Persyn v. United States

35 Fed. Cl. 708, 1996 U.S. Claims LEXIS 95, 1996 WL 296230
CourtUnited States Court of Federal Claims
DecidedJune 3, 1996
DocketNo. 91-1535 L
StatusPublished
Cited by3 cases

This text of 35 Fed. Cl. 708 (Persyn v. United States) is published on Counsel Stack Legal Research, covering United States Court of Federal Claims primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Persyn v. United States, 35 Fed. Cl. 708, 1996 U.S. Claims LEXIS 95, 1996 WL 296230 (uscfc 1996).

Opinion

ORDER OF SANCTIONS

MOODY R. TIDWELL, III, Judge:

This Order of Sanctions arises out of an action brought by seventy-seven plaintiffs for an alleged taking of their properties by the United States. Pending before the court are two outstanding Orders to Show Cause, sua sponte, why plaintiffs’ counsel, Mr. Craig L. Austin, should not be sanctioned pursuant to RCFC 11 and the court’s inherent powers. In an Order to Show Cause filed January 19, 1995 (“First Order”), the court afforded Austin the opportunity to show cause why he should not be sanctioned for matters in plaintiffs’ response to defendant’s July 21, 1994 motion for summary judgment, “where it appeared] plaintiffs’ counsel engaged in a deliberate attempt to mislead the court regarding existing law.” The court issued a second Order to Show Cause on September 27, 1995 (“Second Order”) “[u]pon consideration of the papers filed by plaintiffs’ counsel, and the complete absence of evidence offered at trial to support any colorable claims for relief,” providing Austin an opportunity to show cause why he should not be sanctioned for his failure to conduct a reasonable inquiry into the facts and law to support plaintiffs’ claims for relief.

FACTS

1. Background of the Claims

The facts of this ease are set out in Persyn v. United States, 34 Fed.Cl. 187, 190-93 (1995) (“Persyn II”),1 and are only briefly summarized here. Plaintiffs are owners of thirty-four parcels of land located near Kelly Air Force Base (“KAFB”) in San Antonio, Texas. KAFB, established in 1917, is located seven miles from the center of San Antonio, and is surrounded by the City of San Antonio and Lackland Air Force Base.

During the 1970s, the United States Air Force created a program which designated lands located near the ends of active runways as either in clear zones or accident potential zones (“APZs”) because they were subject to greater risks of aircraft accidents.2 Thirty-one of the thirty-four parcels at issue in this case are located to the southeast of KAFB, and three to the northwest. All of the parcels are located, at least in part, in the APZs for two of KAFB’s active runways.

II. Proceedings in the Case

Austin filed a complaint on July 15,1988 in the United States District Court for the Western District of Texas on behalf of plaintiffs, alleging that the United States and the City of San Antonio had “expropriated and damaged” their land by “overflight noise and exposure to hazardous activities, and by constitutionally invalid zoning regulations.” The City moved to dismiss the complaint pursuant to Fed.R.Civ.P. 12(b)(6). The district court held that the ordinance was not an unconstitutional taking and dismissed the claim against the City for failure to state a claim upon which relief could be granted. The district court further held that it lacked jurisdiction over the claims against the Unit[710]*710ed States and transferred them to this court. Plaintiffs’ appeal of the dismissal to the United States Court of Appeals for the Fifth Circuit was, likewise, dismissed. The Court of Appeals held that the district court order was non-final for appeal purposes. Persyn v. United States, 935 F.2d 69, 75 (5th Cir.1991). It further noted that the district court removed any barriers to transfer the claims against the United States to this court by dismissing the action against the City. Id. at 74.

On November 26, 1991, Austin copied the district court complaint and filed it in this court. He filed a first amended complaint, on July 1,1992, which added additional plaintiffs and specifically invoked this court’s jurisdiction. On November 23, 1993, he filed a second amended complaint which alleged that the United States took plaintiffs’ properties by: “(1) physical invasions of noise, exposure to accidents and low level overflights; (2) engaging in a deliberate campaign to induce fear into the minds of prospective purchasers, with the intent to decrease the market value of the subject properties; and (3) using undue influence to persuade the City of San Antonio to enact a restrictive zoning ordinance applicable to the subject properties.” Persyn II, 34 Fed.Cl. at 191. The complaint further alleged that due to these activities, the highest and best use of their lands was diminished from residential, commercial, and industrial to agricultural. Plaintiffs sought damages of over sixteen million dollars for the alleged taking. Second Am.Compl. at 15-16.

A. The First Order to Show Cause

On April 18,1994, defendant filed a motion for summary judgment. The court permitted Austin to take limited discovery to respond to the motion. On January 19, 1995, the court granted defendant’s motion for summary judgment on plaintiffs’ claim based on a regulatory taking. Persyn v. United States, 32 Fed.Cl. 579, 585 (1995) (“Persyn I ”). The court, however, concluded that trial would be necessary to determine the facts surrounding plaintiffs’ physical takings claim based on alleged low level overflights of military aircraft. Id. The court held that there were genuine issues of fact specifically as to (1) the noise generated by prior and current aircraft models, (2) the frequency of flight for different models, (3) the altitudes of flight, (4) the hours of flight, (5) the effect on the use and enjoyment of plaintiffs’ land, and (6) the damages, if any, attributable to overflights occurring after July 15, 1982. Id. at 584. The court emphasized the July 15,1982 date because under 28 U.S.C. § 2501 (1994), a claimant has six years after the claim first accrues to file a suit over which the United States Court of Federal Claims has jurisdiction. Because plaintiffs’ original suit was filed on July 15, 1988, plaintiffs were required to show that the right to relief was based on activities within six years of that date. Any claims for overflights before that date would be barred by the statute of limitations.

In an Order filed on the same date, the court found, sua sponte, that in response to defendant’s motion for summary judgment, Austin appeared to have “engaged in a deliberate attempt to mislead the court regarding existing law.” First Order at 1. The court identified the most egregious of these misstatements of law and ordered Austin to show cause why he should not be sanctioned for violation of RCFC 11. Austin responded to the Order on February 21, 1995 (“Resp. 1”). Defendant, who was invited to reply to that response, did so on March 8, 1995. A final reply by Austin was filed on March 22, 1995. The court refrained from entering a decision and judgment on the First Order pending litigation of the case.

B. The Second Order to Show Cause

Following the Order of January 19, 1995, the case was scheduled for trial. On May 11, 1995, the court conducted a pretrial hearing in Washington, D.C. to address certain issues of admissibility of evidence. The court reserved ruling on whether two plaintiffs listed as witnesses would be qualified as expert witnesses. At the hearing defendant moved for a directed verdict because Austin had identified no evidence in his Appendix G filings upon which plaintiffs could possibly prevail.

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Persyn v. United States
36 Fed. Cl. 708 (Federal Claims, 1996)

Cite This Page — Counsel Stack

Bluebook (online)
35 Fed. Cl. 708, 1996 U.S. Claims LEXIS 95, 1996 WL 296230, Counsel Stack Legal Research, https://law.counselstack.com/opinion/persyn-v-united-states-uscfc-1996.