The parties to this redistricting litigation have presented the Court with two discovery-related groups of motions. The first motion, filed on June 11, 2012 by the Senate Minority defendants, seeks an order compelling the Senate Majority defendants to produce all documents, and respond to two interrogatories, concerning the determination of the size of the New York State Senate following the 2010 Census redistricting cycle, “including without limitation all attorney-client communications and attorney work product____” See Mem. of Law in Supp. of the Senate Minority’s Mot. to Compel Regarding Waiver of Attorney-Client and Work Product Privileges with Respect to the Senate Size (June 11, 2012) (“6/11/12 Senate Minority Mem.”), Electronic Case Filing (“ECF”) Docket Entry (“DE”) DE # 390. The second group of motions, filed on June 18, 2012 respectively by the Senate Majority, Assembly Majority, and Assembly Minority defendants, requests a protective order precluding the compelled disclosure of documents and information protected by the legislative privilege. See Mem. in Supp. of Mot. for Protective Order for the Assembly Majority on the Ground of Legislative Privilege (June 18, 2012) (“6/18/12 Assembly Majority Mem.”), DE #394; Mem. of Law in Supp. of Senate Majority Defendants’ Mot. for a Protective Order (June 18, 2012) (“6/18/12 Senate Majority Mem.”), DE # 397-1; Mem. in Supp. of Assembly Minority’s Mot. for a Protective Order (June 18, 2012) (“6/18/12 Assembly Minority Mem.”), DE # 399.
For the reasons stated herein, the Senate Minority’s motion to compel is denied without prejudice. The Court defers ruling on the motions for protective orders filed by the Senate Majority, Assembly Majority, and Assembly Minority defendants (hereinafter, the “Senate Majority,” “Assembly Majority,” and “Assembly Minority,” respectively), pending the completion of the Court’s in camera review of privileged documents.
The defendants are directed to produce to the Court, for in camera inspection, the following documents by August 17, 2012: The Senate Majority is directed to produce all documents listed in its privilege logs, and the Assembly Majority and Assembly Minority are directed to produce all documents in their respective privilege logs relating to the Assembly districts in Nassau County. Additionally, the Senate Majority, Assembly Majority, and Assembly Minority are directed to supplement their privilege logs as described in Part III of this opinion, and to serve and file (via ECF) their revised logs by August 20, 2012.
BACKGROUND
The instant litigation involves challenges to the newly enacted New York State Senate and Assembly redistricting plans (the “2012 Senate Plan” and the “2012 Assembly Plan,” respectively), which were signed into law by Governor Andrew M. Cuomo in March 2012. See Favors v. Cuomo, — F.Supp.2d at-,
Throughout the course of this litigation, the parties have from time to time raised the issues of attorney-client privilege and legislative privilege. On April 20, 2012, the three-judge court (the “Panel”) assigned to this ease ordered the defendants to “show cause as to why they should not be required to identify the person(s) who drew the challenged [New York State Senate] map ..., and be prepared to produce the individual(s) for depositions.” See Minute Entry for Three-Judge Court Hearing (Apr. 20, 2012). In response, the Senate Majority claimed “an absolute testimonial privilege bar[ring] plaintiffs from deposing the individual or individuals who drew the 2012 Senate redistricting map about deliberations and communications regarding this legislative activity.” See Senate Majority’s Response to the Court’s April 20 Order (Apr. 27, 2012) (“4/27/12 Senate Majority Resp.”) at 15, DE # 338.
Shortly thereafter, the Panel referred the matter to the undersigned magistrate judge “to supervise discovery on such schedule, including an expedited schedule, as she may ' deem appropriate, and to issue all discovery-related orders, including, but not limited to, scheduling orders and orders resolving or otherwise addressing any discovery disputes that the parties are unable to resolve after good faith efforts to reach resolution thereof without court action.” See Favors, — F.Supp.2d at-,
The Senate Minority, Drayton Intervenors, Lee Intervenors, and Ramos Intervenors jointly served twenty-nine document demands and fifteen interrogatories on all defendants. See generally Plaintiffs’ Consolidated Initial Discovery Requests (May 31, 2012) (“PI. Disc. Requests”), Ex. A. to Decl. of Todd R. Geremia (June 18, 2012) (“6/18/12 Geremia Deck”) at 7-15, DE # 395-1. The demands and interrogatories seek documents and information regarding the development of the 2012 Senate and 2012 Assembly Plans. See id. With respect to the 2012 Senate Plan, the plaintiffs generally request documents and information regarding the instructions given to the mapmakers, the reasons that the plan deviates from equal population, the use of traditional redistricting principles or partisan goals in the development of the plan, considerations of alternative plans and
DISCUSSION
I. Motion to Compel: Attorney-Client Privilege and Work Product Protection
On June 11, 2012, the Senate Minority filed a motion for an order compelling the defendants to produce “all documents relating to or reflecting the determination of the size of the [New York State] Senate in 2012, including without limitation all attorney-client communications and attorney work product, and to ... respond to Interrogatories Nos. 5 and 6 in Plaintiffs’ Consolidated Initial Discovery Requests.”
More specifically, the Senate Minority asserts that the Senate Majority effectuated a subject-matter waiver of the attorney-client privilege with respect to documents related to the determination of the Senate size in the current redistricting cycle because (1) it “affirmatively chose” to release the memorandum on the LATFOR website, “actively representing] to the public that the analysis in the Carvin Memorandum is the reason why a 63rd Senate district was added in 2012,” see 6/11/12 Senate Minority Mem. at 5 (emphasis in original); and (2) “expressly and repeatedly relied” on the memorandum in Cohen v. Cuomo,
The Senate Majority levies a series of arguments in opposition. See Senate Majority Defendants’ Opp. to the Senate Minority’s Mot. to Compel Privileged Commc’ns and Work-Produet with Respect to the Size of the State Senate (June 25, 2012) (“6/25/12 Senate Majority Opp.”), DE #405. First, the Senate Majority argues that because the 2012 Carvin Memorandum was never intended to be confidential, the attorney-client privilege and work product protection do not attach to the document, and therefore its publication does not constitute a waiver of those privileges. See id. at 8. Second, citing In re von Bulow,
In a reply filed on July 2, 2012, the Senate Minority counters that the issue of the Senate size is “not just relevant but central” to the instant case, see 7/2/12 Senate Minority Reply at 1; that Senator Skelos caused the 2012 Carvin Memorandum to be posted on the LATFOR website “to give reviewing courts ... the false impression that the decision to add a 63rd district was based in good-faith on his counsel’s legal advice,” see id. at 4; that the legal advice contained in the 2012 Carvin Memorandum was the “centerpiece of the Senate Majority’s defense in Cohen,” see id. at 5, and “will be at the center of the Senate Majority’s defense in this case,” see id. at 6; and that in these circumstances, fairness counsels in favor of allowing the Senate Minority to investigate the “real legal advice” that attorney Carvin provided to the Senate Majority. See id. at 10 (emphasis in original). Finally, the Senate Minority notes that the Senate Majority failed to offer “any evidence supporting [its] conclusory assertion” that the 2012 Carvin Memorandum was not intended to be confidential. See id. at 3.
A. Legal Standards
1. Attorney-Client Privilege
“The attorney-client privilege protects confidential communications between ehent and counsel made for the purpose of obtaining or providing legal assistance.” In re Cnty. of Erie,
To substantiate a claim of attorney-client privilege, the proponent must establish three elements: “(1) a communication between client and counsel that (2) was intended to be and was in fact kept confidential, and (3) was made for the purpose of obtaining or providing legal advice.” See Erie I,
Even where the privilege does attach to a communication, “[a] client may ... by his actions impliedly waive the privilege or consent to disclosure.” In re von Bulow,
First, courts have recognized that fairness counsels in favor of a subject-matter waiver where a party selectively discloses otherwise privileged communications in a manner that prejudices the opposing party in a litigation. See In re von Bulow,
Second, courts have held that “the privilege may implicitly be waived” or forfeited, on a subject-matter basis, “when [a] defendant asserts a claim that in fairness requires examination of protected communications.” See Bilzerian,
2. Work Product Protection
The work product protection, as partially codified in Rule 26(b)(3) of the Federal Rules of Civil Procedure, is a qualified privilege for “documents and tangible things that are prepared in anticipation of litigation or for trial by or for another party or its representative.” See Fed.R.Civ.P. 26(b)(3)(A); see also United States v. Nobles,
The work product protection is “ ‘distinct from and broader than the attorney-client privilege,’ ” see In re Grand Jury Proceedings,
The proponent of the privilege bears the “heavy burden” to establish its existence. See In re Grand Jury Subpoena
Even where the applicability of the protection has been established, fact work product “may be ordered disclosed upon a showing of substantial need,” while opinion work product “is entitled to virtually absolute protection.” See Ghavami, — F.Supp.2d at-,
As is the case with the attorney-client privilege, a party may waive the work product protection on a subject-matter basis. See The Shinnecock Indian Nation v. Kempthorne,
B. Analysis
Several of the plaintiffs to this litigation have challenged the sufficiency of the defendants’ assertions of privilege, and/or have requested an in camera inspection by the Court to assess the validity of the claims of privilege. See supra pp. 205-06. The Court addresses those issues in Parts II and III below. This section considers the argument advanced by the Senate Minority, and joined by the Lee Intervenors, that the publication of the 2012 Carvin Memorandum worked a forfeiture of the attorney-client privilege and work product protection with respect to all materials concerning the determination of the size of the Senate following the 2010 Census.
As a preliminary matter, the Senate Majority does not invoke either the attorney-client privilege or work product protection with respect to the 2012 Carvin Memorandum. Instead, it argues that the document
The Senate Majority’s assertion of non-confidentiality is consistent with public statements made by Senator Nozzolio (a member of the Senate Majority) soon after the publication of the 2012 Carvin Memorandum. Specifically, at a January 10, 2012 LATFOR public meeting, Senator Nozzolio, faced with a challenge from Senator Martin Malavé Dilan (also a defendant and LATFOR member, and a member of the Senate Minority), described the origins of the memorandum:
SENATOR DILAN: I want to know how last Friday at 5:00 p.m. in a very obscure spot of the LATFOR Senate website a new policy memo appears without ratification of this panel. I want to know how that happens and who authorized that. I would like to know if that attorney is a staff member of LATFOR or is he an outside consultant.
SENATOR NOZZOLIO: Senator Dilan, you’re referring to a memo from an attorney named Michael [Carvin] who has been retained by this task force as — he was retained by this task force in 2002 and in 1992 and it’s my understanding that Attorney [Carvin] placed a memo after analyzing the tenets of the New York State [Constitution and of which it was his responsibility as counsel to this task force to — that that report or analysis, if you will, just as he made an analysis in 2002, was placed on the task force [web site] in the same protocols that were established 10 years ago____It’s my understanding that the attorney for this task force placed — in placing his memo on the LATFOR website and analyzed [alternative proposals] and dealt with them in his memorandum. His recommendation is based on his analysis of the New York State [Constitution.... It was done by the attorney and that analysis was placed for the public to review on the LATFOR website. Whether it was 5:00 or — at night or 5:00 in the morning, it was placed on the website when it was completed and that analysis is for everyone to review.
See Tr. of Pub. LATFOR Hr’g (Jan. 10, 2012) at 16-18 (emphasis added), Ex. 2 to Deck of Senator Martin Malavé Dilan (July 2, 2012) (“Dilan Deck”), DE # 427-1.
Although the Senate Majority’s assertion that the 2012 Carvin Memorandum was intended for public review is contained in an unsworn memorandum of law and is unsupported by any affidavits, the circumstances surrounding the publication of the memorandum, including the aforesaid discussion at the public LATFOR meeting, support the claim of non-confidentiality. To be sure, some in-dicia on the face of the document tend to point in the opposite direction.
As the 2012 Carvin Memorandum was not privileged, its posting on the LATFOR website cannot be said to constitute a selective waiver of the attorney-client privilege or work product protection. Nevertheless, a subject-matter waiver by forfeiture can occur even in the absence of disclosure of privi
II. Motion for a Protective Order: Legislative Privilege
On June 18, 2012, the Senate Majority, Assembly Majority, and Assembly Minority each filed motions for protective orders to prevent the compelled disclosure of documents and information covered by the legislative privilege. See 6/18/12 Assembly Majority Mem.; 6/18/12 Senate Majority Mem.; 6/18/12 Assembly Minority Mem. For the reasons stated below, the Court defers decision on the defendants’ motions pending its completion of an in camera review of withheld documents.
A. Background
The Court begins its analysis with a discussion of the factual context in which the claims of privilege arise. The parties have submitted multiple declarations to provide the Court with an overview of the structure and operations of LATFOR.
LATFOR was established pursuant to Chapter 45 of the New York State Laws of 1978, and “has all of the powers of a legislative committee.” See 4/27/12 Levine-Schel-lace Decl. ¶¶ 2-3 (citing N.Y. Legis. Law § 83-m). LATFOR is comprised of six members, including four legislator appointees and two non-legislator appointees.
By statute, LATFOR’s responsibilities include “engag[ing] in such activities as its Co-Chairs deem necessary or appropriate in ... assisting the Legislature in preparing and formulating reapportionment plans,” and “hold[ing] public and private hearings in connection with proposed reapportionment plans for the [SJenate, [AJssembly, and [CJongres-sional districts in New York.”
To carry out its duties, LATFOR functions for eight years out of every decade as a nonpartisan body, collecting and storing election data in computerized databases and working with data from the U.S. Census Bureau. See 4/27/12 Levine-Schellace Decl. ¶ 5 (citing N.Y. Legis. Law § 83-m(l)(a) & (c)); 6/18/12 Hedges Decl. ¶ 3. However, after each decennial Census, LATFOR establishes four separate partisan redistricting offices, one each for the Senate Majority, Senate Minority, Assembly Majority, and Assembly Minority. See 4/27/12 Levine-Schellace Decl. ¶ 5; 6/18/12 Hedges Decl. ¶ 3. In the current redistricting cycle, the four separate offices were reportedly established in April 2011. See 4/27/12 Levine-Schellace Decl. ¶ 6; 6/18/12 Hedges Decl. ¶¶ 4, 6.
It undisputed that the 2012 Senate Plan “was developed exclusively within the Senate [MJajority redistricting office of LATFOR.” See 4/27/12 Levine-Schellace Decl. ¶7. The drafters of the 2012 Senate Plan are “employees of LATFOR and work[ed] exclusively for the Senate [MJajority redistricting office during the time that they draft[ed] the plan,” id. ¶ 5, “working] exclusively under the direction of Senate Majority Leader Skelos, LATFOR Co-Chair Senator Nozzolio, and Senators Skelos’ and Nozzolio’s Senate staff.” Id. ¶ 7.
With respect to the drafting of the 2012 Assembly Plan, Dr. Roman Hedges, a defen
Lastly, it is clear that, apart from the four partisan redistricting offices, LATFOR continued to maintain, after the creation of the partisan LATFOR offices, an independent “technical staff,” whose members performed work that was separate from the partisan offices and yet was related to both the Assembly and Senate redistricting processes. See LATFOR Emails, Bates Nos. Senate Minority (“SM”) 0001-0273, Ex. 2 to Decl. of Eric Heeker in Opp. to Senate Majority Mot. for a Protective Order (July 2, 2012) (“7/2/12 Heeker Decl.”), DE # 428-1.
B. The Parties ’ Submissions 1. Affirmative Motions
In the lead brief filed in support of a protective order, the Senate Majority claims an absolute privilege against the disclosure of documents or information concerning the legislative activities of legislators or their staffs. See 6/18/12 Senate Majority Mem. at 4-12. In short, the Senate Majority argues that because the Supreme Court has held that the Speech or Debate Clause of the United States Constitution, see U.S. Const., Art. I, § 6, affords federal lawmakers an absolute protection against liability and compelled discovery and testimony, and because courts have held that the federal constitutional immunity is “on a parity” with the state legislative common law analogue in (non-discovery) civil contexts, see State Employees Bargaining Agent Coalition v. Rowland,
Relying on remarks by Magistrate Judge Frank Maas during telephone conferences in Rodriguez v. Pataki the litigation concerning the 2002 New York State redistricting cycle, the Senate Majority also contends that, in the last redistricting cycle, “plaintiffs were categorically barred from deposing legislators and their agents,” and that, even though Judge Maas allowed the plaintiffs to depose Mark Burgeson, the Special Assistant to LATFOR Co-Chairman Skelos, “the Magistrate Judge concluded that the legislative privilege barred plaintiffs from deposing him on ‘the reasons why he and others in the Senate [Mjajority redistricting office drew the lines for particular Senate districts in the ways that they did.’” See 6/18/12 Senate Majority Mem. at 8 (citing Rodriguez v. Pataki, Nos. 02 Civ. 618RMBFM, 02 Civ. 3239RMBFM,
In the alternative, the Senate Majority argues that even assuming that the legislative privilege is qualified, discovery is nev
The Assembly Minority endorses the reasoning of the Senate Majority, and additionally argues, as a matter of New York state law, and under the Speech or Debate Clauses of the federal and New York state constitutions, see 6/18/12 Assembly Minority Mem. at 2-3, that it is entitled to a protective order to avoid “chill[ing] the free flow of information between lawmakers and makfing] them reluctant to exchange information or brainstorm with colleagues.” See id. at 6. Like the Assembly Minority, the Assembly Majority joins in the arguments of the Senate Majority, but focuses on those elements of the plaintiffs’ claims aimed at the 2012 Assembly Plan. See 6/18/12 Assembly Majority Mem. at 1-2. Although the Assembly Majority’s memorandum provides little by way of supplemental legal analysis, it is notable for its inclusion of a declaration of non-legislator LATFOR member Hedges, who likewise complains of the “chilling effect” that compelled disclosure would have on his and his staffs communications with Assembly members. See 6/18/12 Hedges Deel. ¶ 9.
2. Oppositions
On July 2, 2012, the Senate Minority, along with the Drayton, Lee, and Ramos Interve-nors, filed oppositions to the defendants’ motions for protective orders. See Senate Minority Defendants’ Mem. of Law in Opp. to Defendants’ Mot. for a Protective Order (July 2, 2012) (“7/2/12 Senate Minority Opp.”), DE # 426; Plaintiffs-Intervenors Donna K. Drayton, et ah Mem. in Opp. to the Senate Majority, the Assembly Majority, and the Assembly Minority Defendants’ Mots, for a Protective Order (July 2, 2012) (“7/2/12 Drayton Opp.”), DE #423; Ramos Interve-nors’ Mem. of Law in Opp. to Defendant ] Senate Majority’s Mot. for a Protective Order (July 2, 2012) (“7/2/12 Ramos Opp.”), DE #430; Lee Intervenors’ Mem. of Law Regarding Disc. Mots. (July 2, 2012) (“7/2/12 Lee Opp.”), DE # 431.
The Senate Minority argues, in short, that the defendants’ motions for protective orders should be denied because “the law is plain that any legislative privilege is, at best, a qualified privilege that yields to the need for disclosure where, as here, important federal interests are at stake.” See 7/2/12 Senate Minority Opp. at 1; see id. at 1 n. 1 (noting that the Senate Minority’s arguments, while addressed to the Senate Majority, should be applied as against all defendants). In the alternative, the Senate Minority argues that any qualified legislative privilege has been waived. See id. at 1-2. With respect to the first point, the Senate Minority avers that the Senate Majority improperly conflates the absolute legislative immunity (from civil suit) with the qualified legislative privilege (against disclosure). See id. at 2. Further, the Senate Minority notes that in Rodriguez, Judge Maas explicitly ruled that the legislative privilege is “not absolute,” and is, “at best, one that is qualified,” see id. at 12 (citing Rodriguez,
Moreover, according to the Senate Minority, even if the legislative privilege were to
The Lee Intervenors’ opposition largely echoes the arguments of the Senate Minority and the other intervenors, see 7/2/12 Lee Opp. at 2-4, but adds that waiver in the context of legislative privilege does not require an “explicit and unequivocal renunciation of the privilege.” See id. at 3 (citing Almonte v. City of Long Beach, No. CV 04-4192(JS)(JO),
Responding only to the motion of the Senate Majority, the Ramos Intervenors similarly challenge the sufficiency of the Senate Majority’s privilege logs, but also contend that the Senate Majority should produce, in redacted form, those portions of the documents in its privilege logs that “merely convey factual information and data,” as well as “any communications with non-state employee consultants.” See 7/2/12 Ramos Opp. at 12.
The Drayton Intervenors oppose the protective-order motions of all defendants, and request an in camera inspection of all documents as to which the legislative privilege has been claimed. See 7/2/12 Drayton Opp. at 3; see Decl. of Joan P. Gibbs in Opp. to the Senate Majority, Assembly Majority and the Assembly Minority Mots, for a Protective Order (July 2, 2012) ¶ 8, DE # 423-1.
3. Replies
The Senate Majority raises a series of challenges in reply. First, citing State Employees,
Finally, the Senate Majority addresses the plaintiffs’ waiver arguments, asserting, in turn, (1) that the Senate Majority did not waive its legislative privilege by participating in this litigation because all of the Senate Majority defendants were sued in their official capacities, and did not “voluntarily intervene[ ] in their personal capacities”; (2) that Judge Maas never reached the question of waiver of legislative privilege as to the 2002 Carvin Memorandum; (3) that the Senate Majority’s privilege log provides sufficient detail under applicable legal standards; and (4) that the fact that some of the documents on the Senate Majority’s privilege logs had been shared with a representative of the
The Assembly Majority, replying to the arguments of the only party that focused on its motion for a protective order, cites the purported weakness of the Drayton Interve-nors’ claims, and argues that the balance tips against “any judicial jettisoning of the legislative privilege doctrine vis-a-vis the Assembly Majority Defendants.” See generally Assembly Majority Defendants’ Reply Mem. of Law in Supp. of Mot. for a Protective Order on the Ground of Legislative Privilege (“7/9/12 Assembly Majority Reply”), DE #439.
In its reply, the Assembly Minority substantially reiterates the arguments of the other defendants, emphasizes that allowing discovery would sharply chill legislative deliberations and, in that regard, supplies the Court with declarations of defendants Robert Oaks and Brian Kolb. See generally Assembly Minority Reply in Supp. of Mot. for Protective Order (July 9, 2012) (“7/9/12 Assembly Minority Reply”), DE # 440; see also Decl. of Robert Oaks (July 6, 2012), DE # 440-1; Deck of Brian M. Kolb (July 5, 2012), DE # 440-2.
C. Legal Standard: Protective Order
The Senate Majority, Assembly Majority, and Assembly Minority each request a protective order pursuant to Rule 26(c) of the Federal Rules of Civil Procedure. Rule 26(c) provides that, on a motion by a party, “[t]he court may, for good cause, issue an order to protect a party or person from annoyance, embarrassment, oppression, or undue burden or expense.... ” Fed.R.Civ.P. 26(c)(1). The Court’s authority to issue protective orders is broad, and “[t]he touchstone of the court’s power under Rule 26(c) is the requirement of ‘good cause.’ ” See In re Zyprexa Injunction,
D. Legal Background: Legislative Privilege
The parties’ submissions invoke the related, but distinct, concepts of legislative immunity, legislative privilege, and the deliberative process privilege. As the defendants’ motions seek protective orders solely on the ground of legislative privilege, a brief delineation of the three protections is warranted.
1. Historical Foundations
The concepts of legislative privilege and legislative immunity developed in sixteenth- and seventeenth-century England as a means of curbing monarchical overreach, through judicial proceedings, in Parliamentary affairs. See generally United States v. Johnson,
The Speech or Debate Clause reflects two related purposes: (1) avoiding executive or judicial interference in the functioning of the legislature, and (2) enhancing legislative deliberative independence. See Gillock,
By its terms, the Speech or Debate Clause applies only to federal legislators. And while most states- — including New York, see N.Y. Const, art. Ill, § 11 — have ratified similar provisions in their constitutions, federal courts are not bound by those state protections where, as here, the plaintiffs have asserted federal claims. See Rodriguez,
2. State Legislative Immunity
The Supreme Court has held that state legislators are afforded absolute immunity from civil liability — warranting dismissal from suit — for a wide array of legislative acts within “the sphere of legitimate legislative activity.” See Bogan v. Scott-Harris,
Legislative immunity applies both to legislators and — in a more limited fashion — to legislative staffs, officers, and other employees. See United States v. Gravel,
3. State Legislative Privilege
State legislative privilege in federal question cases protects state legislators and their staffs from compelled disclosure of documentary and testimonial evidence with respect to actions within the scope of legitimate legislative activity. See Kay v. City of Rancho Palos Verdes, No. CV 02-03922 MMM RZ,
Legislative privilege is related to, but distinct from, the concept of legislative immunity. See Rodriguez,
To determine whether the legislative privilege precludes disclosure, a court must balance the interests of the party seeking the evidence against the interests of the individual claiming the privilege. See ACORN I,
(i) the relevance of the evidence sought to be protected; (ii) the availability of other evidence; (iii) the “seriousness” of the liti*210 gation and the issues involved; (iv) the role of the government in the litigation; and (v) the possibility of future timidity by government employees who will be forced to recognize that their secrets are violable.
E. Waiver
Having established the qualified nature of the legislative privilege, the Court turns to a threshold issue raised by the parties: whether the legislative privilege has been waived. In this case, the parties opposing the motions for protective orders raise four separate grounds for finding waiver of the legislative privilege: (1) defendants’ continued voluntary participation in this action, (2) disclosure of otherwise privileged material, (3) improper assertions of privilege, and (4) inadequacy of the proffered privilege logs. The Court addresses the first three grounds here, and the fourth in Part III below.
1. Voluntary Participation
The Senate Minority argues that Senator Skelos, “[b]y declining to seek dismissal on legislative immunity grounds, ... voluntarily injected himself into these proceedings,” and has thereby waived the protection of the legislative privilege. See 7/2/12 Senate Minority Opp. at 19-20. The Senate Minority relies — as it did in the Rodriguez litigation— on the Third Circuit’s decision in Powell v. Ridge,
As an initial matter, Powell is not distinguishable on the ground that the defendants here are involuntary participants in this litigation. While the defendants have not sought to assert legislative immunity, it is available to them as a complete defense. See State Employees,
In any event, this Court concludes that the defendants’ failure to assert legislative immunity from suit should not be construed to waive the evidentiary privilege of state legislators. First, because legislative immunity and legislative privilege are distinct concepts, it makes good sense to keep them untethered in the context of waiver. Second, the focus must be on fairness to the parties, notwithstanding any claim of immunity. The decision of a legislator to defend himself or herself and to forgo invoking absolute legislative immunity should, however, cut against the legislator in the Rodriguez balancing analysis. Indeed, the “role of the government in the litigation” is one of the five Rodriguez factors, and if the role of the government (here, the state legislators) is not only direct, but voluntary, then, as a matter of fairness, the defendants’ claims of privilege against compelled disclosure must be weakened.
2. Remaining Waiver Arguments
The Court now considers whether the legislative privilege has been waived through other means, including selective disclosure and improper assertions of privilege.
It is well settled that the legislative privilege “ ‘is a personal one and may be waived or asserted by each individual legislator.’ ” See ACORN I,
The law is clear that a legislator waives his or her legislative privilege when the legislator publicly reveals documents related to internal deliberations. Rodriguez,
Here, the plaintiffs raise three arguments with respect to selective disclosure and improper privilege assertions. First, the Senate Minority argues that the publication of the 2012 Carvin Memorandum effectuated a waiver of the legislative privilege with respect to documents related to the size of the Senate. See 7/2/12 Senate Minority Opp. at 20. Taking a cue from Rodriguez, where the failure to keep the subject of the 2002 Carvin Memorandum “carefully cloistered” was found to have caused a waiver of the privilege with respect to documents related to the size of the Senate, see Rodriguez,
Second, the Ramos Intervenors argue that the Senate Majority “waived any applicable legislative privilege with respect to
Third, the Senate Minority argues that the Senate Majority waived its legislative privilege to the extent that it claimed a privilege over documents that either (1) were not confidential deliberations, (2) did not contain privileged information, or (3) were later published to the public. See 1/2/12 Senate Minority Opp. at 24; 7/2/12 Ramos Opp. at 11-12. To that end, the Senate Minority has submitted and referenced various LATFOR emails related to prisoner reallocation data. See generally LATFOR Emails, SM 0001-0273, Ex. 2 to 7/2/12 Hecker Deck, DE # 428-1. The Court is unwilling to find on the existing record that the dissemination of these emails waived the privilege as to other documents and communications contained within the Senate Majority’s privilege log. The legislative privilege, while qualified, casts a wide net. As such, the mere fact that emails were exchanged between legislators (and staffs) of opposing parties is not dispositive.
Therefore, the Court defers ruling on these and other waiver issues until it has an opportunity to perform an in camera review of the allegedly privileged documents to determine whether the claim of privilege trumps discovery.
F. Legislative Privilege in Redistricting Cases
Most decisions in redistricting cases involving claims of legislative privilege — including decisions from within this Circuit — have recognized a qualified legislative privilege, and have balanced the parties’ competing interests when determining if and to what extent the privilege applies and protects against compelled disclosure. See Baldus,
1. 1981 Los Angeles County Redistricting Plan
In 1989, in United States v. Irvin, the Central District of California analyzed the Los Angeles County Board of Supervisors’ assertions of privilege during depositions in response to certain questions related to the motivations behind the Board’s adoption of a county redistricting plan. See
Upon balancing the factors, the court concluded that all but two favored disclosure. See id. at 173-74. It first found that the “desirability of accurate fact finding” supported disclosure, “as it would in every case.” See id. at 173. The court next held that evidence concerning the Board’s decision-making process was relevant and was not otherwise available, a factor that further tipped the balance in favor of disclosure. See id. Moreover, disclosure was warranted because, according to the court, the plaintiffs VRA claims “raise[d] profound questions concerning the validity of the redistricting plan,” potentially “implicate[d] intentional or negligent governmental misconduct,” and “place[d] in issue the Supervisors’ deliberations themselves.” Id. at 174 (citations omitted). The court also noted that “the federal interest in enforcement of the Voting Rights Act weighs heavily in favor of disclosure,” since the Act itself “requires vigorous and searching federal enforcement.” Id.
The court in Irvin found that two factors— the threat of a chilling effect and the Board’s role in the litigation — “militated against disclosure,” but that the weight of these factors was “difficult to gauge.” See id. Specifically, the court was unwilling to find that “the occasional instance in which disclosure may be ordered in the civil context [would] add measurably to the inhibitions already attending legislative deliberations.” See id. (citing Gillock,
In Rodriguez, Judge Maas applied a five-factor balancing test in response to the plaintiffs’ motion to compel, and determined that the claims of legislative privilege should be sustained in part. First, he found that the plaintiffs’ discovery requests with respect to the development of the 2002 redistrieting plan were relevant, insofar as they sought evidence of a discriminatory intent in violation of Section 2 of the VRA. See
Judge Maas ultimately held that “the defendants’ qualified legislative privilege was overcome to the extent that the plaintiffs sought information concerning the ‘operations’ of [LATFOR],” but that the privilege supported nondisclosure “to the extent that the plaintiffs sought documentation reflecting the thought processes of individual legislators ‘which took place outside LATFOR or after the proposed [2002] redistricting plan reached the floor of the Legislature.’ ” See Rodriguez,
After conducting an in camera inspection, Judge Maas made specific rulings as to three categories of withheld documents. First, to the extent that Judge Maas held that “requests by Republican legislators to adjust the lines of their districts” were protected from disclosure by the legislative privilege, such protection was warranted only because plaintiffs “ha[d] not established a substantial need” for those documents, with the exception of a single document utilizing racial
As for depositions, Judge Maas concluded that, on balance, legislators and their staffs— including those individuals who were “detailed” to one of the four partisan redistricting offices — were protected by the qualified privilege, but that “anybody other than ... a legislator or that legislator’s individual aid[e] ... is somebody who’s potentially subject to being questioned____” See 9/11/03 Tr. at 14. Importantly, and contrary to the Senate Majority’s assertions, Judge Maas never found an absolute legislative privilege.
3. 2011 Illinois State Redistrieting Plan
In Committee for a Fair and Balanced Map, the Northern District of Illinois applied the five-factor balancing test from Rodriguez in the context of the 2011 Illinois congressional redistrieting plan.
The court then performed the Rodriguez balancing analysis. See id. at *7-10. The court first noted that the seriousness of the claims favored disclosure based on the “profound questions about the legitimacy of the redistrieting process and the viability of the 2011 Map.” Id. at *8. The court further stated that the direct involvement of non-party legislators in the drawing of the map supported disclosure, as well as the fact that “the decisionmaking process ... [itself was] the case,” insofar as the plaintiffs had alleged intentional racial and partisan discrimination. See id. However, the court found that the evidence sought was “relevant, [but] not central” to the case, and that the “[p]laintiffs already had considerable information at their fingertips,” both factors militating against disclosure. See id.
Moreover, the court concluded that the final factor — i.e., the threat of a chilling effect on legislative deliberations — weighed against disclosure and in favor of sustaining the claim of legislative privilege. See id. at *9. Specifically, the court noted that, as a general matter, “the need for confidentiality between lawmakers and their staff is of utmost importance.” Id. at *8. Moreover, the court found, “[i]n the redistrieting context, full public disclosure would hinder the ability of party leaders to synthesize competing interests of constituents, special interest groups and lawmakers, and draw a map that has enough support to become law.” Id.
The court therefore held that “the legislative privilege shields from disclosure pre-deeisional, non-factual communications that
4. 2011 Wisconsin Redistricting Plan
In Baldus v. Members of the Wisconsin Government Accountability Board, a case involving challenges to the 2011 Wisconsin state redistricting plans, the court addressed claims of legislative privilege by the Wisconsin Assembly and Senate, neither of which was a party to the case. See
The court, relying on Committee for a Fair and Balanced Map,
This Court, like nearly every court to address the issue in the redistricting context, concludes that state legislators enjoy only a qualified evidentiary privilege.
G. Application of Balancing Test
Before the Court proceeds with the requisite balancing analysis, it bears mention that LATFOR’s operations during the current redistricting cycle were in many ways similar to its operations in the 2000 Census redistricting cycle. See 6/18/12 Hedges Decl. ¶¶ 4-7; 4/27/12 Levine-Schellace Decl. ¶ 5. If the process differed in any way, it was simply as a matter of degree. See generally Dilan Decl. With that in mind, the Court provides a preliminary balancing, and orders the Senate Majority to provide to the Court, for in camera inspection, all documents for which the Senate Majority has asserted the legislative privilege. The Assembly Majority and Assembly Minority are directed to produce, for in camera inspection, the documents described below. The Court defers its rulings on discoverability of specific documents until after it has completed its review.
1. Relevance
The first factor in the balancing analysis concerns the relevance of the evidence sought to be protected. The defendants in general, and the Senate Majority in particular, vigorously dispute the relevance of the requested information and documents, arguing, among other things, that “legislators’ motivations, political or otherwise, are entirely irrelevant.” See 6/18/12 Senate Majority Mem. at 24. Plaintiffs counter that the discovery sought is relevant to the “central”
It is not the function of this Court, in assessing relevance for purposes of discovery, to decide issues of admissibility or resolve potentially dispositive disputes.
In support of their demand for discovery relating to the defendants’ purpose or intent, the plaintiffs cite the Supreme Court’s decision in Reynolds v. Sims, wherein the Court held that “a State [must] make an honest and good faith effort to construct districts, in both houses of its legislature, as nearly of equal population as is practicable.”
2. Availability of Other Evidence
The second balancing factor also supports disclosure in this case. The defendants, hanging their hats on the purported irrelevance of legislative intent in relation to the plaintiffs’ claims, argue that any information needed to prove the VRA and Equal Protection claims here is already located in the public record, and that therefore this second factor tips in favor of honoring the privilege and granting them protective orders. See 6/18/12 Senate Majority Mem. at 26-27; 7/9/12 Assembly Majority Reply at 3-4, 8. As stated above, however, the internal legislative process is highly relevant to all of the plaintiffs’ claims. See supra pp. 217-19. And, while LATFOR has indeed produced substantial material on its website — -including maps, analyses, data, and memoranda — such evidence may provide only part of the story. To the extent that the information sought by the plaintiffs relates to non-public, confidential deliberations that occurred within LAT-FOR or one of the partisan LATFOR redistricting offices, or between legislators, their staffs, and retained experts, such information likely cannot be obtained by other means. See Rodriguez,
3. Seriousness of the Claims
As for the third balancing factor, it is indisputable that racial and malapportionment claims in redistricting cases “raise serious charges about the fairness and impartiality of some of the central institutions of our state government,” and thus counsel in favor of allowing discovery. See id.; see also Baldus,
4. The Role of the Government
With regard to the fourth factor, the state government’s role in the instant litigation is direct, and the motives and considerations behind the 2012 Senate and Assembly Plans, to a large degree, “[are] the case.” See Comm. for a Fair & Balanced Map,
5. Future Timidity
Fifth and finally, although allowing discovery here may not create a specific legislative chill in future redistricting cases in New York, it may inhibit full and frank deliberations in analogous legislative activity. On the one hand, any chilling effect on legislative debate in the redistricting context is mitigated by the fact that New York State has now passed a new law designed to ensure a more independent redistricting process. See Redistricting Reform Act of 2012, S. 6736, A. 9557 (N.Y. 2012) (enacted). This new scheme, which contemplates a constitutional amendment and supporting legislation, will create an “independent redistricting commission” comprised entirely of non-legislators. See id. As a result, any depositions of, for example, the mapmakers in this case are unlikely to inhibit legislative deliberations in future redistricting cycles: the independent redistricting commission will more closely resemble Judge Maas’ view of the intended structure of LATFOR, which was “more akin to a conversation between legislators and knowledgeable outsiders, such as lobbyists, to mark up legislation — a session for which no one could seriously claim privilege.” See Rodriguez,
Nevertheless, allowing discovery to draw back the legislative curtain has the potential, outside the redistricting context, to deter legislators from open and honest deliberations with one another, with their staffs, and with retained experts, for fear that any such communications will be discoverable in future litigation. It is not sufficient to argue, as the Senate Minority does, see 7/2/12 Senate Minority Opp. at 18, that because redistricting presents a unique legislative situation, allowing discovery here will not weaken the legislative privilege in other areas of public policy and debate within the legislative branch. Indeed, the declarations of Assemblymen Kolb and Oaks and LATFOR member Hedges all emphasize a potential chill. And, as reflected in the statements of Senator Dilan, there apparently was a chill in legislative deliberations since the previous redistricting cycle, lending credence to the defendants’ warnings.
In the end, while the five factors here generally support overcoming the privilege, the threat of inhibiting legislative deliberations hangs in the air. Consequently, the prudent course is for the Court to perform an analysis of the allegedly privileged documents, in camera, prior to ruling as to the. specific documents (or categories of documents) over which the privilege has been invoked. See ACORN II,
Therefore, the Court orders the Senate Majority to produce all of the documents in its privilege log over which it claims legislative privilege. Moreover, to the extent that the Assembly Majority and Assembly Minority have withheld responsive documents relating to Assembly districts in Nassau County, those documents should be produced as well for in camera inspection.
III. Privilege Logs
Lastly, the Court addresses an issue that relates to each of the asserted privileges: whether the defendants’ privilege logs are adequately detailed under the governing rules and case law.
A. The Parties’ Submissions
While the plaintiffs’ challenges to the privilege logs focus on those of the Senate Majority, their arguments, fairly read, are not so limited. See 7/2/12 Senate Minority Opp. at 1 n. 1 (noting that its arguments are directed at all defendants); 7/2/12 Drayton Opp. at 3, 16 (challenging all defendants’ reliance on “eonelusory, stereotypical statements” and the failure to specifically establish their claims of privilege). The defendants all reply that their respective privilege logs comply with the relevant law. See 7/9/12 Senate Majority Reply at 20-22; 7/9/12 Assembly Majority Reply at 9 n. 6; 7/9/12 Assembly Minority Reply at 15. For the reasons that follow, the Court finds that the entirety of the privilege logs of the Senate Majority, the final segment of the privilege logs of the Assembly Majority, and certain entries of the Assembly Minority’s log are inadequate, and therefore directs those parties to file revised privilege logs, with the particulars detailed below. Moreover, all defendants are directed to file personnel lists and supplemental affidavits as described herein.
B. Legal Standard
Where, as here, challenges have been lodged against the withholding of allegedly privileged documents, the production of a privilege log that satisfies the requirements of the Federal and Local Rules is insufficient, standing alone, to defeat those challenges;
In assessing the adequacy of privilege logs, courts ask whether, “as to each document, [the privilege log] sets forth specific facts that, if credited, would suffice to establish each element of the privilege____” See Safeco, — F.R.D. at-(quoting Golden Trade S.r.L. v. Lee Apparel Co., Nos. 90 Civ. 629KJMC), 90 Civ. 6292(JMC), 92 Civ. 1667(JMC),
Courts in this Circuit have long held that the “failure] to include sufficiently descriptive information [in a privilege log] may result in waiver of the privilege.” See Weiss v. Nat’l Westminster Bank, PLC,
C. Analysis
Measured against these legal principles, the privilege logs of the Senate Majority, Assembly Majority, and Assembly Minority are deficient to varying degrees, and must be revised to the extent indicated below.
1. The Defendants’ Privilege Logs
The Senate Majority, whose privilege logs contain 6,732 items purportedly covered by some combination of the attorney-client privilege, work product protection, and legislative privilege, denotes, for each document, the “author, recipient (if applicable), date, the basis for the privilege assertion, the type of document, and the general subject matter” of the document. See 7/9/12 Senate Majority Reply at 21; see generally Senate Majority Privilege Logs, Ex. 1 to 7/2/12 Heeker Deck, DE #428-1. For nearly every document, the subject matter is noted to be related to “redistricting issues.” See generally id. In addition to its privilege logs, the Senate Majority also served personnel lists, which identify, for each individual, his or her name, “department” (e.g., Senate, Assembly, LAT-FOR, Caliper or law firm), and position (e.g., legislator, staff, attorney, or consultant). See Privilege Log Personnel Lists, at 409-12, Ex. 1 to 7/2/12 Heeker Deck, DE # 428-1.
The Assembly Majority’s logs, which were entered into ECF in nine segments, see Letter from C. Daniel Chill to the Court (Aug. 6, 2012), DE # 473; Assembly Majority Privilege Logs, DE #474-482, assert the attorney-client privilege, work product protection, and legislative privilege, and denote for each document the date, Bates reference number,
The Assembly Minority’s log, submitted in a single installment spanning eighteen pages, asserts only the legislative privilege, and sets forth, for each document, the document format, date, sender, recipient, subject (or description), and specific privilege asserted. See generally Assembly Minority Privilege Log (Aug. 6, 2012), DE #485. The subject/de-seription field includes, as applicable, a file name, subject line, or document description. See id. While some entries contain substantive descriptions (see, e.g., March 7, 2011 Email from Darren McGeary to T. Kraus regarding “Inquiry about Nassau-Suffolk and Massapequa[ ],” Assembly Minority Privilege Log at 9), others simply state that a document relates to “Redistricting” (see, e.g., January 25, 2012 Letter from John McEneny to Robert Oaks regarding “Redistricting,” Assembly Minority Privilege Log at 6). Unlike the Senate Majority and Assembly Majority, the Assembly Minority did not submit a personnel list. See Letter from Jennifer K. Harvey to the Court (Aug. 6, 2012) (“8/6/12 Harvey Ltr.”) at 1, DE # 484.
2. Document Descriptions
The document descriptions within the Senate Majority’s privilege logs, the Final Installment of the Assembly Majority’s privilege log, and various entries within the Assembly Minority’s privilege log are inadequate to allow either the plaintiffs or this Court to determine whether a given privilege applies. Indeed, the insufficiency of the aforesaid logs is starkly apparent when compared to many entries in the privilege log of the Assembly Minority and to all of the earlier installments (and the supplemental installment) of the Assembly Majority’s privilege logs.
As a preliminary matter, it is insufficient for the Senate Majority to describe each document as “relating to” (or “regarding”) “redistricting issues.” See generally Senate Majority Privilege Logs. It is similarly insufficient for the Assembly Majority’s Final Installment to describe every one of its documents as containing “[information relating to redistricting,” see generally Final Assembly Majority Privilege Log, or for the Assembly Minority to describe certain documents as discussing, simply, “[r]edistricting.” See generally Assembly Minority Privilege Log. This is a redistricting case. Presumably, all responsive documents will in some way relate to “redistricting issues.” What is specifically at issue is whether the documents discuss race or ethnicity; the size of the Senate; Assembly districts in Nassau County; district line-placement; alternative proposals; or the under- or overpopulation of districts or regions. See, e.g., Erie I,
Moreover, given today’s litigation technology, there is no good reason why privilege logs should not include — where to do so would not itself reveal privileged or protected information, see SEC v. Beacon Hill Asset Mgmt. LLC,
While the Court is thus unable to resolve the parties’ pending discovery disputes on the basis of the information contained in the defendants’ privilege logs, the Court nevertheless, in its discretion, declines to hold that the defendants thereby waived all their privilege claims. See Davis,
Finally, although this Memorandum and Order defers decision on the issue of waiver, the Court echoes the warning of Judge Shira A. Scheindlin of the Southern District of New York in Davis v. City of New York, and cautions the defendants “to reassess [their] assertion of all privileges carefully prior to resubmitting the logs,” or risk a broad finding of waiver. See Davis,
3. Personnel Lists
A detailed privilege log is necessary, but not sufficient, to sustain a claim of privilege. There is ample case law in this Circuit for the “unremarkable proposition that a communication is not protected by legislative privilege if it was made in the presence of someone who was not a legislator and was not an agent of a legislator.” See 7/9/12 Senate Majority Reply at 20 n. 13 (citing Almonte I,
In that connection, on July 12, 2012, the Court directed the Senate Majority to produce, under seal and ex parte, a letter and revised personnel list, providing detailed information as to the relationships between those individuals listed on their privilege logs. See Order (July 12, 2012), DE #447. Having reviewed the Senate Majority’s submission, the Court concludes that much of the information reflected in that revised personnel list is not itself protected by any privilege. Therefore, all defendants are directed to serve and file personnel lists that include, for each individual listed in their respective privilege logs, the job title, supervisor (including, for legislative staff, the name of the relevant legislator), and whether the individual worked within one of the four partisan LATFOR offices during the 2010 Census redistricting cycle. In addition, the defendants are directed to serve and file supplemental affidavits for each individual identified as LATFOR staff (including staff
CONCLUSION
For the reasons stated above, the Court denies without prejudice the Senate Minority’s motion to compel, and defers decision on the motions for protective orders filed by the Senate Majority, Assembly Majority, and Assembly Minority, pending the Court’s completion of an in camera inspection of documents.
The defendants are directed to produce, by August 17, 2012, the following documents for in camera inspection: The Senate Majority is directed to produce all documents listed in its privilege logs; the Assembly Majority and Assembly Minority are directed to produce all documents listed in their privilege logs relating to Assembly districts in Nassau County. The documents produced for in camera inspection are to be provided in both hard copy and in electronic format. The Court will issue a separate order with further instructions regarding the protocol for electronic production.
Further, the Senate Majority, Assembly Majority, and Assembly Minority are each directed to file, by August 20, 2012, a revised privilege log and personnel list that cure the defects identified in Part III of this Memorandum and Order, along with a supplemental affidavit regarding redistrieting responsibilities for each LATFOR staff member, and evidentiary submissions to support any claims of attorney-client privilege.
Any objections to this Memorandum and Order shall be served and filed by August 24, 2012. The production of documents for in camera inspection and the production of privilege logs and personnel lists are not stayed in the interim.
SO ORDERED.
. Although named as defendants, the Senate Minority defendants (the "Senate Minority”) have essentially aligned themselves with the plaintiff-intervenors, and have even filed a cross-claim against the other defendants. See Senate Minority’s Amended Answer to Amended Complaint and Cross-Claim (May 23, 2012) ("5/23/12 Senate Minority Answer and Cross-Claim”), DE #370. Therefore, for ease of reference, the Court’s use of the term "plaintiffs” will include within the referenced group the Senate Minority, as well as the plaintiff-intervenors, and its use of the term "defendants” will exclude from its scope the Senate Minority.
. Familiarity with the claims and parties in this case and prior proceedings is assumed. See generally Favors v. Cuomo,-F.Supp.2d-,
. The Ramos Intervenors have now withdrawn their VRA Section 2 claim by stipulation. See Stipulation (July 20, 2012), DE # 459-1.
. Pursuant to that schedule, the plaintiffs' discov-eiy demands were to be served by May 31, 2012, and the defendants’ responses were due by June 18, 2012. See Minute Entry and Order (May 29, 2012) at 2, DE # 377. The defendants' privilege logs were due, in final form, by June 25, 2012. Id.
. In Plaintiffs’ Consolidated Initial Discovery Requests, Interrogatory 5 requests that the defendants "[i]dentify the reasons why a 63rd Senate district was added in 2012,” and Interrogatory 6 requests that the defendants "[¡Identify the reasons why a different Senate size (i.e., other than 63 Senate districts) was not adopted in 2012.” See PL Disc. Requests at 13.
. The Lee Intervenors joined the Senate Minority's motion to compel, see Letter from Grace Yang to the Court (June 11, 2012) at 1, DE # 392, incorporating by reference a letter-brief submitted in connection with the April 20, 2012 Order to Show Cause. See Letter Brief Regarding 4/27/12 Senate Majority Response (May 4, 2012), DE #363. Because the letter brief does not alter this Court’s analysis, and relies on legislative privilege waiver arguments, it is not further described in connection with the instant motion to compel.
. Senator Skelos is Majority Leader and President Pro Tempore of the New York State Senate and Senator Nozzolio is a member of LATFOR. Both are named as defendants in this lawsuit.
. Although the Senate Minority's initial moving papers purport to seek a compulsion order against "defendants” generally, see, e.g., 6/11/12 Senate Minority Mem. at 1, its reply memorandum makes clear that its waiver argument is limited to the Senate Majority, see generally Reply Mem. of Law in Further Supp. of the Senate Minority’s Mot. to Compel Regarding Waiver of Attorney-Client and Work Product Privileges Regarding the Senate Size (July 2, 2012) ("7/2/12 Senate Minority Reply”), DE # 425, and no other defendant has responded substantively to the motion to compel. See Assembly Minority Letter (June 25, 2012), DE #403 ("expressing no] opinion” as to the motion to compel).
. The Senate Minority argues, in passing, that Rule 502 of the Federal Rules of Evidence, which governs disclosures of privileged materials in “federal proceedings," Fed.R.Evid. 502, is inapplicable. See 6/11/12 Senate Minority Mem. at 7. This Court agrees that Rule 502 does not apply.
. For example, the memorandum was addressed from an attorney, Michael Carvin, to Senators Skelos and Nozzolio on firm letterhead, and purports to provide requested advice. See 2012 Carvin Memorandum at 1. However, although no notation reflecting intended confidentiality (e.g., "attorney-client communication" or “confidential”) is affixed to the document, the memorandum does not, by its terms, evince any intent that it be published. See id.
. Mindful of the fact that the strategic non-assertion of the attorney-client privilege may allow a party to avoid a finding of selective waiver, the Court, in conducting its in camera inspection of documents withheld as privileged by the Senate Majority, see generally infra pp. 220-21, will consider the possibility that such conduct may cause a forfeiture.
. In Rodriguez v. Pataki, the lawsuit relating to the redistricting of the New York State Legislature following the 2000 Census, the court authorized a deposition of Mark Burgeson, the Special Assistant to then LATFOR Co-Chair Skelos, in order to better understand the operations of LAT-FOR. See Rodriguez v. Pataki,
. The members of LATFOR for the redistricting cycle following the 2010 Census are: (1) Co-Chairman Senator Michael F. Nozzolio (Senate Majority), (2) Co-Chairman Assemblyman John J. McEneny (Assembly Majority), (3) Senator Martin Malavé Dilan (Senate Minority), (4) Assemblyman Robert Oaks (Assembly Minority), (5) Dr. Roman Hedges (Assembly Majority Appointee), and (6) Welquis R. Lopez (Senate Majority Appointee). See LATFOR Website, available at http://www.latfor.state.ny.us/members/ (last visited Aug. 10, 2012)
. New York Legislative Law provides:
The legislative task force on demographic research and reapportionment is hereby continued, consisting of six members of whom two shall be appointed by the temporary president of the senate, two by the speaker of the assembly and one each by the minority leader of the senate and the minority leader of the assembly. The appointments shall be of members of the respective houses of the legislature, except that one member appointed by the temporary president of the senate and one member appointed by the speaker of the assembly shall not be members of the legislature. A member of the senate appointed to the task force by the temporary president of the senate and a member of the assembly appointed to the task force by the speaker of the assembly shall be designated by each to serve as the co-chairmen of the task force.
. New York Legislative Law specifically provides that “the primary function” of LATFOR is "to compile and analyze data, conduct research for and make reports and recommendations to the legislature, legislative commissions and other legislative task forces.” See N.Y. Legis. Law § 83-m(5). The statute further provides that "[t]he task force shall engage in such research studies and other activities as its co-chairmen may deem necessary or appropriate in the preparation and formulation of a reapportionment plan for the next ensuing reapportionment of [S]enate and [Assembly districts and [Cjongres-sional districts of the state and in the utilization of census and other demographic and statistical data for policy analysis, program development and program evaluation purposes for the legislature.” See N.Y. Legis. Law § 83-m(3).
. Pursuant to the Panel's April 20, 2012 Order to Show Cause, the Senate Majority submitted, in camera and ex parte, a letter identifying those individuals who drew the 2012 Senate Plan. See AHHYl Senate Majority Resp. at 6.
. The declaration of Senator Dilan of the Senate Minority confirms the contention of the Senate Majority that the drafting process for the 2012 Senate Plan was completed exclusively within the Senate Majority LATFOR office. See Dilan Decl. ¶ 4. Senator Dilan alleges:
Although I am a member of LATFOR, I was consistently and continually shut out of the process of drawing the new Senate districts. The Senate Majority drafted its own plans for the new Senate lines without consulting me, and LATFOR never had a formal meeting at which the new lines were presented to me and voted upon until March 14, 2012, after the plan was introduced in the Legislature and had gone to the printer as a bill. I therefore had no real opportunity to comment on the Senate lines. In fact, despite the fact that I am a LATFOR member and should have been intimately involved in the crafting of the Senate and Assembly maps and in deciding to recommend the LATFOR staff’s maps to the state Legislature, I learned that LATFOR had made its recommendations to the Legislature, and learned what those recommendations were, at the same time as the media.
See Dilan Decl. ¶ 4 (emphasis in original). He further alleges that "[t]his practice was starkly different from LATFOR’s practices in the 1980’s, 1990's, and even in 2002.” Id.
. See infra pp. 209-10 (listing the five Rodriguez factors).
. See infra pp. 217-18 (addressing relevance arguments).
. The Governor defendants have not weighed in on these discovery issues, as it is undisputed that they played no role in drawing the lines of the New York State legislature. See Governor Defendants’ Letter in Response to Apr. 20, 2012 Order to Show Cause (Apr. 27, 2012), DE #329.
. The Second Circuit's holding in State Employees,
. This Court recognizes that, since Rodriguez, at least one court in this District has held that the legislative privilege does not apply in situations where "the legislative deliberations are among the central issues in the case.” See East End Ventures,
. As further explained infra pp. 212-13 in the discussion of waiver, courts have held that the privilege attaches to confidential communications between legislators, their staffs, and "experts retained by them to assist in their legislative functions.” See ACORN II,
. The Senate Majority correctly notes that in Rodriguez, Judge Maas faced an identical argument, and "decline[dj ... to find” that the failure to assert legislative immunity waived legislative privilege. See Rodriguez,
. In contrast, some out-of-Circuit cases have held that even communications with retained consultants may waive the privilege. See Baldus v. Members of the Wis. Gov't Accountability Bd., Nos. 1 l-CV-562, 11-CV-1011,
. To the extent that the Senate Majority errantly included within its privilege logs documents that have been made public or were shared with individuals outside the legislative process, it cannot reasonably claim a privilege. As stated in Part III below, the Court directs the defendants to review and revise their privilege logs. See infra pp. 221-25. If this review uncovers non-responsive documents, those documents should be removed from the privilege log. If it uncovers responsive documents erroneously claimed to be privileged, those documents should be produced.
. In Marylanders, on which the Senate Majority relies, a divided three-judge court addressed claims of legislative privilege raised by, among others, legislator defendants, in the context of the 1990 Maryland state redistricting cycle. See
. One other recent redistricting case has deferred decision whether the privilege is absolute or qualified. See Texas v. United States,
. The Senate Majority vigorously asserts that Judge Maas, shortly after issuing his written opinion of July 28, 2003,
. Specifically, the plaintiffs sought "(1) information concerning the motives, objectives, plans, reports, and/or procedures used by lawmakers to draw the 2011 Map; (2) information concerning the identities of persons who participated in decisions regarding the 2011 Map; (3) the identities of experts and/or consultants retained to assist in drafting the 2011 Map and contractual agreements related thereto; and (4) objective facts upon which lawmakers relied in drawing the 2011 Map.” See Comm, for a Fair & Balanced Map,
. The court subsequently reaffirmed its ruling in a clarifying opinion, see Baldus v. Members of the Wis. Gov't Accountability Bd., Nos. 11-CV-562 JPS-DPW-RMD, ll-CV-1011 JPS-DPW-RMD,
. Those disputes are currently pending before the Panel in connection with the defendants' pending motions for summary judgment. See, e.g., Senate Majority’s Mem. in Supp. of Mot. for Summaiy Judgment (June 29, 2012) at 10, 16, DE # 420-2; Senate Majority's Reply in Supp. of Mot. for Summaiy Judgment (Aug. 3, 2012) at 2, DE # 468.
. In contending that subjective motivations are irrelevant, the Senate Majority argues that "New York City districts are underpopulated relative to upstate districts in terms of the only population that matters when assessing a one-person, one-vote claim: citizen population." 6/18/12 Senate Majority Mem. at 25. In other words, the Senate Majority urges tire Court to use Citizen Voting Age Population data ("CVAP") to assess whether the malapportionment complained of injured the plaintiffs. Whatever the Panel's ultimate disposition of this argument, this Court does not regard it as sufficient to block discovery of otherwise relevant information. First, because the New York State Constitution requires that legislative districts be apportioned based upon the "whole number of persons” rather than citizens, see N.Y. Const, art. 3, §§ 4, 5, 5-a, the Second Circuit in 2010 upheld the dismissal of a claim that the plaintiffs’ "votes were diluted by the inclusion of aliens for the purposes of apportionment.” Loe-
Second, the legislation pursuant to which the 2012 Senate Plan was enacted expressly provides that the apportionment of the districts was based not on CVAP, but "on the basis of the number of inhabitants of the state[J” according to the 2010 Census. See 7/2/12 Drayton Opp. at 13 (citing 2012 New York State Redistricting Plan, S. 6696, A. 9525, art. 8 § 123 (N.Y. 2012) (enacted)). Indeed, when this Court sought to obtain CVAP data from LATFOR, for the purpose of conducting a VRA analysis of the parties’ proposed Congressional plans, the Court was informed that LATFOR did not maintain such data. Therefore, the Court does not regard the defendants’ CVAP argument as a reason to bar discovery.
. Rule 26(b)(5)(A) of the Federal Rules of Civil Procedure provides that "[w]hen a party withholds information 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.” Fed.R.Civ.P. 26(b)(5)(A). In this District, Local Civil Rule 26.2(a)(2)(A) further provides that a privilege log must include, for each document, "(i) the type of document ...; (ii) the general subject matter of the document; (iii) the date of the document; and (iv) the author of the document, the addressees of the document, and any other recipients, and, where not apparent, the relationship of the author, addressees, and recipients to each other[.]” S.D.N.Y./E.D.N.Y. Local Civil Rule 26.2(a)(2)(A).
. Pursuant to a court order, the Senate Majority submitted, under seal and ex parte, a more detailed personnel list, which included, among other information, a description of each individual’s job responsibilities in connection with the 2010 Census redistricting cycle. See infra p. 224.
. However, where merely listing the subject line, file name, or document title would result in "vague, confusing, or conclusory descriptions,” see Davis v. City of N.Y., 10 Civ. 0699(SAS),
