Tomlin v. Holecek

158 F.R.D. 132, 1994 U.S. Dist. LEXIS 18692, 1994 WL 583151
CourtDistrict Court, D. Minnesota
DecidedJuly 28, 1994
DocketCiv. No. 5-91-113
StatusPublished
Cited by2 cases

This text of 158 F.R.D. 132 (Tomlin v. Holecek) is published on Counsel Stack Legal Research, covering District Court, D. Minnesota primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Tomlin v. Holecek, 158 F.R.D. 132, 1994 U.S. Dist. LEXIS 18692, 1994 WL 583151 (mnd 1994).

Opinion

ERICKSON, United States Magistrate Judge.

I. Introduction

This matter came before the undersigned United States Magistrate Judge pursuant to a general assignment, made in accordance with the provisions of Title 28 U.S.C. § 636(b)(1)(A), upon the Plaintiffs Motion for a Protective Order which would preclude the Defendants Boise Cascade Corporation, BE & K Engineering Company, and BE & K Construction Company (“the Defendants”) from calling any expert witnesses to testify at the trial of this matter, or would condition such testimony on the award of sanctions.

A Hearing on the Motion was conducted on July 26, 1994, at which time the Plaintiff appeared by Robert J. King, Jr., Esq., and the Defendants appeared by John D. Kelly and Cheryl M. Prince, Esqs.

For reasons which follow, we deny the Motion to preclude the testimony of the experts who have been identified by the Defendants, and we defer the issue of sanctions.

II. Factual and Procedural Background

By Order dated June 8, 1993, United States Magistrate Judge Patrick J. McNulty directed that, within 20 days of the date of the Order, the Plaintiff was to disclose the expert witnesses that he expected to call at trial, the facts and opinions to which the experts were expected to testify, and a summary of the grounds upon which the expert based his opinions.1 The same Order continued in effect a previous Order of the Court which required the Defendants to “make proper disclosure of prospective expert witnesses * * * prior to August 31, 1993.” There is no dispute that the Defendants failed to disclose their expert witnesses, and the underlying opinion testimony of those witnesses, prior to August 31, 1993.

Indeed, it was not until on or about May 25, 1994, that the Defendants served their expert disclosures which, in their entirety, listed the names and addresses of 11 prospective expert witnesses.2 In response to these disclosures, counsel for the Plaintiff advised the Defendants, by letter dated June 1, 1994, that the disclosures were both untimely and inadequate. Thereafter, by letter dated July 1, 1994, the Defendants served Notices to take the depositions of Dr. Patricia Aletky3 on August 4,1994; of Dr. Joseph [134]*134H. Wombell on August 8, 1994; and of Drs. Bernard Lublin and Daniel Owens on August 9, 1994. With the exception of Dr. Aletky, the depositions are scheduled to be taken in the State of Virginia, where each of the pertinent doctors resides.

By Motion filed on July 7, 1994, the Plaintiff opposed the taking of these depositions since the Defendants failed to disclose the identities and the expected opinions of these experts in accordance with the dictates of the Court’s Scheduling Order of June 8, 1993. Thereafter, on July 13, 1994, the Defendants served an Amended Disclosure of Expert Witnesses, which differs from their expert disclosures of May 25, 1994, by naming two additional experts and by describing the anticipated testimony of their experts.

In support of their request for a Protective Order, the Plaintiff underscores that the Defendants’ disclosures of May 25 were overdue by a full 9 months, and that they were woefully inadequate in that no more than the experts’ names and addresses were recited. Accordingly, the Plaintiff requests the exclusion of this expert testimony at trial or, in the alternative, that the Plaintiff be awarded “all travel, lodging, and incidental expenses and attorney fees associated with the preparation for and the taking of depositions of defendant’s [sic] witnesses,” if the testimony is not excluded.

The Defendants respond by noting that, on May 4,1994, they filed a Notice which memorialized their decision to substitute their current legal counsel for Mr. John J. Killen (“Killen”), who had represented them in these proceedings since the inception of their defense. In this respect, the Defendants contend as follows:

On May 4, 1994, Hanft, Fride, et. [sic] al. was substituted as Defendants’ counsel. For the first time, Defendants learned of the scheduling orders that had been entered and the disclosure deadlines that had been established. Prior to May 4, 1994, neither defendant was ever made aware that an expert disclosure deadline had been set or that such disclosure deadline had passed.

Defendants’ Memorandum, at p. 2.

As corroboration for this argument, the Defendants filed the Affidavits of Guy G. Hurl-butt, Associate General Counsel in the Litigation Section of Boise Cascade Corporation’s Litigation Department, and of Frederick E. Garrick, General Counsel of BE & K, Inc., which is the parent corporation of BE & K Engineering Company and BE & K Construction Company. Each of these Affiants avers to a belief that Killen was “zealously representing” their interests, and that neither had been informed of the expert disclosure deadline, that had been established by the Court’s Scheduling Orders.

To test the veracity of these averments, the Plaintiff subpoenaed Killen to testify and, over the objection of the Defendants that any testimony from Killen would violate the Defendants’ attorney-client privilege, Killen was permitted to testify.4 Killen testified to his [135]*135belief, based upon his past practice, that a copy of the Scheduling Orders had been transmitted to the Defendants and that he had discussed the disclosure dates with each of them. Subsequent to the Hearing, with leave of the Court, Killen filed an Affidavit which advised that he could find no evidence in his correspondence, his pleadings file or in his time records, that documented his transmittal of the Scheduling Orders to the Defendants, or that verified his communication of the disclosure deadlines to his clients. Kil-len’s Affidavit goes on to state: “However, inasmuch as I was in touch with them on a regular basis with respect to developments in this matter as well as in developments in the ATCO case5 which was proceeding at the same time, I fully believe that I discussed these matters with each of them [i.e., representatives of the Defendants] although I have no present documentation.”

The Defendants further relate that, because of the substantial volume of documents in this matter, their newly retained counsel were unable to responsibly prepare expert disclosures until on or about July 13, 1994. They note — and it is not seriously contested — that the experts they disclosed are not of recent origin, but have been long known to the Plaintiff either because of their inclusion in the prior disclosures of other Defendants in this matter, or because their depositions have been taken in the ATCO matter and, upon the agreement of the parties, could be used for discovery purposes in this matter.6 With characteristic candor, counsel for the Plaintiff acknowledged that, with respect to the medical experts that the Defendants have named, it was unlikely that any of their testimony would come as a surprise to the Plaintiff’s counsel.

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Bluebook (online)
158 F.R.D. 132, 1994 U.S. Dist. LEXIS 18692, 1994 WL 583151, Counsel Stack Legal Research, https://law.counselstack.com/opinion/tomlin-v-holecek-mnd-1994.