Horner v. Rowan Companies, Inc.

153 F.R.D. 597, 1994 U.S. Dist. LEXIS 1926, 1994 WL 65139
CourtDistrict Court, S.D. Texas
DecidedJanuary 4, 1994
DocketCiv. No. G-93-357
StatusPublished
Cited by25 cases

This text of 153 F.R.D. 597 (Horner v. Rowan Companies, Inc.) is published on Counsel Stack Legal Research, covering District Court, S.D. Texas primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Horner v. Rowan Companies, Inc., 153 F.R.D. 597, 1994 U.S. Dist. LEXIS 1926, 1994 WL 65139 (S.D. Tex. 1994).

Opinion

OPINION AND ORDER

FROESCHNER, United States Magistrate Judge.

Before the Court is the motion of Plaintiff, Ronald Horner, for sanctions and censure of Defendant’s counsel, filed as a result of ex parte conversations between one of the Defendant’s attorneys and two of the Plaintiffs treating physicians. While this Court has been unable to locate Fifth Circuit authority, it has determined there to be a split of authority concerning the propriety of ex parte conferences with a plaintiffs treating physicians. Accordingly, the burden falls upon the Court to treat this matter somewhat exhaustively and with a view toward what, in this Court’s opinion, this Circuit should conclude if faced with the issue. For the reasons hereinafter set forth, this Court concludes that despite the Defendant’s possession of an unrestricted medical release executed by Plaintiff, in the absence of reasonable notice to Plaintiff that the Defendant intends to conduct an ex parte conference with Plaintiffs treating physicians, such a conference is improper and, depending upon the circumstances' surrounding same, sanctionable.

On November 5, 1993, this Court conducted an evidentiary hearing in regard to Plaintiffs motion to afford all parties an opportunity to be heard and to create a record from which this Court could make specific factual findings upon which to base any imposition of sanctions. Thomas v. Capital Sec. Servs., Inc., 836 F.2d 866 (5th Cir.1988) (en banc) (Rule 11 sanctions must be supported by an adequate record); Akin v. Q-L Inv., Inc., 959 F.2d 521, 534-5 (5th Cir.1992) (Rule 11 sanctions must be supported by specific factual findings to permit proper review for abuse of discretion); Topalian v. Ehrman, 3 F.3d 931 (5th Cir.1993) (Principles elucidated in Thomas apply across-the-board to all of the District Court’s sanction powers including violations of discovery rules, 28 U.S.C. § 1927, and the Court’s inherent power to sanction improper conduct by counsel in any proceeding before it.)

At the commencement of the hearing, the Court took judicial notice that this was a cause of action brought pursuant to the Jones Act and general maritime law for personal injuries allegedly sustained by Plaintiff. In order to prosecute Plaintiffs cause of action, the Court noted that Plaintiffs attorneys, Newman, Thigpen and McLaughlin, requested and received permission of this Court to appear pro hoc vice conditioned, in part, upon their commitment to familiarize themselves with the Code of Ethics as promulgated by the State Bar of Texas. Further, the Court noted that in order to defend the interests of the Defendant, W. Patrick Klotz of the law firm Best, Koeppel and Klotz, likewise sought and received permission of the District Court to appear pro hoc vice conditioned on the commitment to familiarize himself with, inter alia, the Code of Ethics as promulgated by the State Bar of Texas. The representations of Klotz are attributable to other members of his firm who actively participate in this litigation, including Larry Best, the primary actor involved in the factual scenario underlying the Plaintiffs motion.

In regard to the matter made the basis of Plaintiffs motion, there was little, if any, significant dispute between the parties as to the evidence. On or about September 7, 1993, Defendant’s counsel, Koeppel, noticed the depositions of two of the Plaintiffs treating physicians, Charles McAdams and Peter Polatin, at the doctors’s offices in Denton and Lewisville, Texas, respectively. Denton and Lewisville are cities located in the vicinity of Dallas, Texas. The depositions were to take place on September 29, 1993. Plaintiffs attorney, Thigpen, of Lake Charles, Louisiana, thereafter made arrangements to attend the depositions and purchased non-refundable airline tickets. On September 27, 1993, Thigpen’s office was notified by Koeppel’s office that the depositions had been canceled. The specific reason given to Thigpen’s office for the cancellation was that none of the lawyers at Koeppel’s firm could be available to travel to Texas on the scheduled date; this reason, however, was untrue. At the very time the depositions were reported to Thig-pen’s office to be canceled, Best was scheduled to be in Dallas on the 29th; therefore he and his two partners decided that since they possessed an unrestricted medical release [599]*599signed by the Plaintiff, Best would, during his already planned trip to Dallas, simply pay a visit to each doctor’s office and, in lieu of the depositions, conduct ex parte conferences with the treating physicians. Accordingly, while Thigpen and the court reporter were informed the depositions had been canceled, the doctors were not.

Motivated by suspicion or intuition, Darlene Fonteneau, a secretary at Thigpen’s office, called the doctors’ offices on the 27th to confirm the cancellation of the depositions. When informed that Koeppel’s office had not notified the doctors of the cancellations, she placed a call to Koeppel’s office and was assured that the failure to notify the doctors had been simply an oversight and that the depositions were, indeed, canceled.

On September 29, in furtherance of the scheme, Best, without any notice to Thig-pen’s office, called upon each of the doctors, told them for the first time that the depositions had been canceled, and engaged in private ex parte conversations with each doctor concerning Plaintiffs medical condition. Unfortunately for defense counsel, the intuitive Ms. Fonteneau called the doctors’ offices on September 30 and learned of Best’s clandestine meetings. The instant motion soon followed.

Defense counsel put substantial reliance upon the medical release form signed by Plaintiff as a justification for the ex parte conversation; they argue that the broad language of the release is controlling and permits them to forego the discovery devices recognized by the Federal Rules of Civil Procedure and to ignore the scope and applicability of the law of physician/patient privilege. This argument would provide a swift and simple resolution to Plaintiffs motion, but this Court suspects that even defense counsel, though cunningly hopeful, are not convinced that this matter must end here. This Court admits the language in the release is broad and that Plaintiffs counsel could have drafted a more restrictive document,1 but on these facts Best’s position is disingenuous. The reason given for the cancellation of the depositions was a lie 2 and it is obvious to this Court that Best feared that disclosure of the plan to engage in the informal ex parte discussions with the doctors would have been met with immediate and strenuous objection; otherwise, he would have simply told the truth. Best’s testimony that he didn’t “know whether they would have objected or not” (tr. 54) is, quite frankly, not credible.3 The inescapable conclusion is that defense counsel wanted to assure that Plaintiffs counsel would not be present at Best’s meetings with the doctors.

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Cite This Page — Counsel Stack

Bluebook (online)
153 F.R.D. 597, 1994 U.S. Dist. LEXIS 1926, 1994 WL 65139, Counsel Stack Legal Research, https://law.counselstack.com/opinion/horner-v-rowan-companies-inc-txsd-1994.