Roosevelt Love v. Emit C. Deal

5 F.3d 1406, 1993 U.S. App. LEXIS 28018, 1993 WL 407387
CourtCourt of Appeals for the Eleventh Circuit
DecidedOctober 29, 1993
Docket92-8792
StatusPublished
Cited by29 cases

This text of 5 F.3d 1406 (Roosevelt Love v. Emit C. Deal) is published on Counsel Stack Legal Research, covering Court of Appeals for the Eleventh Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Roosevelt Love v. Emit C. Deal, 5 F.3d 1406, 1993 U.S. App. LEXIS 28018, 1993 WL 407387 (11th Cir. 1993).

Opinion

JOHNSON, Senior Circuit Judge:

The Plaintiffs-Appellants (“Plaintiffs”) appeal from the district court’s order denying one of their lawyers attorney’s fees for work he performed on their voting rights case. On appeal, the Plaintiffs raise two issues. First, they contend that the district court erred by fading to hold an evidentiary hearing prior to denying their fee request. Second, they argue that even if an evidentiary hearing is not required, the reasons advanced by the district court are insufficient to justify the denial of attorney’s fees. Because we conclude that both of these arguments are meritorious, we reverse. 1

I. STATEMENT OF FACTS

A. Factual background

The Plaintiffs are six African-American residents and voters of Bulloch County, Georgia. The Defendants-Appellees (“Defendants”) are the members of the Board of Commissioners of Bulloch County and the Probate Judge, who is the election superintendent.

In 1979, the Plaintiffs brought a voting dilution action against the Defendants under Section 2 of the Voting Rights Act of 1965, 42 U.S.C.A. § 1973, and under the Fourteenth and Fifteenth Amendments to the United States Constitution. That litigation resulted in the entry of a Consent Decree in 1983 that established a four member/two district plan. The Decree provided that if data from the 1990 census indicated that the population had shifted to create a deviation from the ideal apportionment, the parties would use their “best efforts in good faith” to agree- on a substitute plan. If the parties were unable to agree upon a substitute plan, the Decree required both parties to submit their proposed plans to the district court no later than 60 days prior to opening of qualifying for the August 1992 primary. 2 Throughout this first round of litigation, the plaintiffs were represented solely by David Buffington.

The 1990 census revealed that the population had shifted dramatically so as to require a new plan. In October 1991, the Defendants began the process of■ map-drawing to comply with the Decree. On December 11, 1991, the Defendants presented a proposed plan to the Plaintiffs, but the Plaintiffs, who were unrepresented by counsel at that time, rejected the plan. On January 17, 1992, the Defendants presented two new plans to the Plaintiffs, but these were also rejected. None of the Defendants’ proposed plans contained a single majority black district.

Buffington became reinvolved in the case on January 22, 1992, when he was contacted by one of the Plaintiffs. Buffington contacted the Defendants’ counsel that same afternoon, and the next morning contacted the ACLU Southern Regional Office in Atlanta to request that the ACLU demographer prepare a new voting district plan for Bulloch County. Buffington then informed the Defendants’ counsel that he would try to have a proposed plan by January 29, 1992.

Buffington did not receive the ACLU plans in time to meet his self-imposed deadline of January 29. On February 17, 1992, Buffing-ton met with the Plaintiffs and the local chapter of the NAACP to discuss possible *1408 plans. At that meeting, the Plaintiffs indicated that they would like to consider a seven member/two district plan (as opposed to the four member/two district plan currently in place) in which the African-American minority would control two seats. Buffington met with the Defendants the following day, and informed them that the Plaintiffs were unable to agree on a proposal at that time.

On February 21 and 22, 1992, Buffington received several plans from the ACLU demographer. On February 24, 1992, Buffing-ton faxed two of the ACLU plans to the Defendants’ counsel, expressly advising that he had not received his clients’ approval of either of these plans. On February 25,1992, the Defendants adopted one of the ACLU plans as its own — a three member/two district plan which provided for one district with an African-American voting age population of 50.9%. On February 27, 1992, the Defendants filed this plan with the district court, based on their belief that the Consent Decree’s time bar had been advanced by the change in the primary date.

On February 13, 1992, Buffington received an order from the Supreme Court of Georgia suspending him from practice in Georgia State courts for his failure to complete Georgia’s mandatory continuing legal education (“CLE”) requirement. That same day he informed one of the Plaintiffs of his suspension, and the need to retain new counsel were the suspension not lifted shortly.

In fact, Buffington had completed the CLE requirement. In an attempt to correct the mistake, he contacted the Georgia Commission on Continuing Lawyer Competency (the “CCLC”), the arm of the Georgia State Bar that administers the CLE program. The CCLC confirmed that their records showed Buffington had completed the CLE requirement, and that a mistake had been made. Upon further inquiry, however, Buffington was told that he could not be immediately reinstated. Rather, he had to apply to the CCLC’s Compliance and Exemptions Committee. Buffington was finally reinstated by the Georgia Supreme Court on April 1, 1992.

In the Southern District of Georgia, suspension from the state courts of Georgia is a ground for discipline, but it does not result in automatic suspension. See S.D.Ga.Loc.R. Sec. IV 5(b). Nevertheless, the federal court suspended Buffington by summary order on February 26, 1992, and did not reinstate him until April 6, 1992. Immediately after being suspended from practice in the federal courts, Buffington met with the Plaintiffs to recommend that they retain other counsel. At Buffington’s urging, the Plaintiffs retained Jerry Wilson.

B. Procedural background

1. Redistricting order

On April 16, 1992, the district court conducted a hearing on the proposed plans, and on April 23, 1992, the court entered its order adopting a plan favored by the Plaintiffs: a seven member/two district plan. Although only the issue of redistrieting was before the court, the Order included a footnote extremely critical of Buffington, suggesting that the Plaintiffs might have “arrive[d] at a better solution” if Buffington had not been involved in the case.

The Plaintiffs moved the court to amend its order by striking the footnote critical of Buffington. See Fed.R.Civ.P. 52(b) and 59(a). They contended that there was no support in the record for the district court’s factual findings that Buffington had been dilatory or that his actions had prejudiced the Plaintiffs. In addition, the Plaintiffs requested that the court permit them to submit evidence rebutting the court’s conclusions. The court summarily denied the motion.

2. Attorney’s fees

On May 13, 1992, the Plaintiffs filed a timely motion for attorney’s fees and expenses pursuant to 42 U.S.C.A. § 1973Í (e), and 42 U.S.C.A. § 1988, claiming that they were “prevailing parties” within the meaning of those fee statutes. The Defendants opposed the motion on two grounds. First, they argued that the Plaintiffs were not prevailing parties.

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Bluebook (online)
5 F.3d 1406, 1993 U.S. App. LEXIS 28018, 1993 WL 407387, Counsel Stack Legal Research, https://law.counselstack.com/opinion/roosevelt-love-v-emit-c-deal-ca11-1993.