A grаnd jury returned an indictment against Daniel Davis charging him with obstruction of justice in violation of 18 U.S.C. § 1503. Specifically, the indictment alleges that Davis concealed a document during the course of a grand jury investigation. After the grand jury returned the indictment, the government sought and obtained leave from the district court to subpoena, for question *607 ing at trial, Matthias Lydon, an attorney who hаd represented Davis during the portion of the grand jury’s investigation that he allegedly obstructed. After the subpoena was served, Davis filed a motion in limine to bar the proposed questioning on the theory that the testimony the government intended to elicit called for the divulgence of privileged information. The district court denied Davis’s motion, and he appeals. 1
The case against Davis is still pending in the district court. These appeals are interlocutory and, therefore, present significant questions as to our jurisdiction. The jurisdiction of the courts of appeals in criminal cases is, for the most part, limited to “final decisions of the district courts of the United States.” 28 U.S.C. § 1291. The requirement of finality reflects a strong policy against piecemeal review, a policy particularly important in the context of criminal actions where the delays and disruptions of interlocutory appeals are especially troublesome. In fact, it is well settled that, as a general rule, a defendant in a criminal case may not take an appeal from an order denying a motion to suppress evidence.
See, e.g., DiBella v. United States,
The parties, however, rely on the judicially created exception to the finality rule first articulated in
Perlman v. United States,
The parties have apparently failed to apprehend, however, that
Perlman, Klein
and
Velsicol,
the cases cited to us in their jurisdictional statements, all involved pending grand jury proceedings. Because an indictment has already been returned against Davis, the jurisdictional inquiry that we must undertake here is considerably different. In fact,
DiBella v. United States,
Since we will reach the merits, we must more fully set forth the relevant facts. Davis allegedly obstructed a grand jury that was investigating official corruption in the administration of former Cook County Sheriff James O’Grady. Before taking office, O’Grady, along with his undersheriff, James Dvorak, served as an officer of Special Operations Associates, Inc. (SOA), a Chicago security firm. Upon taking office in 1986, O’Grady and Dvorak resigned as officers of SOA but continued to be shareholders in thе company. Michael Caecitolo and the appellant, Davis, also owned shares of SOA and served as its corporate officers after O’Grady and Dvorak left for the sheriffs office.
During O’Grady’s tenure as sheriff, the Cook County Board of Commissioners, upon the recommendation of O’Grady and Dvorak, awarded Home Incarceration Systems of Northern Illinois, Inс. (HISNI), whose sole shareholder was Audrey Tokarz, a contract to provide and service equipment used as part of the County’s home incarceration program. In late 1989, some people, including apparently some in the United States Attorney’s office, suspected that HISNI was actually a front for SOA and that O’Grady and Dvorak had impermissibly used their influence to steer the home incarceration contract to HISNI. A grand jury was convened to investigate, and, on January 3, 1990, Davis was served, as president of SOA, with a subpoena demanding the following:
For the period from January 1986 to the present, any and all ORIGINAL records and ORIGINAL received correspondence, and copies of any and all outgoing correspondence, involving business and/or financial transactions between Special Operations Associates and any of the following persons or entities: Audrey Tokarz; Home Incarceration Systems....
Government’s App. at 5. Shortly after the subpoena was served, Lydon informed the government that he would be representing Davis during the grand jury’s investigation.
On January 8, 1990, Lydon met with an assistant United States attorney and an agent of the Federal Bureau of Investigation. He presented a completely innocent explanation of the relationship between SOA and HISNI. He further disclosed that Davis had made a series of personal loans to Tokarz to “start-up” HISNI. The assistant United States attorney responded that the grand jury was interested in Davis’s relevant personal reсords as well as the corporate records of SOA. He indicated that he would serve a “personal records” subpoena on Davis to supplement the first, corporate-records subpoena. This subpoena was issued on January 9, 1989 and commanded Davis to produce “[a]ny and all ORIGINAL documents, checks and other records of any kind relating to financial, loan, and/or business transactions between Daniel Davis and any of the following persons or entities: Audrey Tokarz; Home Incarceration Systems of Northern Illinois_” Government’s App. at 8.
Caecitolo instructed Betty Ann Wasson, SOA’s office manager, to compile the documents demanded by the January 3 subpoena of SOA’s corporate records. On January 12, 1990, Lydon transmitted to the government the assembled documents under a cover letter stating that they were “all original documents which respond to the subpoena ... dated December 28, 1989.” 4 Government’s App. at 10. On January 16 and February 1, Lydon sent to the government documents demanded by the January 9 personal records subpoena. On May 30,1990, the government learned of the existencе of an unexecuted *609 agreement pursuant to which Tokarz- would have been required to sell, upon demand, all of her HISNI shares to Davis and Gaccitolo at a pre-arranged, bargain price. 5 The next day, Davis delivered to Lydon for the first time an unsigned copy of this proposed agreement. Lydon informed the government of this document’s existence on July 13,1990, more than five months after Davis ostensibly complied with both subpoenas.
Davis himself then became the target of a grand jury probe. Lydon was subpoenaed to testify before the grand jury. In response to certain questions put to him about his dealings and conversations with Davis regarding Davis’s compliance with the subpoenas, Ly-don asserted the attorney-client privilege. Davis was nevertheless indicted. The government thereafter informed Lydon of its intention to call him as a witness at Davis’s trial. The government also informed Lydon of its position that Davis had waived his attorney-client privilege as to communications with Lydon under the so-called “crime/ fraud exception.” This prompted Davis to file a motion in limine, the denial of which is the subject of thesе appeals, seeking to bar. the government’s proposed questioning of Lydon.
The theory of the government’s case against Davis is best stated in the indictment returned against him: “Davis ... corruptly endeavored to influence, obstruct and impede the due administration of justice, in that [Davis] concealed and intentionally failed to produce ... in response to the grаnd juries’ subpoenas, a document in the form of an agreement or proposed agreement [between Davis and Tokarz].” Government’s App. at 211. The government’s theory that certain of Davis’s communications with Lydon fall outside the attorney-client privilege rests on the assertion that Davis used Lydon as his agent in perpetrating-this obstruction. The district court concludеd that the government had established a “prima facie” case that Davis had “trick[ed] [Lydon] into providing false information to a. grand jury during an investigation” and that their conversations in the course of this conduct are “not protected by the attorney-client-privilege.” United States v. Davis, No. 91 CR 637, slip op. at 15 (N.D.Ill. July 1, 1992) (hereinafter Mem.Op & Ord.). We agree and thus affirm.
Our decision in this regard is governed by
Matter of Feldberg,
The linchpin of the district court’s conclusion that Davis has waived the attorney-client privilege under the crime/fraud exception is its finding that
the plain language of the [January 3] subpoena indicates that the unexecuted аgreement could have fallen within its scope and lends support to the government’s charge that the defendant knew that the document was pertinent to the investigation of HISNI and SOA’s relationship. There *610 fore, the existence of the subpoena lends support to the government’s charge that the defendant used his attorney-client relationship to conceal this document from the government.
Mem.Op. & Ord. at 10. 7 Davis concedes that these circumstances require an explanation. Along this line, Davis contends that the district court erred because the proposed agreement was not subject to the January 3 subpoena and that if anyone concealed the document it was Caccitolo not he. Davis might be right. To secure a conviction on the crime charged in the indictment, the government will presumably have to prove, beyond a reasonable doubt, that the unexecuted agreement was within the reach of one of the two subpoenas served on Davis and that he intentionally concealed it. 8 But at this stage of the proceedings, the government need not prove its сase. All that is needed is something “to give color to the charge” that Davis used Lydon as his agent in obstructing the grand jury’s investigation. Whether pale or rich or vivid, there is indubitably color here.
The district court explained that the proposed agreement might be included under, the description “original correspondence,” Mem.Op. & Ord. at 9, and, if the document was sent to Davis or Caccitolo in their official capacities, this is certainly a plausible conclusion. The district court also noted, quite reasonably we find, that the phrase “original records” could reach “all documents relating to SOA.” Id. Keeping in mind Davis’s and Caccitolo’s significant proprietary interests in SOA, as well as their positions as corporate officers, it does not defy reason to conclude that the document in question was somehow related to SOA. Wasson’s testimony to the grand jury that she prepared the proposed agreement while working as SOA’s office manager further supports this conclusion. Government’s App. at 55-57. Davis merely contends that the document could not have been a corporate rеcord of SOA because “the document was kept in a file containing only Davis’ personal records.” Appellant’s Br. at 27. If this were true, corporate officers could remove any document from the reach of persons investigating the corporation itself merely by putting it in a file marked “personal.” We cannot credit an argument that would invite such patent abuse.
Davis also argues that the document in Davis’s possession was not an “original” but a copy. The district court, however, concluded that “the word ‘original’ can also be used to describe more than one copy of a document as long as these copies are made at the same time as the first copy.” United States v. Davis, No. 91 CR 637, slip op. at 6 (N.D.Ill. July 22, 1992). And Wasson testified tо the grand jury that she made three photocopies of the proposed agreement, including the one in Davis’s “personal file,” at the same time that she prepared the “original.” Government’s App. at 62. The district court essentially held that an “original” is the document itself and anything else the parties intend to treat as such. Photocopies made contеmporaneously with the completion of the “primary” version of the document would readily satisfy this definition. This rationale is consistent with Federal Rule of Evidence 1001(3) and is not an abuse of discretion.
In sum, we conclude that the district court did not abuse its discretion in finding a prima facie case, which Davis did not adequately rebut, that Davis engaged his attorney in fraudulent or criminal аctivity. We have noted the district court’s primary reason for finding that Davis had waived the attorney-client privilege under the crime/fraud exception: Davis apparently represented through his attorney that he had complied with the January 3 subpoena when he knew that he had not. This reason seems adequate, and we conclude that it alone could support the court’s denial of Davis’s motion seeking to bar Lydon’s testimony. We have also reviewed the other justifications that the district court offered in support of its decision. See Mem.Op. & Ord. at 10-14. These other *611 points also tend to show that Davis was attempting to conceal the existence of the proposed agreement and was using his attorney for that purpose. They buttress the conclusion that Davis has lost his right to assert the attorney-client privilege.
The attorney-client privilege is of crucial importance to our jurisprudence, and its derogation is not to be undertaken lightly. The privilege is waived, however, when the client uses the attorney-client relationship to engage in fraudulent or criminal activity rather than merely to defend against chargеs. The district court expressly limited the government’s inquiry to “asking Lydon whether, during the course of his representation of Davis, Davis admitted lying to him about the existence of the pertinent document and his compliance with the grand jury’s subpoena.” Mem.Op. & Ord. at 15-16.
Compare Feldberg,
For the foregoing reasons, the judgment of the district court is Affirmed.
Notes
.Two appeals have been consolidated in the present case. Number 92-2822 challenges the district court's denial of Davis's initial motion in limine as well as his first motion for reconsideration. Numbеr 92-3153 contests the district court’s denial of Davis's objections to certain material the government submitted to supplement the record. The district court construed these objections as yet another motion for reconsideration.
. Lydon has not been held in contempt.
. Davis's motion in limine is such an intervention.
. The grand jury issued the SOA corporate records subpoena, served on Davis on January 3, 1990, on December 28, 1989.
. Since Davis and Caccitolo were officers and shareholders of SOA, the existence of this proposed agreement was important evidence in the government’s continuing investigation of a link between HISNI and SOA.
. We decline Davis's invitation to overrule Feld-berg.
. The government argues that the same reasoning could be invoked with respect to the January 9 subpoena for Davis’s personal records. But the district court made no reference to the second subpoena. Since we are reviewing the district court’s decision for an abuse of discretion, we will limit our discussion to matters addressed by the district court.
. Although the government may also be right that a person can violate 18 U.S.C. § 1503 in a host of ways, Davis is charged here only with concealing and failing to produce a document in response to certain grand jury subpoenas.
