Taylor v. Teledyne Technologies, Inc.

338 F. Supp. 2d 1323, 2004 U.S. Dist. LEXIS 20728, 2004 WL 2252045
CourtDistrict Court, N.D. Georgia
DecidedSeptember 7, 2004
Docket1:00-cv-01741
StatusPublished
Cited by6 cases

This text of 338 F. Supp. 2d 1323 (Taylor v. Teledyne Technologies, Inc.) is published on Counsel Stack Legal Research, covering District Court, N.D. Georgia primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Taylor v. Teledyne Technologies, Inc., 338 F. Supp. 2d 1323, 2004 U.S. Dist. LEXIS 20728, 2004 WL 2252045 (N.D. Ga. 2004).

Opinion

ORDER

CARNES, District Judge.

This case is presently before the Court on an Application by Teledyne Technologies Incorporated (hereinafter “Movant” or “Teledyne”) For Order To Show Cause Why Arthur Alan Wolk (hereinafter “Respondent” or ‘Wolk”) Should Not Be Held In Contempt [175]. On March 22, 2004[214], the Court denied Respondent’s Motion to Dismiss [185] and set down a hearing date on the Contempt Petition, thereby implicitly granting Movant’s Application for Order to Show Cause [175]. (See also April 20, 2004 Order [219] (set-» ting out basis for March 22, 2004 decision).) Accordingly, it is more precise to say that this case is presently before the Court on the issue of, whether Respondent is in contempt, as well as Movant’s alternative request that the Court vacate its previously issued protective order. The Court has reviewed the record and the arguments of the parties and, for the reasons set out below, does not hold Respondent in contempt. The Court does, however, GRANT, in part, and DENY, in part, Movant’s Alternative Request to Vacate the May 20, 2003 Protective Order [161].

Also pending in this case are the following motions: Motion for Limited Unsealing of Documents Relating to Arthur Alan Wolk [222]; Motion for Relief from Court’s April 28, 2004 Order Pursuant to Federal Rule of Civil Procedure 60(b) [229]; Motion for Sanctions Pursuant to Federal Rule of Civil Procedure 11[232]; Emergency Motion to Compel Production of Documents [237]; AND Motion to Strike Teledyne’s Witnesses and Evidence Listed in Its Pre-Hearing Memorandum [246-1] Which were Requested in Discovery but not Provided on Basis of Improper Privilege Assertions [260]. The Court has reviewed the record and the arguments of the parties and, for the reasons set out below; concludes that all of the above motions should be DENIED as moot.

BACKGROUND

I. PRE-CONTEMPT APPLICATION PROCEEDINGS IN THIS COURT

The present contempt application has been filed by the defendant in a diversity case assigned to this Court. This diversity action arose out of an airplane crash in Georgia on June 29, 1999, that killed the only two persons on board. Their estates, represented by Herman Taylor and Anne Mauvais, filed a wrongful death action against Teledyne, alleging that the cause of the crash was a malfunction in the airplane’s right engine. Mr. Wolk, the respondent in this contempt application, was lead counsel for the plaintiffs. 1

The discovery process between the parties was extremely contentious, and the parties called on the Court on multiple occasions to referee the disputes; in addition, at the parties’ request, the Court reopened discovery and also extended dis *1326 covery. Even after the Court’s direct intervention, the parties filed numerous additional discovery motions, 2 which motions this Court resolved in a seventy-one (71) page Omnibus Discovery Order issued on September 30, 2002 (hereinafter, the “Omnibus Discovery Order”) [133],

In this Omnibus Discovery Order, the Court determined that plaintiffs’ counsel had intentionally disobeyed the orders and directives of the Court and the federal rules governing discovery, and the Court excluded certain expert testimony proffered by plaintiffs as a result of this violation. In support of these sanctions, the Court issued very critical comments about the conduct of plaintiffs’ counsel, Arthur Wolk, the respondent in this contempt application.

After the issuance of the Omnibus Discovery Order, plaintiffs filed, on October 15, 2002, a timely motion for reconsideration [135], expressing disagreement with the Court’s assessment of the discovery disputes. On the same date, Mr. Wolk filed his own motion for reconsideration as to the critical comments directed at him [136]. Although this motion reflected his disagreement, in large part, 3 with the Court’s analysis of the discovery disputes and with the sanctions imposed, the focus of Wolk’s motion was his strenuous contention that the Court had unfairly singled him out by name in the Omnibus Discovery Order inasmuch as Wolk cast responsibility on an associate in his firm for the handling of discovery in the case and denied his own involvement in any discovery violations, should any violations have occurred.

The Court had reasonably understood Wolk to be the attorney responsible for any discovery violations because he had entered an appearance and was lead counsel in the case, because he was the named partner of the law firm handling the case, and, most significantly, because he was the only attorney for plaintiffs who spoke at the discovery conference that the Court had previously convened concerning the ongoing discovery disputes. During that conference, Wolk had indicated familiarity with the discovery disputes at issue. Nevertheless, given the intensity and seeming earnestness of Wolk’s assertions that he was not responsible for or aware of any discovery violations, this Court, three business days after the filing of his motion for reconsideration, sua sponte sealed the Omnibus Discovery Order until such time in the future as the Court deemed it appropriate to revisit the matter. (October 20, 2002 Order [141].)

Thereafter, the remaining discovery concluded uneventfully, with no need for further intervention by the Court, after which the parties attempted to mediate the case. In furtherance of this effort, on April 16, *1327 2008, Wolk’s co-counsel, Richard Genter, sent a letter to the Court’s clerk indicating that all counsel believed that settlement might be possible, but “an impediment to settlement [was] the Court’s Order of September 30, 2002,” as well as the motions filed thereafter; accordingly, Genter requested a conference with the Court. 4 (April 16, 2003 Letter to Court [154] at 1.) On May 2, 2003, the Court’s deputy clerk faxed a letter, dated May 1, 2003[152], setting down a telephone conference for May 8, 2003. 5 On May 8, 2003, the Court convened this conference. (See Transcript, May 8, 2003 Telephone Conference, “Transcript” [156].) The conference focused on three primary matters: (1) the parties’ request that the Court vacate the Omnibus Discovery Order to facilitate what appeared to be an imminent settlement; (2) factors that created some hesitancy by the Court to vacate the Order; and (3) the Court’s inquiry as to how it could proceed on such a request, as the Court had learned since scheduling the conference that Wolk had filed a motion to recuse the Court. 6

Counsel and the Court discussed all matters at length. As to the second matter, the Court expressed concern that a settlement of the case for less than its value to plaintiffs not occur simply to allow Mr. Wolk to be rid of an order that was critical of him.

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Cite This Page — Counsel Stack

Bluebook (online)
338 F. Supp. 2d 1323, 2004 U.S. Dist. LEXIS 20728, 2004 WL 2252045, Counsel Stack Legal Research, https://law.counselstack.com/opinion/taylor-v-teledyne-technologies-inc-gand-2004.