| The analysis for the parties as holders appears quite |
| different at first examination from traditional communications |
| privileges because mediations involve parties whose interests |
| appear to be adverse. However, the law of attorney-client |
| privilege has considerable experience with situations in which |
| multiple-client interests may conflict, and those experiences |
| support the analogy of the mediation privilege to the |
| attorney-client privilege. For example, the attorney-client |
| privilege has been recognized in the context of a joint |
| defense in which interests of the clients may conflict in part |
| and yet one may prevent later disclosure by another. See |
| Raytheon Co. v. Superior Court, 208 Cal. App.3d 683, 256 Cal. |
| Rptr. 425 (1989); United States v. McPartlin, 595 F.2d 1321 |
| (7th Cir. 1979), cert denied, 444 U.S. 898 (1979); Visual |
| Scene, Inc. v. Pilkington Bros., PLC, 508 So.2d 437 (Fla. App. |
| 1987); but see Gulf Oil Corp. v. Fuller, 695 S.W.2d 769 (Tex. |
| App. 1985) (refusing to apply the joint defense doctrine to |
| parties who were not directly adverse); see generally Patricia |
| Welles, A Survey of Attorney-Client Privilege in Joint |
| Defense, 35 U. Miami L. Rev. 321 (1981). Similarly, the |
| attorney-client privilege applies in the insurance context, in |
| which an insurer generally has the right to control the |
| defense of an action brought against the insured, when the |
| insurer may be liable for some or all of the liability |
| associated with an adverse verdict. Desriusseaux v. Val-Roc |
| Truck Corp., 230 A.D.2d 704 (N.Y. Supreme Ct. 1996); Paul R. |
| Rice, Attorney-Client Privilege in the United States, 4:30- |
| 4:38 (2d ed. 1999). |