Petters Company, Inc. - Adversary Proceeding

CourtUnited States Bankruptcy Court, D. Minnesota
DecidedJuly 1, 2019
Docket12-04288
StatusUnknown

This text of Petters Company, Inc. - Adversary Proceeding (Petters Company, Inc. - Adversary Proceeding) is published on Counsel Stack Legal Research, covering United States Bankruptcy Court, D. Minnesota primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

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Petters Company, Inc. - Adversary Proceeding, (Minn. 2019).

Opinion

UNITED STATES BANKRUPTCY COURT DISTRICT OF MINNESOTA

In re: Jointly Administered under BKY 08-45257

Petters Company, Inc., et al, BKY 08-45257

Debtors.

(includes Court File Nos.: Petters Group Worldwide, LLC; 08-45258 PC Funding, LLC; 08-45326 Thousand Lakes, LLC; 08-45327 SPF Funding, LLC; 08-45328 PL Ltd., Inc.; 08-45329 Edge One LLC; 08-45330 MGC Finance, Inc.; 08-45331 PAC Funding, LLC; 08-45371 Palm Beach Finance Holdings, Inc.) 08-45392

Chapter 11 Cases ____________________________________ Judge Kathleen H. Sanberg

Douglas A. Kelley, in his capacity as the ADV 12-4288 Trustee of the BMO Litigation Trust,

Plaintiff, v.

BMO Harris Bank N.A., as successor To M&I Marshall and Ilsley Bank,

Defendant.

ORDER GRANTING PLAINTIFF’S MOTION FOR RULE 37 SANCTIONS FOR DEFENDANT’S SPOLIATION OF EVIDENCE

At Minneapolis, Minnesota, July 1, 2019.

NOTICE OF ELECTRONIC ENTRY AND FILING ORDER OR JUDGMENT Filed and Docket Entry made on 07/01/2019 Lori Vosejpka, Clerk, by LH This matter is before the Court on Liquidating Trustee Douglas A. Kelley’s (“Plaintiff”) Motion for Rule 37 Sanctions for the Spoliation of Evidence by BMO Harris Bank N.A. (“Defendant”).1 On March 5, 2019, the Court heard oral argument on Plaintiff’s motion. Michael Collyard appeared for Plaintiff and Richard Spehr appeared for Defendant.

The Court has jurisdiction over this adversary proceeding pursuant to 28 U.S.C. §§ 157(b)(1) and 1334, Fed. R. Bankr. P. 7001, and Local Rule 1070–1. This is a core proceeding within the meaning of 28 U.S.C. § 157(b)(2)(H). Venue in this Court is proper pursuant to 28 U.S.C. §§ 1408 and 1409. The Court grants the motion and finds that the actions taken by Defendant warrant sanctions under Federal Rule of Civil Procedure 37(e) for the spoliation of evidence. An adverse inference instruction that Defendant intentionally destroyed and failed to preserve Minnesota email backup tapes that it knew were harmful is appropriate. In the event the District Court finds that this Court lacks the authority to make such a determination, the Court recommends the

same. Given the serious nature of spoliation sanctions, the Court will go through a detailed and thorough review of Defendant’s conduct but will first summarize the facts leading to its conclusions. Summary The issue in this motion is whether Defendant intentionally or in bad faith destroyed or failed to preserve electronically stored information (“ESI”) on computer backup tapes that

1 As successor in interest to M&I Marshall and Ilsley Bank. contained relevant information in this case that it had a duty to preserve. The Court finds that Defendant did. During discovery in this case, Defendant has dragged its feet or fought production of relevant information every step of the way. When the issue of the lost or destroyed computer backup tapes arose, however, the fight turned to deceit and obfuscation. Defendant lied to its

counsel, lied to the Court, and lied to Plaintiff. Defendant’s actions in destroying or failing to preserve the backup tapes, its actions during this case, and the $2 billon dollar value of the case (and motive for Defendant to destroy information) leads the Court to conclude that Defendant intentionally destroyed or failed to preserve the email backup tapes. The Court will go through the facts in complete and, sometimes, repetitious detail below, but the following is a summary recitation of what has happened that leads to the Court’s conclusions and imposition of sanctions under Federal Rule of Civil Procedure 37(e) for Defendant’s spoliation of evidence:

 Defendant destroyed approximately 60 computer backup tapes in 2010 and 2011 that it had a duty to retain. It destroyed the tapes 1) after receiving an order enjoining the destruction of information regarding Thomas J. Petters (“Petters”), Petters Company, Inc. (“PCI”), and its affiliates, 2) after discussing documentation retention with its counsel on a number of occasions, and 3) after having legal holds in place. These tapes were Defendant’s only source of emails from a significant period in the relationship between Petters and Defendant;

 The destruction was not part of a routine process but rather a one-time project;

 Defendant lost or destroyed six computer backup tapes found in 2014 that it had a duty to retain;  Defendant failed to disclose the tapes found in 2014 in connection with earlier litigation or in this case until this Court was considering sanctions regarding backup tapes found in 2017;

 Defendant found tapes in 2017 but failed to disclose the discovery to its own counsel until a month later and well after the deposition of a key witness;

 Defendant’s counsel failed to disclose the discovery of the tapes to Plaintiff until after the close of discovery;

 Defendant cannot verify that the tapes found in 2017 were the same as those found in 2014 but continues to advance this argument;

 Defendant lied, by omission or commission, to the Court and Plaintiff, even after being sanctioned;

 Defendant produced documents for an in camera review by the Court that were redacted or incomplete;

 Defendant’s witnesses and counsel failed to disclose information to the Court during several hearings;

 Defendant failed to timely produce evidence after being ordered to do so; and

 Defendant has been subject to discovery sanctions for willful discovery abuses and for failure to comply with the Court’s discovery orders.

Arguments Plaintiff, in his capacity as the Trustee of the BMO Litigation Trust, brings this motion under Rule 37(e) for sanctions based on two alleged spoliations of evidence: first, for the destruction of virtually all of the computer backup tapes—approximately 66—holding all emails and other information regarding Defendant’s handling of Petters’ and his affiliates’ M&I bank accounts between 2010 and 2011; and second, for the failure to preserve six backup tapes that had not been destroyed but were found in August 2014. Plaintiff asserts that the lost or destroyed backup tapes were the only source of Defendant’s emails that predate March 2005 and that covered a significant period during Defendant’s dealings with Petters, PCI, and its affiliates. Plaintiff alleges that Defendant destroyed the tapes with an intent to deprive Plaintiff of the ability to use the information in this adversary proceeding. Among other remedies, Plaintiff requests an adverse inference jury instruction that Defendant intentionally destroyed evidence that it knew was harmful. Defendant argues that Plaintiff’s motion should be denied for four independent reasons.

First, an adverse inference instruction and Plaintiff’s other requested remedies are trial administration matters best left for the District Court. Second, Plaintiff cannot meet his burden of showing prejudice under Rule 37(e)(1). Third, Plaintiff cannot meet his burden of showing a bad faith intent under Rule 37(e)(2). And fourth, Plaintiff’s requested sanctions are neither feasible nor appropriate.

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