Publication
Road to COP29: Our insights
The 28th Conference of the Parties on Climate Change (COP28) took place on November 30 - December 12 in Dubai.
Canada | Publication | May 2020
Companies conduct internal investigations for a variety of reasons. Internal complaints, legal actions or regulatory investigations, for instance, may trigger internal investigations. Internal investigations may assist companies with fact-gathering, risk evaluation, and identifying appropriate responses.
While internal investigations achieve laudable goals, they may also create legal risks when sensitive information surfaces during the investigation. The information gathered may indeed be relevant in the context of civil, regulatory or even penal proceedings.
Depending on the specific facts of each internal investigation, some or all of the documents generated during the investigation may be privileged, such that a company may refuse to disclose them.
It is therefore important to design and conduct internal investigations in light of the various legal privileges that may apply.
We review below three privileges that may apply to documents generated during an internal investigation:
Solicitor-Client Privilege
Solicitor-client privilege allows for full and frank communications between those who need legal advice and those who are able to provide it. Such confidential communications between client and solicitor are seen as fundamental to the proper administration of justice and are protected from disclosure in perpetuity.1
Solicitor-client privilege applies when the following three criteria are met:
Solicitor-client privilege may apply to a broad range of communications relating to legal advice. Not every communication needs to be framed as a specific request for or giving of legal advice.3 For example, solicitor-client privilege has been found to apply to:
The specific circumstances of each case will need to be examined to determine whether solicitor-client privilege applies. Once it applies, only the client company may waive the privilege.11
Even where it applies, solicitor-client privilege does not protect the facts underlying communications between solicitor and client. This means facts discovered by a company during an internal investigation may be discovered by a third party through means other than disclosure of privileged communications.
Litigation Privilege
Litigation privilege protects documents or communications created for the dominant purpose of preparing for pending or contemplated litigation.
Its purpose is to protect the efficacy of the adversarial process by ensuring parties can prepare their opposing positions in private, without adversarial interference and without fear of premature disclosure. Unlike solicitor-client privilege, litigation privilege only lasts for the duration of the litigation.12
There are two conditions for litigation privilege to apply:
For each document created during an internal investigation, a fact-specific analysis will be conducted to determine whether those two criteria are met.
On the first criterion, courts will consider the timing of the internal investigation and whether litigation was reasonably apprehended when each document was created.14 On the second criterion, courts will consider alternative purposes for the investigation-related documents and whether the documents would have been created irrespective of whether litigation was contemplated.15
Case-by-case (Wigmore) Privilege
In addition to solicitor-client and litigation privileges, courts may also recognize privileges on a “case-by-case” basis.16
There are four criteria for establishing a case-by-case privilege (also known as the Wigmore privilege):
Case-by-case privileges have been recognized in various settings, such as to protect journalistic sources and researcher-participant confidentiality.18
Case-by-case privilege may be relevant to internal investigations where, under assurances of confidentiality by the company, employees report conduct by their colleagues and superiors that they suspect inappropriate. The confidentiality of such complaints is arguably essential to encourage internal reporting, to reduce the likelihood of retaliatory measures against the whistleblower, and to maintain a collegial work environment.
The fourth step of the Wigmore analytical framework, where the court balances the various interests at play in relation to document disclosure, will be critical.19 Courts may consider the purposes for which the information is sought to be disclosed, how peripherally it relates to the issues before the court, and whether the information is available by any other means. The analysis will necessarily be fact specific.
Prior to undertaking an internal investigation, companies should consider its purpose and the potential application of privileges. They should also thoroughly contemplate the structure of any internal investigation so as to promote, to the extent possible, the application of legal privileges to documents generated during the investigation. This may include measures such as:
Publication
The 28th Conference of the Parties on Climate Change (COP28) took place on November 30 - December 12 in Dubai.
Publication
Africa faces a stark reality: contributing less than 4% of global greenhouse gas emissions, the continent is disproportionately impacted by climate change, threatening its development and stability.
Publication
Miranda Cole, Julien Haverals and Emma Clarke of our Brussels/ London offices are the authors of a chapter on procedural issues in merger control that has been published in the third edition of the Global Competition Review’s The Guide to Life Sciences. This covers a number of significant procedural developments that have affected merger review of life sciences transactions.
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