Kemira, Inc. v. Amory

435 S.E.2d 236, 210 Ga. App. 48, 93 Fulton County D. Rep. 3023, 1993 Ga. App. LEXIS 1048
CourtCourt of Appeals of Georgia
DecidedJuly 26, 1993
DocketA93A0102
StatusPublished
Cited by15 cases

This text of 435 S.E.2d 236 (Kemira, Inc. v. Amory) is published on Counsel Stack Legal Research, covering Court of Appeals of Georgia primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Kemira, Inc. v. Amory, 435 S.E.2d 236, 210 Ga. App. 48, 93 Fulton County D. Rep. 3023, 1993 Ga. App. LEXIS 1048 (Ga. Ct. App. 1993).

Opinion

Andrews, Judge.

Lester Roy Amory sued Remira, Inc. alleging he suffered personal injury and other damages as a result of exposure to toxic gas released into the atmosphere by Remira on December 29, 1989. Mr. Armory’s wife, Mary Jean Amory, was joined as a plaintiff in the action to bring her loss of consortium claim. Remira appeals claiming the trial court erred by eliminating certain defenses interposed by Remira in its answer as a sanction for failing to timely respond to discovery, and by granting summary judgment as to liability in favor of the plaintiffs.

The complaint was filed on January 16, 1991 along with plaintiffs’ first request for admissions. Remira filed timely answers to the complaint and the requests for admissions. On May 8, 1991, plaintiffs filed and served Remira by mail with a second set of requests for admissions, requests for production of documents, and interrogatories. Remira filed timely responses to the second requests for admissions, but failed to timely respond to the requests for production and interrogatories. Two days after the responses were due, plaintiffs filed a motion pursuant to OCGA § 9-11-37 (a) seeking an order to compel discovery. The trial court granted the motion, and entered an order on July 1, 1991 requiring Remira to file responses by July 11, 1991, within ten days of the order. On July 11, 1991, Remira filed partial responses to the requests for production, and a motion seeking to have the July 1 order set asidel On the morning of July 12, 1991 at 8:20 a.m., plaintiffs filed a motion for sanctions which recited Remira’s failure to comply with the July 1 order, and its failure to respond to interrogatories, and requested that the trial court strike Remira’s defensive pleadings and enter a default judgment in favor of plaintiffs. Later in the day of July 12, a few hours after the motion for sanctions was filed, Remira filed responses to all interrogatories.

On August 5, 1991, the trial court heard argument on Remira’s motion to set aside the July 1 order compelling discovery, and on plaintiffs’ motion for sanctions. Although Remira attempted to pre *49 sent testimony from a company official explaining the circumstances of its failure to file timely responses to the interrogatories, the trial court directed that it submit such testimony by affidavit subsequent to the hearing. Kemira subsequently filed an affidavit in response to the motion for sanctions. The affidavit, given by an officer of Kemira in charge of the pending litigation, stated that although the company had started and continued working on responses to the interrogatories when they were received by the company on May 15, 1991, because of various unavoidable and unforeseeable circumstances, it had been unable to timely respond to the interrogatories. The affidavit stated that the complex and comprehensive requests required contact and cooperation with numerous officials and managers in the company, and provided evidence of unavoidable delays in contacting and obtaining information from key personnel necessary to complete the responses because of serious illness in one instance, and the extended absence of other officials either out of the country or on vacation during the period for responses. The affidavit claims that a combination of these factors, not a conscious or intentional refusal to act, were the reasons for the delayed responses.

On August 21, 1991, the trial court entered an order granting Kemira’s motion to set aside, and vacating the July 1 order compelling discovery. The order reserved ruling on plaintiffs’ motion for sanctions. On September 27, 1991, the trial court held a second hearing on the plaintiffs’ motion for sanctions, and heard additional argument that the trial court should impose the requested sanctions under OCGA § 9-11-37 (d) because Kemira had totally failed to file any timely response to the interrogatories, and the belated interrogatory responses filed by Kemira on July 12, several hours after plaintiffs’ motion for sanctions was filed, were too late to prevent the imposition of sanctions. At the September 27 hearing, the trial court also heard testimony from the Kemira official in charge of gathering and providing the information necessary to respond to discovery requests, and who had previously filed the above referenced affidavit. The official additionally explained that managerial changes at the company, removal of documents pursuant to a federal environmental inspection, and his own personal family problems caused delays in gathering the information for responses. On October 28, 1991, the trial court entered an order pursuant to OCGA § 9-11-37 (d) concluding there was a total failure by Kemira to file timely answers to interrogatories, and that the failure was conscious and intentional. On this basis, the trial court barred Kemira pursuant to OCGA § 9-11-37 (b) (2) (B) from asserting or supporting its stated “Second Defense” (lack of proximate cause), and “Third Defense” (negligence defenses) as set forth in its answer to the complaint, which constituted Kemira’s main defenses to plaintiffs’ complaint for damages. Ultimately, plaintiffs *50 moved for and were granted partial summary judgment as to liability largely because Kemira was unable to assert these defenses.

1. Plaintiffs first moved to compel discovery under the two-step procedure of OCGA § 9-11-37 (a) and (b), obtaining an order compelling Kemira to respond by July 11, 1991, and then moving for sanctions on July 12, after Kemira failed to file any answers to interrogatories and comply with the order. However, the July 11 deadline in the order, and plaintiffs’ motion for sanctions under subsection (b) for failure to comply with the order, became moot when the trial court vacated its July 1 order compelling discovery. Nevertheless, the trial court was authorized to consider whether the sanctions requested in the July 12 motion should be imposed under OCGA § 9-11-37 (d). based on Kemira’s total failure to file timely responses to interrogatories. Even though the motion for sanctions filed on July 12 did not specifically request imposition of sanctions pursuant to OCGA § 9-11-37 (d), it recited the failure of Kemira to respond to interrogatories, and requested the sanction of striking defensive pleadings and entry of a default judgment under OCGA § 9-11-37. “[A] motion for a specific sanction is not required before a trial judge is authorized to give that sanction. . . . No technical forms of pleadings or motions are required under the Civil Practice Act. A motion to apply sanctions as provided by law vests discretion in the trial court in which the action is pending to make such orders in regard to the failure to answer interrogatories as are just.

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Bluebook (online)
435 S.E.2d 236, 210 Ga. App. 48, 93 Fulton County D. Rep. 3023, 1993 Ga. App. LEXIS 1048, Counsel Stack Legal Research, https://law.counselstack.com/opinion/kemira-inc-v-amory-gactapp-1993.