RENDERED: APRIL 9, 2021; 10:00 A.M.
TO BE PUBLISHED
Commonwealth of Kentucky
Court of Appeals
NO. 2020-CA-0266-MR
RIVER CITY FRATERNAL ORDER OF POLICE
LODGE NO. 614, INC. APPELLANT
APPEAL FROM JEFFERSON CIRCUIT COURT
v. HONORABLE BRIAN C. EDWARDS, JUDGE
ACTION NO. 18-CI-006171
LOUISVILLE/JEFFERSON COUNTY METRO
GOVERNMENT; and KENTUCKY LABOR
CABINET APPELLEES
OPINION
AFFIRMING
** ** ** ** **
BEFORE: CALDWELL, KRAMER, AND MAZE, JUDGES.
KRAMER, JUDGE: The overarching question presented in this appeal is whether
the appellee, Louisville/Jefferson County Metro Government, by and through its
police department (“LMPD”), committed an unfair labor practice by requiring one
of its employees, Sgt. David Mutchler, who was a member and – at the time of
these events – President of appellant River City Fraternal Order of Police, Lodge
No. 614, Inc. (“FOP”) to submit to an investigative interview from LMPD’s
Professional Standards Unit (“PSU”). This question was adjudicated by the
Kentucky Labor Cabinet (“Cabinet”) and reviewed by the Jefferson Circuit Court;
and both tribunals answered in the negative. Upon review, we affirm.
We begin with a discussion of the relatively brief interview itself,
which occurred on August 2, 2017, and concerned a disciplinary matter. Mutchler,
testifying not as a party but as a witness, did so in relevant part as follows:
Q: August 2. All righty. And it is 10:47. Okay.
Sergeant Mutchler, thanks for having me over. Ah, as
you are aware the Chief initiated an investigation into
Lieutenant Donny George as filing of a hostile working
environment. This investigation is to determine whether
these documents that were submitted were deceptive in
nature, okay? Ah, during the course of the investigation,
there was a memo that turned up by Sergeant Armand
[sic] White and that, ah, he indicated that he did not
authorize the filing of this hostile working environment
by Lieutenant Donny George. In his memo he indicated
that he spoke with you as the FOP President regarding
this situation. Ah, do you recall having a conversation
with Sergeant White, ah, regarding this incident?
MUTCHLER: Um, yes. Ah, and I do need to say that,
um, I am obviously complying with the department and
the Chief’s orders to provide this statement. Um, and
I’m, I will obviously do that. Ah, but I do wanna note
that, ah, the statement is under protest as we believe, ah,
the lodge believes that, ah, request for representation and
conversations with the collective bargaining
representative, ah, are somewhat privileged. But yes, I
do recall a conversation with, ah, with Sergeant White.
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Q: Okay. In his memo, ah, and just let the record show
I’m looking at the, the memo right now. In his memo he
states that, um, they spoke to you by phone and he stated
that, that Sergeant Mutchler, he said, did say that, “He
thought if I had a problem I would’ve come to him
directly.” Let, let me ask you this. At any time during
your conversation with Sergeant White, did he indicate
that he did not authorize the filing of this hostile working
environment or did he indicate that this was filed without
his permission?
MUTCHLER: I do not recall that we actually spoke
about the hostile work environment filing I guess is, is
the proper word. Um, I spoke with him, ah, and I did
mention to him that normally, ah, officers would reach
out on their own if they had some sort of issue. Um, but
it’s not, I mean, it’s happened before where officers have
called or COs have called on other officers, on another
officer’s behalf. Um, ah, what I recollect from the
conversation is generally that, um, he just wanted to be in
a situation where he knew who was going to be giving
him his orders and his job tasks so he could follow that,
ah, and that he did, you know, was, didn’t want to be
involved in conflicts with those above his rank.
Q: Mm-hm.
MUTCHLER: Um, he just wanted to do his job,
basically. Um, I don’t recall if, I don’t recall the
chronology as far as, I don’t remember when I was
informed that there even was a filing of a, of a hostile
work environment. I just knew that I had spoken with
Sergeant White, and previously [sic] speaking to him I
had spoken with Lieutenant George but I, I don’t
remember, I don’t recall that we did that, if that was
discussed or not and I am definitely not saying that that
didn’t come up.
Q: Mm-hm.
-3-
MUTCHLER: But I don’t recall in the conversation if he
mentioned the hostile working environment or, or even
mentioned that he didn’t want it to be filed. I don’t,
unfortunately I talk to hundreds of people and I just don’t
recall whether that even came up.
Q: Okay.
MUTCHLER: Um, but it’s very possible that it did.
Q: Mm-hm.
MUTCHLER: I have to say that. I just, I simply don’t
recall.
Q: Okay. Ah, that’s all I have for you. Thank you so
much for letting me come down and I will conclude this
interview at 1052 hours.
In short, PSU asked Mutchler three questions: (1) Did he recall
having a conversation with Sgt. Armin White? (2) If so, was the conversation
about a “hostile working environment” complaint that Lt. Donny George filed on
his behalf? And if so, (3) had Sgt. White stated whether he had authorized George
to file it on his behalf? Essentially, Mutchler’s answers to those three questions
were: (1) yes; (2) I can’t remember; and (3) I can’t remember.
As the substance of what is set forth above tends to indicate, Mutchler
was interviewed as part of a PSU investigation relating to a “hostile working
environment” complaint that Lt. George – an LMPD officer and one of Sgt.
White’s supervisors – submitted to his superiors, purportedly on Sgt. White’s
behalf in January 2017. During PSU’s investigation of the complaint, however,
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Sgt. White denied making the complaint or authorizing Lt. George to file any
complaint on his behalf. Consequently, PSU focused its investigation upon
whether Lt. George had filed a false report.
As the substance of the August 2, 2017 interview further indicates,
PSU investigators only sought to interview Mutchler for a limited reason.
Specifically, Sgt. White stated to PSU investigators that he had had a brief
telephone conversation with Mutchler relating to this matter at some point after
January 2017, but that he did not recall saying anything to Mutchler during their
conversation about a purported hostile work environment or about any complaint
to that effect. By interviewing Mutchler, PSU wished to corroborate Sgt. White’s
statement.
As indicated at the onset of this opinion, however, whether Lt. George
did or did not file a false report is irrelevant. Rather, the present appeal is
exclusively concerned with what Mutchler stated at the onset of his PSU interview:
I do wanna note that, ah, the statement is under protest as
we believe, ah, the [FOP] believes that, ah, request for
representation and conversations with the collective
bargaining representative, ah, are somewhat privileged.
In other words, Mutchler (and the FOP) believed that the LMPD acted
improperly at the August 2, 2017 interview because it had required him to divulge
privileged information, i.e., information protected by a “union business” privilege.
Moreover, on June 26, 2017 – in anticipation of that interview, and with a full
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knowledge of its scope – the FOP filed a “charge of unfair labor practice” with the
Kentucky Labor Cabinet. There, the FOP set forth its position, stating in relevant
part:
[A]n effort to interrogate the Lodge President regarding
actions in his role representative of officers in
disciplinary matters, constituted unlawful coercion
pursuant to provisions of KRS[1] 67C.400, et seq. (the
Kentucky statutes establishing collective bargaining
between FOP 614 and Louisville Metro), including
specifically KRS 67C.406(1)(a) and KRS 67C.402(1),
which provisions are based on analog provisions of the
National Labor Relations Act.
...
Louisville Metro’s actions as described above constitute
unlawful coercion as prohibited by and made an unfair
labor practice in KRS 67C.400 et seq.
As an aside, the bulk of the FOP’s arguments before this Court and
below have primarily focused upon the following two propositions: (1) Based
upon “provisions of the National Labor Relations Act,” a “union business”
privilege has been recognized in jurisdictions outside of Kentucky; and (2) because
KRS 67C.406(1)(a) and KRS 67C.402(1) share similarities with those “provisions”
of the National Labor Relations Act, a “union business” privilege should now be
recognized in Kentucky.
1
Kentucky Revised Statute.
-6-
Regarding what the “union business privilege” is and why it applied
here, however, the FOP has never provided any substantive analysis. Instead, and
from all appearances of its various pleadings below and brief before this Court, the
FOP has simply adopted Mutchler’s lay understanding of what it is and why it
applied. As illustrated by his October 5, 2017 testimony before the Cabinet
regarding the FOP’s charge of “unfair labor practice” against LMPD, Mutchler
described his understanding of this “privilege” in relevant part as follows:
MUTCHLER: I think that discussions that I have with
members as the FOP president as their elected
representative, I think a large majority, if not all of those
are privileged.
Q: All of them? You think all of them are?
MUTCHLER: I said all or a large majority.
Q: No matter what the circumstances leading to that
conversation are?
MUTCHLER: No. Obviously I may even seek legal
assistance regarding that. If a member called me up and
said they just killed their wife, I don’t think that’s
privileged. So I think it would depend on the
circumstance. But if it involved administrative issues
where they’re speaking to me whether officially or
peripherally about representation, I do believe that that
should be privileged.
Q: Do you think that’s true whether that person is the
subject of an investigation or not?
MUTCHLER: I think that when they’re contacting me
because they may be or may soon be the subject of an
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investigation and they want representation and they need
to give me a general idea of what’s going on so I can
direct them to the appropriate representation, I think that
should be privileged. I think once that occurs, and they
found the representation they need, and then they’re told,
hey, you are officially told you’re under investigation and
don’t discuss this, I think that my role is, for the most
part over in that circumstance until of course, you know,
it comes up again. For instance, if an officer is
disciplined and they appeal that discipline obviously I
assist in representing them at the merit board. Or if
anything else occurs that they need representation for
peripherally, I would be, but I don’t, there’s no need for
me to know details, extreme details of something. I don’t
ask for that and I’m usually not given that. I just need to
know how I need to get them the representation. I think
that part should be privileged, yes.
Q: So I think your position is, with limited exceptions,
the conversations you’re having with membership in your
capacity as FOP president should be subject to a
blanket-type of privilege; is that right?
MUTCHLER: I think so, yes.
...
Q: Do you agree that Sergeant White/Lieutenant White
was in a position to waive any conversations he may
have had with you, any privilege that may have applied?
MUTCHLER: Well, first I became aware of the waiver
via Lodge counsel, Mr. Leightty and no, I don’t believe
that regardless what personally Sergeant White or
Lieutenant White may feel, I don’t believe he has the
authority to waive for the Lodge.
Q: Who do you think has the authority to waive any,
let’s just say the privilege of the Lodge while we’re all
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sitting here today? Who do you think has the authority to
waive it?
MUTCHLER: I don’t think it should be waived at all.
Q: Ever, by anyone?
MUTCHLER: I can’t sit here and think of every
circumstance that could potentially happen that none of
us may accept, but I mean, for the most part I think it’s a
privilege that shouldn’t be waived. Obviously I made a
comment earlier, you know, I mean, if somebody comes
to me and tells me that they’ve committed crimes
obviously there’s potential it should be waived. I would
obviously contact Lodge counsel about that. On
administrative matters I believe that I’m the elected
representative for them, and that they should be able to
have candid conversations with me and that I should not
be able to waive for them and they should not be able to
waive for the Lodge.
(Emphasis added.)
As emphasized, Mutchler understood a “union business privilege”
blanketly applied to (and thus, in a disciplinary context, exempted him from
testifying about) discussions he has had with union membership while functioning
in his role as a union representative. Mutchler also believed this privilege could
not be voluntarily waived by any individual union member, defining the only
“potential” exception to this privilege as, “if somebody comes to me and tells me
that they’ve committed crimes.”
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Since Mutchler testified, the FOP has somewhat refined its
understanding of this “privilege.” In its brief before this Court, the FOP
summarizes it as follows:
Appellant submits that because a labor organization
cannot fulfill its statutory duty to represent members
regarding “conditions of employment”—which include
matters of discipline [FN]—and any of its agents who are
employees of LMPD (as FOP president Mutchler was)
would be forced to warn any represented employee
seeking assistance regarding a disciplinary [sic] against
disclosing the facts of the situation because, in effect, I
can be compelled by LMPD to divulge what you disclose
to me there must be protection against coerced
disclosures of the agent’s communications with
employees in the course of disciplinary matters.
[FN] See, e.g., Nat’l Licorice Co. v. NLRB,
309 U.S. 350 (1940), affirming an NLRB
order that an employer cease bypassing
negotiation with the union regarding
disciplinary discharge.
The term “privilege” has been applied to this protection
in many of the cases, and throughout this case. However,
the protection is so specific and limited that “privilege”
may be an exaggerated description:
• The “privilege” applies only in the collective-
bargaining context, and only when the union agent
in question is employed by LMPD—non-LMPD
employees are of course not subject to LMPD
orders. (As it happens, the current FOP 614
president, Ryan Nichols, is retired from LMPD
and thus immune from any coercive power of
LMPD.)
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• It applies only to information the union agent has
gathered in order to assist an officer in “anticipated
or ongoing disciplinary proceedings.”[FN]
[FN] See, e.g., Bell v. Village of
Streamwood, 806 F.Supp.2d 1052, 1056
(N.D. Ill. 2011), discussed infra.
• The “privilege” has no application to court
proceedings, or administrative proceedings other
than the disciplinary proceeding for which the
communications were made.
The main point is that this limited privilege is necessary
for the purposes of the applicable collective bargaining
statutes to be effected, and therefore the Legislature must
be deemed to have intended it.
With that said, perhaps the best clue to what the “union business
privilege” actually is, and why no such privilege could have applied here, is found
in the second footnote of the FOP’s own argument, i.e., its citation to Bell v.
Village of Streamwood, 806 F. Supp. 2d 1052 (N.D. Ill. 2011). There, the “union
business privilege” was defined as follows:
Union representatives . . . may have various duties,
including representing union members in disciplinary
proceedings and internal investigations. In the course of
representing a union member accused of some
wrongdoing, a union representative may receive
confidential information. This role is not unlike that of
an attorney. As with the attorney-client privilege, there is
a strong interest in encouraging an employee accused of
wrongdoing to communicate fully and frankly with his
union representative, in order to receive accurate advice
about the disciplinary process. See U.S. Dept. of Justice
v. Fed. Labor Relations Auth., 39 F.3d 361, 368-69 (D.C.
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Cir. 1994) (recognizing an employee-union
representative privilege in the context of labor law). The
Court therefore holds that an employee-union
representative privilege will extend to communications
made (1) in confidence; (2) in connection with
“representative” services relating to anticipated or
ongoing disciplinary proceedings; (3) between an
employee and his union representative; (4) where the
union representative is acting in his or her official
representative capacity. Cf. United States v. BDO
Seidman, LLP, 492 F.3d 806, 815 (7th Cir. 2007)
(defining attorney-client privilege). Like the attorney-
client privilege, the employee-union representative
privilege is limited in that it extends only to
communications, not to the underlying facts. Discussing
a relevant fact with a union representative will not shield
it from discovery. See Upjohn Co. v. United States, 449
U.S. 383, 395, 101 S.Ct. 677, 66 L.Ed.2d 584 (1981)
(holding the attorney-client privilege protects the
disclosure of communications but does not protect the
client from disclosing the underlying facts.)
The expectation of confidentiality is critical to the
employee-union representative privilege. Without
confidentiality, union members would be hesitant to be
fully forthcoming with their representatives,
detrimentally impacting a union representative’s ability
to advise and represent union members with questions or
problems. Absent an expectation of confidentiality, there
is little need to protect the communications.
Id. at 1056-57 (emphasis added).
Thus, contrary to Mutchler’s understanding (which the FOP has
always adopted in this matter), the “union business privilege,” where it has been
recognized, is not a “blanket-type of privilege” that applies to every conversation
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that a union representative has with a union member. Rather, where it has been
recognized, it has been deemed comparable to the “attorney-client” privilege.
And, in the words of another Court that discussed more of the legal
underpinnings of this “privilege”:
[It] appears to originate from a decision by the Federal
Labor Relations Authority (“FLRA”) in U.S. Department
of the Treasury Customs Service Washington, D.C.
(Respondent) & Nat’l Treasury Employees Union
(Charging Party), 38 F.L.R.A. 1300 (Jan. 8, 1990). In
that case, the privilege was recognized for the benefit of
the employee: “that the employee be free to make full
and frank disclosure to his or her representative in order
that the employee have adequate advice and a proper
defense.” Id. at 1308 (emphasis added). In the few cases
that have recognized this privilege, the privilege has been
asserted for the benefit of protecting employee
disclosures, not those of the union representative. See
U.S. Dep’t of Justice v. Fed. Labor Relations Auth., 39
F.3d 361, 368-69 (D.C. Cir. 1994); Bell v. Vill. of
Streamwood, 806 F. Supp. 2d 1052, 1058 (N.D. Ill.
2011); Long Beach Naval Shipyard Long Beach,
California (Respondent) & Fed. Emps. Metal Trades
Coun-cil AFL-CIO (Charging Party/union), 44 F.L.R.A.
1021, 1038 (Apr. 29, 1992). The union representative-
bargaining unit member privilege is analogous to the
attorney-client privilege, whose purpose is also to [sic]
“to encourage full and frank communication between
attorneys and their clients.” Upjohn Co. v. United States,
449 U.S. 383, 389, 101 S.Ct. 677, 66 L.Ed.2d 584
(1981). And just as the attorney-client privilege “is that
of the client, not that of the attorney,” Am. Standard Inc.
v. Pfizer Inc., 828 F.2d 734, 745 (Fed. Cir. 1987), if there
is a union representative-bargaining unit member
privilege, it belongs to the employee and not the union
representative.
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Martin v. Department of Homeland Security, 810 F. App’x 867, 871 (Fed. Cir.
2020) (some emphasis added).
In short, it is unsurprising that the FOP’s understanding of whom the
“union business privilege” belongs to derives from the testimony of Mutchler – a
lay witness – rather than any form of legal authority. The “union business
privilege,” in the limited cases where it has been recognized, does not belong to the
union or its representative. Just as the attorney-client privilege belongs to the
client, the union business privilege belongs to the employee. Id.
Recall, when Mutchler testified during the administrative proceedings
before the Cabinet, he was asked about and acknowledged that there had been a
“waiver” from Sgt. White of “any privilege” that might have applied to any
conversation they may have had relative to this matter. Specifically, on June 23,
2017, Sgt. White executed a written waiver stating:
This letter is to notify the Professional Standards Unit
that I Sergeant Armin White waive any client privilege
that may or may not exist regarding my conversations
with the FOP Lodge 614 regarding Professional
Standards Unit case 17-034.
I consent to the Professional Standards Unit investigators
speaking to FOP Lodge 614 regarding my conversations
with FOP President Sgt. David Mutchler.
To be clear, Mutchler and the FOP have never disputed that Sgt.
White’s waiver, set forth above, was knowing, voluntary, and intentional. See
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Mullins v. Picklesimer, 317 S.W.3d 569, 578 (Ky. 2010) (discussing elements of
waiver). Indeed, Sgt. White testified during the administrative proceedings before
the Cabinet that it was knowing, voluntary, and intentional; and, the FOP did not
question his testimony at all. Instead, the FOP’s argument has always been one of
authority, i.e., that the “union business privilege” belonged to the FOP, not Sgt.
White.
In its own review of this matter, the Cabinet determined in its
dispositive order that LMPD did not commit an unfair labor practice by requiring
Mutchler to submit to the PSU interview because: (1) “there is no indication that
Sgt. Mutchler was asked to divulge any information that may have been considered
confidential”; and, in any event, because (2) there is no established union business
privilege in Kentucky. The Jefferson Circuit Court made the same determinations.
Now on appeal, as noted, the FOP once again directs most of its
arguments toward the proposition that we should recognize a union business
privilege in Kentucky. While that is an interesting question, we cannot answer it
on the case before us because even if such a privilege could be recognized (which
we have strong reservations about), it belonged to Sgt. White. And, he did not
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deem his conversation with Mutchler confidential and waived any privilege in
writing.2
It is enough to say, however, that while opinions differ on this subject
across many jurisdictions,3 the Kentucky Supreme Court has promulgated no rule
recognizing such a privilege; nothing in KRS Chapter 67C explicitly recognizes
any such privilege; and, simply inferring a privilege from a statute is, as our
caselaw amply demonstrates, a strongly disfavored practice. See Kentucky Rule of
Evidence (KRE) 501 (providing that privileges can be granted by the Constitution,
rules promulgated by the Kentucky Supreme Court, or by statute); see also Collins
v. Braden, 384 S.W.3d 154, 159 (Ky. 2012) (explaining “the almost universally
accepted rule that testimonial privileges are generally disfavored and should be
strictly construed.” (citation omitted)). If the FOP wishes to pursue the recognition
and protection of the privilege, that is more appropriately the prerogative of the
legislative branch or the Kentucky Supreme Court. Hence, given this and in light
of Sgt. White’s wavier, any further discussion of case law from other jurisdictions
as cited by the FOP is a futile endeavor.
2
The FOP also asks this Court to consider whether the privilege might have applied, had LMPD
questioned Mutchler about any conversations Mutchler may have had with Lt. George –
someone who did not execute a waiver of any kind of privilege. We decline to do so because it
is not our prerogative to render advisory opinions. See Bingham Greenebaum Doll, LLP v.
Lawrence, 567 S.W.3d 127, 129-30 (Ky. 2018).
3
See, e.g., Michael D. Moberly, Extending a Qualified Evidentiary Privilege to Confidential
Communications Between Employees and Their Union Representatives, 5 NEV. L.J. 508 (2004).
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In sum, a reviewing court may only overturn the decision of an
agency if the agency acted arbitrarily or outside the scope of its authority, if the
agency applied an incorrect rule of law, or if the decision itself is not supported by
substantial evidence on the record. Ky. State Racing Comm’n v. Fuller, 481
S.W.2d 298, 300-07 (Ky. 1972). Here, the FOP’s sole contention is that the
Cabinet misapplied the law discussed above. We disagree. For the reasons
discussed above, we therefore AFFIRM.
MAZE, JUDGE, CONCURS AND FILES SEPARATE OPINION.
CALDWELL, JUDGE, DISSENTS AND FILES SEPARATE
OPINION.
MAZE, JUDGE, CONCURRING: I fully agree with the reasoning
and the result of the majority opinion. I write separately to emphasize the reasons
why this is not the case to recognize a union business privilege. First and
foremost, as the majority opinion aptly states, Sgt. White made a knowing and
voluntary waiver of any privilege. I agree with the majority that the FOP has no
standing to assert a privilege.
Furthermore, our legislature has the exclusive authority to adopt
privileges on matters outside of courtroom proceedings. Commonwealth, Cabinet
for Health and Family Servs. v. Chauvin, 316 S.W.3d 279, 286 (Ky. 2010). When
courts are called upon to address the issue, the issue is generally whether the
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General Assembly expressed a clear intent to establish a privilege, either through
the express language of the statute or by necessary implication. In Chauvin, the
General Assembly enacted legislation limiting the disclosure of KASPER4
information. Id. Similarly, in Manns v. Commonwealth, 80 S.W.3d 439 (Ky.
2002), the Court discussed a statutory provision restricting disclosure of juvenile
records. And in Sisters of Charity Health Systems., Inc. v. Raikes, 984 S.W.2d 464
(Ky. 1998), the legislation limited the disclosure of peer-review hospital records in
medical malpractice suits. In each of these cases, the Court inferred the General
Assembly’s intent to create a privilege from statutory language excluding certain
specifically identified records from disclosure.
Here, the FOP does not cite to any specific statutory language creating
an exception from disclosure of identified information. Rather, the FOP argues
that this Court should infer the existence of a privilege as a necessary implication
of the collective bargaining scheme in KRS Chapter 67C. The FOP points out that
other jurisdictions have inferred the existence of a union business privilege from
similar statutory language. The National Labor Relations Board (NLRB)
recognized the existence of an implied union business privilege under the National
Labor Relations Act in Cook Paint and Varnish Co., 258 N.L.R.B. No. 166, 258
N.L.R.B. 1230, 1981 WL 21122 (1981). However, the NLRB has been delegated
4
Kentucky All-Schedule Prescription Electronic Records.
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broad authority to enforce the Act’s provisions prohibiting employers from
engaging in any unfair labor practice affecting commerce. May Dep’t Stores Co. v.
N.L.R.B., 326 U.S. 376, 390, 66 S. Ct. 203, 211-12, 90 L. Ed. 145 (1945). The
FOP does not identify any similar delegation of authority to the Labor Cabinet.
Nevertheless, the FOP points out that courts in other states have
adopted similar interpretations of their collective bargaining statutes. But to date,
only two states, New York and Alaska, have applied the Cook Paint reasoning to
their statutes. See City of Newburgh v. Newman, 421 N.Y.S.2d 673, 70 A.D.2d
362 (N.Y. App. Div. 1979), and Peterson v. State, 280 P.3d 559 (Alaska 2012).
Illinois has expressly adopted a statutory union agent – union member privilege.
Bell v. Vill. of Streamwood, 806 F. Supp. 2d 1052 (N.D. Ill. 2011) (citing 735 ILL.
COMP. STAT. ANN. 5/8-803.5). And three other states, California, New Hampshire,
and Massachusetts, have declined to apply the Cook Paint reasoning to their
collective bargaining statutes. American Airlines, Inc. v. Superior Court, 114 Cal.
App. 4th 881, 891, 8 Cal. Rptr. 3d 146 (2003); In re Grand Jury Subpoena, 155
N.H. 557, 560–561, 563, 926 A.2d 280, 283 (2007); and Chadwick v. Duxbury
Pub. Schs., 475 Mass. 645, 655, 59 N.E.3d 1143, 1151 (2016).
Thus, the weight of precedent does not overwhelmingly favor the
interpretation of KRS Chapter 67C advocated by the FOP. In any event, Kentucky
law does not favor broad assertions of privilege because they contravene the
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fundamental principle that the public has a right to every man’s evidence. Raikes,
984 S.W.2d at 468. For this reason, our courts generally refrain from recognizing
privileges merely by implication of statute. See Caldwell v. Chauvin, 464 S.W.3d
139, 159-60 (Ky. 2015) (holding that the federal Health Insurance Portability and
Accountability Act (HIPAA) does not create a privilege prohibiting interviews of
nonexpert treating physicians). I am convinced that this Court is not authorized to
adopt such a broad reading of the statute. Rather, that prerogative is left to either
the Kentucky General Assembly or our Supreme Court, not to an intermediate
appellate court. As a result, even if the proposed privilege had not been clearly
waived, I would decline to recognize the existence of a union business privilege in
this case.
CALDWELL, JUDGE, DISSENTING: I respectfully dissent. In the
narrow context of determining whether unfair labor practices occurred in the
course of internal disciplinary proceedings and investigations, Kentucky Revised
Statutes (KRS) 67C.400 et seq. implicitly creates a limited “privilege” such that
the FOP representative cannot be compelled to disclose the content of
communications with union members about internal disciplinary proceedings to the
employer. Further, while I believe the majority opinion is correct that this limited
“privilege” would belong to the employee and not the union, the Kentucky Labor
Cabinet did not make a finding that the employee had validly waived this privilege.
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Therefore, I would reverse the Jefferson Circuit Court’s judgment and remand with
directions to vacate the Cabinet’s denial of the unfair labor practice charge and
remand to the Cabinet to determine if the “privilege” was validly waived.
Of note, while both parties and the courts have used the term
“privilege,” and it is not inaccurate, it also imbues a meaning of consequence far
more reaching than what I perceive is sought. I would express no opinion as to
whether a union business privilege exists other than as implicitly arising under
KRS 67C.400 et seq. in the specific context discussed herein. In other words, I
would not reach whether Kentucky law generally recognizes a union business
privilege nor whether a union business privilege arises under any other statute,
regulation, or other legal authority. I would simply recognize that the
communications between an employee and his union representative regarding
internal disciplinary proceedings in the specific context here are confidential. And
I would recognize that it is an unfair labor practice in this context for an employer
to compel disclosure of those communications under threat of further disciplinary
actions or other coercive measures. For ease of reference, I will refer to a “union
business privilege” to signify the protection from disclosure of confidential
communications between union representatives and members regarding internal
disciplinary proceedings—again, in the specific context here (i.e., application of
KRS 67C.400 et seq.).
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I must disagree with the circuit court’s opinion, and the concurring
majority opinion, accepting the Cabinet’s argument that it lacked authority to
recognize a union business privilege because “KRS 67C.402 and KRS 67C.406
contain no language which would lead to the creation of a union business privilege
between a union representative and its members.” And while I do not
fundamentally disagree with the circuit court’s view of the legislature as having
power to create privileges, I construe the legislature’s adoption of KRS 67C.400, et
seq. to necessitate by implication the creation of this limited union business
privilege, particularly in light of authority in existence at the time of its adoption—
such as Cook Paint and Varnish Co., 258 N.L.R.B. No. 166, 258 N.L.R.B. 1230
(1981). Despite any lack of specific language explicitly recognizing a privilege or
the confidentiality of certain communications, I believe such a privilege is implied
reading all words and phrases in the governing statutes in their proper context. In
short, I disagree with the Cabinet’s conclusion that the existence of this privilege is
precluded by a lack of explicit language specifically referring to a “privilege” or
information deemed “confidential.”
KRS 67C.402(1) states:
Police officers of a consolidated local government shall
have, and shall be protected in the exercise of, the right
of self-organization, to form, join, or assist any labor
organization, to bargain collectively through
representatives of their own choosing on questions of
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wages, hours, and other conditions of employment free
from interference, restraint, or coercion.
Our legislature has long called for liberal construction of statutes, “with a view to
promote their objects and carry out the intent of the legislature . . . .” KRS
446.080(1) (enacted in 1942). Further, in construing statutes, we must consider all
words or phrases in a statute and not ignore some words or phrases. Pearce v.
University of Louisville, by and through its Board of Trustees, 448 S.W.3d 746,
751 (Ky. 2014); Krieger v. Garvin, 584 S.W.3d 727, 729 (Ky. 2019).
So, when construing KRS 67C.402(1)’s language “to bargain
collectively through representatives of their own choosing on questions of wages,
hours, and other conditions of employment free from interference, restraint, or
coercion” there is simply no logical way to not include internal disciplinary
proceedings as an “other condition[] of employment.” (Emphasis added.) In fact,
when considering “other conditions of employment” outside of those relating to
wages and hours, it is difficult to think of one more significant than conduct codes
and rules regarding internal disciplinary measures.
As FOP points out, many provisions KRS 67C.400 et seq. are nearly
identical to provisions of the National Labor Relations Act (NLRA).5 Thus, I find
5
See KRS 67C.402(1) & (3), providing:
(1) Police officers of a consolidated local government shall have, and shall be
protected in the exercise of, the right of self-organization, to form, join, or assist
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persuasive outside authority construing the NLRA or other similar statutory
provisions to recognize a limited union business privilege in the context here. See
Cook Paint and Varnish Co., supra; City of Newburgh v. Newman, 421 N.Y.S.2d
673, 70 A.D.2d 362 (N.Y. App. Div. 1979).
While Kentucky courts may not be required to follow Cook Paint or
federal or other state court cases construing the NLRA or similar statutes to
determine if a union business privilege exists, we may certainly consider whether
we find such outside authority persuasive, particularly when there is no Kentucky
any labor organization, to bargain collectively through representatives of their
own choosing on questions of wages, hours, and other conditions of employment
free from interference, restraint, or coercion.
...
(3) Labor organizations recognized by a consolidated local government as the
exclusive representative or so designated in accordance with the provisions of this
section shall be responsible for representing the interest of all police officers in
the unit without discrimination.
Compare 29 U.S.C. (United States Code) § 157, providing in part: “Employees shall have the
right to self-organization, to form, join, or assist labor organizations, to bargain collectively
through representatives of their own choosing, and to engage in other concerted activities for the
purpose of collective bargaining or other mutual aid or protection . . .” with KRS 67C.406(1)(a),
providing: “Except as provided in KRS 336.130(3), consolidated local governments, their
representatives, or their agents are prohibited from: Interfering, restraining, or coercing police
officers in the exercise of the rights guaranteed in KRS 67C.402[.]”
Compare 29 U.S.C. § 158(a)(1), providing: “It shall be an unfair labor practice for an employer-
- to interfere with, restrain, or coerce employees in the exercise of the rights guaranteed in
section 157 of this title” with KRS 67C.410(1), providing: “Violations of the provisions of KRS
67C.406 shall be deemed to be unfair labor practices remedial by the cabinet . . .”
Cf. 29 U.S.C. § 160(a), providing: “The Board is empowered, as hereinafter provided, to prevent
any person from engaging in any unfair labor practice (listed in section 158 of this title) affecting
commerce.”
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case directly on point. Kentucky’s appellate Courts have often cited federal case
law construing federal statutes that are similar to Kentucky statues to interpret said
statutes. This has occurred even when our state statutes make no explicit reference
to those similar federal statutes. See, e.g., Commonwealth, Dep’t of Agriculture v.
Vinson, 30 S.W.3d 162, 169 (Ky. 2000); Kentucky New Era, Inc. v. City of
Hopkinsville, 415 S.W.3d 76, 80 n.3 (Ky. 2013).
Further, I agree with FOP that it makes sense to infer that
communications between union representatives and union members are
confidential and prohibited from coerced disclosure, in certain contexts, in order to
allow union representatives to effectively perform their statutory duties under KRS
67C.400 et seq. I do not believe Sgt. Mutchler was far off point with his lay
understanding of what a union business privilege would entail. And, while courts
interpret statutes, statutes are written by the legislature for all people, not just
lawyers. It is not unheard of for a common understanding to be the intent of
legislation.
It is perhaps best said in Cook Paint:
[T]he very facts sought were the substance of
conversations between an employee and his steward, as
well as the notes kept by the steward, in the course of
fulfilling his representational functions. Such
consultation between an employee potentially subject to
discipline and his union steward constitutes protected
activity in one of its purest forms. To allow Respondent
here to compel the disclosure of this type of information
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under threat of discipline manifestly restrains employees
in their willingness to candidly discuss matters with their
chosen, statutory representatives.
258 N.L.R.B. at 1232. The Federal Labor Relations Authority6 relied heavily on
the analysis in Cook Paint to explicitly recognize a “privilege” just like the limited
union business privilege I urge recognizing here in U.S. Department of the
Treasury Customs Service Washington, D.C. and National Treasury Employees
Union, 38 F.L.R.A. 1300, 1308-09 (Jan. 8, 1990).
Though Louisville/Jefferson County Metro Government (LMG)
points out that various federal and state courts have determined that no union
business privilege existed even where federal or state statutes may resemble the
NLRA, many of these decisions concerned a significantly different context than
here. Rather than concerning court review of an administrative agency action
about whether questioning of a union representative amounted to an unfair labor
practice, often these decisions involved discovery disputes in civil litigation. See
Degrandis v. Children’s Hospital Boston, 203 F. Supp. 3d 193 (D. Mass. 2016);
Chadwick v. Duxbury Pub. Schs., 475 Mass. 645, 59 N.E.3d 1143 (2016). In
contrast, in the context of determining whether an unfair labor practice resulted
from compelling disclosure of communications between union representatives and
6
The Federal Labor Relations Authority is the independent federal administrative agency that
administers the labor-management relations program for non-postal federal employees.
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members about internal disciplinary proceedings, other authorities have recognized
the limited privilege I urge recognizing here. See Cook Paint; City of Newburgh;
U.S. Department of Treasury, supra.
As for waiver of any such privilege, LMG correctly argues that
privileges may be waived. But though LMG points to Sgt. White’s signing a
document indicating he intended to waive any privilege applicable to him, the
Cabinet did not make a definitive finding that Sgt. White waived the privilege.
And FOP has asserted Sgt. White did not even have an opportunity to consult
counsel before signing the document.
As FOP argues, the purpose of the privilege is to encourage individual
union members to make candid disclosures to their union representatives,
regarding the individual union member as the holder; therefore, it makes sense to
prohibit disclosure of communications with the representative unless the individual
member waives the privilege. And FOP has not cited any authority to support its
argument that the union or union representative is the holder of the privilege.
Although there is not a plethora of published authority on the
question, an unpublished federal appellate court decision held that a union
business-type privilege would be held by the represented employee and not by the
union representative. See Martin v. Department of Homeland Security, 810 F.
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App’x 867 (Fed. Cir. 2020). On the issue of waiver, I agree with the majority that
it is the employee, and not the union, that holds the union business privilege.
However, neither the circuit court’s opinion, nor the majority’s,
definitively states whether a union business privilege existed. Instead, they
incorrectly distinguished this case from Cook Paint based on Sgt. White’s not
being subject to investigation and having waived the privilege—contrary to the
Cabinet’s findings—to find that any privilege did not apply or was waived.
The circuit court states on page five of its opinion and order that Sgt.
White “was not the subject of the PSU investigation.” But the Cabinet’s factual
findings included a statement that the PSU investigator had testified that “Sgt.
White had been served a notice by the time of the interview and was therefore
considered by the PSU to be under investigation.” And the Cabinet further
explained in a footnote that: “Officers generally receive a ‘48-Hour Notice’ before
they are questioned if they face the possibility of disciplinary action in relation to
the subject matter of the questioning.” Sgt. White received such a 48-Hour Notice.
In short, Sgt. White was the holder of the privilege recognized herein
pertaining to his communications with his union representative (Sgt. Mutchler)
about internal disciplinary matters. But the Cabinet made no finding whether he
validly waived any privilege. As the circuit court functioned as an appellate court
in reviewing the Cabinet’s decision under KRS 13B.140(1), it should have
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reviewed only the findings actually made by the Cabinet rather than making its
own findings on matters not decided by the Cabinet. And this Court similarly
should not make the initial determination about whether the privilege was waived.
See Klein v. Flanery, 439 S.W.3d 107, 122 (Ky. 2014) (“As an appellate court, we
review judgments; we do not make them.”); Calhoun v. CSX Transp., Inc., 331
S.W.3d 236, 245 (Ky. 2011) (“In this Commonwealth, it is axiomatic that appellate
courts are not fact-finders . . . the Court of Appeals exceeded its scope of review
when it made factual findings regarding the validity of some of Appellants’
evidence.”).
Even though Sgt. White initialed a form purporting to waive any
privilege applying to him, signing a waiver form does not always mean that a
waiver is valid. See Humphrey v. Commonwealth, 153 S.W.3d 854, 858 (Ky. App.
2004) (despite juvenile’s signing form indicating he was waiving his right to a
preliminary hearing before transfer to circuit court, “based on the record, we are
not convinced that the waiver was valid.”). FOP suggested to the decision-makers
below that Sgt. White did not validly waive a privilege as it emphasized he did not
consult with union representatives or counsel before signing the waiver form. But
the Cabinet did not determine whether the waiver was valid—a matter which can
involve questions of fact as well as law. See generally 5 C.J.S. Appeal and Error §
824 (2021) (waiver of attorney-client privilege generally mixed question of law
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and fact). Rather than attempt to make our own findings of fact or conclusions of
law regarding the validity of Sgt. White’s waiver, I believe it is more appropriate
to remand to the Cabinet to address this matter.
So, I would recognize a limited union business privilege in this
specific context, and I would reverse the trial court with directions to vacate the
denial of the unfair labor practice charge and to remand to the Cabinet for the
limited purpose of determining whether Sgt. White validly waived this union
business privilege.
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BRIEFS AND ORAL ARGUMENT BRIEF FOR APPELLEE,
FOR APPELLANT: LOUISVILLE/JEFFERSON
COUNTY METRO GOVERNMENT:
David Leightty
Louisville, Kentucky Michael J. O’Connell
Jefferson County Attorney
J. Daniel Landrum
Wendy C. Hyland
Assistant Jefferson County Attorneys
Louisville, Kentucky
ORAL ARGUMENT FOR
APPELLEE,
LOUISVILLE/JEFFERSON
COUNTY METRO GOVERNMENT:
Wendy C. Hyland
Assistant Jefferson County Attorney
Louisville, Kentucky
BRIEF AND ORAL ARGUMENT
FOR APPELLEE, KENTUCKY
LABOR CABINET:
John R. Rogers
Frankfort, Kentucky
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