Fredrick And Annalesa Thomas, Apps v. Pierce County Prosecuting Attorney's Office, Resp

Court: Court of Appeals of Washington
Date filed: 2015-10-19
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      IN THE COURT OF APPEALS OF THE STATE OF WASHINGTON

FREDERICK and ANNALESA
THOMAS,                                        DIVISION ONE


                    Appellants,                No. 73360-5-1

                                               UNPUBLISHED OPINION

PIERCE COUNTY PROSECUTING
ATTORNEY'S OFFICE,

                    Respondent.                FILED: October 19, 2015



      Dwyer, J. — Frederick and Annalesa Thomas's son was killed in an

officer-involved shooting. Before a charging decision was made in connection

with the shooting, the Thomases made a public records request to the Pierce

County Prosecuting Attorney's Office (PCPAO) for all documents related to the

shooting. The PCPAO denied this request, claiming that the requested records

were exempt from disclosure pursuant to RCW 42.56.240(1), the law

enforcement exemption, and CR 26, the work product rule. The Thomases

brought suit, alleging that the denial was improper. On cross motions for
summary judgment, the trial court granted summary judgment in the PCPAO's

favor. We now affirm.
No. 73360-5-1/2


                                         I


      In the early morning hours of May 24, 2013, after a lengthy standoff,

Officer Brian Markert shot and killed Leonard Thomas. Significant evidentiary

disputes exist between the parties with regard to the circumstances of the

shooting but, as the trial court correctly observed in its order on summary

judgment, "very few of [these disputes] are material to the questions presented in
this summary judgment motion." In sum, the Thomases believe that the police

shot Thomas without good reason, while the PCPAO asserts that the police had

lawful cause to shoot Thomas. The police believed that Thomas was mentally

unstable and was holding his child as a shield or hostage during a tense standoff.
They claim the situation was highly unstable and dangerous. The Thomases
describe a much a different situation, and argue that the police overreacted to a

situation about which they did not know enough.

       On May 29, 2013, five days after the shooting, the Thomases made their
first cluster of public records requests pursuant to Washington's Public Records
Act (PRA), 42.56 RCW, seeking records from the various law enforcement
agencies that were investigating the shooting (but not the PCPAO). With one
exception, the agencies responded to the Thomases' request by denying access
to the records based on the fact that there was an "open and active

investigation." The agencies asserted that they were conducting investigations
into whether any officer should be charged with a criminal offense arising out of
the standoff or the shooting.

       On August 5, the Thomases sent the PCPAO a letter requesting, "all files,
No. 73360-5-1/3



records, and documents containing any information regarding the shooting of

Leonard Thomas." The subject line of the letter identified it as a "public records

request."1

       On August 28, 2013, Fife Police Detective Thomas Gow, the lead

detective investigating the shooting of Leonard Thomas, presented a summary of

his investigation to the PCPAO.2 Approximately one week prior to delivering the

summary, Detective Gow provided the entirety of his investigatory materials to

the PCPAO.

       On September 3, 29 days after the Thomases' public records request, the

PCPAO denied the request, setting forth two reasons for the denial. First, it

denied the request pursuant to RCW 42.56.240(1), asserting that the records

were "essential to effective law enforcement." Second, the PCPAO denied the

request because, it asserted, the materials in the PCPAO's file were gathered in

anticipation of litigation and, thus, constituted work product.

       On September 4, the Pierce County Prosecuting Attorney announced his

finding that the shooting of Leonard Thomas was legally justifiable and that the
PCPAO would not file criminal charges against any of the law enforcement

officers involved.

        The Thomases did not seek to clarify PCPAO's denial of their PRA

request between September 3 and October 3, nor did they explain to the PCPAO
why the denial of these records constituted a substantial hardship or

         1This letter was received by the PCPAO on August 6. Thus, the partiessometimes refer
to this request as the August 6 request. We will refer to it by the date that the letter was sent,
August 5.
        2Felony crimes investigated by the Fife Police Department are almost universally
referred to the PCPAO for charging decisions.
No. 73360-5-1/4



communicate why they could not obtain the records elsewhere. In fact, they had

no communication whatsoever with the PCPAO during this period.

       On October 3, the Thomases sent a letter to the PCPAO in which they

acknowledged receipt of the PCPAO's denial of their August 3 records request.

The letter went on to remind the PCPAO that, the day following the denial, the

Prosecutor had ruled the Thomas shooting justifiable. The Thomases then made

the following request:

       Would you please clarify and/or confirm that your statement of
       September 3, 2013 remains in effect and that the Prosecuting
       Attorney's Office will not release any documents pursuant to our
       August 6, 2013 request, notwithstanding the decision that no
       criminal charges will be filed against any of the officers involved in
        that matter?

       The PCPAO responded to this letter on October 7, stating,

        [0]ur September 3, 2013 letter remains in effect and ... the
        Prosecutor's Office will not release any documents pursuant to your
        August 6, 2013 request. . . .

        Please see page two of our September 3, 2013 letter to you which
        states in part, "the work product privilege continues even after the
        prospect of litigation has terminated."

        The records requested by the Thomases consisted entirely of police

reports and other documents generated by law enforcementofficials that were
collected by the PCPAO in preparation for making its decision regarding whether
to file criminal charges against any law enforcement officer in the Leonard
Thomas shooting.3 Keith Barnes, an investigator with the PCPAO, accomplished


          3In its briefing, the PCPAO confuses the issue on this point. The Thomases make clear
that, at least at this stage ofthe litigation, they are only challenging the denial of records thatthe
prosecutor's investigator, Keith Barnes, took no part in creating.
                 There is no confusion about the scope of [the Thomases'] work product
        challenge—it encompasses only those documents created by third-party police
No. 73360-5-1/5



the collection of these documents by using a law enforcement records computer

system that allowed him to access all of the documents related to the

investigation. Without making a specific request therefor, Barnes also received a

binder containing "a complete copy of the Fife Police Department's investigation

file regarding the . . . shooting" from Gow. By all accounts, Barnes engaged in

no culling or analyzing when gathering this material. To the contrary, pursuant to

the strict rules requiring the gathering of all investigative materials from every

agency working on an investigation,4 he simply gathered every document

produced by any law enforcement agency that worked on the investigation and

converted it into the PCPAO's file.

       The documents that Barnes collected for the PCPAO's file are the

documents the Thomases sought in their PRA request.

                                                II


       The Thomases contend that the PCPAO violated the PRA by denying

them access to the records they requested. The PCPAO contends to the

contrary, asserting that the requested records were exempt from disclosure
under both the law enforcement exemption (RCW 42.56.240(1)) and the work

product rule (CR 26). If the PCPAO was correct regarding the applicability of

       agencies where the [PCPAO's] Investigator (Keith Barnes) played no role, except
       to rotely move the reports or witness interviews from one place to another. See
       [Clerk's Papers (CP)j CP 131, 134-35, 199. As the trial court accurately found,
       "In this case, the prosecutors literally just requested all documents from all law
       enforcement agencies involved in the shooting, and then placed those
       documents into their files." CP 220. As before the trial court, [the Thomases] do[]
       not seek production of documents that Mr. Barnes created or witness interviews
       he may have conducted. For purposes of this appeal, the only records at stake
       are those created independent of Mr. Barnes.
Appellants' Reply Br. at 6 (footnote omitted).
       4 See CrR4.7; Bradv v. Maryland. 373 U.S. 83, 87, 83 S. Ct 1194, 10 L Ed. 2d 215
(1963); In re Brennan. 117 Wn. App. 797, 802-03, 72 P.3d 182 (2003).
No. 73360-5-1/6


either exemption, then the records were properly withheld, and there was no

PRA violation.5

       Before we can determine the applicability of the claimed exemptions, we

must resolve the parties' dispute regarding which PRA request is herein at issue.

                                               A


       We review de novo a trial court's order granting summary judgment.

Estate of Haselwood v. Bremerton Ice Arena, Inc., 166 Wn.2d 489, 497, 210

P.3d 308 (2009) (citing Biqqers v. City of Bainbridae Island, 162 Wn.2d 683, 693,

169 P.3d 14 (2007)). Summary judgment is appropriate "if the pleadings,

depositions, answers to interrogatories, and admissions on file, together with the

affidavits, if any, show that there is no genuine issue as to any material fact and
that the moving party is entitled to a judgment as a matter of law." CR 56(c);

Owen v. Burlington N. & Santa Fe R.R. Co.. 153 Wn.2d 780, 787, 108 P.3d 1220

(2005). In determining whether a genuine issue of material fact exists, we view
all facts and draw all reasonable inferences in favor of the nonmoving party.

Owen, 153 Wn.2d at 787 (citing Ruff v. King County, 125 Wn.2d 697, 703, 887

P.2d 886 (1995)).

       The function of a summary judgment proceeding is to determine
       whether a genuine issue of material fact exists. It is not... to
       resolve issues of fact or to arrive at conclusions based thereon.
       State ex rel. Zempel v. Twitchell, 59 Wn.2d 419, 424-25, 367 P.2d
        985 (1962). Consequently, . . . findings of fact and conclusions of
        law entered [on summary judgment] are superfluous and may not
        be considered to the prejudice of the [non-prevailing party].

Duckworth v. Citv of Bonnev Lake, 91 Wn.2d 19, 21-22, 586 P.2d 860 (1978).

        5The PRA is violated when an agency improperly withholds records from a requestor. It
is the fact that a record was withheld when it should have been made available that constitutes a
violation. RCW 42.56.550.
No. 73360-5-1/7



                                                  B


        The parties herein dispute the effect of the Thomases' October 3 letter.

The Thomases contend that this letter constituted a new records request. The

PCPAO claims that the wording of the letter plainly sets forth a request for the

PCPAO to clarify its response to the Thomases' August 5 request. Thus, the

PCPAO asserts, the August 5 request is the only request at issue. The PCPAO

has the better of this dispute.

        The PRA is a strongly worded mandate for broad disclosure of public

records. We liberally construe the act, and narrowly construe its exemptions in

favor of disclosure. Soterv. Cowles Publ'q. Co.. 162 Wn.2d 716, 731, 174 P.3d

60 (2007); accord RCW 42.56.030. However, "the P[R]A 'only applies when

public records have been requested. In other words, public disclosure is not

necessary until and unless there has been a specific request for records.'" Wood

v. Lowe, 102 Wn. App. 872, 876-77, 10 P.3d 494 (2000) (quoting Bonamv v. City

of Seattle, 92 Wn. App. 403, 409, 960 P.2d 447 (1998)). A "'specific request for

records'" occurs when "the person requesting documents from an agency state[s]

the request with sufficient clarity to give the agency fair notice that it had received

a request for a public record."6 Wood, 102 Wn. App. at 878 (emphasis added).


        6The fair notice requirement is one of the few burdens placed on requestors. Atoral
argument, counsel for the Thomases suggested, in effect, that we eliminate this threshold
requirement and, instead, treat a lack of fair notice as a mitigating factor in assessing statutory
penalties. In supportof this argument, counsel cited Yousoufian v. Office of Ron Sims, 168
Wn.2d444, 229 P.3d 735 (2010), which included the lack of clarity regarding the subject of a
request in a list of mitigating factors when assessing penalties. But Yousoufian addressed a lack
ofclarity with regard to precisely which records were being requested, not regarding whether a
records request was being made at all. 168 Wn.2d at 454. This is a crucial difference.
        Ifit is clear that a request has been made, even if the subject of the request is unclear,
the agency has been notified that it must engage in an interactive process with the requestor to
clarify and respond to the request. Hobbs v. Wash. State Auditor's Office. 183 Wn. App. 925, 941
No. 73360-5-1/8


In other words, at a minimum, the PRA "require[s] that requests be recognizable

as PRA requests." Beal v. City of Seattle, 150 Wn. App. 865, 876, 209 P.3d 872

(2009). However, "fair notice" does not require the requestor to cite the PRA in

his request. Wood, 102 Wn. App. at 878. Moreover, "there is no official format

for a valid P[R]A request." Hangartner v. City of Seattle, 151 Wn.2d 439, 447, 90

P.3d 26 (2004). In determining whether a purported request provided the target

agency sufficient notice that it was a records request, we look to the information
included on the face of the "request." See Koeniq v. Citv of Pes Moines, 158

Wn.2d 173, 183-84, 142 P.3d 162 (2006) (holding that, in order to promote

uniform disclosure, courts must focus on the information available within the four

corners of the document in determining whether an exemption applies to a given

record).

       The relevant part of the October 3 letter is as follows:

       Would you please clarify and/or confirm that your statement of
       September 3, 2013 remains in effect and that the Prosecuting
       Attorney's Office will not release any documents pursuant to our
       August 6, 2013 request, notwithstanding the decision that no
       criminal charges will be filed against any ofthe officers involved in
       that matter?

(Emphasis added.)

       The trial court made two observations regarding this request: "(1) The

October 3, 2013 letter was unclear, [ujnartful, and lent itself to confusion; but, (2)
Any such request related to records under the PRA should have been broadly

n.12, 335 P.3d 1004 (2014). Where an agency has been alerted to the fact that itsstatutory
responsibilities have been triggered, it is reasonable to hold the agency accountable for its
responsiveness. By contrast, where an agency has not been so alerted and, moreover, it is
within the requestor's power to put the agency on notice, it is unreasonable to hold the agency
responsible for its lack of response. The fair notice requirement is an important aspect of PRA
jurisprudence.


                                              -8-
No. 73360-5-1/9


interpreted per the intent of the legislature." It then concluded "that the October

3, 2013 letter constituted a subsequent PRA request."

       The trial court's conclusion that the October 3 letter stated a records

request with sufficient clarity to give the PCPAO fair notice that its PRA

responsibilities had been triggered is contrary to the record. On its face, the

October 3 letter did not state a new records request. The letter did not declare

itself to be a PRA request, nor did it otherwise communicate that its purpose was

to request records. Instead, the letter clearly requested a clarification or

confirmation from the PCPAO regarding its response to an earlier records

request.7 In order to reach the conclusion suggested by the Thomases, the law

would have to require that the PCPAO read ambiguity into the unambiguous

letter. The law does not so require.

        Moreover, the Thomases' assertion that the October 3 letter really was

intended as a new records request is undermined both by the sharp contrast

between the Thomases' October 3 and August 5 letters and by their own

treatment of the letter at the time it was sent and for some time thereafter.8

Unlike their October 3 letter, the Thomases' August 5 letter clearly communicated

that itwas a records request. In fact, the August 5 letter stated that it was a

"public records request" both in the letter's subject line and in the first sentence of

        7"[Pursuant to our August 6, 2013 request        "
        8 In turning to other interactions between the parties, we apply an interpretive approach
from contract law.
        Courts faced with questions of contract interpretation must discern the intent of
        the contracting parties, and may consider evidence extrinsic to the contract itself
        for that purpose .... [S]uch evidence may include ... the circumstances under
        which the [contract] was made [and] the parties' conduct thereafter.
Hearst Commc'ns. Inc. v. Seattle Times Co.. 120 Wn. App. 784, 791, 86 P.3d 1194 (2004) (citing
Bera v. Hudesman, 115 Wn.2d 657, 667-68, 801 P.2d 222 (1990)), affd, 154 Wn.2d 493, 115
P.3d 262 (2005).
No. 73360-5-1/10


the body text. The Thomases' demonstrated ability to state a clear records

request suggests that, contrary to their present assertion, they did not intend for

the October 3 letter to be a new PRA request.

       Furthermore, until the underlying litigation had progressed significantly,

not even the Thomases treated the October 3 letter as if it were a separate

request. The Thomases did not, for example, reply to the PCPAO's response to

their October 3 letter by either clarifying that they were making a new request or

accepting the response as a denial and communicating a substantial need for the

records. In terms of the underlying litigation, the Thomases did not refer to the

October 3 letter as a separate request in their complaint. Notably, the Thomases

also did not list the October 3 letter as a request in response to an interrogatory

from the PCPAO asking them to "[l]ist all public records requests to every law

enforcement or governmental agency from which plaintiffs . . . have sought
documents in connection with the incident involving Leonard Thomas of May 24,

2013."9 In fact, the first time that the Thomases averred that the October 3 letter

was a separate PRA request was in their response to the PCPAO's motion for
summary judgment.10

        In short, we are persuaded—by the content ofthe October 3 letter itself,
the contrast between this letter and the Thomases' August 5 request, and the

Thomases' own treatment of the October 3 letter—that the October 3 letter would



        9The Thomases listed their responses chronologically. Proximate to October 3, they
listed only the following requests:
         8/5/2013 PRA Request to Pierce County Prosecutor
         12/2/2013 PRA Request to Pierce County Prosecutor
        10 Therein, they refer for the first time to "both the[ir] August 5 and October 3 PRA
requests."


                                               -10-
No. 73360-5-1/11


not have put the PCPAO on notice that it had received a records request and,

thus, did not constitute a new request under the PRA.

       In their appellate reply brief, the Thomases assert that "only" their

"October 3, 2013 request is at issue." Appellants' Reply Br. at 3. Thus, our

determination that, in fact, there was no October 3 request is dispositive of the

Thomases claim regarding whether records were improperly held in response to

that "request." For the sake of clarity and completeness, we nevertheless

address the propriety of withholding the records pursuant to the exemptions

claimed by the PCPAO, which is the primary focus of the parties' appellate

briefing.

                                          C


        In its motion for summary judgment, the PCPAO contended that the

requested records were exempt under the effective law enforcement exemption.
This is so, it asserted, because—at the time of the request—the records were

part of an open, ongoing investigation. The PCPAO is correct.
        Once documents are determined to be within the scope of the PRA,

disclosure is required unless a specific statutory exemption applies. Dawson v.
Daly, 120 Wn.2d 782, 789, 845 P.2d 995 (1993); accord RCW 42.56.070(1). The

burden of proof is on the party seeking to prevent disclosure to show that an
exemption applies. Limstrom v. Ladenburg, 136 Wn.2d 595, 612, 963 P.2d 869
(1998); accord RCW 42.56.540, .550(1).
        The effective law enforcement exemption to the PRA provides that the

following information is exempt from disclosure:



                                          11
No. 73360-5-1/12


      Specific intelligence information and specific investigative records
      compiled by investigative, law enforcement, and penology
      agencies, and state agencies vested with the responsibility to
      discipline members of any profession, the nondisclosure of which is
      essential to effective law enforcement or for the protection of any
      person's right to privacy.

RCW 42.56.240(1).

      The statute first requires that the information be compiled by law

enforcement. "[A]ny documents placed in [a law enforcement] investigation file

satisfy the requirement that the information is compiled by law enforcement."
Newman v. King County, 133 Wn.2d 565, 573, 947 P.2d 712 (1997). This is so

even if the documents "remain available in their original and unprotected

capacity." Newman, 133Wn.2d at 573. The statute also requires that the
documents be essential to effective law enforcement.

             Typically, the agency claiming exemption must prove that
       nondisclosure of the particular requested documents is essential to
       effective law enforcement. However, [our Supreme Court] has held
       that the effective law enforcement exemption applies categorically
       in a narrow set of circumstances.

Sargent v. Seattle Police Dep't, 179 Wn.2d 376, 387, 314 P.3d 1093 (2013).

       To qualify for a categorical exemption, documents must be part ofan
open, ongoing investigation related to law enforcement proceedings. Koeniq v.
Thurston County, 175 Wn.2d 837, 843, 287 P.3d 523 (2012) (The investigation

must be "'one designed to ferret out criminal activity or to shed light on some
other allegation of malfeasance.'" (quoting Columbian Publ'o Co. v. City of
Vancouver, 36 Wn. App. 25, 31, 671 P.2d 280 (1983))); Newman, 133 Wn.2d at
573 (an investigation must be "leading toward an enforcement proceeding"). The
exemption ceases to apply once an investigation is ended. See Cowles Publ'q


                                           12-
No. 73360-5-1/13



Co. v. Spokane Police Dep't. 139 Wn.2d 472, 479, 987 P.2d 620 (1999) ("[W]e

hold in cases where the suspect has been arrested and the matter referred to the

prosecutor, any potential danger to effective law enforcement is not such as to

warrant categorical nondisclosure of all records in the police investigative file.");

accord Sargent, 179 Wn.2d at 389 (exemption did not apply where department

had concluded its investigation and had referred requestor's case to the

prosecutor for a charging decision).

       This exemption applies to prosecutors' investigative files as well. Cowles

Publ'g. Co. v. Pierce County Prosecutor's Office, 111 Wn. App. 502, 508, 45

P.3d 620 (2002). However, "a document in a prosecutor's file can qualify as an

investigative record [only if it is] part of an investigation that the prosecutor

conducts." Koenig, 175 Wn.2d at 847. This includes documents that are part of

the investigative process leading to a charging decision but not, for example,

documents that are relevant to only sentencing proceedings. Compare Cowles,

111 Wn. App. at 504 (mitigation package is exempt because its purpose is to

assist the prosecutor in deciding whether to seek the death penalty—by filing a

notice of special proceedings—which is a charging decision), with Koenig, 175

Wn.2d at 846, 848 (victim impact statement is not exempt because "[i]t is

considered after the charging phase of a case is closed and the investigation is

complete"; SSOSA evaluation also is not exempt because the prosecutor "is not

conducting an investigation but is merely taking the SSOSA evaluation into

consideration while providing input to the court on a decision the court must

make").




                                           13
No. 73360-5-1/14



       The Thomases' argument regarding the law enforcement exemption has

evolved over the course of the litigation. On appeal, because they choose to

focus instead on their October 3 letter, the Thomases do not at all address the

applicability of this exemption to their August 5 request. In their complaint,

however, the Thomases did challenge the PCPAO's response to their August 5

request. Their argument at that time was as follows:

       Because the Prosecutor announced his decision on September 4,
       2013 ... the Prosecutor had, at the time of the request denial the
       day before, already finished any investigation. Thus, when
       Defendant's Public Records Officer denied Plaintiffs' records
       request on September 3, 2013, there was no longer an open and
       active investigation, making the statutory exemption under RCW
       42.56.240(1) inapplicable.

       This argument fails because it relies on (1) the unsupported factual

assertion that the PCPAO's charging decision was finalized at some

(unidentified) point before the decision was announced, and (2) an unsupported

legal distinction between the time when the prosecutor knows, for him- or herself,

what charging decision he or she intends to make and the time when that

decision is actually made (presumably by filing charges or announcing that no

charges will be filed).

        At the time of the August 5 request, the records were part of an open and

ongoing investigation being conducted by the PCPAO. Therefore, they were

properly withheld pursuant to the law enforcement exemption.11




        11 There is no dispute that, if there were an October 3 request, this exemption would not
apply thereto, because the PCPAO was not engaged in an open and ongoing investigation atthat
time. This result presumably explains why the Thomases shifted the focus of their argument from
the August 5 request to the October 3 letter.


                                                -14-
No. 73360-5-1/15


                                              D


       The PCPAO also contends that the requested records were exempt as

work product. This is so, it asserts, because they are factual records, gathered

by the PCPAO in preparation for or in anticipation of litigation. For their part, the

Thomases contend that this court need not—and should not—follow the

precedent upon which the PCPAO relies, namely Limstrom. The PCPAO is

correct.


       This court faced a challenge very similar to that made by the Thomases in

Koenig v. Pierce County, 151 Wn. App. 221, 211 P.3d 423 (2009), review denied,

168 Wn.2d 1023 (2010). Therein, the requestor alleged that the agency

wrongfully withheld records related to a completed criminal investigation under

the guise of the work product exemption. The records that allegedly were

wrongfully withheld included a written transcript of a witness's oral statement

taken by a law enforcement officer. The Koenig court's analysis of the work

product exemption as applied in Limstrom applies equally to this case.12
       The Koenig court began by outlining the applicable law, including

Limstrom:


               "Records that are relevant to a controversy to which an
       agency is a party but which records would not be available to
       another party under the rules of pretrial discovery for causes
       pending in the superior courts are exempt" from public disclosure.
       RCW 42.56.290 (formerly RCW 42.17.310(1)0)). This "work
       product" exemption relies on the rules of pretrial discovery to define
       the parameters of the work product rule for purposes of applying
       the exemption. Dawson v. Daly, 120 Wn.2d 782, 789-90, 845 P.2d
       995(1993).


       12 Indeed, at oral argument, the Thomases' counsel conceded that this case presents the
same question as was presented in Koenig. Oral argument at 6:40.


                                            -15-
No. 73360-5-1/16


              Washington has two discovery rules: CR 26 and CrR 4.7.
      Each rule differently defines the scope of "work product." Limstrom
      was a case of first impression that addressed which discovery rule
      applies to the exemption under RCW 42.56.290.
              In Limstrom, the lead opinion of four justices held that "the
      pretrial discovery rules referred to in RCW 42.17.310(1)0) are those
      set forth in the civil rules for superior court, CR 26." Limstrom, 136
      Wn.2d at 609. The lead opinion interpreted the civil rule, CR
      26(b)(4), as including within the definition of "work product" "formal
      or written statements of fact, or other tangible facts, gathered by an
      attorney in preparation for or in anticipation of litigation." Limstrom,
      136 Wn.2d at 611. Such work product as defined under the civil
      rule is protected from disclosure unless the requester is able to
      demonstrate a substantial need and an inability to obtain the
      documents from other sources. CR 26(b)(4); Limstrom, 136 Wn.2d
      at 611. Justice Madsen joined the lead opinion "in the result."
      Limstrom, 136 Wn.2d at 617.
             The dissenting opinion signed by the remaining four justices
      stated that the criminal discovery rule, not CR 26, should apply to
      determine whether the requested materials were discoverable
      under the Public Records Act. Limstrom, 136 Wn.2d at 617. The
      criminal discovery rule is narrower than the civil rule in defining
      "work product." Documents are generally protected from disclosure
      under this rule only "to the extent that they contain the opinions,
      theories or conclusions of investigating or prosecuting agencies."
      CrR 4.7(f)(1).

151 Wn. App. at 229-30.

      The Koenig court then applied the law set forth above to the facts of that

case, explaining:

             The [witness] statement is a written transcript of [the
      witness's] oral statement taken by a detective in the Pierce County
      Sheriff's Department. It does not contain opinions, theories, or
      conclusions of any attorneys, so under the criminal discovery rule it
      would be subject to disclosure. But it would not be subject to
      disclosure under the civil rule because it is a factual document
       gathered by the prosecutor in anticipation of litigation. Therefore,
       under the lead plurality opinion in Limstrom. the [witness] statement
       is exempt from disclosure under the Public Records Act.

151 Wn. App. at 230 (emphasis added).




                                         16
No. 73360-5-1/17


      The records at issue herein are also "factual documents] gathered by the

prosecutor in anticipation of litigation." Therefore, there can be no doubt that, as

in Koenig, if Limstrom applies, the records were exempt from disclosure under

the PRA.

       The Koenig court then moved to the requestor's contention that it need not

(and, presumably, should not) follow Limstrom. In addressing this contention, the

court helpfully reframed the question to whether the agency violated the PRA by

following Limstrom:

                 Koenig argues that plurality opinions like Limstrom are not
       binding, citing Robinson v. City of Seattle, 102 Wn. App. 795, 805
       n.12, 10 P.3d 452 (2000). In Robinson, this court refused to follow
       a recent plurality opinion that concluded the taxpayers lacked
       standing to sue the defendant city. The court instead followed a
       previous opinion that recognized taxpayer standing.
              The question here is whether the prosecutor's office
       committed a Public Records Act violation by deciding to follow the
       civil discovery rule in reliance on the plurality opinion in Limstrom.
       A plurality opinion is often regarded as highly persuasive, even if
       notfully binding. See Texas v. Brown. 460 U.S. 730, 737, 103 S.
       Ct. 1535, 75 L. Ed. 2d 502 (1983) (plurality opinion) (holding that
       while one particular plurality opinion was "not a binding precedent,
       as the considered opinion offour Members of this Court it should
       obviously be the point of reference for further discussion of the
       issue").
              Our Supreme Court itself has cited the lead opinion in
       Limstrom as an interpretation by "this court," and saying "we have
       held," even while recognizing it as a plurality opinion. See Soter v.
       Cowles Publ'g Co., 162 Wn.2d 716, 740, 733, 174 P.3d 60 (2007).
       The dissenting opinion in Limstrom does not enjoy the same status.
       The lead opinion has extra weight considering that Justice Madsen
       concurred in the result (holding most records exempt), whereas the
       result of the dissenting opinion would have been to compel
       disclosure of all records. Koenig has not identified any authority he
       believes compelled the prosecutor to disclose documents such as
       the [witness] statement that were gathered in anticipation of
       litigation. Unlike in Robinson, there was no opinion other than the
       Limstrom lead opinion that the prosecutor might have chosen to
       follow.




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151 Wn. App. at 230-31.

          The Koenig court then concluded that "it was not a violation of the Public

Records Act for the prosecutor's office to withhold records based on the lead

opinion in Limstrom." 151 Wn. App. at 231.

          We decline to break from the analysis established in Limstrom and applied

in Koenig.14 Thus, the same result obtains in this case, and we hold that the

work product rule protected the records herein at issue.15

          The remaining question then becomes whether the Thomases qualified for

the exception to the general work product exemption by making "a special

showing of substantial need and a showing that he or she cannot elsewhere

obtain the substantial equivalent of the materials without undue hardship."16

Soter, 162Wn.2dat735.



         14 The Thomases cite case law that would lead to a different work product rule. These
citations are unhelpful. As the trial court herein explained:
                 [The Limstrom] approach distinguished Washington's work product
          jurisprudence from several otherjurisdictions, including the 2nd and D.C. Federal
          Circuit courts. These federal courts, and several other jurisdictions, require that
          the party seeking work product protection for materials "gathered in anticipation
          of litigation" make a showing that the gathering of such materials would actually
          reveal the research and opinions, mental impressions, theories, or conclusions of
          the other party's lawyer. See, e.g., In re Grand Jury Subpoenas. March 19, 2002
          and August 2. 2002. 318 F.3d 379, 386 (2d Cir. 2003). This 2nd Circuit and D.C.
          Circuit line of cases are the cases relied upon by [the Thomases] in their
          summary judgment motion. Unfortunately, the plurality opinion in Limstrom
          clearly rejected that reasoning.
          15 The result would be the same even if there were an October 3 request. The work
product exemption applies even after the related litigation has terminated. Limstrom, 136 Wn.2d
at 613.
         16 The substantial need/undue hardship inquiry appears to be an exception to the general
principle stated in RCW 42.56.080 that "[a]gencies shall not distinguish among persons
requesting records." Yet, when the legislature intended for an agency to treata public records
request from the source or subject ofthe information differently, it generally provided an explicit
basis for the agency to do so in the statutory exemption itself. See, e.g., RCW 42.56.330(6)
("Any information obtained by governmental agencies that is collected by the use ofa motor
carrier intelligent transportation system or any comparable information equipment attached to a
truck, tractor, or trailer; however, the information may be given to other governmental agencies or
the owners of the truck, tractor, or trailer from which the information is obtained."); RCW


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No. 73360-5-1/19


       This issue was addressed succinctly by the trial court:

                In the present case, Plaintiffs never told the PCPAO at the
        time they requested the documents that they had a substantial
        need for the documents and could not procure them elsewhere.
        [CP 104, 111.1 See Koenig, at 223. Even in its current motion,
        Plaintiffs fail to state a reason why they had a substantial need for
        the documents, simply claiming that "time was of the essence,"
        and, "nondisclosure denied Plaintiffs the opportunity to inform
        themselves . . . before the conclusion of the Prosecutor's inquest
        like procedure." Plaintiffs Motion at 15. These concerns fail to state
        any real prejudice from non-disclosure of the records, and the
        Plaintiffs also fail to explain why they could not have retrieved the
        documents directly from the law enforcement agencies. Sargent.

The trial court's determination is consistent with the record.17

        Moreover, the Thomases fail to establish undue hardship associated with

obtaining the records elsewhere. By the Thomases' own contention, the records

at issue were factual records created by various other law enforcement agencies

and then transferred, wholesale, to the PCPAO. Furthermore, it is undisputed

that the criminal investigation had been transferred from those agencies to the

PCPAO before the PCPAO denied the Thomases' request. Accordingly, per

Sargent, the requested records would have been available from the other law

enforcement agencies at the time of the denial. Thus, by the time that the

Thomases attempted to make a "substantial need" showing (after the PCPAO's

denial, in the course of the underlying litigation), they could not possibly have


42.56.440(1) ("These records will be available only to the veteran, the veteran's next of kin, a
deceased veteran's properly appointed personal representative or executor, a person holding that
veteran's general powerof attorney, or to anyone else designated in writing by that veteran to
receive the records."). Notwithstanding this apparent tension, it is firmly established that the work
product rule is part of the exemption under RCW 42.56.290.
        While interesting, because it is of no moment to this appeal, we need not further evaluate
the issue.
        17 Indeed, on appeal, the Thomases make the same general argument regarding their
substantial need, relying primarily upon the prosecutor's "chosen policy" to determine "behind
closed doors" whether an officer-involved shooting was lawful. Appellants' Opening Br. at 38.


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No. 73360-5-1/20


demonstrated the required "undue hardship." For the same reason, the

Thomases cannot make a substantial need showing at this time.

      The records requested by the Thomases were properly withheld pursuant

to both the law enforcement exemption and the work product rule.

      Affirmed.




We concur:




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