Angell v. Shawmut Bank Connecticut National Ass'n

153 F.R.D. 585, 1994 U.S. Dist. LEXIS 1774
CourtDistrict Court, M.D. North Carolina
DecidedJanuary 7, 1994
DocketNos. 2:93MC46, 93CV1080(WK)
StatusPublished
Cited by13 cases

This text of 153 F.R.D. 585 (Angell v. Shawmut Bank Connecticut National Ass'n) is published on Counsel Stack Legal Research, covering District Court, M.D. North Carolina primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Angell v. Shawmut Bank Connecticut National Ass'n, 153 F.R.D. 585, 1994 U.S. Dist. LEXIS 1774 (M.D.N.C. 1994).

Opinion

ORDER

ELIASON, United States Magistrate Judge.

The matter before the Court is an ancillary proceeding arising out of an action filed in the federal court for the District of Connecticut on February 16, 1993 and transferred to the Southern District of New York two days later. Petitioners, Don G. Angelí and Angelí Group Incorporated (hereinafter denominated as “Angelí”), have filed a motion pur[587]*587suant to Fed.R.Civ.P. 45 to require respondent to pay the costs and expenses which Angelí incurred in complying with subpoenas directed to them as non-parties.

In the main proceeding, plaintiff (respondent in these proceedings) Shawmut Bank Connecticut National Association, Trustee (“Shawmut”), has filed an action against defendant Towers Financial Corporation (“Towers”) concerning certain bonds issued by Towers’ subsidiaries. Shawmut discovered that Towers had failed to deposit certain proceeds into five Lockbox Accounts maintained by Shawmut as Trustee for bondholders. In its complaint, respondent alleged a massive fraud involving over $215 million and sought a temporary restraining order from the United States District Court for the District of Connecticut. The same was granted on February 16, 1993 and Shawmut began to prepare for the preliminary injunction hearing which was set for March 16, 1993.

In preparing for the hearing, and on March 7, 1993, Shawmut issued subpoenas from this Court to Angelí and also issued subpoenas from other courts to two other similar health care providers. Angell’s depositions were scheduled for March 11 and 12, 1993. However, prior to the hearing Shaw-mut and Towers entered into a stipulated protective order thereby obviating the need for the preliminary injunction hearing. Consequently, Shawmut’s counsel called Angell’s counsel on March 9,1993 and stated that the documents previously sought pursuant to the subpoenas were no longer of immediate necessity but that Angelí should produce the documents responsive to the subpoenas on or before March 22, 1993.

Angelí did not object to the subpoenas. However, the parties did enter into an implicit and explicit agreement concerning the production of the documents. Thus, on March 9, 1993, petitioners’ counsel informed respondent’s counsel of the numerous files which were involved and located in other parts of the country. After consulting, the attorneys were able to agree to the terms of production and limit the document request. Petitioners began collecting, sorting and copying the documents. However, on April 15, 1993 petitioners were informed that compliance with the subpoenas was no longer required.

Petitioners’ counsel avers that he told David Fleissig, respondent’s attorney, about the burdensome task of complying with the subpoenas. Mr. Fleissig denies that he was ever told that the task of complying with the subpoenas would be “herculean.” However, the Court finds that he did know that the original compliance would be time consuming because he admits, and the record shows, that the document request was, in fact, limited. This necessarily would involve some selection of documents. Mr. Fleissig also avers that Angell’s counsel never requested Shaw-mut to reimburse Angelí for their efforts in complying with the subpoenas. He further denies that he was advised by Angelí that there would be “substantial expenses and effort” in complying with the subpoenas. Finally, Mr. Fleissig alleges that he never represented that respondent would reimburse Angell’s counsel for work performed in compliance with the subpoenas. In his affidavit, however, he admits, “I merely told counsel for the Angelí Group that Shawmut would pay the reasonable costs of copying any documents produced to Shawmut.”

On or about April 19, 1993, respondent received an invoice from petitioners for $4,051.22 for services rendered in compliance with the subpoenas. Mr. Fleissig wrote back on April 22,1993 that Fed.R.Civ.P. 45 did not provide petitioners with a right to compensation, and second, that he never agreed to reimburse Angelí for the law firm’s work but merely agreed to pay reasonable costs of copying the documents.

In June of 1993, petitioners filed their motion for compensation, seeking not only reimbursement of $4,051.22 for counsel’s work in complying with the terms of the subpoenas, but also for reasonable attorney’s fees for the motion. The total amount now sought by petitioners is $5,567.41. The breakdown of the costs and expenses are as follows. Sixty-three and one-half (63/é) billable hours of attorneys’ time at hourly rates from $70.00 to $135.00 producing an amount of $5,385.00. Expenses in the amount of $182.41 for mail, telephone charges, legal research and 29 copies of documents.

Discussion

Respondent’s first defense to petitioners’ motion is that this Court does not have [588]*588jurisdiction to resolve the underlying dispute. The argument is based on the recent changes to Rule 45 as a result of the 1991 amendments.1 Respondent acknowledges that the subpoenas were issued by this Court, but points out that the underlying litigation is not pending here. According to respondent, because petitioners’ motion for production costs does not involve an objection to complying with a subpoena or a motion to quash or modify a subpoena under Rules 45(c)(2)(B) or 45(c)(3)(A), it must fall under Fed.R.Civ.P. 45(c)(1).2 According to respondent, Rule 45(c)(1) only provides authority to the court where the litigation is pending to resolve disputes over whether a non-party is entitled to compensation for complying with a subpoena.

Respondent’s argument is premised on the differential use of the prepositional phrases “the court on behalf of which the subpoena was issued” and “the court by which the subpoena was issued” in Rule 45(c)(1) and Rules 45(c)(2)(B) & (c)(3)(A), respectively. According to respondent, the different phrases must have a purpose.

Respondent notes that Rule 45(c)(1) speaks about a person applying for relief from the “court on behalf of which the subpoena was issued.” By using the words “on behalf of,” respondent contends the rule can only refer to the court wherein the action was filed and/or pending. Thus, respondent says that petitioners should have to make application to the federal court in New York. In contrast, courts such as this one, whose only connection with the action is that the subpoenas were issued by it, are allegedly limited to ruling on timely objections and motions to quash or modify subpoenas as provided for in Fed.R.Civ.P. 45(c)(2)(B) and 45(c)(3)(A).3 In that instance, the rule [589]*589speaks about the court “by which the subpoena was issued.” In respondent’s view, the words “the court on behalf of’ refers to the court where the action is pending and on whose behalf the subpoena was issued, while the words “the court by which” refers to the court which actually issues the subpoena.

A review of the other parts of Rule 45 does not support respondent’s construction nor would it comport with the purpose of the rule.

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Bluebook (online)
153 F.R.D. 585, 1994 U.S. Dist. LEXIS 1774, Counsel Stack Legal Research, https://law.counselstack.com/opinion/angell-v-shawmut-bank-connecticut-national-assn-ncmd-1994.