Subрoenas duces tecum were served on Company X and Company X’s former counsel (hereinafter Law Firm Y) requiring the production of documents by both the Company and Law Firm Y for use by a District of Kansas federal grand jury which was investigating possible violations of federal laws. Law Firm Y filed a motion to quash the subpoena duces teсum served on it, claiming that the request was burdensome. The district court denied the motion, but the matter was continued to allow the Company opportunity to assert аny objections it might have to production by Law Firm Y of the subpoenaed documents. The Company did file objections to the production by Law Firm Y of certain of thе documents on the grounds that they came within the attorney-client privilege and the work-produet doctrine. Further, the Company also filed objections to its being required to produce certain documents from its own files and records, again claiming attorney-client privilege and the work-product doctrine.
The governmеnt next filed a motion to compel the production of documents by both the Company and Law Firm Y. In support of that motion, the government submitted,
in camera,
a partial transcript of the grand jury proceedings, as well as affidavits.
3
Based thereon, the district court, after hearing, granted the motion to compel on August 17, 1987, holding that any possible privilege on the part of either the Company or Law Firm Y was vitiated by the “crime-fraud” exception discussed in
In re Grand Jury Proceedings
(Vargas),
The denial of a motion to quash a subpoena is interlocutory in nature and not an appealable order.
United States v. Ryan,
The Company argues that the present case comes within an exception to the genеral rule of non-appealability enunciated in
Perlman v. United States,
Accordingly, we hold that this case is not within that “limited class of cases where denial of immediаte review would render impossible any review whatsoever.” ... Thus, the appeal by the community health center is premature. Before it can appeаl from Judge Campos’ order, it must await a contempt citation against its attorney or be able to prove that the attorney will produce the records rather than risk contempt.
Vargas,
As indicated, the district court held that any possible privilege that could be claimed by the Company was negated by the “crime-fraud” excеption. Specifically, the district court held that the government made a
prima facie
showing that the Company through its employees committed crimes and then used Law Firm Y to cover up and perpetuate those crimes through the commission of a second series of crimes and frauds.
6
The district court correctly applied this exception. The attorney-client privilege does not apply where the client consults an attorney to further a crime or fraud.
Clark v. United States,
Petitioner correctly argues that the government must do more thаn allege that an attorney is a target of a grand jury investigation to vitiate the privilege. Before the privilege is lost “there must be ‘prima facie ’ evidence that [the allegаtion of attorney participation in a crime or fraud] has some foundation in fact.” Id. Petitioner, however, argues that certain procedures must be follоwed, including an opportunity for the attorney and client to rebut the prima facie evidence and to be present at any hearing which is intended to establish such a prima facie foundation_ Petitioner misconstrues the law in this circuit. As this court held in its opinion In re September 1975 Grand Jury Term,532 F.2d 734 (10th Cir.1976), “[t]he determination of whether the government shows a prima facie foundation in fact for the charge which results in the subpoena lies in the sound discretion of the trial court.” Id. at 737. In particular, that determination can be made еx-parte and a “preliminary minitrial” is not necessary. Id. at 737-38. Furthermore, the prima facie foundation may be made by documentary evidence or good faith stаtements by the prosecutor as to testimony already received by the grand jury.
Vargas,
Appellant Company argues that the district court erred in applying the crime-fraud exception without first determining that the purpose of the subpoenaed communications was to further a crime or fraud. We disagree with Appellant’s interpretation of the district court’s August 17, 1987, order. There the district court stated:
The threshold inquiry is whether the client consulted the attorney in order to aid in the commission or planning of a crime or tort....
... These [crimes] occurr[ed] during the representation by [Law Firm Y] and the documents sought by the subpoenas are related to that activity.
We construe this language of the district court’s order as complying with
In re September 1975 Grand Jury Term,
The Company’s final argument is that the district court erred in failing to undertake at that time an
in camera
review of all the subpoenaed documents. That argument is аlso answered by
Vargas,
Petitioner also alleges that the trial court abused its discretion in not ordering an in camera inspection of the records. However, once the trial judge has concluded that the privilege does not apply because the government has made such a prima facie showing, the trial court nеed only conduct an in camera inspection of the documents if there is a possibility that some of them may fall outside the scope of the exceрtion to the privilege. After reviewing the scope of the subpoena issued and the nature of the allegations concerning the attorney’s involvement, we believe that the scope of the exception to the attorney-client privilege in the case at bar would be sufficiently broad to cover all of thе documents requested....
In the instant case, the scope of the subpoenas and the grima facie evidence of attorney involvement in the alleged crime and fraud satisfy us that the documents subpoenaed fall within the exception tо the attorney-client privilege and need not be individually examined.
JUDGMENT AFFIRMED.
Notes
. The Company requested that it be permitted to examine one of the affidavits in order that it might mаke "meaningful” resistance to the motion to compel. That request was denied on the ground that the affidavit related to the grand jury proceedings.
. The Company’s initial appeal of the August 17, 1987, order was dismissed by this court on the grounds that the notice of appeal was not timely filed.
See In re Grand Jury Proceedings, Company X,
.See
9 J. Moore, B. Ward & J. Lucas, Moore’s Federal Practice ¶ 110.13[2], at 153 (2d ed. 1987);
In re Sealed Case,
. The trial court properly distinguished between a party who seeks advice from an attorney concerning past crime or fraud and a party who consults an attorney to further a crime or fraud.
