KENNETH G. GALE, Magistrate Judge.
Before the Court are the following various motions filed by the parties in the above-captioned matter:
Each of the motions is ripe for the Court's decision. Each will be addressed in turn.
Relators bring this qui tam action under the False Claims Act, 31 U.S.C. § 3730(b). They have also alleged a claim of retaliatory discharge from employment under 21 U.S.C. § 3730(h).
After Relators filed a Third Amended Complaint (Doc. 18), Defendants filed motions to dismiss (Docs. 36, 38). The District Judge notified the parties of his intent to view those motions as motions for summary judgment under Rule 56, and then issued a Memorandum and Order denying Defendants' motions as to the retaliation claim, but dismissing the qui tam claims on the grounds that Relators had not plead fraud with the particularity required under Rule 9(b). The Court ruled that the Third Amended Complaint failed to specify whether any aircraft were equipped with the allegedly defective parts and, if so, which parts and which planes. The Court also found that the complaint failed to adequately plead false claims for payment. (Doc. 65, pages 19, 22).
Thereafter, Relators filed a motion to file a Fourth Amended Complaint (Doc. 69). The proposed amendments included allegations concerning specific aircraft (paragraphs 293 and 294 of the Fourth Amended Complaint, referred to here as "exemplar" aircraft) which relators contend were manufactured and sold to the government with defects and false representations. The Court allowed the amendment over Defendants' objections (Doc. 79) and ruled that the additional information provided in the information cured the previous Rule 9(b) deficiencies.
In granting the motion the District Judge provided the following guidance to the parties and the Magistrate Judge concerning the management of this case:
(Doc. 79, at 5.)
This Court interprets the purpose of the District Judge's recommendation as a "litmus test" for Relators' theories, intended to allow the parties to conduct discovery limited to determine whether Relators can support their claims as to the exemplar aircraft sufficient to survive a summary judgment challenge. The intent of this initial procedure is to require Relators to establish their basic claims concerning the exemplar aircraft before allowing the more extensive discovery which may be required to prove their broader claims. By recommending limited discovery in this initial phase, and by providing Defendants an earlier opportunity to file a dispositive motion, the District Judge intended to require Relators, whose claims had been resuscitated only by the fourth amendment to the complaint, to establish that the parts installed on the exemplar aircraft were defective, before allowing broader discovery and litigation covering the entire manufacturing program.
This period of limited discovery was recommended by the District Judge, and constructed by the Magistrate Judge, to be limited in scope and time. Before allowing this complex and far-reaching case to expand into general discovery, the parties were to be allowed limited discovery and an early dispositive motion opportunity to test the specifically-plead claims. This was designed to avoid broad-reaching discovery into the program if the Realtors are unable to support their allegations concerning the exemplar aircraft.
This Court has generously interpreted the recommended discovery limitation, allowing an expanded inquiry into areas beyond, but related to, the claims concerning the exemplar aircraft. The Court has extended the period of initial discovery at least twice at Relators' request over Defendants' objections. The Court recently declined to extend the deadline again, allowing only such time as is needed to implement Orders on pending motions. (Doc. 330.) Even so, as mentioned supra, Relators have requested yet another extension of discovery deadlines. (See n.1, supra; see also Doc. 333.)
This Court remains concerned and disappointed that, despite the procedure devised by the District Court to streamline the case, the parties' approach to discovery has unnecessarily complicated matters. Throughout the period of initial discovery, through the discovery and motions process, the Defendants have maneuvered to limit, and the Relators to expand, discovery based on competing interpretations of the discovery limitation recommended by the District Judge and applied by this Court. This has resulted in a plethora of discovery disputes. Since the entry of the first Scheduling Order (Doc. 98) more than 17 months ago, this Court has issued rulings on seven discovery motions filed by the parties (Docs. 154, 172, 175, 189, 203, 219; 11/3/11 oral motion). These disputes have, no doubt, hampered the progress of discovery. In addition, there are at least ten other discovery motions currently pending before the Court, including the six addressed in this Order. See, supra.
Additional details regarding the extensive procedural background of this case were recently summarized in this Court's April 3, 2012, Memorandum and Order (Doc. 330) granting in part and denying in part Relators' Motion to Amend Scheduling Order. That summary is incorporated herein by reference. Any additional facts necessary to the determination of the various motions will be discussed in the context of the particular motion, infra.
Fed.R.Civ.P. 26(b) states that "[p]arties may obtain discovery regarding any matter, not privileged, that is relevant to the claim or defense of any party . . . Relevant information need not be admissible at the trial if the discovery appears reasonably calculated to lead to the discovery of admissible evidence." As such, the requested information must be both nonprivileged and relevant to be discoverable.
"`Discovery relevance is minimal relevance,' which means it is possible and reasonably calculated that the request will lead to the discovery of admissible evidence."
Discovery requests must be relevant on their face.
Although the scope of discovery is broad, it is not unlimited. If the proponent has failed to specify how the information is relevant, the Court will not require the respondent to produce the evidence.
Defendants Turbine Engine Components Technologies Corp., TECT Aerospace, Inc., TECT Aerospace Wellington, Inc., and Hawker Beechcraft Corporation bring this motion before the Court seeking a protective order "to protect Defendants from the undue burden and expense of responding to Relators' First Request for Admissions and Second Request for Admissions, which total a combined 2826 requests." (Doc. 221, at 1.)
Fed.R.Civ.P. 26(c) provides that a party from whom discovery is sought may move for a protective order to "protect a party or person from annoyance, embarrassment, oppression, or undue burden or expense ..." After determining the relevance of discovery at issue, a court "must balance the need for the information against the claim of injury resulting from disclosure."
Defendants argue that the requests at issue "are excessive and of marginal relevance and little to no apparent materiality." (Doc. 221, at 4.) This Court has previously stated that once the party opposing the discovery admits its "`marginal' relevance," that party then has the burden to support its objections.
Relators argue that Defendants have not adequately supported the objections. (Doc. 222, at 7-8.) Defendants have grouped Relators requests into four categories, which Defendants claim "demonstrate[s] the factual minutiae about which Relators seek admissions." (Doc. 221, at 4.) The categories of admissions relate to 1) parts not installed on the aircraft at issue, 2) job quantities or shipped quantities, 3) actions taken at individual operations of jobs, and 4) direct quotes from documents. (Id., at 5.)
Relators argue that merely because the requests "have been divided . . . into bite-sized pieces of information does not mean that what they have asked about is minutiae." (Doc. 222, at 7.) They also contend that Defendants have "inaccurately and very generally without explanation" branded the requests as "factual minutiae." (Id.)
In the Court's purview, Defendants have failed to explain how or why something characterized as minutiae is necessarily irrelevant or non-discoverable. This Court anticipates that in a lawsuit involving an alleged conspiracy regarding aircraft equipped with allegedly defective parts, there would be an abundance of factual minutiae that would be not only relevant, but specifically material to Relators' claims.
It is well-established in this district that the party opposing discovery "must specifically show . . ., despite the broad and liberal construction afforded by the federal discovery rules, how each [discovery] request . . . is objectionable."
As mentioned above, Defendants also generally complain about the sheer number of requests for admissions at issue. The parties are painfully aware that this case is very complicated and fact intensive. In fact, that is a large part of the District Court's justification for an initial phase of limited discovery. The number of requests alone, however, does not establish that each specific request is objectionable.
The Court next considers the "Motion to Compel the Production of Documents" filed by Defendant Hawker Beechcraft. (Doc. 244.) Therein, Defendant HBC contends that Relators incorrectly withheld production of a series of communications between the individual Relators and an agent for the federal government based on claims of privilege. (Doc. 245, at 3.)
In a prior Order, this Court specifically held that "[c]ommunications from the individual Relators to government agents or attorneys are not shown to be within the protection of Rule 26(b)(3)(A)." (Doc. 154, at 19.) Defendant contends that "[d]espite the Court's Order, Relators have continued to withhold certain communications between Relators and government agents where their own attorneys are copied or jointly addressed while producing other communications that appear to have occurred under the same circumstances." (Doc. 245, at 3-4.)
Defendant also contends that Relators have claimed privilege regarding "factual discussions between the individual Relators that do not involve counsel or legal advice." Finally, Defendant argues that the descriptions in Relators' privilege log are "inadequate to allow [Defendant] to determine if privilege has been appropriately asserted for some documents in light of" this Court's previous ruling on privilege issues. (Doc. 245, at 2-3.) Relators respond that the communication between them is "subject to the attorney-client privilege even though no attorneys were directly involved" because the communications at issue fall into one of three categories: 1) the exchange of "facts and information about the case in order to receive the most effective legal advice," 2) discussion of issues about which they would seek legal advice, and 3) the forwarding of information received from/sent to counsel. (Doc. 269, at 3, 5-6.)
The Court agrees that these categories of information can, under certain circumstances, constitute communications protected by the attorney-client privilege. Without reviewing the documents at issue, however, the Court cannot determine whether they are, in fact, privileged. As such, the Court will
Defendant Hawker also brings its "Motion for Sanctions" against Relators. (Doc. 246.) Defendant argues that for 38 days following the granting of its motion to compel on December 19, 2011, Relators failed to "timely respond" to its Second Set of Interrogatories. (Doc. 247, at 2.) Defendant contends that, as a result, it was "forced" to engage in depositions without knowing the "basic facts" relating to Relator's conspiracy claim, Relator's contention that Defendants' "quality systems were somehow deficient," and Relator's "argument that individual aircraft are exemplars of other aircraft." (Id., at 2-3.) Defendant requests an Order either dismissing the claim for Civil Conspiracy in Relators' Fourth Amended Complaint or precluding Relators from offering any evidence in support of that cause of action. (Id., at 3.) Defendant also seeks an Order "barring Relators from arguing that (a) HBC or TECT failed to provide a `repeatable manufacturing process' or `rigorous' testing, or (b) any aircraft or part is an exemplar of any other aircraft or part." (Id.) Finally, Defendant also seeks expenses caused by Relators' alleged failure to obey the Court's previous Order. (Id.)
Relators correctly point out that the Court's December 19, 2011, Order granting Defendant's motion to compel does not include a date by which Relators were to provide the discovery responses at issue. (Doc. 263, at 1-2.) Further, Relators state that although Defendant "insisted" that the interrogatory responses be provided on a certain day, Relators promised to submit the answers four days later (which they then did). (Id.) Relators continue that "
Defendant HBC next moves the Court for sanctions against Relators, arguing that they failed to identify "the specific nonconforming conditions that Relators allege are present on the spar caps installed on the aircraft at issue." (Doc. 258, sealed, at 10.) At issue is a spreadsheet prepared by Relator Minge at the direction of counsel after reviewing the "Inspection Record Book — Main Spar Assembly." (Doc. 291, sealed, at 3.) In addition to using the spreadsheet to compile and summarize information produced by HBC, counsel for Relators asked Minge "to provide his mental impressions and suggestions for follow up in comments about the records as he reviewed them." (Id.)
Defendant argues that the existence of the spreadsheet establishes, that despite Relators' prior discovery responses to the contrary, Relators
(Id., sealed, at 5.) According to Defendant, this is in violation of the Court's May 18, 2011, Order, which stated that "[i]f . . . Relators have the specific information requested, including any knowledge about specific defects in parts in the individual aircraft identified in the Fourth Amended Complaint (beyond their contention of general nonconformity), they will supplement their responses to disclose that information." (Doc. 154, at 8-9.) HBC requests that the Court sanction Relators by precluding them "from identifying any nonconforming conditions on the spar caps . . . beyond what is currently stated in their interrogatory responses" or, in the alternative, compel Relators to produce the spreadsheet, supplement their discovery responses, and submit to additional depositions. (Doc. 258, sealed, at 10, 11.)
There are two glaring problems with HBC's motion. First, the document at issue is textbook work product and, therefore, protected from discovery.
Second, other than the mental impressions of Relator Minge (which are clearly not discoverable), the factual information contained in the spreadsheet was all gleaned from documents produced by HBC. As such, HBC has no substantial need for the information and sanctions are clearly not warranted. See
The TECT Defendants move the Court to quash Relators' subpoena issued to Engineering Systems, Inc., which "seek[s] documents from Chuck Morin, a consulting, non-testifying expert retained on behalf of TECT in connection with this litigation." (Doc. 300, at 1.) TECT argues that, pursuant to Fed.R.Civ.P. 26(b)(4)(D), "a party may not discover facts known or opinions held by an expert who has been retained by another party in anticipation of litigation and who is not expected to be called as a witness at trial absent a showing of exceptional circumstances."
Relators respond that the motion should fail because 1) TECT did not object to notice of the subpoena, 2) TECT lacks standing to object to the subpoena, 3) TECT has failed to establish a sufficient nexus between the retention of Morin and the present litigation, 4) Morin was consulted in the regular course of business, 5) TECT did not maintain the confidentiality of Morin or his opinions, and 6) exceptional circumstances exist that require the production of the documents at issue. (See generally Doc. 335, sealed.) Procedurally, although a party has the option to object to the notice of a subpoena, the Court is aware of no requirement that a party do so prior to filing a motion to quash. See Fed.R.Civ.P. 45(c)(3). Thus, the Court's analysis will turn to Relators' substantive arguments.
Most of Relators substantive arguments boil down to their contention that Morin's retention by TECT was not "in anticipation of litigation," but rather for other business purposes. Relators argue that although Morin was retained almost two months after the original Complaint in this case was filed, "the order unsealing the case and directing the Second Amended Complaint be served on TECT by Relators (Doc.16) was not entered until March 31, 2009." (Doc. 335, sealed, at 4.)
Regardless of when the case was unsealed and when TECT was initially served, the circumstances that existed at the time of Morin's retention indicate to the Court that TECT was then anticipating litigation. It is undisputed that TECT was a party to the prior state court lawsuit that involved many of the same allegations. (See Doc. 65, at 11.) Thus, regardless of when TECT was served with the Second Amended Complaint, it could safely surmise that it was implicated in the original Complaint even before this case was unsealed. Further, the Court agrees that the investigations by multiple federal government agencies provided TECT with "reasonable grounds for anticipating litigation." See
The Court finds that TECT has adequately established such a nexus. Relators contend that the subject line on September 20, 2007, correspondence from Morin's assistant to counsel for TECT establishes that the purpose of Morin's retention was for "TECT Corporation Wing Spar Investigation." (Doc. 335, sealed, at 4.) This passing reference to the investigation — which clearly implicates parts at issue in this lawsuit — by Morin's assistant is not dispositive of the reason for Morin's retention. Further, it does not exclude the litigation as the reason for Morin's retention. The only direct evidence provided to the Court is counsel for TECT retained Morin and his firm for the sole purpose of advising TECT regarding the litigation. (See Doc. 300-1.)
Finally, Relators contend that "exceptional circumstances" exist which entitle them to see the materials at issue because TECT no longer manufactures the spar caps. As such, they argue, their expert "can no longer observe the conditions that were observed by the non-testifying expert," Morin. (Doc. 335, sealed, at 10.) Even so, the Court agrees with TECT's position that "there is nothing that Mr. Morin observed that is any different than what Relators have observed and discovered through documents and depositions" in this case. (Doc. 336, at 5-6.) TECT's motion to quash is
Finally, Defendant HBC moves the Court for an Order compelling Relators to provide supplemental responses to three interrogatories. (Doc. 320; see also memorandum in support, Doc. 332, sealed.) Each will be discussed in turn.
Interrogatory No. 7 seeks information regarding Relators' False Claims Act "conspiracy" cause of action between HBC and TECT. (Doc. 332, at 1; see also Doc. 332-2, sealed, at 9, et seq.) HBC contends that "Relators answered this request with a 192-page montage of excerpted text apparently copied verbatim from documents." (Doc. 332, sealed, at 5.) HBC argues that the response "makes no sense," fails to provide the basic information requested (identity of the conspirators, when conspiracy formed, the "illicit agreement" reached by the conspirators, etc.). (Id.)
Interrogatory No. 16 seeks the factual basis for the allegation that HBC had knowledge before April 2007 "of TECT's use of alleged non-conforming manufacturing methods" in certain spar caps. (Doc. 332, sealed, at 7.) Relators referred HBC to their response to Interrogatory No. 7, discussed above. HBC contends that "[t]hat answer . . . makes no attempt to identify a single individual or explain how a particular document provides a basis for their allegation about HBC's alleged pre-April 2007 knowledge." (Id.) Relators contend that "there is nothing to compel because they submitted responsive information regarding "communications spanning back to 1999 where HBC and TECT discussed nonconforming processes, information about parts that were rejected for conditions attributable to nonconforming processes, incidents that occurred that would have provided HBC with knowledge about TECT's nonconforming processes." (Doc. 327, at 4.)
Having reviewed Relators' responses to Interrogatories No. 7 and 16, the Court finds the responses to be largely sufficient. Although HBC may have preferred additional or different information, this does not necessarily make Relators' responses improper. Relators are, however, instructed to provide more specification as to which portion of the documents produced/referenced are responsive to the particular interrogatories (and the respective subsections) within
Interrogatory No. 17 requests information regarding Relator Kiehl's contact with the Martin Pringle law firm. It is uncontroverted that Kiehl had been represented by attorneys at Martin Pringle — a firm which was also known by him to be outside counsel to HBC. (See Doc. 332, sealed, at 2.) At his deposition, Kiehl apparently responded to certain questions regarding what caused him to believe that HBC "was somehow responsible for any of the manufacturing processes that [he was] alleging at TECT." (Doc. 332, sealed, at 9.) Relator Kiehl testified that he and Relator Minge "had actually tried to approach, have Martin Pringle [law firm] approach Hawker Beechcraft and ask if they would like to join in the suit against TECT because they were doing things improperly." (Id.) HBC contends Relators had "no basis for believing that HBC had knowledge of any non-conforming manufacturing processes at TECT at the time he approached the law firm — making the date and effect of that approach highly probative as this information goes to the hear of whether Relators are the original source of any such information," which, according to HBC, is "a potential jurisdictional bar under the False Claims Act." (Id.) HBC states that it asked similar questions to Kiehl at his deposition, but that his counsel did not object based on attorney-client privilege until it asked about the specific content of the conversation Kiehl had with the Martin Pringle firm. (Id., at 10.) According to HBC, Relators are now "impermissibly attempting to expand their objection and avoid revealing any surrounding details about [Kiehl's] approach" of the law firm. (Id.)
Relator argues that after he attempted to testify at deposition regarding the date and location of the conversations with counsel, he was instructed not to answer further questions on the subject. (Doc. 327, at 4-5.) Relators also point out that HBC did not challenge the attorney-client privilege objection during the deposition and time to do so has expired. (Id., at 5-6.)
The Court finds that the content of the conversation at issue is protected by the attorney-client privilege. This would clearly implicate the portion of the interrogatory inquiring as to "what, if any, role this contact with Martin Pringle had in Relators' decision to name HBC as a defendant in their False Claims Act action." (Doc. 332, sealed, at 8.) The fact that the conversation took place — in addition to where and when it occurred — is not, however, protected. This portion of Defendant HBC's motion is, therefore,
IT IS FURTHER ORDERED that the "Motion to Compel the Production of Documents" (Doc. 244) filed by Defendant Hawker Beechcraft Corporation is
IT IS THEREFORE
IT IS FURTHER ORDERED that the "Motion for Sanctions Against Relators For Failing to Provide Court-Ordered Discovery" (Doc. 257, sealed) filed by Defendant Hawker Beechcraft Corporation, is
IT IS FURTHER ORDERED that the "Motion to Quash the Subpoena Issued to Engineering Systems, Inc." (Doc. 300) filed by Defendants Turbine Engine Components Technologies Corp., TECT Aerospace, Inc., TECT Aerospace Wellington, Inc. is
IT IS FURTHER ORDERED that the "Motion to Compel Interrogatory Responses" (Doc. 320) filed by Defendant Hawker Beechcraft Corporation is