The Guilford National Bank of Greensboro, Administrator C.T.A., D.B.N., of the Estate of Joseph M. Coble, Deceased v. Southern Railway Company, and Third-Party v. Garland Batchelor, of the Estate of Annie J. Coble, Deceased, Third-Party

297 F.2d 921
CourtCourt of Appeals for the Third Circuit
DecidedJanuary 4, 1962
Docket8381_1
StatusPublished
Cited by40 cases

This text of 297 F.2d 921 (The Guilford National Bank of Greensboro, Administrator C.T.A., D.B.N., of the Estate of Joseph M. Coble, Deceased v. Southern Railway Company, and Third-Party v. Garland Batchelor, of the Estate of Annie J. Coble, Deceased, Third-Party) is published on Counsel Stack Legal Research, covering Court of Appeals for the Third Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
The Guilford National Bank of Greensboro, Administrator C.T.A., D.B.N., of the Estate of Joseph M. Coble, Deceased v. Southern Railway Company, and Third-Party v. Garland Batchelor, of the Estate of Annie J. Coble, Deceased, Third-Party, 297 F.2d 921 (3d Cir. 1962).

Opinion

297 F.2d 921

The GUILFORD NATIONAL BANK OF GREENSBORO, Administrator
c.t.a., d.b.n., of the Estate of Joseph M. Coble,
Deceased, Plaintiff, Appellee,
v.
SOUTHERN RAILWAY COMPANY, Defendant and Third-Party
Plaintiff, Appellant, v. Garland BATCHELOR,
Executor of the Estate of Annie J.
Coble, Deceased, Third-Party
Defendant, Appellee.

No. 8381.

United States Court of Appeals Fourth Circuit.

Argued Oct. 13, 1961.
Decided Jan. 4, 1962.

C. T. Leonard, Jr., Greensboro, N.C., and W. T. Joyner, Raleigh, N.C. (L.P. McLendon and L. P. McLendon, Jr., Greensboro, N.C., on brief), for defendant-appellant, Southern Ry. Co.

Welch Jordan, Greensboro, N.C. (Jordan, Wright, Henson & Nichols, Greensboro, N.C., on brief), for plaintiff-appellee, Guilford Nat. Bank of Greensboro, Administrator, etc.

Before SOBELOFF, Chief Judge, and SOPER and BOREMAN, Circuit Judges.

SOBELOFF, Chief Judge.

This appeal is from a judgment holding the defendant in contempt for refusing to obey the District Judge's order requiring the defendant, pursuant to Rule 34 of the Federal Rules of Civil Procedure, 28 U.S.C.A., to produce written statements of witnesses obtained by its claim agent. The specific question presented is whether the District Judge has abused his discretion by finding that the plaintiff had satisfactorily shown such 'good cause' as is required by Rule 34 before discovery of written statements of prospective witnesses may be ordered. Concededly, the plaintiff demonstrated that the desired documents were in the defendant's sole possession and were relevant to the controversy. Is this sufficient?

Plaintiff is the administrator of the estate of Jesse Coble who, on July 13, 1958, was killed with his wife in a trainautomobile crossing collision between his car and one of the defendant's trains. The following day, the defendant's claim agent secured written statements from six witnesses. On July 15, he secured written statements from a seventh witness, on July 16 from two more witnesses, and from another on July 19. Further written statements were gathered on August 11 and September 8. Six of these witnesses were members of the train crew involved in the accident, but the record does not disclose which of the witnesses were the crewmen.

On July 16, three days after the collision, attorneys for the plaintiff were notified of the accident, and late on July 18 they began their investigation. They interviewed witnesses on July 19, 21 and 22, but took no written statements.

An action for damages was filed on September 19. Some time later, the defendant informally disclosed to the plaintiff the names and addresses of the members of the train crew. On January 26, 1959, the plaintiff filed with the defendant forty-six interrogatories pursuant to Rule 33 which, after a few legal skirmishes, it answered in full. In response to one of the questions, the defendant furnished the names and addresses of all persons interviewed by it. On August 25, 1959, the plaintiff filed in the District Court a motion under Rule 34 seeking the production of a number of documents in the defendant's possession, including the written statements which the defendant had obtained from witnesses. The supporting affidavit stated that most of these statements were taken by the defendant before the plaintiff's attorney could begin his investigation, that copies of these statements were 'not otherwise available,' and that they contained 'relevant and material information' needed by the plaintiff to prepare properly for the trial.

The District Judge required the production of the written statements of the witnesses. Guilford National Bank of Greensboro v. Southern Ry., 24 F.R.D. 493 (M.D.N.C.1960). His opinion stated that relevancy was the predominant factor constituting good cause and that the defendant had not shown that any prejudice would result from disclosing these statements, particularly since at the pre-trial conference the defendant would have to reveal the nature of the expected testimony. Nevertheless, the defendant persisted in its refusal to disclose the statements, and after a hearing was adjudged in contempt and fined $250.00.

* We think that the showing of good cause required by Rule 341 is not made by a demonstration that the desired written statements of witnesses are relevant to the controversy and will aid the moving party in his preparations for trial. The scheme of Part V of the Federal Rules of Civil Procedure, Rules 26-37, establishing the entire available battery of pre-trial discovery devices,2 indicates that something more than a showing of relevancy is needed to satisfy Rule 34. The discovery devices sanctioned by Part V of the Federal Rules include the taking of oral and written depositions of persons (Rules 26-32), interrogatories to parties (Rule 33), production of documents in the possession of a party (Rule 34), and physical and mental examinations of a party (Rule 35). The scope of permissible discovery through these means is limited in each instance by the provisions of Rules 26 30(b), and 30(d). Rule 26(b) provides that 'unless otherwise ordered by the court as provided by Rule 30(b) or (d), the deponent may be examined regarding any matter, not privileged, which is relevant to the subject matter involved in the pending action * * *.' Rules 30(b) and (d) permit the district court, upon motion, to limit, terminate or otherwise control the use of discovery devices to prevent their use in bad faith or undue 'annoyance, embarrassment, or oppression.' Subject to these restrictions, a party may take depositions and serve interrogatories without prior sanction of the court or even its knowledge of what the party is doing. Only if a deponent refuses to answer in the belief that the question is irrelevant, can the moving party request under Rule 37 a court order requiring an answer.

Significantly, this freedom of action, afforded a party who resorts to depositions and interrogatories, is not granted to one proceeding under Rules 34 and 35. Instead, the court must decide as an initial matter, and in every case, whether the motion requesting production of documents or the making of a physical or mental examination adequately demonstrates good cause. The specific requirement of good cause would be meaningless if good cause could be sufficiently established by merely showing that the desired materials are relevant, for the relevancy standard has already been imposed by Rule 26(b). Thus, by adding the words 'showing good cause therefor,'3 the Rules indicate that there must be greater showing of need under Rules 34 and 35 than under the other discovery rules.

There appear to be adequate policy reasons for imposing the good cause requirement in Rules 34 and 35.

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297 F.2d 921, Counsel Stack Legal Research, https://law.counselstack.com/opinion/the-guilford-national-bank-of-greensboro-administrator-cta-dbn-of-ca3-1962.