Fonar Corp. v. Magnetic Resonance Plus, Inc.

128 F.3d 99, 1997 WL 642246
CourtCourt of Appeals for the Second Circuit
DecidedOctober 17, 1997
DocketNo. 837, Docket 95-7847
StatusPublished
Cited by13 cases

This text of 128 F.3d 99 (Fonar Corp. v. Magnetic Resonance Plus, Inc.) is published on Counsel Stack Legal Research, covering Court of Appeals for the Second Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Fonar Corp. v. Magnetic Resonance Plus, Inc., 128 F.3d 99, 1997 WL 642246 (2d Cir. 1997).

Opinion

PER CURIAM.

I.

Laurence Shiff, attorney for plaintiff Fonar Corporation, appeals from the August 3, 1995 order of the United States District Court for the Southern District of New York (Motley, J.), which sanctioned him and Fonar pursuant to Fed.R.Civ.P. 37 for their willful violation of the district court’s discovery order. We affirm. The underlying action which gave rise to this appeal is the litigation between Fonar and the defendants-appellees Magnetic Resonance Plus, Inc. (“MR Plus”) and Robert Domenick for unfair competition and copyright infringement.

Fonar manufactures magnetic resonance imaging scanners. On April 7, 1993, Fonar filed suit against MR Plus for unfair competition and copyright violations claiming MR Plus had improperly copied Fonar’s diagnostic software while servicing Fonar machines. MR Plus denied the allegations and asserted various counterclaims.

In November 1994, Fonar retained the appellant Laurence Shiff as counsel for itself and Fields. Shiff assumed responsibility for the case on December 12,1994. Shiff immediately requested and was granted a ninety-[101]*101day extension in the discovery schedule. On February 7, 1995, MR Plus specifically noticed the deposition of Dr. Raymond Damadian to commence on February 28,1995. Shiff failed to produce Dr. Damadian. Instead, he requested another ninety-day extension. The court granted a thirty-day extension.

[100]*100Fonar’s original counsel in the litigation was Scott Fields, Fonar’s in-house counsel. While Fields served as counsel, Fonar failed to comply with a September 29,1994 order of the district court to produce its employees for deposition during the week of October 24, 1994. Fonar also designated Timothy Damadian, Fonar president Dr. Raymond Damadian’s son, as Fonar’s Fed.R.Civ.P. 30(b)(6)1 witness even though he had little direct knowledge relevant to the underlying suit. Moreover, Fonar twice cancelled Timothy Damadian’s deposition only one day before each deposition was scheduled.

[101]*101On April 20, 1995, following a lengthy pretrial conference, the court issued a specific order directing, inter alia, Dr. Damadian to appear for deposition during the week of May 22, 1995. On April 27, pursuant to the April 20th order, defendants noticed Dr. Damadian’s deposition to commence on May 23, 1995.

On the day Dr. Damadian’s deposition was to begin, Shiff wrote a letter to the district court announcing that Dr. Damadian would be unavailable from May 22 until May 26, 1995 due to his involvement in a patent trial. Shiff did not explain the nature of Dr. Damadian’s involvement in the trial, nor did Shiff explain why Dr. Damadian could not be deposed in the evenings. Shiff further failed to explain why he waited until the day the deposition was to commence to inform the district court of the scheduling conflict. Instead, Shiff offered to make Dr. Damadian available during the week of May 29,1995 on the condition that the deposition be limited to one day.

Between June 6 and June 20, 1995, Shiff was apparently occupied with the care of his mother who had suffered a stroke. During this period, Shiff made no effort to contact the district court to explain his situation. On June 22, 1995, the district court held another pre-trial conference for the purpose of resolving the issue of Dr. Damadian’s deposition. Although Shiff explained that his absence resulted from his tending to his mother’s health needs, Shiff offered no explanation for the failure to schedule Dr. Damadian’s deposition between May 26 and June 6 or after June 20,1995.

On June 27, 1995, MR Plus notified Fonar that it would file a motion seeking sanctions against Fonar pursuant to Rule 37(b)2 for Fonar’s failure to provide Dr. Damadian for deposition. The following day MR Plus filed its motion, and the district court conducted a hearing on the motion, finding that Fonar' wrongfully failed to produce its witness. It also determined that Shiff was responsible for the failure. It imposed sanctions of $10,-000 on Fonar and $500 on Shiff.

’ On June 30, 1995, the district court scheduled another hearing on the sanctions issue because the record of the June 28th hearing had not been taken by an official court reporter. The court scheduled the rehearing for July 18, 1995, giving Shiff eighteen days to file an answer defending against the imposition of sanctions against him. Shiff filed his answer on July 12.

At the July 18th hearing, the district court held the scheduled hearing. Shiff appeared and advanced several reasons why the court should not impose sanctions against him. He raised no due process arguments.

On August 3,1995, the district court issued an order granting defendants’ motion for sanctions under Rule 37(b) against both Fonar and Shiff for dilatory discovery tactics. The order fined Shiff $500 for contempt of court for his role in. Dr. Damadian’s failure to appear for deposition. Shiff appeals.

II.

We review the district court’s decision to impose sanctions for counsel’s failure to obey discovery orders for an abuse- of discretion. Sieck v. Russo, 869 F.2d 131, 134 (2d Cir.1989). Shiff claims that in its determination to impose “a fine of $500.00 ... for his [102]*102role in Dr. Damadian’s failure to appear for his deposition,” the district court denied him of his right to due process. We disagree.

As a general rule, a court is not obliged to give a formal warning that sanctions might be imposed for violation of the court’s orders. Daval Steel Prods. v. M/V Fakredine, 951 F.2d 1357, 1366 (2d Cir.1991) (“Parties and counsel have no absolute entitlement to be ‘warned’ that they disobey court orders at their peril”). A court must provide notice to an attorney facing a charge of contempt prior to convening to consider sanctions so the attorney may prepare and present a defense to the charges. See Schoenberg v. Shapolsky Publishers, Inc., 971 F.2d 926 (2d Cir.1992).

Shiff argues that he was denied due process because the district court' only notified him that he faced possible sanctions pursuant to Rule 37(b) and did not notify him he could be sanctioned for contempt of court.3 Shiff relies on Schoenberg, for the proposition that notice of possible “sanctions” against an attorney cannot substitute for notice of a possible finding of “contempt.” Id. at 934. In Schoenberg, the district court ordered the defendants to show cause why they should not'be held in contempt and ordered the defendants and their counsel to show why they should not be sanctioned for violating Fed.R.Civ.P. 114 or some other authority. Id. at 930. At the hearing to consider sanctions, the court sua sponte held counsel for the defendants in contempt. Id.

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