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United States v. Norian Corp, 16-2240 (2017)

Court: Court of Appeals for the Third Circuit Number: 16-2240 Visitors: 20
Filed: Sep. 08, 2017
Latest Update: Mar. 03, 2020
Summary: NOT PRECEDENTIAL UNITED STATES COURT OF APPEALS FOR THE THIRD CIRCUIT _ No. 16-2240 _ UNITED STATES OF AMERICA v. NORIAN CORPORATION; SYNTHES, INC., Appellants _ On Appeal from the United States District Court for the Eastern District of Pennsylvania (Criminal No.: 2:09-cr-00403-001 and 2:09-cr-00403-002) District Judge: The Honorable Legrome D. Davis _ Submitted Pursuant to Third Circuit L.A.R. 34.1(a) July 14, 2017 Before: SMITH, Chief Judge, NYGAARD, and FUENTES, Circuit Judges (Opinion Filed
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                                                                 NOT PRECEDENTIAL

                       UNITED STATES COURT OF APPEALS
                            FOR THE THIRD CIRCUIT
                                _______________

                                      No. 16-2240
                                    _______________

                            UNITED STATES OF AMERICA

                                             v.

                     NORIAN CORPORATION; SYNTHES, INC.,
                                                   Appellants
                                   ___

                    On Appeal from the United States District Court
                          for the Eastern District of Pennsylvania
                (Criminal No.: 2:09-cr-00403-001 and 2:09-cr-00403-002)
                    District Judge: The Honorable Legrome D. Davis
                                     _______________

                   Submitted Pursuant to Third Circuit L.A.R. 34.1(a)
                                    July 14, 2017

       Before: SMITH, Chief Judge, NYGAARD, and FUENTES, Circuit Judges

                           (Opinion Filed: September 8, 2017)
                                   _______________

                                        OPINION
                                        _________
FUENTES, Circuit Judge.

       In 2003 and 2004 two patients died during spine surgery where bone cement

manufactured by the defendants, Norian Corporation and its parent company, Synthes,




 This disposition is not an opinion of the full Court and pursuant to I.O.P. 5.7 does not
constitute binding precedent.
Inc. (collectively “Synthes”), were used. These and other deaths led the government to

initiate a criminal investigation into Synthes’s marketing practices. This investigation

culminated in the empaneling of a grand jury in the Eastern District of Pennsylvania, and

Synthes, as well as several of its high-level executives, pled guilty to unlawful off-brand

marketing of its bone cement in violation of the Food, Drug, and Cosmetic Act. In 2014,

the estates of the two patients who died in 2003 and 2004 filed a civil wrongful death

lawsuit in California state court against Synthes and its executives. In preparing for its

defense, Synthes petitioned the court for certain grand jury materials. The District Court

denied Synthes’s petition for failure to demonstrate a particularized need. Because we

find that the District Court did not abuse its discretion, we will affirm.

                                              I.

       Between the late 1990s and the early 2000s, Synthes manufactured and marketed

two generations of bone cement called Norian SRS (“Skeletal Repair System”) and

Norian XR, for use in orthopedic surgeries to fill bone voids. The Food and Drug

Administration (“FDA”) approved these medical devices for use as a general bone filler,

but expressly did not approve their use in spines, and required a warning that it should

not be used in such a way on its label. Despite this clear directive from the FDA,

however, Synthes nonetheless marketed its bone cement for use in vertebroplasty, a

surgical procedure that treats fractures of the spine.

       This off-label use, at the encouragement of Synthes sales representatives, led to

several patient deaths and spurred a criminal investigation of Synthes and several high-

level executives. After a grand jury proceeding in 2009, the government charged Synthes

                                              2
and the executives with conspiracy to defraud the federal government,1 and charged

Synthes with criminal violations of the Food, Drug, and Cosmetic Act.2 All defendants

pled guilty to all charges, and the individuals were sentenced in November 2011.

         In 2014, the estates of two of the patients who died during vertebroplasties in 2003

and 2004 filed a wrongful-death action in California state court against Synthes and

several of its former executives. The plaintiffs allege that the decedents’ deaths were

caused by the off-label use of Norian SRS and Norian XR in their vertebroplasties, and

that the bone cement would not have been used but for Synthes’s assurance that the

products were FDA-approved for this particular indication. During discovery for that

case, one of the treating surgeons, Dr. Nottingham, testified in a deposition that he

specifically recalls being told by both a Synthes sales representative and a Synthes

executive that Norian XR was FDA-approved for use in vertebroplasties. He further

testified that, as a result of this reassurance, he used the bone cement in the vertebroplasty

for one of the decedents, despite the warning on the label that it should not be so used.

         Seeking to undermine this testimony, Synthes petitioned the court for certain

grand jury materials in the hope that they will contradict, or at least call into question, the

reliability of Dr. Nottingham’s recollection of the events that occurred over a decade ago.

After reviewing the grand jury materials at issue in camera, the District Court denied the




1
    18 U.S.C. § 371.
2
    18 U.S.C. § 331.
                                               3
petition.3 Synthes moved for reconsideration, which was also denied. Synthes timely

appealed both orders.4

                                            III.5

       It is long established that, “in order to preserve the freedom and integrity of the

deliberative process” during grand jury proceedings, Rule 6(e) protects from disclosure

“matters occurring before the grand jury.”6 The “policy of secrecy is not absolute,”

however.7 Disclosures may be granted “preliminary to or in connection with a judicial




3
  We have requested the materials that the District Court reviewed in camera and took
them into consideration.
4
  Though Synthes’s petition was filed under a criminal rule of procedure on a criminal
docket, we nonetheless conclude that Federal Rule of Appellate Procedure 4(a)(4), tolling
the time for appeal in a civil case until after disposition of a motion for reconsideration,
applies. “Proceedings to enforce civil rights are civil proceedings, and proceedings for
the punishment of crimes are criminal proceedings.” Ex Parte Tom Tong, 
108 U.S. 556
,
559 (1883). Here, the only pending issue is whether grand jury materials may be
disclosed to Synthes to help it defend itself in a separate civil action—an undoubtedly
civil “right” though it implicates criminal rules of procedure. In re Special Grand Jury
89-2, 
450 F.3d 1159
, 1169 (10th Cir. 2006); United States v. Campbell, 
294 F.3d 824
,
827 (7th Cir. 2002); United States v. Miramontez, 
995 F.2d 56
, 58 (5th Cir. 1993).
5
  We have jurisdiction over the appeal under 28 U.S.C. § 1291, which we review for
abuse of discretion. Wiest v. Lynch, 
710 F.3d 121
, 128 (3d Cir. 2013); United States v.
McDowell, 
888 F.2d 285
, 289 (3d Cir. 1989). An abuse of discretion occurs when the
District Court applies an “errant conclusion of law, an improper application of law to
fact, or a clearly erroneous finding of fact.” 
Wiest, 710 F.3d at 128
.
6
  In re Grand Jury Investigation (N.J. State Comm’n of Investigation), 
630 F.2d 996
,
1000 (3d Cir. 1980) (hereinafter “SCI”).
7
  
Id. 4 proceeding,”8
so long as the requesting party can demonstrate “a particularized need for

that information which outweighs the public interest in secrecy.”9

       In its initial petition, Synthes requested (1) “Grand Jury testimony and memoranda

of interviews of Dr. Paul Nottingham and Dr. Hieu Ball (the ‘Doctors’) and S. Michael

Sharp (‘Dr. Sharp’);” (2) “documents produced to the Grand Jury by the Doctors or

reviewed by the Doctors during the Grand Jury proceedings;” and (3) “documents

reviewed by Dr. Sharp in preparation for or during the Grand Jury proceedings.” 10 The

District Court denied this petition in part.

       Synthes, on a motion for reconsideration, brought a different, more refined

petition. Instead of asking for all grand jury testimony and interview memoranda, it

sought only portions of Dr. Nottingham’s interview memoranda and grand jury testimony

reflecting his understanding of the FDA status of the bone cement at the time of the

surgery. And instead of all documents the Doctors produced to the grand jury, now it

sought only “copies of any medical records, doctors’ notes, calendar appointments or

other documents dated prior to the initiation of the grand jury investigation that were

produced by Drs. Nottingham or Ball to the grand jury.”11 The District Court denied this

motion for reconsideration because “[n]one of the narrow reasons for granting



8
  Fed. R. Crim. P. 6(e)(3)(E)(i).
9
  United States v. McDowell, 
888 F.2d 285
, 289 (3d Cir. 1989) (internal citations and
quotations omitted).
10
   A 76.
11
   A 235. Because the District Court granted disclosure of “any business records
belonging to [Synthes], which Sharp returned to the” government, A 24, it dropped its
third request for all documents reviewed by Dr. Sharp.
                                               5
reconsideration,”12 which are limited to “correct[ing] a clear error of law or []

prevent[ing] a manifest injustice in the District Court’s original ruling,”13 applied.

       On appeal, Synthes brings three arguments: first, that the portions of the interview

memoranda that were not disclosed to the grand jury are not subject to grand jury secrecy

under Rule 6(e); second, that business records, even though they were examined by the

grand jury, are not subject to Rule 6(e) because they were independently created; and

third, the District Court erred in finding that it has not demonstrated a particularized need

for these documents. We disagree.

       First, we reject Synthes’s argument that memoranda of interviews conducted in

preparation for a grand jury investigation are not subject to grand jury secrecy so long as

they were not presented to the grand jury. Rule 6(e) extends grand jury secrecy to all

“[r]ecords, orders, and subpoenas relating to grand-jury proceedings.”14 The touchstone

is not what has been examined by the grand jury, but what may reveal “the essence of

what takes place in the grand jury room.”15 The District Court, after reviewing the


12
   A 28.
13
   
Id. (quoting United
States v. Dupree, 
617 F.3d 724
, 732 (3d Cir. 2010)).
14
   Fed. R. Crim. P. 6(e)(6) (emphasis added).
15
   
SCI, 630 F.2d at 1000
; see In re Grand Jury Matter (Garden Court Nursing Home,
Inc.), 
697 F.2d 511
, 512-13 (3d Cir. 1982) (finding that prosecution summaries of the
defendant’s books and records are subject to grand jury secrecy because the conclusions
were likely revealed to the grand jury and because these summaries do not exist
independently of the grand jury process); United States v. Ulbricht, 
858 F.3d 71
, 107 (2d
Cir. 2017) (finding that a letter describing a grand jury investigation—which was not
presented to a grand jury—nonetheless falls under Rule 6(e)). But see In re Grand Jury
Matter (Catania), 
682 F.2d 61
, 64 (3d Cir. 1982) (finding that materials that were the
product of an FBI investigation, that “were not generated by the grand jury, and were not
requested or subpoenaed by the grand jury,” and were likely not ever presented before the
grand jury are not subject to grand jury secrecy rule).
                                              6
requested documents in camera, concluded “the information contained in the memoranda

relates to what transpired before the grand jury.”16 Having reviewed the same documents

in camera, we concur in the District Court’s finding.

       Second, we similarly reject Synthes’s argument that the medical records it seeks

fall outside the secrecy requirements of Rule 6(e). It is true that “business records . . .

created for purposes independent of grand jury investigations,” which “have many

legitimate uses unrelated to the substance of the grand jury proceedings,” are not subject

to Rule 6(e) merely because they were reviewed by a grand jury.”17 And we have

granted disclosure of documents presented to grand juries “[w]hen testimony or data is

sought for its own sake—for its intrinsic value in the furtherance of a lawful

investigation—rather than to learn what took place before the grand jury.”18

       But that is not the request before us. Synthes did not simply request business and

medical records generated by Dr. Nottingham and Dr. Ball, which only incidentally were

presented to a grand jury. Instead, Synthes sought only documents “produced to the

Grand Jury.”19 This is precisely the type of “general request for all documents collected

or received in connection with” a grand jury investigation that “would be in effect a

disclosure of the grand jury proceedings.”20 Synthes’s requests make clear that the




16
   A 34.
17
   
SCI, 630 F.2d at 1000
.
18
   
Id. at 1001
(quoting United States v. Interstate Dress Carriers, 
280 F.2d 52
, 54 (2d Cir.
1960)).
19
   A 76; A 235.
20
   United States v. Stanford, 
589 F.2d 285
, 291 n.6 (7th Cir. 1978).
                                               7
documents are not sought for their own intrinsic value; their significance lies only in their

significance to the grand jury.21

       Having decided that all of the documents sought are subject to Rule 6(e), we now

turn to Synthes’s third argument: the District Court erred in finding that Synthes did not

carry its burden of demonstrating “particularized need that outweighs the public’s interest

in secrecy.”22 To prove particularized need, the party must demonstrate that (1) “the

material they seek is needed to avoid a possible injustice in another judicial proceeding;”

(2) “the need for disclosure is greater than the need for secrecy;” and (3) “their request is

structured to cover only the materials so needed.”23

       As Synthes correctly asserts, the Supreme Court has recognized that “the typical

showing of particularized need arises when a litigant seeks to use the ‘grand jury

transcript at the trial to impeach a witness, to refresh his collection, to test his credibility

and the like,’” so as to “avoid misleading the trier of fact.”24 However, the mere

incantation that the requested materials are needed to impeach a witness is not enough.

The moving party must point to actual inconsistencies that could be remedied by the

requested grand jury materials, the disclosure of which is needed to avoid possible

injustice in the separate judicial proceeding.25 In determining whether particularized



21
   
Id. 22 McDowell,
888 F.2d at 289.
23
   Douglas Oil v. Petrol Stops Nw., 
441 U.S. 211
, 222 (1979).
24
   
Id. at 222
n.12 (quoting Untied States v. Procter & Gamble Co., 
356 U.S. 677
, 683
(1958)).
25
   See In re Special Grand Jury 89-2, 
143 F.3d 565
, 571 (10th Cir. 1998); In re Grand
Jury Testimony (Doe), 
832 F.2d 60
, 63 (5th Cir. 1987); United States v. Fischbach &
                                                8
need has been demonstrated and whether that need outweighs the public need for secrecy,

the District Court is afforded substantial discretion.26

       Based on the record, we conclude that the District Court’s denial of the petition

was not an abuse of discretion. Three reasons support this conclusion. First, we agree

with the District Court that Synthes failed to convincingly point to an actual

inconsistency warranting disclosure of grand jury materials to avoid possible injustice.

The alleged discrepancy is between Dr. Nottingham’s deposition testimony that an

“unspecified executive expressly reassured him that the proposed use [of the bone cement

in vertebroplasty] was ‘on-label,’” and the absence of reference to this conversation in the

contemporaneous documents recounting the aftermath of the surgery.27 This is not an

actual discrepancy. These documents were Synthes’s records put together by product

development that were primarily concerned about the medical reasons for a fatality—

hardly the place to document an incriminating conversation. Even so, one document

notes that “[t]he surgeon denied any knowledge of Norian XR being in its Limited

Release/Test Market Phase. . . . He claimed the sales consultant ‘pushed’ this product on




Moore, Inc., 
776 F.2d 839
, 845 (9th Cir. 1985); United States v. Silva, 
745 F.2d 840
, 846
(4th Cir. 1984).
26
   Douglas 
Oil, 441 U.S. at 222
.
27
   Petitioner Br. at 20-21; A 138-139.
                                               9
him and was unclear as to its status on the market.”28 This appears to be consistent with

the main thrust of Dr. Nottingham’s deposition testimony.

       Second, we are not persuaded that the requested grand jury material is truly the

only source of information that could elucidate “whether [Synthes] misled Dr.

Nottingham about [] Norian XR.”29 Dr. Nottingham testified that he spoke to two people

at Synthes about the FDA status of the bone cement—a sales representative who attended

the surgery and an executive with whom he spoke over the phone. Surely those

individuals may be able to shine some light on what occurred. Furthermore, the nurse

who assisted in the surgery and was the one who finally read aloud the warning label on

the Norian XR may also have valuable information. We have no doubt that the requested

grand jury materials are relevant, and maybe even helpful, but “[t]he rule governing

disclosure of grand jury testimony ‘is not to be used as a substitute for general

discovery.’”30

       Finally, even if Synthes has demonstrated some need for the requested materials,31

the District Court did not abuse its discretion in finding that its need does not outweigh



28
   A 229.
29
   
Id. 30 In
re Lynde, 
922 F.2d 1448
, 1453-54 (10th Cir. 1991) (quoting United States v. Evans
& Assocs. Const. Co., Inc., 
839 F.2d 656
, 658 (10th Cir. 1988)).
31
   We note that Synthes failed, in its initial petition, to “structure[] [its request] to cover
only material so needed.” Douglas 
Oil, 441 U.S. at 222
. It attempted to rectify this
problem on its motion for reconsideration by submitting a narrower request. However, a
motion for reconsideration is simply not the appropriate vehicle to bring what is
essentially a new request; these motions are limited to “correct[ing] a clear error of law or
[] prevent[ing] a manifest injustice in the District Court’s original ruling.” 
Dupree, 617 F.3d at 732
.
                                              10
the public’s need for secrecy. The grand jury investigation at issue here has been

concluded for many years, and while “the interests in grand jury secrecy [are] reduced,”

they “are not eliminated.”32 “For in considering the effects of disclosure on grand jury

proceedings, the courts must consider not only the immediate effects upon a particular

grand jury, but also the possible effect upon the functioning of future grand juries.”33

The interest in secrecy in this case remains great. Synthes is hoping to use grand jury

materials to undermine the credibility of Dr. Nottingham, a key witness during the grand

jury proceeding, and to impliedly shift blame for the death of his patient to him, away

from Synthes. This is precisely the kind of “future retribution” that could chill the candor

of future grand jury witnesses. While this need for secrecy is not insurmountable, it has

not been overcome in this case.

                                              IV.

         For the foregoing reasons, we will affirm the District Court’s orders.




32
     Douglas 
Oil, 411 U.S. at 222
.
33
     
Id. 11

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