Boyd v. University of Maryland Medical System

173 F.R.D. 143, 38 Fed. R. Serv. 3d 1030, 1997 U.S. Dist. LEXIS 20191, 1997 WL 249233
CourtDistrict Court, D. Maryland
DecidedMay 2, 1997
DocketCivil Action No. WMN-96-3105
StatusPublished
Cited by16 cases

This text of 173 F.R.D. 143 (Boyd v. University of Maryland Medical System) is published on Counsel Stack Legal Research, covering District Court, D. Maryland primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Boyd v. University of Maryland Medical System, 173 F.R.D. 143, 38 Fed. R. Serv. 3d 1030, 1997 U.S. Dist. LEXIS 20191, 1997 WL 249233 (D. Md. 1997).

Opinion

MEMORANDUM

GRIMM, United States Magistrate Judge.

By Order dated April 15, 1997, the Honorable William M. Nickerson referred to the undersigned all discovery disputes in connection with the above-captioned case. Presently pending before me is the University of Maryland Medical System’s (“UMMS”) motion to compel deposition testimony and request for sanctions. Paper No. 38. For the reasons stated below, I will grant the motion. I will also order counsel for the plaintiff to show cause why sanctions should not be imposed against him for instructing his client not to answer the questions which are the subject of this motion.

DISCUSSION

Despite the changes to Fed.R.Civ.P. 30(d)(1) which went into effect in the fall of 1993, and the adoption of the Discovery Guidelines by this Court in September 1995, the issue which presents itself in this case— the appropriateness of counsel instructing a deponent not to answer questions during a deposition — has proven to be a recurring problem which sometimes appears to defy efforts to clarify the law. In part, the problem is understandable, although not excusable. Fed.R.Civ.P. 30(c) mandates that examination and cross-examination during a deposition may proceed as permitted at trial under provisions of the Federal Rules of Evidence. The setting for a deposition mimics trial, with one important difference: a court reporter is present, testimony is taken under oath, counsel are present to zealously represent their clients, yet when the inevitable occurs, a difference of opinion regarding the propriety of a question, there is no judge to rule on the dispute. Instead, counsel are expected to rise above their roles as advocates for a particular party, and, acting as officers of the court, resolve their differences on the spot without outside intervention. As difficult as it is to do, and recognizing at the outset that reasonable minds can differ in good faith about many discovery issues, it is nonetheless required that counsel behave appropriately during deposition discovery. There simply is no more aggravating action than a lawyer improperly instructing a deponent not to answer a question. This tactic frequently is used to frustrate new or inexperienced lawyers, and thwart legitimate discovery by more seasoned ones. As will next be discussed, there are very few circumstances in which an instruction not to answer a deposition question is appropriate, and the continued use of this tactic in light of the existing rules, guidelines and case law is a dangerous, and potentially expensive, endeavor.

It has been the law in this circuit for 20 years that lawyers may not instruct witnesses not to answer questions during a deposition unless to assert a privilege. Ralston Purina Co. v. McFarland, 550 F.2d 967 (4th Cir.1977).1 Initially, many practitioners [145]*145were critical of this decision, because it was perceived as making lawyers defending a deposition powerless against abusive tactics by an examining attorney, such as repeatedly asking the same question, or asking argumentative questions or questions seeking information not relevant to the litigation, but of a highly personal nature. However, for such abusive tactics, Fed R. Civ. P. 30(d)(3) has always offered an available, although somewhat drastic, refuge.2

The 1993 amendments to the Federal Rules of Civil Procedure codified the rule articulated in the Ralston Purina case.3 In addition to permitting an attorney to instruct a deponent not to answer a question in order to preserve a privileged communication, the new amendments allowed a lawyer or deponent who had the foresight to anticipate a problem in deposition discovery to seek a protective order in advance of the deposition.4 This procedure offered counsel and deponents the option of allowing the court, in advance of the deposition, to define the boundaries of the permitted discovery. Thereafter, if a question was asked during the deposition which trespassed into an area proscribed by the Court’s order, an instruction not to answer would be appropriate. Often the mere effort of requesting the Court’s involvement was sufficient to produce agreement among counsel tailoring the scope of the deposition discovery to avoid objectional areas. In addition, Fed.R.Civ.P. 30(d)(3) continued to preserve the ability of an attorney to redress abusive deposition tactics by unilaterally terminating the deposition and filing a motion with the Court for an order to discontinue the objectionable questioning.

Despite the 1993 changes to Rule 30(d)(1), many lawyers felt that they were still at a [146]*146disadvantage when attempting to protect a client from improper deposition questioning. Filing a motion for a protective order in advance of a deposition to obtain a limiting order, it was thought, was too expensive to be warranted in many instances, and there was no guarantee that the motion would be resolved as soon as desired to allow the deposition schedule to proceed promptly. Some lawyers also found that there was a vast difference among judges in their willingness to issue advance rulings on discovery disputes. Similarly, many practitioners thought that unilaterally terminating a deposition pursuant to Fed.R.Civ.P. 30(d)(3) was a risky proposition, particularly given the requirement of Fed.R.Civ.P. 37(a)(4) that a court “shall” impose sanctions for a violation of the discovery rules, unless it finds that sanctions would be unjust. Finally, some practitioners expressed the concern that the very limited circumstances under which instructions not to answer were appropriate still could subject counsel who “played by the rules” to an unfair disadvantage when opposing an attorney who sought to take advantage of this limitation by repeatedly asking the same question or asking irrelevant or argumentative questions.5 In response to these understandable concerns, and in an effort to provide more particular and uniform guidance, in September 1995, this Court adopted nine Discovery Guidelines. The purpose of the Guidelines is to “facilitate the just, speedy, and inexpensive conduct of discovery in all civil cases before this court.” Local Discovery Guidelines, Guideline 1(a) (D.Md.1995). Although the Guidelines are not mandatory, compliance is considered by the Court in resolving discovery disputes, including whether sanctions should be imposed pursuant to Fed.R.Civ.P. 37. Local Discovery Guidelines, Guideline 1(b) (D.Md.1995). In addition, many of the scheduling orders issued in cases pending before this Court refer counsel to the Guidelines and encourage familiarity with them. Indeed, the scheduling order in this case did so.6

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Cite This Page — Counsel Stack

Bluebook (online)
173 F.R.D. 143, 38 Fed. R. Serv. 3d 1030, 1997 U.S. Dist. LEXIS 20191, 1997 WL 249233, Counsel Stack Legal Research, https://law.counselstack.com/opinion/boyd-v-university-of-maryland-medical-system-mdd-1997.