Psy-Ed Corp. v. Klein

815 N.E.2d 247, 62 Mass. App. Ct. 110
CourtMassachusetts Appeals Court
DecidedSeptember 23, 2004
DocketNo. 03-P-660
StatusPublished
Cited by12 cases

This text of 815 N.E.2d 247 (Psy-Ed Corp. v. Klein) is published on Counsel Stack Legal Research, covering Massachusetts Appeals Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Psy-Ed Corp. v. Klein, 815 N.E.2d 247, 62 Mass. App. Ct. 110 (Mass. Ct. App. 2004).

Opinion

Cowin, J.

We consider the appeal of the plaintiffs’ attorney, Edwin A. McCabe, from an order of a judge of the Superior Court directing that he pay, as a sanction under Mass.R.Civ.P. 11(a), 365 Mass. 753 (1974), certain attorney’s fees and [111]*111expenses incurred by the defendant, Stanley Klein, and his counsel, George Field. McCabe asserts that the judge applied an incorrect legal standard, made unwarranted findings, and failed to provide a required hearing. There was no error. We conclude that the imposition of sanctions in the circumstances was entirely justified, and we affirm the order.

1. Background. The relevant facts and proceedings are matters of record. The defendant, Klein, having been forced out of the plaintiff Psy-Ed Corporation (Psy-Ed), a company he had founded, settled his claims against Psy-Ed for a total of $265,755, with $45,000 payable upon execution of the agreement and with the remaining $220,755 payable in quarterly installments. Subsequently, the defendant Kimberly Schive, a former employee of Psy-Ed, filed with the Massachusetts Commission Against Discrimination (MCAD) a complaint alleging that the plaintiff Joseph Valenzano, Jr., by that time the president and majority stockholder of Psy-Ed, had discriminated against her because of her hearing disability. Klein filed an affidavit that supported Schive’s allegation.3

Shortly thereafter, Psy-Ed, with $120,000 still owed under the settlement agreement, alleged that Klein had materially breached that agreement, and stopped making payments thereunder. Psy-Ed and Valenzano commenced an action in the Superior Court, the complaint subsequently being amended, seeking damages from Klein and Schive for violation of G. L. c. 93A, § 11, defamation, business defamation, civil conspiracy, tortious interference with contractual relations, and tortious interference with advantageous business relations.4,5 Klein counterclaimed, alleging, among other claims, tortious interference, abuse of process, misrepresentation, civil conspiracy, and violations of G. L. c. 93A, § 11, and G. L. c. 12, §§ 11H and [112]*11211I, on the part of the plaintiffs.6 After a variety of discovery disputes, the parties apparently reached a discovery compromise, and filed a joint motion to enlarge the tracking order. By order of the court, the motion was allowed and new discovery deadlines were established.

However, within a short period after entry of the order, and with time for discovery responses by the plaintiffs rapidly approaching, the plaintiffs filed a motion for sanctions (the motion that ultimately precipitated the order against plaintiffs’ counsel that is the subject of this appeal). At the same time, plaintiffs’ counsel, notwithstanding the court’s order, informed the defendants that his clients would participate in no further discovery until there was action on the motion for sanctions. The motion sought dismissal of Klein’s counterclaim on the ground of spoliation of documentary evidence, together with the disqualification of Klein’s counsel, George Field. Klein responded with his own motion to compel discovery and for sanctions under Mass.R.Civ.P. 11(a).

In their motion and supporting papers, the plaintiffs alleged that Klein had engaged in “systematic destruction of evidence, deception and fraud”; Field had collaborated in the destruction of evidence; Field had employed an imposter to steal evidence from Psy-Ed; Field had conspired with Klein to deceive the plaintiffs into entering into an unfavorable settlement with Klein; and Field had prepared one perjured affidavit and secured another for use by Schive in connection with her complaint to the MCAD. Klein and Field, who obtained separate representation by counsel, denied the allegations. A hearing was conducted, and the judge denied the plaintiffs’ motion from the bench.7 At the same time, the judge stated that she would entertain Klein’s request for sanctions, and provided an opportunity for the parties to file affidavits on the subject. Klein and Field submitted a statement of costs and expenses incurred by them in opposing the plaintiffs’ motion, and McCabe submitted an affidavit in opposition. The judge subsequently allowed [113]*113Klein’s motion in full, ordering McCabe personally to pay attorney’s fees and costs in the amount of $36,050.50.

2. The applicable standard. In response to the judge’s indication that she would consider Klein’s request for sanctions as a result of the plaintiffs’ unsuccessful motion, McCabe filed an affidavit asserting that he had carefully investigated the facts and the law before filing the plaintiffs’ motion, and that he had a good faith belief that the position he was advocating was justified. He relies on Van Christo Advertising, Inc. v. M/ACOM/LCS, 426 Mass. 410, 416 (1998) (Van Christo), for the proposition that “rule 11(a) authorizes a judge to impose attorney’s fees and costs where an attorney has failed to show a subjective good faith belief that the pleading was supported in both fact and law.” From this, he argues that his affidavit set forth his belief, based on reasonable inquiry, that the facts were as he alleged, and that applicable law entitled the plaintiffs to the relief that they sought. Thus, his argument continues, the judge erred in imposing sanctions because Van Christo declares sanctions inappropriate when the attorney has a subjective, good faith belief in his course of action.

McCabe’s interpretation of the Van Christo decision is correct to a limited extent. The Massachusetts version of rule 11(a) does not call for application of an objective standard. Rather, in contrast to the more rigorous (at least after the 1983 amendments) Fed.R.Civ.P. 11, our rule requires a finding that an attorney engaged in a “wilful violation” before sanctions may be imposed. See Van Christo, supra at 412, 416 n.12. We have interpreted the rule as requiring at least some level of reasonable inquiry. See Doe v. Nutter, McClennen & Fish, 41 Mass. App. Ct. 137, 142 (1996) (attorney furnished with case law demonstrating that no cause of action existed). However, the position advanced by the attorney need not ultimately be established to be correct, or even reasonable, for the attorney to be protected from rule 11(a) sanctions. We are concerned that we not “chill an attorney’s enthusiasm or creativity in pursuing factual or legal theories.” Van Christo, supra at 418, quoting from Advisory Committee Note to 1983 Revision to Fed.R. Civ.P. 11, 97 F.R.D. 198, 199 (1983).

Nevertheless, McCabe’s apparent conclusion that these [114]*114criteria are satisfied automatically merely by submission of an affidavit claiming a good faith belief in the facts and the law is unwarranted. Such an interpretation places application of the rule wholly within the control of the attorney who may have violated it, thereby rendering the rule effectively meaningless. We reject what is essentially a neutering of the rule. Rather, we view the affidavit contemplated by the Van Christo decision as not materially different from a number of other affidavits, that is, it is a form of sworn testimony the credibility of which is to be determined by the judge.

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Bluebook (online)
815 N.E.2d 247, 62 Mass. App. Ct. 110, Counsel Stack Legal Research, https://law.counselstack.com/opinion/psy-ed-corp-v-klein-massappct-2004.