ORIGINAL PROCEEDING ON PETITION FOR WRIT OF MANDAMUS
Thе relators seek to have this Court order the trial court to rescind an order issued in a personal injury case that grants discovery of certain documents. Relators claim that the documents are exempt from discovery because of investigative and attorney-client privileges.
The underlying dispute involves the death of three vehicle ocсupants, who died after their car collided with a company truck driven by Lee Arthur Evans. Evans and his company, Boring & Tunneling Company of America, Inc., are defendants in the lawsuit. After the accident, Evans was arrested on suspicion of driving while intoxicated. The accident occurred May 5, 1985; suit was filed December 9, 1985.
During discovery, the plaintiffs requested that the defendants produce certain documents. Initially, the trial judge, the Honorable Felix Salazar, granted a motion for protection requested by the defendants. The plaintiffs sought to have this Court order the trial court to rescind that protective order. This Court granted leave to file in that proceeding, but the day before the hearing on the mandamus, Judge Salazаr rescinded the protective order and ordered the defendants to produce the disputed documents. His action made the mandamus proceeding moot, and accordingly, this Court dismissed that proceeding. Aleman v. Salazar, No. 01-89-00269-CV (Tex.App.—Houston [1st Dist.], June 22, 1989, orig. proceeding) (ordered not published). Rela-tors, the defendants in the suit, then filed this proceeding, challenging thе trial court’s production order.
The documents that are the subject of this mandamus action, and the privileges alleged by the relators in their motion for protection, are as follows:
1. Defendants’ attorney Tom Davis’ letter regarding the accident investigation to adjuster Johnnie Bass (May 9, 1985): attorney-client and investigative exemption;
2. File memo of Tom Davis regarding the investigation (May 9, 1985): investigative exemption and work product privilege;
3. Statement of Lee Arthur Evans (May 11, 1985): investigative exemption, attorney-client privilege, and witness statement privilege;
4. Statement of Keith Evans, Lee Arthur Evans’ son and passenger in his truck at the time of the accident (May 11, 1985): investigative exemption and witness statement exemptiоn.
*286 The evidence offered in support of the request for a protective order consists of affidavits from: W.D. Murphy, president of Boring & Tunneling; Johnnie Bass, claims adjuster for Boring & Tunneling’s insurance company; and Tom M. Davis, Jr., partner of the law firm hired by the insurance company to represent Boring & Tunneling. In sum, their affidavits relate the circumstances surrounding their accident investigation, and explain that the company, adjuster, and lawyer did not follow their ordinary custom in handling a claim, but rather sought to prepare a defense in anticipation of litigation.
In addition, relators also submitted the disputed documents to the trial court and this Court for an in camera review.
Mandamus Review
We must determine whether the trial court abused its discretion by ordering production of the disputed documents. We may nоt disturb the trial court’s ruling unless we find a clear abuse of discretion and that there is no adequate remedy by appeal.
Strake v. First Court of Appeals,
The party who seeks to limit discovery by asserting a privilege has the burden of proving the applicability of the particular privilege.
Jordan v. Fourth Court of Appeals,
Post-Accident Investigation Privileges
The defendants claim post-accident investigation privileges for all four documents. As interpreted by the supreme court in
Loftin v. Martin,
In asserting investigative privileges, the party seeking to avoid discovery has the burden to prove that statements or documents were obtained in anticipation of litigation by showing that there was good cause to believe suit would be filed.
Turbodyne Corp. v. Heard,
The Texas Supreme Court has established a two-prong test for determining whether an investigative report, claimed to be privileged as a party communication under rule 166b(3)(d), was prepared in anticipation of litigation.
Flores v. Fourth Court of Appeals,
*287 The first prong requires аn objective examination of the facts surrounding the investigation. Consideration should be given to outward manifestations which indicate litigation is imminent. The second prong utilizes a subjective approach. Did the party opposing discovery have a good faith belief that litigation would ensue? There cannot be good cause to believe a suit will be filed unless elements of both prongs are present. Looking at the totality of the circumstances surrounding the investigation, the trial court must then determine if the investigation was done in anticipation of litigation. Unless there is an abuse of discretion, the trial court’s ruling should not be disturbed.
Id.
Good cause thus requires proof of both (1) objective evidence and (2) a subjеctive good faith belief that suit will be filed.
Texas Dept. of Mental Health & Mental Retardation v. Davis, 715
S.W.2d at 467. The mere fact that an accident occurred is not sufficient to establish good cause for anticipation of suit.
Stringer v. Eleventh Court of Appeals,
In
Flores v. Fourth Court of Appeals,
In applying
Flores,
the Austin Court of Apрeals found that the trial court did not abuse its discretion in ordering production of an investigation report requested by a state agency’s director of legal services.
Texas Dept. of Mental Health & Mental Retardation v. Davis,
Apparently concerned with lack of evidence of the plaintiffs’ actions that might indicate their intention to litigate, the Austin court noted that the record did not reflect whether the decedent’s parents had even been informed of the death, much less their reaction, at the time the lawyer requested the investigation. Id. at 472.
Phelps Dodge Refining Corp. v. Marsh,
*288 The court found that all of those documents were discoverable because there was not good cause to anticipate that particular lawsuit. Id. at 361. The Phelps Dodge court explained the rationale surrounding the holdings construing good cause to anticipate litigation:
There should be some circumstances associated with the specific case to suggest a suit will be filed, or is at least being contemplated. Otherwise, the subjective speculative fears of the defendant, or the tactically motivated predictions of his attorney, will dictate the parameters of discovery.
Id. at 360.
The proof filed in our case fails the first prong of the Flores test in that it does not provide evidence demonstrating good cаuse to believe suit would be filed. The affidavits merely rely upon past experience and the explanation that the investigation was not conducted according to the usual custom. The focus of these affidavits by the defendants is the subjective determination that they were anticipating litigation. The defendants make no claims concerning specific actions by the plaintiffs in this lawsuit.
Here, the trial court could reasonably have found that the documents were not generated in anticipation of litigation, as that standard has been interpreted, and that the documents are not privileged on that basis.
Investigative privileges have been asserted as the sole reasons for exemption frоm discovery of the statement of the son, Keith Evans. We hold that the trial court did not abuse its discretion in ruling that this document is not privileged.
Attorney-Client Privilege
In this mandamus proceeding, the rela-tors also claim the attorney-client privilege for Davis’ file memo regarding the investigation, the statement to Davis of Lee Arthur Evans, and Davis’ letter to the adjuster.
Although the attorney-client privilege covers essentially the same people and protects essentially the same information, the privilege is distinct from the investigatory privileges.
See Bearden v. Boone,
First, we address the application of attorney-client privilege to Davis’ file memorandum. In their motion for protection before the trial court, relators asserted only the “work product privilege and investigation exemption under Rule 166b(3)(d).” They did not claim attorney-client privilege for the memo.
Relators assert that they did raise this privilege in the objections they filed to the deposition on written questions, and that the question of privilege was briefed by the plaintiffs in their response to those objections.
In a motion for protection, the party seeking to exclude any matter from discovery on the basis of an exemption or immunity must specifically plead the particular exemption or immunity claimed.
Peeples v. Honorable Fourth Supreme Judicial Dist.,
By failing, in their motion for protection, to identify particularly the attorney-client privilege concerning Davis’ memo, relators waived any claims of attorney-client privilege. We therefore find that the trial court did not abuse its discretion in ordering production of Davis’ May 9, 1985 memorandum to file.
In their motion for protection, relators specifically alleged attorney-client privilege concerning Lee Arthur Evans’ statement to Davis, and Davis’ letter to the adjuster. Thus, we may consider their claims of at *289 torney-client privilege relating to these two documents.
With regard to Lee Arthur Evans’ statement to attorney Davis, we must first determine whether the attorney-client relationship had been created when Evans gave the statement. Under Tex.R.Civ.Evid. 503, one must be a client before one may claim the privilege. Rule 503(a)(1) defines “client” as:
a person ... who is rendered professional legal services by a lawyer, or who consults a lawyer with a view to obtaining professional legal services from him.
The basic purpose of the attorney-client privilege is to secure the free flow of information between an attorney and the client on matters involved in litigation, without the fear that such details of their communication will be disclosed.
West v. Solito,
The attorney-client privilege does not apply to a statement made by an insured to his insurance carrier.
See Hurley v. McMillan,
The evidеnce shows that attorney Davis was retained by the adjuster and was reporting to him. In his affidavit filed in support of the motion for protection, Davis said that he also represented Evans. Yet, at the beginning of taking the statement, Davis said to Evans, “I’ll reintroduce myself. I’m Tom Davis, and I’m the lawyer that represents Boring and Tunneling Company, and we’re here to talk about the аccident that you were involved in” The trial court could reasonably have decided from reading this statement that there was no relationship of attorney and client between Davis and Evans when Davis took Evans’ statement. It does not appear that the communication was made as a result of Evans seeking legal advice from Davis, and except for Davis’ statement in support of the motion for protection, there is no direct evidence that Davis represented Evans when he took Evans’ statement.
If conflicting evidence is presented upon the issue of whether the attorney-client privilege applies to prohibit discovery, the decision of the trial court must be deemed cоnclusive.
Cameron County v. Hinojosa,
Finally, we must determine whether the attorney-client privilege applies to Davis’ letter to the adjuster.
Tex.R.Civ.Evid. 503(b) prоvides for the attorney-client privilege. Rule 503(b) states in part:
A client has a privilege to refuse to disclose and to prevent any other person from disclosing confidential communications made for the purpose of facilitation of the rendition of professional legal services to the client and made (1) between himself or his representative and his lawyer or his lawyer’s representative ...
Rule 503 defines confidential communications as those not intended by the client to be disclosed to third parties, other than those to whom disclosure is made in furtherance of the rendition of professional legal services.
*290
Where an attorney-client relationship exists, the statements and adviсe of an attorney are as much protected as the communications made by the client.
Harrell v. Atlantic Refining Co.,
Here, Davis’ letter to the adjuster was clearly made to facilitate the rendition of professional legal services to Davis’ client. The letter itself, and the circumstances under which Davis prepared the letter, show Davis’ desire for confidentiality and secrecy. There is no evidence that the letter has ever been disclosed to any third parties, other than represеntatives of Boring and Tunneling Company. Thus, the record conclusively shows that this letter falls within the ambit of the attorney-client privilege.
Accordingly, we conditionally grant the petition for writ of mandamus in part and order the trial court to rescind its production order insofar as it orders production of Davis’ May 9, 1985 letter to adjuster Johnnie Bass. We are confident that the trial court will act in accordance with this opinion. The writ will issue only in the event he fails to comply. We deny all other relief requested.
