Privilege Review Updates

There have been a few interesting cases cases and articles concerning privilege review and logs over the last six months or so. Privilege review has always beenan interest of mine as it seems an area where technology, big data, case law and legal history intersect.

To Summarize:

  • Delaware Courts update ediscovery guidelines including privilege review and logging suggestions. For example,  parties are free to agree to log certain types of documents by category instead of on a document-by-document basis
  • Judge Facciola uses the case of Chevron Corp. v. The Weinberg Group, to offer his suggestions and reminders on privilege log basics. For example, Mechanically Produced Boilerplate Language Will Not Be Tolerated.
  • In Brookfield Asset Mgmt., Inc. v. AIG Fin. Prods. A ruling on the inadvertent production of privileged information (which had been redacted but could be viewed in the metadata), led the court to note “the need for counsel for a producing party to keep a watchful eye over their e-discovery vendors,” but found that privilege was not waived because a Rule 502(d) order had been entered.

More Detail Below

1) Delaware court of Chancery Updates –Ediscovery Guidelines( Including privilege and privilege logs)

Good overview here: http://www.law.com/jsp/lawtechnologynews/PubArticleLTN.jsp?id=1202583058786&Delaware_Court_of_Chancery_Updates_EDiscovery_Guidelines&slreturn=20130227181209

The “Discovery Guidelines” emphasize the continued importance of privilege log and that the senior attorney on a case must take an active role and reasonable steps during the privilege review and preparation of privilege logs. The guidelines provide suggestions for handling privilege log issues:

  • The parties are not expected to log post-litigation communications;
  •  The parties are free to agree to log certain types of documents by category instead of on a document-by-document basis; and
  •  With respect to email chains, parties should attempt to agree on the procedures that both sides will use.

The guidelines do suggest given the cost or privilege review that  parties can be flexible and creative in this area. The court encourages the parties to make agreements that reduce the time, expense, and burden associated with conducting a document-by-document privilege review.

2) Judge Facciola on Privlege log basics: Chevron Corp. v. The Weinberg Group, Misc. Action No. 11-409 (JMF), 2012 U.S. Dist. LEXIS 137826 (D.D.C. Sept. 26, 2012),

Article with link to full case: http://www.applieddiscovery.com/ws_display.asp?filter=Blog_Detail&item_id=%7B3AAE8B8A-C265-4F73-BB3B-C4217BB0E13E%7D

Judge  Facciola took the opportunity in Chevron Corp. v. The Weinberg Group, to describe the persistent shortcomings of many litigants, particularly in the age of Big Data, in complying with the Federal Rules of Civil Procedure (FRCP) with respect to privilege logs. In his opinion, Judge Facciola went on to offer practical steps and examples that litigants can use to create logs that meet the requirements in the FRCP. He also warned of dire consequences awaiting those who refuse to comply.

Calling it “startling how common the insufficient entry is in most privilege logs,” Judge Facciola reminded the litigants of their basic duty under Rule 26(b)(5)(A)(ii) regarding claims of privilege to “‘describe the nature of the documents . . . not produced or disclosed—and do so in a manner that, without revealing information itself privileged or protected, will enable other parties to assess the claim.’” From a proper entry, “the opposing party should be able . . . to assess whether the claim of privilege is valid.”

Mechanically Produced Boilerplate Language Will Not Be Tolerated. Judge Facciola reasoned that the rise of Big Data has compounded the problem of insufficient log entries because technology allows the party creating a log to simply repeat the same “generic” descriptor over and over for a large number of entries without a “human being evaluating the actual, specific contents of [each] particular document.”
Moreover, the party creating the log can hide behind its meaningless descriptor and potentially suppress discoverable documents. In Chevron, the defendant used a slight variation of the same phrase for all e-mail entries. Without information tailored to each e-mail, Judge Facciola pointed out that it was impossible to ascertain whether the assertion of privilege was legitimate, such as a substantive discussion with a lawyer (opinion work product), or invalid, as in the case of an e-mail simply transmitting a report to a lawyer (fact work product).

Produce Fact Work Product and Redact Opinion Work Product. Judge Facciola ordered the defendant to review the documents it claimed were privileged, produce the fact work product, redact the opinion work product, and submit “a description of the excised material that complies with Rule 26 by explaining why the redacted portion qualifies for protection.” Judge Facciola emphasized that his instructions were not to be taken lightly, and other litigants should take heed. He warned, “I expect specific and clear claims of privilege as to each redaction made. I will hold counsel to their 26(g) obligations ruthlessly, and, at a minimum, hold that the privilege is waived whenever the obligations I am imposing are disobeyed.”

 

 

3) Court: rule 502(d) Order provided right to claw back – no matter what the circumstances. Subtitled- always check text that is provided with redacted documents. Brookfield Asset Mgmt., Inc. v. AIG Fin. Prods. Corp., No. 09 Civ. 8285(PGG)(FM), 2013 WL 142503 (S.D.N.Y. Jan. 7, 2013)

Summary  with link to full case: http://www.ediscoverylaw.com/2013/01/articles/case-summaries/502d-order-provides-right-to-claw-back-no-matter-what-the-circumstances-that-resulted-in-production/

This motion involved the inadvertent production of privileged information contained in drafts of five separate documents. These documents were produced in redacted form but all of the text but could be viewed in the metadata (I would guess the original extracted text was produced for these items instead of OCR’ing the documents after they were redacted and replacing the original full extracted text with the redacted OCR text). The court noted that such an event emphasized “the need for counsel for a producing party to keep a watchful eye over their e-discovery vendors,” but found that privilege was not waived because a Rule 502(d) order had been entered. Defendant “had  the right to claw back the minutes, no matter what the circumstances giving rise to their production were.”

 

General Allegations of On-Going Bad Acts do not Justify Unfettered Discovery

A US District Court in Texas found you need more than general allegations of continued wrong doing to require on-going data preservation and granted the Defendants motion for a protective order. The Que Tam case of King v. Solvay the Court found the allegations contained in the complaint do not justify the broad timeframe for discovery that Plaintiff’s sought. Plaintiffs used language in the complaint such as “from 1996 to 2002 and beyond,”“…1994 to the present.” According the Court “a few generalized allegations that conduct continued “to the present” in a 267-page complaint containing more than 768 paragraphs does not justify the burden and expense associated with unfettered discovery “to the present” in a case in which discovery is already going to be incredibly expensive and time-consuming.” “The proposed Discovery and Preservation Cut-Off Dates are reasonable and necessary to ensure that the preservation and discovery costs are not overly broad, unduly burdensome, and unreasonable in relation to the well-pled allegations in the fifth amended complaint.”

 

Full opinion here:

http://bit.ly/16pS3qW

UNITED STATES OF AMERICA ex rel. JOHN KING, et al., Plaintiffs, v. SOLVAY S.A., et al., Defendants.

Civil Action No. H-06-2662.

United States District Court, S.D. Texas, Houston Division.

March 5, 2013.

Legal Hold Basics and Overview

Thouight this would be really helpful. Overview of legal hold basics. Written by Mikki Tomlinson

Original Link Here:

http://ediscoveryjournal.com/2013/01/legal-hold-faqs-part-ii/?utm_source=eDiscoveryJournal+List&utm_campaign=892cdeff2a-Newsletter_13_01_2013_10_2013&utm_medium=email

This is the second in a series of blogs about legal hold. As I wrote in Part I, I have received an influx of questions about legal hold over the last several months. More specifically, around how legal hold really works on the corporate side of the fence. All of these questions have come from legal professionals – some that are new to eDiscovery, some that deal with eDiscovery on a semi-regular basis, and some that deal with eDiscovery quite often but are not in the legal hold trenches of a corporation. Thus, I set out to write this FAQ blog series.

I received a great deal of email in response to Part I of this blog series. Those emails were specific questions to which I responded directly; however, I will also incorporate them into this series (the anonymity of those presenting questions will be maintained). If you have questions relating to effecting legal hold in an enterprise, please feel free to reach out to me at Mikki@eDJGroupInc.com.

For purposes of clarity and consistency, the use of “legal hold” terms as defined in Legal Hold FAQ’s – Part I are repeated directly below.

The phrase “legal hold” is broad. For purposes of this discussion, legal hold is defined as part of the preservation phase of a litigant’s obligations; legal hold is not the processing, review, production or presentation phase of discovery. I find that legal hold is most easily digested when broken down into three core parts: (1) legal hold notification; (2) preservation in place; and (3) preservation by collection. Note: Legal hold can – but does not always – encompass actual physical collection of documents for preservation. Conversely, legal hold can – but does not always – encompass notification of data and document preservation. In other words, legal hold may include any one or combination of (1), (2), and/or (3).

1.   Legal hold notification. Legal hold notification is the process by which counsel advises “custodians” and “stewards” of data and documents of their obligations and responsibilities related to management of information subject to legal hold.

a.   Custodian of Data: A person in charge of creating, maintaining and/or managing data. A custodian of data may also be referred to as an owner of data.

b.   Steward of Data: A person in charge of a computer system or process. A steward of data is generally responsible for the system that holds the information, but is not responsible for generating the content that is stored in the system.

2.   Preservation in Place: Preservation in place means that information is preserved in its current location. The two most common ways preservation in place is carried out are:

a.   Custodian/Steward: Preservation by way of custodians and/or stewards managing same (e.g., ensuring that data is not deleted).

b.   Physical Preservation: Preservation by physically locking down data within its storage location/system in a way such that the data cannot be deleted by an end user.

3.  Preservation by Collection: Preservation is managed by way of collecting a copy of data and maintaining same in a secure location. Ideally, collection is carried out in a “defensibly sound” manner (e.g., metadata is in tact and the collection is auditable).

Legal Hold FAQ’s – Part II:

How do corporations staff the legal hold function? There is not one specific model that is a guaranteed winner. The number of personnel, position types, and reporting hierarchy are dependent upon many things, among those: (1) litigation footprint; (2) corporate culture, and (3) risk tolerance. Here are a few models that I have worked with; again, which one might work best in your organization is subjective and requires an assessment of your unique culture and needs.

 

 

 

 

 

 

What information should a legal hold notice have? Although one can always find an exception, a legal hold notice will generally contain the items listed below. The decision as to what goes into each notice is made by counsel and on a case-by-case basis. *Note: none of the information herein is or should be interpreted as legal advice; this information is provided for purposes of sharing in-the-trenches experience of a non-attorney eDiscovery professional.

1.    A description of the matter;

2.    Scope of documents and information subject to preservation obligation (such as description, types, date range);

3.    Instruction on preservation obligations; and

4.    Who to contact with questions.

Who receives legal hold notices? Just as with what goes into a notice, it is ultimately up to counsel to determine who will receive the notice. Here is a typical run down and definition of those that counsel might select to receive a notice:

1.    Legal hold custodians: Employees that counsel believes may have created or may be in control of data subject to the preservation obligation;

2.    Termed legal hold custodians: Former employees that counsel believes may have created or may have been in control of data subject to the legal hold obligation; the notice typically to the former employee’s successor and/or supervisor;

3.    Data stewards: Employees that are responsible for systems that counsel believes may contain data subject to legal hold. Note: a data steward is typically not responsible for, and may not have specific knowledge of, the content created in the system. Rather, a data steward is responsible for the system itself (e.g., a database administrator).

4.    Executives and business unit leads: Courtesy/FYI copies may be sent to certain executives and/or the managers of business units for informational purposes.

5.    Legal team members: Members of both in-house and retained counsel team members receive courtesy copy for file.

What components outside of the notice itself are part of the framework? There is not a one size fits all solution (I’m beginning to sound like a broken record). However, there are standard components that can go into a solid legal hold program; these are listed directly below. Which components are in place and the weight of importance given to each are unique to each organization.

1.    A method for custodians to confirm receipt and acknowledgement of their responsibilities as a legal hold custodian.

2.    A method for custodians to indicate others that may also be subject to the legal hold.

3.    A process to issue a legal hold upon a triggering event.

4.    A systematic trigger to amend a legal hold when necessary (e.g., when an amended complaint is filed).

5.    A method to audit legal holds. For example, an audit program might include, but is not limited to, testing the following statements:

a.    Legal holds are issued and amended quickly upon triggering events;

b.    Oversight of custodian acknowledgement of legal holds is managed;

c.    Legal holds are released in a timely manner.

Stay tuned for Legal Hold FAQ’s – Part III. If you have a legal hold question, please post it in the comments section below or email me directly.

eDJ Group Consultant and eDiscovery Journal Contributor – Mikki Tomlinson (mikki@eDJGroupInc.com)

Taxation of E-Discovery Costs: Race Tires Decision Continues to set Precedent

Thanks to the Applied Discovery blog for a summary of cases that followed the Race Tires decision that disallowed most e-discovery costs under USC 1920. Most e-discovery cost recovery disputes follow the Race Tires decision. Will be interesting to see if additional appellant courts address the issue. Personally, I think the 3rd Circuit took a too narrow decision of what constitutes copying under 1920.

 

http://www.applieddiscovery.com/ws_display.asp?filter=Monthly_Case_Summary_Alert_Detail&item_id=%7BE6256A7C%2D1369%2D4869%2D9821%2D4ED388582C5F%7D&source_filter=Monthly%5FCase%5FSummary%5FAlert&bookmark={E6256A7C-1369-4869-9821-4ED388582C5F}&keyword=December%202012#here

 

Several recent cases demonstrate how courts are lavishing attention—if not praise—on the Third Circuit’s monumental decision in Race Tires America, Inc. v. Hoosier Racing Tire Corp., No. 11-2316, 2012 U.S. App. LEXIS 5511 (3d Cir. Mar. 16, 2012). There, the court, overturning the district court and bucking 2011’s apparent trend, adhered to the law’s plain language and limited the scope of taxable costs by a prevailing litigant under 28 U.S.C. § 1920(4). The statute allows recovery for “the costs of making copies of any materials where the copies are necessarily obtained for use in the case.”

In Race Tires, the court refused to tax an “electronic discovery consultant’s charges for data collection, preservation, searching, culling, conversion, and production.” The court permitted recovery only for specific costs analogous to “copying,” reasoning that “Section 1920(4) does not state that all steps that lead up to the production of copies of materials are taxable. It does not authorize taxation merely because today’s technology requires technical expertise not ordinarily possessed by the typical legal professional.”

Since then, several district courts have followed the Third Circuit’s lead, limiting a prevailing party’s recovery under section 1920(4) with respect to electronically stored information (“ESI”). Some of the more recent cases from the Seventh, Ninth, and Eleventh Circuits are discussed here.
In Finnerty v. Stiefel Laboratories, Inc., No. 09-21871-CIV-KING, 2012 U.S. Dist. LEXIS 148532 (S.D. Fla. Oct. 16, 2012), the court refused to allow the recovery of costs related to the creation and use of an electronic database, citing Race Tires for the notion that “Congress’s amendment of Section 1920(4) did not expand taxable costs beyond digital copying to the creation of new, modified, or enhanced digital files.” Examining the historical perspective of the law, much like the Race Tires court, the Finnerty court pointed out that the Congressional committee responsible for proposing the new section 1920(4) language “considered ‘whether the list of taxable costs should be amended to include expenses associated with new courtroom technologies’” but ultimately “determined that such breadth ‘might well go beyond the intended scope of the statute.’”

On the same day, in Johnson v. Allstate Ins. Co., No. 07-cv-0781-SCW, 2012 U.S. Dist. LEXIS 148282 (S.D. Ill. Oct. 16, 2012), the Southern District of Illinois followed Race Tires. The court refused to tax the “‘creating of [a] litigation database, processing of ESI, extraction of metadata, and rendering [of] ESI word searchable,’” as well as deduplication and “the preparation of productions of ESI.”

Likewise, the Northern District of Alabama followed Race Tires’ “thorough, reasonable, and persuasive interpretation of” section 1920(4) in rejecting a prevailing party’s request for fees associated with its e-discovery database in Abbott Point of Care, Inc. v. Epocal, Inc., No. CV-08-S-543-NE, 2012 U.S. Dist. LEXIS 159042 (N.D. Ala. Nov. 5, 2012). Although it was “sympathetic to the practical arguments advanced by” the prevailing party, the court declined to extend the scope of the Third Circuit’s interpretation of section 1920(4).

The Northern District of California seemed more reluctant to follow the Race Tires decision, though it did so in two cases. In Plantronics, Inc. v. Aliph, Inc., No. C 09-01714 WHA (LB), 2012 U.S. Dist. LEXIS 152297 (N.D. Cal. Oct. 23, 2012), the court denied recovery for more than $200,000 of ESI processing costs, including costs of third-party data production, copying and extraction to the program it used to create forensic images, and file conversion, except for actual TIFF conversion costs, which the losing party had agreed to pay. In addition, the court cited the U.S. Supreme Court’s decision in Taniguchi v. Kan Pacific Saipan, 132 S. Ct. 1997 (2012), that reversed the Ninth Circuit and refused to tax costs for a translator. In Taniguchi, the Court slammed the Ninth Circuit’s expansive reading of the word “interpreter” from section 1920(6).

But another decision by the Northern District of California court disregarded Race Tires altogether. Deciding Petroliam Nasional Berhad v. GoDaddy.com, Inc., No. C 09-5939 PJH, 2012 U.S. Dist. LEXIS 64555 (N.D. Cal. May 8, 2012), less than two months after Race Tires and just days before the U.S. Supreme Court issued its Taniguchi opinion, the GoDaddy court embraced a broad reading of section 1920(4) to permit the taxation of a party’s e-discovery costs for converting computer data into a readable format. But the court’s rationale is in question after Taniguchi.

Beyond Race Tires, no other appellate authority currently exists on the issue of taxability of costs for ESI, and the U.S. Supreme Court has declined to weigh in on an appeal of Race Tires. Thus, as 2012 draws to a close, the Third Circuit remains—for now—the voice of authority on this controversial subject.

Privilege Log Best Practices

Introduction:

Traditionally creating a privilege log is one of the most labor intensive, time consuming, and expensive steps of the discovery process. However, through the use of project management, work flow analysis, and review platform technology, defensible consistent privilege logs can be created within budget and on schedule. This article is based on the use of Relativity, although other review platforms have similar features and abilities.

Background:

FRCP 26(b)(5) states: “When a party withholds information not otherwise discoverable by claiming that the information is privileged or subject to protection as trial preparation material, the party must:

i. Expressly make the claim; and

ii. Describe the nature of the documents, communications, or tangible things not produced or disclosed — and do so in a manner that, without revealing information itself privileged or protected, will enable other parties to assess the claim

This requirement is commonly satisfied by filing a privilege log. Generally, it is the withholding party’s burden to provide sufficient information on its privilege log to allow the opposing party or court to test the claim of privilege. Specific privilege log content requirements are generally jurisdiction-specific, and requirements vary. For a recent example see ePlus, Inc. v. Lawson Software, Inc., No. 3:09cv620 (E.D. Va) where privilege was waived for log entries that did not contain author and recipient information.

It is important to note that although a privilege log is the common form used to identify privileged documents, it is not required. The Federal Rules of Civil Procedure do not specify the format of a privilege log, nor do they mandate that a document-by-document log must always be prepared. Actually, the Advisory Committee Notes following Rule 26 indicate that a document-by-document privilege log may be inappropriate in some circumstances.  Details concerning time, persons, general subject matter, etc. “may be appropriate if only a few items are withheld, but may be unduly burdensome when voluminous documents are claimed to be privileged or protected.” The party’s may agree to forgo a privilege log or limit the scope of the logs. A party can also request relief through a protective order under 26c if compliance with the requirement for providing this information would be an unreasonable burden. A few alternative options to the traditional privilege log include:

  • Categorical      logs (types of document withheld are broadly identified by category and      date range).
  • Agree      to not log documents related to litigation or after certain date (establish      a reasonable date range, after which log entries need not be made).
  • Meta      data logs (where once documents are reviewed for privilege, only available      metadata is used to populate the log fields).

 

Privilege Log Workflow and Management:

Depending on the factors such as the number of documents, deadlines, and whether you are using review attorneys there are various suggested options to begin the privilege log process. Generally, I would suggest the following:

1)      Search for potentially privileged documents: The first step is to segregate out potentially privileged documents based on keys terms (such as “attorney-client”) and searches based on matter specific attorneys, paralegals and law firm names. I would suggest segregating those documents out in different review batches so reviewers are cognizant they are more likely to contain privileged information. These documents can also be reviewed by more experienced attorneys. It is also recommended the privilege names and terms are highlighted within a document.

2)      Review for Responsiveness and Privilege: Documents are reviewed for responsiveness, privilege, and any relevant issues. If Technology Assisted Review is used then only responsive potentially privileged documents would be reviewed for privilege.

3)      Privilege Quality Control Review: Depending on counsel preference and document population size, all documents that hit on potentially privilege search term that are determined to be responsive and not  privileged during the review can be slated for a second round  review. Another option is to review a random selection of the abo and the determine rate of accuracy before proceeding with additional review if needed.

4)      Privilege log Review: Privilege Log review of documents determined to be both responsive and privileged. During the privilege log review a more detailed review of documents identified as privileged during the first round review is undertaken and log information created.

 

Privilege Logging:

Through the use of Relativity a log can be created, viewed, edited, and exported into a spreadsheet for production. As a first step a separate privilege log review channel is created within Relativity for use during the logging process. This channel should include any relevant information identified during the initial review as well as log specific fields. To ensure uniformity and consistency, I suggest that counsel develop pre-drafted, partial descriptions that counsel would tailor to each document. Using these partial descriptions, counsel would complete the description to make the entry specific to the document being withheld or redacted. By standardizing the format and protocols in advance, counsel can produce a log that is uniform and consistent across all entries. Also, by applying the single-value field for document descriptions, reviewers are guided by counsel-approved language, leaving the reviewer to focus on the few words necessary to identify the nature of the document or communication without revealing its content.

Although the contents of a log may vary, as a general overview a privilege log contains the following information for each entry:

 

a)      Type of document from metadata, email, Word, PowerPoint, etc.  (with additional more specific  choices approved by counsel contained in drop down menu. For example “attorney memorandum,” “draft letter” “agreement”).

b)      E-mail sender or document author (from metadata with text boxes for additions or changes as needed).

c)       Names of the document recipients (including cc and bcc. From metadata with text boxes for additions or changes as needed).

d)      Document date (from metadata and can be added or edited if needed).

e)      E-mail subject or document title or description of the document (from metadata with additional more specific choices approved by counsel contained in drop down menu if preferred to the metadata title/subject. For example “xyz litigation,” “xyz contract formation”).

f)       The privilege claimed, i.e., “attorney work product,” “attorney client communication,” etc.

 

Putting the above steps together in a log will result in spreadsheet with bibliographic information (sender, recipients, date) combined with entries describing the nature of each document. For example: “Email concerning the xyz litigation” or “draft agreement regarding xyz sales.”

 

Advanced Logging Ideas/strategy

  1. Final Privilege Log Editing: Once the above review is complete the log is exported into a spreadsheet. There are a variety of Excel macros and formulas that can be employed to complete the privilege log.
  2. Privilege log Library: For corporations that have different matters involving same custodians over time, use of hash value to identify privileged files from other matters and add to privilege log in new matter. For example, if privilege documents were logged in matter “x” and same custodian collected for matter “y,” use hash value to add privileged documents from matter “x” to matter “y” log without additional review work.
  3. Final QC: Use final logged document populations to QC for any missed privilege items in already produced document population or on population slated for production using similar documents feature or key terms.
  4.  Email chains. The courts are still wrestling with the issue of whether an e-mail chain is one communication or many separate communications for privilege log purposes. Some courts, although very few of them, have addressed the issue of email strings in privilege logs, so it’s important to look at the current state of the law on that topic.  You may want to indicate in your review process which entries are for emails containing more than one chain.

Conclusion:

By following a cohesive strategy at the outset and utilizing review and drafting tools available within an e-discovery hosting and review platform such as Relativity, the consistency, uniformity, accuracy and defensibility of a privilege log process can be established before the first entry is ever made. Of course, each case will differ depending upon the nature and scope of the underlying data. To ensure accuracy at all steps, you should incorporate thorough, regular quality control of privilege determinations. By using a standardized privilege log protocol counsel should minimize uncertainties and improve the quality and accuracy of each entry

Legal Project Management – What to do When you Make a Mistake

Trying to keep up with my blogging again. I have a lot of respect for those bloggers who also have full-time non-blogging jobs. It is harder than it looks! I really do enjoy blogging and excellent way of keeping up with the industry which is ever changing.

This article written by Legal Management writer Steven Levy titled “what do you when you realize you have made a mistake,” caught my eye last week.

According to Mr. Levy there are three common strategies when as project manager you make a mistake or realize a mistake has been made:

1.Brazen it out. Pretend that it wasn’t a mistake after all; indeed, maybe you believe it wasn’t a mistake and that others claiming you’re wrong doesn’t make it so.

2.Lie about it. Claim that you never said it, or wrote it, or intended it.

3.Apologize and attempt to fix the problem as soon as possible.

Mr. Levy goes on to say Strategy #3 is generally the right choice

“in the long run you’ll take a credibility hit either way, by admitting the mistake or by failing to own up to it. However, the damage to your credibility keeps on growing the longer the mistake hangs out there uncorrected — and in the long run, if it leads to a less successful project outcome, the damage can be significant to you, to your practice, and to the client’s interests. Even if you don’t think it’s your mistake, you can apologize for the fact that something is unclear. Something’s wrong. Let’s not worry about fault, but about fixing it.  The sooner you fix it, the sooner you can stop fretting about it and get on with the real work of making your project successful.”

I whole heartily agree with Mr. Levy that the best course of action is to admit your mistake and move to correct the problem However, the situation where someone else makes a mistake that affects your project is often more difficult to deal with. Personally, I prefer move ahead and fix the problem rather than spend time trying to assign blame.  At times though this course of action has led both my external client and internal supervisor to think I am made the mistake. If it was not your misstate, at some point do you need to explain who and what happened to cause this mistake in the first place?  I believe you have some responsibility to point that out to the client so as not to jeopardize future work as well as your standing within your own organization.

By Steven B. Levy http://lexician.com/lexblog/2012/09/ctrlz-and-the-project-manager/

New Job, New City, New Beginings

There have been a lot of changes in my life. I left Denver where I have lived for twenty plus years for a new job in Portland, Oregon.  Moving is definitely stressful especially with a dog and two cats! I am now happily settled and working as a Project Manager for an e-discovery company. The new job is exciting and challenging. There is definitely a lot to learn regarding internal processes and procedures and in-depth use of Relativity and other technology. Excited to face new challenges and enhancing my e-discovery technical and management skills. As a result my blog postings have really suffered. Now that I have settled in I hope to resume posting on a more regular basis. I continue to actively follow the e-discovery field, I just need to find extra time to write about it!

My Reading Week

My Week in reading April 1st- 8th

My favorite three articles of last week included:

Karl Schieneman writing on his blog “Documents Review MD Blog” on the second day of the Kleen hearing which he attended part of.

 In Kleen, basically the Plaintiffs are seeking an order that a predictive coding system be required to assist with document discovery. The Plaintiff believed discovery has been inadequate to date. The Defendants on the other hand defend their use of Boolean searching and attorney review. According to Mr. Schieneman   “My sense is this discussion of “where to search” and doing sampling to set baselines for recall will represent the new “key word” negotiation in the world of predictive coding.   Time will tell on this one but I would be hard pressed not to advise a client to do or ask for this type of testing up front.  Trusting is fine but verifying through some measurement is better.  Since these tests are based on sampling, they are easy to employ once the population of documents to be sampled is agreed to.  Statistics and openness in results can only improve cooperation which requires both parties to have some degree of trust in each other to work. Identifying the appropriate universe of potentially relevant ESI is where the art of E-Discovery occurs.  This is what the parties in Kleen  need to be talking about.  Sampling can help with this task too as it is what was done in the Zubulake case to assess whether there was missing ESI on backup tapes which the defendants had not produced in their review of active email servers.  Sampling what is not produced is a good way to validate a data source is not a worthwhile source of data to be searching in. “

 http://docreviewmd.com/kleen-hearing-day-2-the-battle-of-boolean-searches-versus-sampling-and-predictive-coding-and-attacking-expert-witnesses/

 

David Bilinsky writing on his web site “Thoughtful Legal Management” regarding “2012 ABA Tech show takeaways. Mr. Bilinsky writes that the underlying theme of the AMA Tech show was the future of the legal profession.

“There is no one, simple and straightforward ‘fix’ to our current economic malaise and to the future of the legal profession. We need to do a number of things. We need to equip lawyers to be better business people. We need to change law schools so law graduates come out prepared to not just research the law, but to practice it. We need to change the dispute resolution system so it is just, speedy and inexpensive and utilizes the latest in technology.  After all the current court process has largely escaped the changes that have occurred in most areas of society courtesy of technology and the internet.”   

“We need lawyers to come together in large organizations that will focus on servicing the needs of the lower to middle class.  We already have big firms that focus on meeting the needs of big business as well as those who can afford ‘white shoe’ legal services.  Legal regulators, in my view, need to adjust how the legal profession can be regulated to allow innovative management to bloom to allow this to happen.  The consequence of not figuring this out will be the replacement of lawyers by businesses such as LegalZoom that will meet these and other (currently unmet) needs in ways that are speedy and inexpensive.”

 http://thoughtfullaw.com/2012/04/02/2012-aba-techshow-takeaways/

 

Damon Wright a partner with Venable writing in the National Law Journal on “Top 12 tips for saving money in litigation” Here are the 12 tips Twitter style:

No. 1: Conduct targeted preservation and collection.
No. 2:
Calibrate
No. 3:
File in a fast-moving court.
No. 4:
Know the court.
No. 5:
Have a key client liaison.

No. 6: Select vendors and experts with care.
No. 7:
Try to get along with opposing counsel.

No. 8: Allow opposing counsel to inspect and copy documents at their expense.

No. 9: Limit e-mail production by custodians, search terms and date range.

No. 10: Seek agreement on a narrowed privilege log and a no-waiver order.

No. 11: Pursue cost-shifting for discovery.
No. 12: Stipulate to facts not in dispute.

Read the full article:
http://ht.ly/a7zJj

My Week in Reading

My Reading Week in Ediscovery, Legal Tech and Management through 03/31/12-

Third Circuit Finds That Failing to Produce Original Documents May Constitute Sanctionable Spoliation

Susan L. Nardone writing for Ediscovery Law Alert produced by the Gibbons law firm

“The Third Circuit’s decision is a mixed bag for employers. The Court’s determination that the failure to produce originals when requested can constitute spoliation has the potential to impact parties on both sides. The decision is tempered by its requirement that the original must contain “critical information” that could not be gleaned from a copy. In this case, the Court’s decision was further watered down by the less than compelling factual record and the Court’s apparent inclination to give the plaintiff the benefit of every doubt.”

http://www.ediscoverylawalert.com/2012/03/articles/legal-decisions-court-rules/third-circuit-finds-that-failing-to-produce-original-documents-may-constitute-sanctionable-spoliation/?utm_source=feedburner&utm_medium=feed&utm_campaign=Feed:+E-discoveryLawAlert+(E-Discovery+Law+Alert)#.T3XmFmHqTEg.twitter

Overview of Predictive Coding

Training of Predictive Coding Systems Fosters Debate (great overview of predictive coding systems)

Evan Koblentz writing in Law Technology News

Recommind: starts with a random sample of documents and active searching in its training approach. The software, called Axcelerate, then begins many rounds of refining its search until no more responsive documents are found. Customers typically need seven rounds before reaching that point.

Equivio: opted for active searching. Its software, known as Zoom, begins with a 500-document random sample and then calculates how many more documents are needed. Based on what it learned about responsive documents from the random sample, it then starts a second phase of searching far fewer documents to fine-tune the results, aiming to avoid having too few or too many results. Then proceed to the decision support environment. There the system will provide you with metrics to assist you in making a decision about which documents will be forwarded to the review set and which documents will be culled.

OrcaTec:  Uses random sampling. Seeding and active searching are more accurate in theory, he said, “But in practice, it turns out not [to] be. OraTec actually uses about the same number of documents for training,” compared to other methods. Random sampling’s advantages are that its performance at any point during the selection process indicates the performance of the final result, and that documents that users accidentally deem unresponsive can be reconsidered. The process can be tedious, however. d.

Symantec/Clearwell Systems: division is planning a hybrid approach that lets clients decide which method is right for them,  with a focus on method transparency. Delivery slated for the second half of this year. “The training document selection is something that’s quite wide open in Clearwell. You could use random sampling, or you could perform keyword search, or you could perform active-culling early case analysis … and identify a small number of training documents,” Vice President of Technology Venkat Rangan said.

RenewData, where Chief Scientist Andy Kraftsow developed a more manual predictive coding process called DART — defensible auditable review tagger. In that application, users review thousands of documents, gradually teaching the computer about the case’s vocabulary. It requires more time than the more automated methods. However, companies that state the need for far fewer initial documents tend to be conservative when stating the amount of responsive documents missed and time it takes their systems to work, he asserted.

http://www.law.com/jsp/lawtechnologynews/PubArticleLTN.jsp?id=1202546991384&Training_of_Predictive_Coding_Systems_Fosters_Debate=&et=editorial&bu=LTN&cn=LTN_20120327&src=EMC-Email&pt=Law%20Technology%20News&kw=Training%20of%20Predictive%20Coding%20Systems%20Fosters%20Debate&slreturn=1

More DaSilva: Should the ‘Daubert’ Standard Apply to Predictive Coding? We May Know Soon.

Bob Ambrogi writing on Catalyst Secure blog

“You may recall that before Judge Peck issued his written opinion in this case on Feb. 22, he made oral rulings at the motion hearing on Feb. 8. On Feb. 22, just as Judge Peck was issuing his written opinion, the plaintiffs filed objections to his Feb. 8 rulings. One of their central arguments was that Judge Peck erred in disregarding his gatekeeper role under Daubert.

Because predictive coding is a new and novel technology, they argued, Judge Peck should have required expert testimony regarding its reliability or appropriateness. They cite Magistrate Judge Paul Grimm’s well-known ruling in Victor Stanley, Inc. v. Creative Pipe, Inc., 250 F.R.D. 251, 260 n.10 (D. Md. 2008), where he said, “[R]esolving contested issues of whether a particular search and information retrieval method was appropriate … involves scientific, technical or specialized information.” Relying on this, the plaintiffs argued.”

http://www.catalystsecure.com/blog/2012/03/should-the-daubert-standard-apply-to-predictive-coding-we-may-know-soon/