Opinion
Plaintiff Noble sued Sears, Roebuck and Co., Sears’ attorneys, Sam Pruitt Investigations, and certain persons working for Sam Pruitt Investigations, charging 10 counts. The 10 counts alleged: Trespass; battery; fraud; negligently caused physical, mental and emotional injuries; invasion of attorney-client relationship; invasion of privacy; negligent entrustment of agents (two counts); conspiracy; violation of statutory duties; and violation of attorneys’ ethics. We are here concerned only with the counts which charged respondents. Sears and its attorneys, namely the fifth; sixth and seventh causes of action. 1 Respondents’ demurrers to those *657 causes of action were sustained and plaintiff has appealed from the resulting order of dismissal.
I
Preliminarily, we note that the respondents ask us to take judicial notice, in support of the order below, of certain statements made by plaintiff in depositions taken during the time the pleadings were being settled. They rely on the language in
Saltares
v.
Kristovich
(1970)
II
We set out certain facts alleged which form the background for the three causes of action in the complaint which are before us on this appeal.
Mrs. Nobel was the plaintiff in an action against Sears for personal injuries allegedly caused while she was shopping in a Sears store. The attorney defendants were employed by Sears to defend that action. Defendant Pruitt, an investigator, was hired to assist in preparing the defense. The attorneys desired to take the deposition of a man named Bohm, who had accompanied plaintiff on her shopping trip. That effort was frustrated because plaintiff either could not procure or did not have an address for Bohm. In an effort to secure the address from plaintiff, an employee of Pruitt, named Lemon, gained admittance to a hospital room where plaintiff was confined and, by deception, secured the address. It is that alleged invasion, and Lemon’s conduct while in the room, which form the basis for plaintiff’s claim of injury.
Ill
The briefs discuss the liability of a client for conduct of so-called “house counsel.” The complaint before us alleges that Pruitt and Lemon were hired by both Sears and its attorneys and that both the attorneys and Sears retained the right to control the activities of Pruitt and Pruitt’s employees. Consequently, on the record before us, we need not reach the question of any vicarious liability on the part of Sears for the attorneys’ *658 conduct. Insofar as the conduct of Pruitt and Lemon is concerned, the complaint alleges conduct by Sears itself. 2
IV
Plaintiff’s first argument is that the intrusion into the attorney-client relationship between plaintiff and her attorneys, as alleged in plaintiff’s fifth cause of action, is a tort, for which the client may recover damages.
Rule 12 of the Rules of Professional Conduct provides: “A member of the State Bar shall not communicate with a party represented by counsel upon a subject of controversy, in the absence and without the consent of such counsel. This rule shall not apply to communications with a public officer, board, committee or body.” Plaintiff argues that violations of rule 12 by attorneys render such attorneys liable in damages. There is no authority for plaintiff’s contention. A violation of rule 12 subjects an attorney to disciplinary proceedings
(Abeles
v.
State Bar
(1973)
Plaintiff cites the case of
Souder
v.
Pendleton Detectives
(La.App. 1956)
The dictum in the case of
Harmatz
v.
Allstate Insurance Company
(S.D.N.Y. 1959)
V
Plaintiff argues that an “unreasonably intrusive” investigation, which plaintiff has alleged in her sixth cause of action, is a tort for which damages are recoverable. We agree. Various courts have recognized that an intrusive investigation may give rise to a cause of action for damages. The Florida Supreme Court recognized that an investigation done by trailing and shadowing a claimant could amount to an actionable invasion of privacy, if it is unreasonably intrusive.
(Tucker
v.
American Employers’ Insurance Company
(Fla.App. 1965)
A Georgia court also has held that an investigation done in a frightening manner may provide a cause of action against a detective agency.
(Pinkerton National Detective Agency, Inc.
v.
Stevens
(1963)
In California, the Supreme Court has recognized, in dicta, that a private investigation may give rise to a cause of action for damages for invasion of the right to privacy. The court said in
Redner
v.
Workmen’s Comp.
*660
Appeals Bd.
(1971)
Therefore, we hold that an unreasonably intrusive investigation may violate a plaintiff’s right to privacy. The theory of plaintiff’s complaint, as set forth in the first cause of action (incorporated by reference into the sixth) is that she had, at least as against Sears, Pruitt, Lemon and respondent attorneys, an exclusive right of occupancy of her hospital room. 6 Assuming that that theory is sustained by proof, the other conduct alleged against Lemon would seem to fall within the concept of unreasonably intrusive investigation.
Insofar as the sixth cause of action is concerned,, plaintiff’s case involves a second step, namely that, assuming that Pruitt and Lemon are liable for the allegedly unlawful invasion of plaintiff’s room and for Lemon’s conduct thereafter, the attorneys and Sears, who hired Pruitt and Pruitt’s staff, are liable for the torts of those investigators.
Plaintiff relies on
Martin
v.
Leatham
(1937)
Plaintiff also argues that Sears and its attorneys are liable because, where a corporation undertakes an activity involving possible danger to the public under a license or franchise granted by public authorities, these liabilities may not be evaded by delegating performance to an independent
*661
contractor.
(Taylor
v.
Oakland Scavenger Co.
(1941)
Different jurisdictions have examined problems similar to the one before this court, and they have reached a variety of conclusions. A brief examination of the case law elsewhere reveals that a hirer is not liable for the torts of security personnel supplied by an independent agency where the hirer did not exercise control (see
Clinchfield Coal Corporation
v.
Redd
(1918)
Other courts have found that the hirer of a detective bureau agency is not liable for the intentional tort of the detective agency, on the theory that the relationship was that of independent contractor and employer and there was an absence of right to control.
(Inscoe
v.
Globe Jewelry Co.
(1931)
Some courts distinguish the use of detective personnel, on a temporary contract investigating a single event, from security personnel hired for the general protection of property, finding that the hirer is not liable for inten
*662
tional torts, such as false arrest, committed by the personnel of the investigatory agency (see discussion in
Milton
v.
Missouri Pac. Ry. Co.
(1906)
In California there is little law directly on the subject before us. Respondent Sears’ cases,
Maggi
v.
Pompa
(1930)
Our research has disclosed some rather weak authority on the question before us. In
Weir
v.
Continental Oil Co.
(1935)
In
Alterauge
v.
Los Angeles Turf Club
(1950)
The case of
Draper
v.
Hellman Com. T. & S. Bank
(1928)
Thus it appears that in California the hirer of a detective agency for either a single investigation or for the protection of property, may be liable for the intentional torts of employees of the private detective agency committed in the course of employment. 8
Thus, plaintiff has stated a cause of action against the hirer for the intentional tort of the private detective agency. Whether or not the tort was committed in the scope of employment is a question of fact not to be decided on demurrer. What we have said above is consistent with the related rule that the attorney at law who, as principal, employs other attorneys to collect a judgment and who authorized them to levy on property owned by the debtor may be held responsible for the acts of the agent attorneys within the scope of their authority.
(Gudger
v.
Manton
(1943)
VI
The seventh cause of action appears to allege liability on two theories: (1) negligent supervision, and (2) negligent entrustment.
Plaintiff app; s to be attempting to allege a duty on the part of Sears and its attorneys to supervise their agents, and that failure to exercise supervision constitutes negligence. Although a principal may be liable for the torts of an agent committed in the scope of authority
(Turner
v.
N. B. & M. R. R. Co.
(1868)
The Restatement of Agency (2d ed. 1958) section 213, states: “A person conducting an activity through servants or other agents is subject to liability for harm resulting from his conduct if he is negligent or reckless: . . . *664 (c) in the supervision of the activity; . . As will be noted, the liability thus stated attaches only where the supervision (or lack thereof) is negligent or reckless. We are cited to no authority, nor have we found any authority basing liability on lack of, or on inadequate, supervision, in the absence of knowledge by the principal that the agent or servant was a person who could not be trusted to act properly without being supervised. As so limited, the concept adds little, if anything, to the concept of liability for wrongful or negligent entrustment, which we now discuss.
Plaintiff alleges negligence in choosing the Pruitt detective agency to do its investigation. Under this allegation, whether defendants were negligent in choosing Pruitt is a matter of fact to be determined, based on the evidence. The fact that Pruitt was a licensed detective agency is one fact to be considered in determining whether the lawyers and Sears were negligent in their choice, but we cannot say on the record before us that, as a matter of law, this was sufficient to show that Sears and its attorneys exercised reasonable care in their choice.
The demurrer to the seventh cause of action should not have been sustained.
The judgment (order of dismissal) is affirmed as to the fifth cause of action; it is reversed as to the sixth and seventh causes of action. Appellant shall recover her costs in this court.
Jefferson, Acting P. J., and Dunn, J., concurred.
Respondents’ petition for a hearing by the Supreme Court was denied September 19, 1973.
Notes
The ninth count, which involved the present respondents, was voluntarily dismissed by plaintiff.
The allegations concerning the status of the defendant attorneys, contained in paragraphs III, IV and V of the first cause of action (incorporated by reference in the fifth, sixth and seventh causes of action) do not seem to us to allege any relation between those defendants and Sears differing from the usual relationship of attorney and client. At this stage we cannot know what evidence there may be to show a different relationship or whether the relationship ultimately shown would make applicable, by analogy, the rule announced in
Rannard
v.
Lockheed Aircraft Corp.
(1945 )
Each count of the complaint incorporates, in full, each prior count. Whether this renders the complaint specially demurrable under Code of Civil Procedure, sections 430.10, subdivision (e), and 425.20, we need not determine, as the problem is not raised.
That dictum is: “The penalty for violations of this rule [the New York version of California’s rule against unauthorized contact by attorney of one party with the adverse party when the adverse party is represented by counsel] is not a personal action for damages by the aggrieved attorney. If any damages were suffered as a result of the conduct of the defendant they may well have been damages of Maria, but no such damages are alleged in the complaint.” (Italics supplied.)
Since no cause of action is stated against the attorneys, we do not reach the issue of vicarious liability of Sears under the fifth cause of action.
In
Forster
v.
Manchester
(1963)
The complaint speaks in terms of “possession” and of “trespass”; we rephrase the concept in bur text in less technical terms.
In Milton the detective was not acting in the scope of his employment, and this was the determinative factor in the court’s decision. However, there is some discussion distinguishing personnel hired for an investigation from personnel hired to protect property.
We do not consider herein the liability or nonliability of the hirer for negligent torts of the employees of a detective agency.
