an Anton Pil lar type of order) the plaintiff alleged that the defend ants had taken plans from the plaintiff. The defend ants were ordered to surrender all such plans. A certain number of plans were surrendered. The plain tiff then commenced another action. The defendants in the second action included the defendants in the first action. An Anton Pillar type of order was obtained in the second action and a considerable number of plans were obtained which it was alleged ought to have been produced in response to the order in the first case. The report I have cited is of a motion to be released from the implied undertaking so that the information obtained as a result of the second order could be used in connection with contempt pro ceedings with regard to the first order. It is apparent that the use that is restricted by the implied undertak ing does not include retaining the information in the brain or files of the lawyers so that it may be deployed for purposes such as considering the same when deciding whether contempt proceedings might be appropriate and indicating that a motion should be made to release the information from the implied undertaking so that it may be used in contempt pro ceedings.
Another set of circumstances in which I find it dif ficult to believe that disqualification of solicitors, because of the existence of an implied undertaking,
would not have been considered if there were such a principle is "the Spiliada" (Spiliada Maritime Corpn. v. Cansulex Ltd., [1987] A.C. 460 (H.L.)). The Spiliada was one of a fleet of ships allegedly dam aged by being loaded in Vancouver, British Columbia with allegedly damp sulphur. The ships had different owners, flew different flags, were bound to different foreign ports and apparently employed different types of bills of lading. However, their owners employed the same firm of English solicitors. Prior to the com mencement of the Spiliada action a plaintiff had commenced an action with respect to damage alleg edly done by damp sulphur to the ship Cambridge- shire by the same defendant as appears in the Spiliada action. After the Cambridgeshire, cases with respect to the Artemis, the Semiramis and possibly several other ships were commenced. Before the Spiliada case reached the House of Lords, it appears from the report of that case that 15 lawyers from the same firm with 75 files were deployed on similar cases. It is not clear how many ships were actually involved or how many cases. The House of Lords decision in the Spiliada was reported in 1987. In 1989 a dispute involving "the Cleanthes" was pro ceeding to arbitration. Again, damp sulphur loaded in Vancouver was involved. A motion was brought to release from the undertaking implied in the Cam- bridgeshire, a scientific report on the effect of damp sulphur on mild steel ("the mild steel report") (see Bibby Bulk Carriers Ltd. v. Cansulex Ltd., [1989] Q.B. 155). It is quite apparent that the implied under taking with regard to the mild steel report came into existence before the commencement of the Spiliada and continued in existence until after the House of Lords decision in the Spiliada. The motion for release of the mild steel report was not successful but it is quite apparent that the fact of the existence of the report must have been in the minds of the solicitors and have been there since they acted for the owners of the Cambridgeshire. The Spiliada deals with an order for service ex juris. There is no mention in the report of the case that the matter of the existence of an implied undertaking was even considered. How ever, in that the mild steel report would appear neces sarily most relevant to any action involving the alleged damage by damp sulphur to the hull of a ship, I do not consider it possible that if there were any principle that solicitors restrained by an implied
undertaking should be removed, that Lord Goff would have indicated that it was in the best interests of justice that the same firm of solicitors be used in the Spiliada as had been used in the earlier cases. One of the principal reasons for Lord Goff finding that England was the forum conveniens for the Spiliada, was that the same firm of solicitors could be used if the case were tried in England. I think it is worth quoting from the speech of Lord Goff where he points out the advantages of using the similar case educated solicitors [at pages 485-486].
I believe that anyone who has been involved, as counsel, in very heavy litigation of this kind, with a number of experts on both sides and difficult scientific questions involved, knows only too well what the learning curve is like; how much infor mation and knowledge has to be, and is, absorbed, not only by the lawyers but really by the whole team, including both law yers and experts, as they learn about the interrelation of law, fact and scientific knowledge, having regard to the contentions advanced by both sides in the case, and identify in their minds the crucial matters on which attention has to be focused, why these are the crucial matters, and how they are to be assessed. The judge in the present case has considerable experience of litigation of this kind, and is well aware of what is involved. He was, in my judgment, entitled to take the view (as he did) that this matter was not merely of advantage to the shipowners, but also constituted an advantage which was not balanced by a countervailing equal disadvantage to Cansulex; and (more per- tinently) further to take the view that having experienced teams of lawyers and experts available on both sides of the litigation, who had prepared for and fought a substantial part of the Cam- bridgeshire action for Cansulex (among others) on one side and the relevant owners on the other, would contribute to effi ciency, expedition and economy—and he could have added, in my opinion, both to assisting the court to reach a just resolu tion, and to promoting a possibility of settlement, in the pre sent case. This is not simply a matter, as Oliver L.J. suggested, of financial advantage to the shipowners; it is a matter which can, and should, properly be taken into account, in a case of this kind, in the objective interests of justice.
Before leaving the sulphur fleet I should perhaps note that the solicitor seeking release from the implied undertaking in Bibby were the solicitors act-
ing for the owners of the Cleanthes, surely circum stances in which a motion to remove might have been expected if any such thing were usual.
In my view cases dealing with solicitor and client privilege do not apply to situations where solicitor and client privilege is not involved but implied obli gations bind a solicitor. Next it is my view that the implied undertaking restrains what a solicitor does with the information but cannot prevent the solicitor from retaining it in his mind.
I believe the undertaking has been given its widest scope in Home Office v. Harman, [1983] 1 A.C. 280 (H.L.).
There the undertaking was held infringed by the lawyer supplying the information to a newspaper reporter in the apparent hope that the material would be used to aid an activist group for which she was also a lawyer. When criticizing the lawyer the House of Lords made no suggestion that there was anything improper in her acting for both clients. What was improper was the use she made of the information. In my view so long as the content of any disclosure and perhaps even its very existence are not disclosed outside the firm it is in the best interests of the effi cient administration of justice that counsel be retained who have had the educational experience of participating in similar cases. I would therefore on general principles dismiss the motion.
In MacDonald Estate v. Martin, as I understand the reasons of the majority, it was held that when seeking to determine the applicability of solicitor and client privilege each case must be decided on its own facts. While I have concluded that solicitor and client privilege principles are not applicable to this case, if I should have considered this case on a subjective basis I note the following: this motion arises because this defendant fears that this counsel might use informa tion supplied by the defendant under compulsion. That information must be of one or both of two basic kinds: either information relevant to the issues in this case or information irrelevant to the issues in this case. If the information is irrelevant the contempla-
tion of it within the law firm will do the defendant no harm. If, as is unfortunately not unknown in cases in this Court, the law firm attempts to plead or intro duce in evidence irrelevant information, the defen dant has remedies available in the Rules [Federal Court Rules, C.R.C., c. 663] to strike irrelevant pleadings or to request a judge to ignore irrelevant evidence or prohibit its introduction and in addition can presumably move for contempt. If the informa tion is relevant the defendant will have to disclose it either in its affidavit of documents or in its oral dis covery. The potential mischief in the case of relevant material is then that the solicitors might disclose it in that short period of time between the institution of the action and discovery. Against this mischief, of what I will call possible mistiming, I have to weigh such factors as the plaintiffs' right to choose their own counsel and the interests of justice in efficiency, savings in costs and savings in time. When so phrased the subjective decision is quite obviously in favour of the solicitors continuing to act. In my view, therefore, both the objective and subjective consider ations require that this motion be dismissed.
ORDER:
Motion dismissed.
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