OPINION AND ORDER
This matter is before the Court on Defendant’s Motion to Modify Stipulated Protective Order [DE 135], filed on September 8, 2009. Plaintiff filed a response brief in opposition to the instant Motion on September 28, 2009, and Defendant filed a reply brief in support on October 13, 2009. On October 20, 2009, with leave of Court, Plaintiff filed a sur-reply brief.
On February 10, 2006, Plaintiff filed a Complaint for Patent Infringement against Defendant. On January 16, 2007, the Court entered a Stipulated Protective Order, which contains a “CONFIDENTIAL or ATTORNEYS’ EYES ONLY” provision, permitting either party to designate confidential business information and trade secrets under these categories. See Protective Order, at ¶ 3(a) [DE 51]. In particular, paragraph 3(b) of the Protective Order provides that:
A Party or producing person shall designate information as ATTORNEYS’ EYES ONLY only when the designating Party or person in good faith believes broader disclosure of the “protected information” will harm its competitive position if known by a Party or person other than the designating Party or person and the attorneys (both outside counsel and, as identified in Paragraph 6(a)(iv), in-house counsel) and their respective employees and staff who are involved in this case.
Id. at ¶ 3(b) (emphasis added). Paragraph 6(a)(iv) further provides that access to information designated as “CONFIDENTIAL” shall be limited to a number of “Qualified Persons,” including Attorney Brad Johnston
In the event any Party hereto seeks a court order that in any way seeks to vary the terms of this Protective Order, said Party shall make such request in the form of a written stipulation, or noticed motion*332 to all Parties that must be served and filed in accordance with local court rules.
Id. at ¶ 19.
In the instant Motion, Defendant requests leave of Court to modify the Protective Order to create a new category of information designated as “OUTSIDE ATTORNEYS’ EYES ONLY,” which, in particular, would make information under this new category inaccessible to Attorney Johnston, but would remain accessible to Plaintiffs retained outside counsel and other individuals specified in the Protective Order. Defendant represents that its request is in response to Plaintiffs request that Defendant produce certain highly confidential sales and financial information about its business, which Defendant alleges would result in irreparable harm if disseminated to Plaintiff or any of Defendant’s competitors. In particular, Defendant argues that Attorney Johnston should be denied access to information concerning Defendant’s sales and finances because he also serves as Plaintiffs corporate secretary and is a member of its Board of Directors, thus increasing the chance that Attorney Johnston might inadvertently disclose the confidential information to the Plaintiff.
ANALYSIS
Just as good cause is required to enter a protective order, good cause is also required to modify a protective order. Murata Mfg. Co. v. Bel Fuse, Inc.,
In this case, the parties appear to have entered a blanket protective order, which permits the parties to protect selected documents that they believe in good faith contain “protected information.” See Protective Order at ¶ 3(a); Murata Mfg. Co.,
In its response brief, Plaintiff argues that Defendant should have known that Attorney Johnston would have access to highly confidential and sensitive information, as it agreed to permit him access to information under the “ATTORNEYS’ EYES ONLY” provision or the Protective Order, and having had the current Protective Order in effect for almost three years, cannot now attempt to bar him from reviewing sales and financial information. However, as Defendant addresses in its reply brief, the requested modification has been necessitated by the recent discovery disclosures, and not information that was previously disclosed. Therefore, the Court finds that Defendant’s request is not untimely and the requested modification was not foreseeable at the time the Court entered the Protective Order.
When evaluating whether an attorney should have access to confidential materials, a court should weigh a party’s legitimate interest in ensuring that the information be protected against the other party’s competing interest in having its counsel have access to that information. Autotech Techs. Ltd. Partnership v. Automationdirect.com, Inc.,
“In the end, proper analysis requires a careful and comprehensive inquiry into in-house counsel’s actual (not nominal) role in the affairs of the company, his association and relationship with those in the corporate hierarchy who are competitive decision-makers, and any other factor that enhances the risk of inadvertent disclosure.” Id. “That risk must then be balanced against the harm that will result to the party employing in-house counsel from restrictions on the latter’s access to the protected information.” Id.
As a preliminary matter, Defendant does not impermissibly seek to limit Attorney Johnston’s access to the requested information in this matter solely based on his position as in-house counsel for the Plaintiff. Rather, Defendant argues that the risk of inadvertent disclosure arises out of Attorney Johnston’s position as Plaintiffs corporate secretary and member of Plaintiffs Board of Directors.
Plaintiff contends that the risk of inadvertent disclosure is minimal because Attorney Johnston is not a competitive decision-maker for the Plaintiff. Further, Plaintiff contends that Attorney Johnston is not a member of Plaintiffs Board of Directors. In support, Plaintiff has provided as an attachment to its response brief a Declaration of Attorney Johnston. See Pl.’s Resp. Br., Ex. 2. In the Declaration, Attorney Johnston represents that he has maintained and will continue to maintain the confidentiality of any documents or information that he accesses under the terms of the Stipulated Protective Order. While the Court does not doubt Attorney Johnston’s assurances that he will abide by the Protective Order, acceptance of his assurances “marks the beginning and not the end of the analysis.” Autotech Techs.,
Nonetheless, as already noted in this Opinion and Order, whether Attorney Johnston is involved in competitive decision-making is one basis for limiting access to information. See Autotech Techs.,
Nonetheless, in its sur-reply brief, Plaintiff represents that the designation on the April 14, 2009 filing, listing Attorney Johnston’s title as “DS” was made in error and Plaintiff was unaware of the error until Defendant brought it up in support of the instant Motion, and Plaintiff promptly corrected this error. Attached to the sur-reply, Plaintiff has included a Supplemental Declaration of D. Brandon Johnston indicating that he was mistakenly identified as a director of Plaintiff and that he is not, and has never been, a member of Plaintiffs Board of Directors. See Pl.’s Sur-Reply, Ex. 1 at ¶¶ 1-2. Further, Plaintiff has provided the Court with a Supplemental Corporate Annual Report, filed with the Florida Department of State, Division of Corporations, on October 15, 2009, correcting Attorney Johnston’s Title and designating him as “SEC,” which Plaintiff purports is an abbreviation for the title of Secretary and Executive Counsel.
Accordingly, the evidence submitted by the parties indicates that Attorney Johnston is not a member of Plaintiffs Board of Directors. Defendant has failed to provide evidence supporting that, although he may not sit on the Board of Directors, Attorney Johnston attends their meetings. The evidence fails to show that his positions as Corporate Secretary and Executive Counsel provide the situation in which “he sits in the same room as those who are involved in competitive decisionmaking.” Norbrook,
Accordingly, Defendant has failed to show that the risk of inadvertent disclosure exists based on Attorney Johnston’s positions with Plaintiff, and good cause does not exist to modify the protective order.
CONCLUSION
Therefore, the Court hereby DENIES the Defendant’s Motion to Modify Stipulated Protective Order [DE 135].
Notes
. Attorney Johnston is also referred to by his full name, D. Brandon Johnston.
. The Court notes that this is not a case where the Defendant knew that Attorney Johnston had access to information concerning Defendant’s sales and financial information over the past two years, but has waited to object until now. Rather, it appears from the record that the requested modification was brought about by recent information requested through discovery.
