MEMORANDUM OPINION
Petitioners Anderson Straker, Wayne Pierre, Ricardo De Four, Zion Clarke, Kevin Nixon, and Kevon Demerieux were tried and found guilty of two offenses: conspiracy to commit hostage taking, and hostage taking, resulting in death. They were sentenced to concurrent terms of life imprisonment on each count, followed by five years’ supervised release. After, exhausting their direct ■ appeals, petitioners have now filed, motions to vacate their sеntences pursuant to 28 U.S.C. .§ 2255, claiming ineffective assistance, of their former trial and appellate counsel. The United States has filed a motion in each case requesting that the Court issue an order finding that .petitioners have waived the attorney-client privilege with respect to their . ineffective assistance of counsel claims, and authorizing petitioners’ former counsel to.'disclose certain information to the government.
I. LEGAL STANDARD
It is well settled that when a habe-as petitioner raises a claim of ineffective assistance of counsel, courts find a corresponding waiver of attorney-client privilege with respect to former counsel on
The waiver of attorney-client privilege in situations involving claims of ineffective assistance of counsel is also addressed in Rule 1.6 of the District of Columbia Rules of Professional Conduct. D.C. Rule 1.6 states: “A lawyer may use or reveal client confidences or secrets ... (3) ... to the extent reasonably necessary to respond to specific allegations by the client concerning the lawyer’s representation of the client.”
II. ANALYSIS
Petitioners acknowledge that their claims of ineffective assistance of counsel operate as a waiver of the attorney-client privilege, but they argue that the waiver, is limited, and the government’s proposed order should be narrowed in certain respects. See Pet’r’s Resp. to Mot. fоr Order (Pierre) at 1; Pet’r’s Resp. to Mot. for Order (Straker) at 3; Pet’r’s Resp. to Mot. for Order (Demerieux) at 1. Specifically, petitioners contend that:’ (1) the government’s motion is premature, and the Court should police the scope of the waiver by conducting an in camera and ex parte review of specific communications before authorizing disclosure; (2) the government’s proposed order is overbroad; (3) the government should be prohibited from having ex parte communications with petitioners’ former counsel; and (4) a protective order should be entered to ensure that any privileged disclosures cannot be used against petitioners outside of this proceeding or any appeal thereof. The Court addresses these arguments sequentially below.
A. In Camera and Ex Parte Review Prior to Disclosure
Petitioners argue that it would be “premature for the Court to find that the attorney-client privilege has been waived with regard to any specific communications [between petitioners and former counsel].” Pet’r’s Resp. to Mot. for Order (Straker) at 4; see also Pet’r’s Resp. to Mot. for Order (Demerieux) at 1. Instead, citing Johnson v. Alabama,
B. Overbreadth of Government’s Proposed Order
Petitioners argue that the government’s proposed order is оverbroad in two ways. To begin with, they, object to the government’s order to the extent that it suggests that petitioners’ former counsel are required to disclose privileged information to the government. See Pet’r’s Resp. to Mot. for Order (Pierre) at 1-2; Pet’r’s Resp. to Mot. for Order (Straker) at 1; Pet’r’s Resp. to Mot. for Order (Demerieux) at 1-2. .In reply, the government agreed with petitioners on this point and emphasized that the government has only requested that the Court “mеrely ‘authorize’ disclosure of privileged communications, not mandate such disclosures.” See Gov’t’s Reply (Straker, Pierre) at 5. D.C. Rule 1.6 makes it clear that “a lawyer may use or reveal client confidences or secrets ... to the extent reasonably necessary to respond to specific allegations by the client concerning the lawyer’s representation of the client.” D.C. Rule of Profl Conduct 1.6(e)(3) (emphasis added). Further, Ethics Opinion 364 provides that former counsel’s decision to disclose is “permissive, not mandatory” and “the lawyer may choose not to respond because, for example, the
Petitioners next object that the government’s proposed order expansively requires former counsel to provide “any relevant documents in their possession” and to disclose “otherwise confidential or privileged information” if it simply “relates to the defendant’s claims of ineffective assistance.” Pet’r’s Resp. to Mot. for Order (Pierre) at 3 (internal-quotations omitted); see also Pet’r’s Resp. to Mot. for Order (Straker) at 1, 3; Pet’r’s Resp. to Mоt. for Order (Demerieux) at 1-2. Petitioners contend that this broad language encompasses not only attorney-client privileged information but also additional information that former counsel might otherwise have an ethical duty to keep confidential. D.C. Rule 1.6 protects not only privileged information (i.e., “confidences”) but also “secrets” or “other information gained in the professional relationship that the client has requested be held inviоlate, or the disclosure of 'which would be embarrassing, or ... detrimental, to the client.” Ethics Op. 364 at 2 (quoting D.C. Rule of Profl Conduct 1.6(e)(3)). A lawyer’s ethical confidentiality obligation under D.C. Rule 1.6 is not waived when a former client files an ineffective assistance of counsel claim. Id. Rather, in response to an ineffective assistance claim, a lawyer’s discretion to voluntarily reveal protected information is limited to the extent to which the disclosure is “rеasonably necessary to respond to specific allegations by the [former]- client concerning the lawyer’s representation of the client.” Id. at 2 (alteration and emphasis in original) (quoting D.C. Rule of Profl Conduct 1.6(e)(3)).
The Court concludes that both of the petitioners’ overbreadth concerns are sufficiently addressed by incorporating the “reasonably necessary” language from D;C. Rule 1.6 into the government’s proposed order.
C. Ex Parte Communications with Former Counsel
Pеtitioners also argue that the government should be prohibited from ex parte communications with petitioners’ former counsel, outside the supervision of petitioners’ current counsel. See Pet’r’s Resp. to Mot. for Order (Straker) at 6-7; Pet’r’s Resp. to Mot. for Order (Demerieux) at 1-2. In support of this argument, petitioners rely on an Opinion issued by the American Bar Association’s Standing Committee on Ethics and Professional Responsibility interpreting Model Rule 1.6, which stаtes as follows:
It is highly unlikely that a disclosure ‘in response to a prosecution request, prior to a court-supervised response by way of testimony or otherwise, will be justifiable. It will be rare to confront circumstances where trial counsel can reasonably believe' that such prior, ex parte disclosure, is necessary to respond to allegations against the lawyer."
ABA Comm’n on Ethics & Profl Responsibility, Formal Op. 10-456, at 5 (2010). However, this ABA Opinion is not binding on'this Court, interpreted Model Rule 1.6 (which is different than D.C. Rule 1.6) and is contrary to the controlling ethics opinion from this jurisdiction. See Ethics Op. 364 at 1 (“[T]he Model Rule allows disclosure of protected information only , in the
The cases cited by petitioner Straker to support this request are unpersuasive. See Ret’r’s Resp. to Mot. for Order (Straker), at 6r-7. -In both Hudson and Hicks, the court relied on the non-binding (and distinguishable) ABA Opinion and West Virginia Rule of Professional Conduct 1.6 (which differs from D.C. Rule 1.6) when deciding to grant a protective order prohibiting ex parte communication. See Hudson v. United States,
D. Protective Order
Finally, petitioners argue that a protective order should be entered limiting
As petitiоners explain, courts in other jurisdictions, have endorsed the -use of protective orders to prevent prosecutors from using information obtained during the adjudication of an ineffective assistance of counsel claim in a subsequent prosecution of the petitioner. In Bittaker, for example, the Ninth Circuit affirmed a protective order prohibiting the use of privileged attorney-client materials obtained in discovery for any purpose other than litigating the federal habeas petition. Bittaker v. Woodford,
[i]f a prisoner is successful in persuading a federal court to grant the writ, the court should aim to restore him to the position he would have occupied, had the first trial been constitutionally error-free. Giving the prosecution the advantage of obtaining the defense cásenle— and possibly even forcing the first lawyer to testify against the client during the second trial — would аssuredly not put the parties back at the same starting gate.
Id. at 722-23; see also Lambright v. Ryan,
The government relies on one case to oppose petitioners’ request that seems less on point than the cases cited by petitioners. See Gov’t’s Reply (Straker, Pierre) at 4 (citing United States v. Suarez,
Although there is no D.C. Circuit law on point, cases from other circuits and the governing ethics authority in this jurisdiction support petitioners’ request to limit the use of the disclosed information to the ineffective assistance proceeding, including any appeal. The Court will accordingly modify the language in the- government’s proposed order to make this limitation clear. Finally, in its proposed order the government requеsts that this limitation not preclude the government from prosecuting the petitioners for perjury should it be provided with proof of perjury in this § 2255 proceeding. Petitioner Straker does not squarely address this request, and neither petitioner Pierre nor petitioner Dem-erieux offers more than a conclusory statement that it should not apply. The Court will therefore maintain this provision of the government’s proposed order, but make clear that рrivileged communications may not be utilized in any such prosecution.
III. CONCLUSION
For the reasons explained above; the Court:
(1) finds that the petitioners waived-the attorney-client privilege when they filed motions pursuant to 28 U.S.C. § 2255 alleging ineffective assistance of counsel by former trial and appellate counsel; and
(2) concludes that the District of Columbia Rules of Professional Conduct, particularly Rule 1.6(e)(3), permit petitioners’ trial and appellate counsel, and any other person aсting on' the petitioners’ behalf in this case, to disclose to government counsel information that is reasonably necessary to respond to the petitioners’ specific allegations of ineffective assistance, even if there might otherwise be a duty to keep such information confidential.
A separate order is being filed on this date.
Notes
. Gov't’s Mot. for Order (Straker) [ECF No. 916]; Gov’t’s Mot. for Order (Pierre) [ECF No. 917]; Gov’t’s Mot, for Order (De Four) .[ECF No, 920]; Gov’t’s Mot. for Order (Clarke) [ECF No. 930]; Gov’t’s Mot. for Order (Nixon) [ECF No. '931]; Gov’t’s Mot. for Order (Dеmerieux) [ECF No. 945]. Another defendant, Christopher Sealey, only recently filed his motion to vacate and the government has yet to file a similar motion in his case. See Mot. to Vacate (Sealey) [ECF No, 953].
. Pet’r’s Resp, to Mot. for Order (Pierre) [ECF No. 925]; Pet’r’s Resp. to Mot. for Order ■ (Straker) [ECF No. 926]; Pet’r’s Resp. to Mot. for Order (Demerieux) [ECF No. 947], Petitioners De Four, Clarke, and, Nixon have not responded to the government’s motion and their deadline to do so has. now passеd.
. D.C. Rule 1.6(b) defines "confidences” as information protected by the attorney-client privilege under applicable law, and defines "secrets” as other information gained in the professional relationship that the client has requested be held inviolate, or the dis closure of which would be embarrassing, or would be likely to be detrimental, to the client. See D.C. Rule of Prof'l Conduct 1.6(b).
. Indeed, in United States v. Bey Cross, the government filed a motion substantively idеntical to the one at issue here and petitioner responded and requested court supervision of disclosures through in camera and ex parte review. See Pet’r’s Resp. to Mot. for Order [ECF No. 430] at 5, Bey Cross, No. 09-281 (CRC) (D.D.C.). That court adopted the government’s proposed order without any further explanation, and in doing so declined petitioners’ request for in camera and ex parte review. Jan. 18, 2017 Order [ECF No. 460], Bey Cross, No. 09-281(CRC) (D.D.C).
Moreover, petitiоners’ reliance on nonbinding precedent of Johnson v. Alabama,
, The government does not object to the inclusion of the “reasonably necessary” language in its proposed order. See Gov't's Reply (Straker, Pierre) at 7 n.5. ■
