KENNETH G. GALE, Magistrate Judge.
Now before the Court is Defendant Universal Underwriters Insurance Company's "Motion for Sanctions against [Plaintiff] AKH and Its Counsel." (Doc. 343.) The motion arises out of the depositions of two AKH executives and concerns the conduct of counsel defending the depositions.
The motion raises two distinct types of issues related to the interjection of objections by Plaintiff's counsel and his concurrent instructions not to answer. The first issue requires an examination of previous rulings by this Court which found a limited waiver of the attorney-client privilege in the context of document discovery and the application of those rulings to witness examination during depositions. The Court will provide additional guidance concerning the effect of previous rulings on depositions. The second issue is the overall conduct of Plaintiff's counsel defending these depositions. Because Plaintiff's counsel's conduct was far below that which is acceptable, the Motion for Sanctions (Doc. 343) is
The facts of this case have been recited before (see Doc. 158). Briefly, Plaintiff AKH was a defendant in litigation in California against its competitor, Reinalt-Thomas (hereinafter "RT"). Plaintiff brought a counter-claim against RT in that litigation. Plaintiff tendered the defense of RT's claim against it to Defendant Universal, which accepted the defense under reservation of rights. The California litigation was settled in 2012 through two separate but related agreements negotiated at the same time in which AKH would pay to RT $5 million, to be funded by Universal, but that RT would pay a larger sum back to AKH in settlement of the counter-claim, partly funded by the Universal payment. Universal contends that AKH and its attorneys concealed elements of the negotiations including the fact that Universal funds were being passed through RT to AKH.
The Court previously found that the evidence submitted to the Court by Universal supported a prima facie case that AKH had intentionally concealed the relationship between the two settlements from Universal and that it had used its attorneys to do so. (Doc. 158, at 42-23.) That finding supported a conclusion that under the "crime-fraud exception" to the attorney-client and work product privileges, those privileges were waived.
Defense counsel took the depositions of two AKH officials. Not surprisingly, Defendant attempted to question those officials concerning matters it considered relevant to its fraud contentions. Perhaps equally expected, Plaintiff's counsel objected to any questioning which would reveal communications between AKH officials and its attorneys, arguing that this Court's previous rulings were limited to the document production, and instructed the witnesses not to answer the questions. It now falls to the Court to determine whether, and to what extent, its previous ruling impacts deposition testimony.
Initially, it is clear that the Court's previous finding concerning the application of the fraud exception to the attorney-client privilege remains effective. That finding applies to
The application of that exception in a deposition is more challenging. The Court and parties do not have the safe-guard of an in camera review of each question and potential answer to screen the discovery for relevance to the fraud theory. The Court will, therefore, provide some guidance to be applied in depositions in this case.
Defendant must be permitted to complete discovery into whether the specific and narrow fraudulent acts (from which the Court found a prima facie case has been established) in fact occurred. That specific issue is whether AKH and its attorneys intentionally concealed material elements of the settlement negotiations between AKH and RT in order to receive a contribution to that settlement by Defendant. For the purpose of depositions, Defendants are permitted to ask AKH and its officials and attorneys about communications between and among them which would otherwise be privileged as attorney-client communications (or protected under the work-product doctrine) concerning the specific subject matter of negotiating a settlement with RT. This includes the potential terms of any considered settlement or settlement strategy, any offers, potential offers or negotiations, and evaluations of the claims and counter-claims in the California litigation. At this time, the Court does not find that the waiver extends to communications concerning insurance coverage issues between Defendant and Plaintiff.
The waiver also only applies to communications occurred between the completion of an unsuccessful mediation in September 2012 until Defendant received a final draft of the settlement agreement with RT in December 2012. This is the same time period applied to the previous document production. In an effort to illustrate this ruling, the Court will rule specifically on objections based on attorney-client privilege which were asserted in the depositions. (See Appendix.) While the Court finds that the guidance provided herein is necessary and justifies the re-taking of these depositions, the Court does not find the Plaintiff's position in this regard frivolous or in bad faith, and will not order sanctions based on this issue.
The vast majority of objections made by Plaintiff's counsel during these depositions did not relate to the privilege issues described above. These objections were based on often ersatz "form" objections, and the following: compound, asked and answered, overbroad, trade secrets, privacy, speculation, lack of foundation, argumentative, "untrue," misstates the testimony, "I don't know what that means," vague, ambiguous, out of context, assumes facts not in evidence, the document speaks for itself, misstates the document, improper or incomplete hypothetical, legal conclusion, improper hypothetical, calls for expert opinion. Outright coaching occurred (e.g., "It's a `yes' or `no'." "Do you know that or are you assuming?" "Are you making an assumption now or are you assuming?" "If you're not sure or you don't know, just say so." "That's a new question." Answer "if you know."). Simple harassment of the questioner also occurred (e.g., "Let's move on." "Next question." "What are you talking about?" "Bad question." "Ask a good question."). Objections were frequently launched in meaningless salvos.
Plaintiff's counsel repeatedly instructed the witnesses not the answer without an objection based on privilege, usually based on objections that a question had been asked and answered, but also based on questions counsel considered unclear or that lacked foundation. He provided answers before the witness responded, essentially testifying. (See e.g., Andorian, H. deposition, Doc. 354, sealed, at 120.) The witnesses were frequently confused and often changed or amended answers after objections. The attorneys seemed to spend as much time arguing over objections as examining the witness. When examining counsel complained, Plaintiff's counsel claimed he was just "doing his job." The Court disagrees.
Federal Rule of Civil Procedure 30(c)(2) provides that objections taken during a deposition are noted on the record, but that the deposition proceeds with the testimony taken subject to the deposition. "An objection must be stated concisely in a nonargumentative and nonsuggestive manner." Fed.R.Civ.P. 30(c)(2). Form objections must be made at the time of the deposition to avoid waiver because they can be corrected at that time. Fed.R.Civ.P. 30(d)(3)(B). Objections to relevance or materiality are not waived by a failure to object during the deposition. Fed.R.Civ.P. 32(d)(3)(A). An instruction not to answer is appropriate only when necessary to preserve a privilege, to enforce a limitation ordered by the court, or to present a motion to terminate or limit a deposition being conducted in bad faith or in a manner that unreasonably annoys, embarrasses or oppresses the deponent or party. Fed.R.Civ.P. 30(c)(3), (30)(d)(3).
To promote these principals, and to facilitate the efficient and fair conduct of depositions, this Court has promulgated Deposition Guidelines, which provide, in part:
Deposition Guidelines of the United States District Court for the District of Kansas, ¶ 5(a). See also,
The Guidelines support Rules 30 and 32 by highlighting some important concepts. One is to prohibit objections which suggest answers to or otherwise coach the witness, commonly called "speaking objections." The other is to make clear that objections which need not be made to preserve the objection under Rule 32 should not be made in a discovery deposition. The Guidelines also prohibit argumentative interruptions. "Both the Rules and the Guidelines require objections to be concise, non-argumentative and non-suggestive. Implicit in the rule and explicit in the Guidelines is that counsel will cooperate and be courteous to each other and to deponents."
It is neither efficient nor necessary for the Court to separately catalogue and critique every improper objection in this case. Nearly every objection made by Plaintiff's counsel in this case was improper, except for some of the privilege objections discussed in the previous section. Relevance (foundation) objections of all stripes are improper.
The Court "may impose an appropriate sanction . . . on a person who impedes, delays or frustrates the fair examination of the deponent." Fed.R.Civ.P. 30(d)(2). This is an appropriate case for the imposition of sanctions. In imposing sanctions, however, the Court is mindful that the Court's ruling on the privilege issues (which is not the basis for sanctions) likely independently requires new depositions of these witnesses and will, therefore, not assess the complete costs of the depositions to Plaintiff or its counsel. The Court finds the following sanctions appropriate:
The Court enters the following rulings on objections based on the attorney-client privilege or the work-product doctrine.