US Ex Rel. Miller v. BILL HARBERT INTERN. CONST.

608 F.3d 871
CourtCourt of Appeals for the D.C. Circuit
DecidedJune 22, 2010
Docket08-5390
StatusPublished
Cited by2 cases

This text of 608 F.3d 871 (US Ex Rel. Miller v. BILL HARBERT INTERN. CONST.) is published on Counsel Stack Legal Research, covering Court of Appeals for the D.C. Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
US Ex Rel. Miller v. BILL HARBERT INTERN. CONST., 608 F.3d 871 (D.C. Cir. 2010).

Opinion

608 F.3d 871 (2010)

UNITED STATES of America ex rel. Richard F. MILLER and Richard F. Miller, Appellees
v.
BILL HARBERT INTERNATIONAL CONSTRUCTION, INC., et al., Appellants.

Nos. 08-5390, 08-5391, 08-5392, 08-5393, 08-5394.

United States Court of Appeals, District of Columbia Circuit.

Argued December 7, 2009.
Decided June 22, 2010.

*874 Alfred W. Putman, June Ann Sauntry, Barry Coburn, Charles C. Murphy Jr., and Charles S. Leeper argued the causes for appellants. With them on the briefs were Michael R. Miner and Alicia Hickok. Bryan B. Lavine, Stephen P. Murphy, and Brian P. Watt entered appearances.

Steve Frank, Attorney, U.S. Department of Justice, and Paul R.Q. Wolfson argued the cause for appellees. With them on the brief were Douglas N. Letter, Attorney, U.S. Department of Justice, Keith V. Morgan, Assistant U.S. Attorney, Robert B. Bell, Jennifer M. O'Connor, and Annie L. Owens. R. Craig Lawrence, Assistant U.S. Attorney, and Daniel S. Volchok entered appearances.

Before: SENTELLE, Chief Judge, GINSBURG and TATEL, Circuit Judges.

Opinion for the Court filed PER CURIAM.

Separate opinion dissenting from Parts II.A.2 and II.G.4 filed by Circuit Judge TATEL.

PER CURIAM:

TABLE OF CONTENTS

  I. Background...............................................................875
 II. Analysis ................................................................877
     A. Statute of Limitations ...............................................877
        1. Relation Back Under the FCA........................................878
        2. Claims Concerning Contracts 07 and 29 .............................880
        3. Claims Against BIE ................................................883
        4. Remaining Claims...................................................885
     B. Preemption ...........................................................885
     C. Personal Jurisdiction over HUK........................................886
     D. Anderson's Settlement.................................................888
     E. BHIC Stipulation......................................................888
     F. Precluding BIE from Contesting Liability..............................890
     G. Evidentiary Issues....................................................891
        1. BIE's Guilty Plea..................................................891
        2. Expert Testimony on Cartels .......................................893

*875
        3. Ruggieri's Testimony ..............................................896
        4. Evidence of HII and HC's Wealth ...................................896
      H. Sufficiency of the Evidence .........................................898
        1. Overarching Conspiracy ............................................899
        2. HUK's Involvement in the Conspiracy ...............................901
        3. Damages ...........................................................904
III. Conclusion ..............................................................907

In this False Claims Act case, the jury found five companies and one individual liable for rigging the bidding on three contracts in Egypt funded by the USAID. Trebling the jury's award, the district court imposed over $90 million in damages. The defendants appeal, challenging several of the district court's rulings, as well as the sufficiency of the evidence adduced against them. For the reasons set forth in this opinion, we conclude (1) that the plaintiffs' claims on two of the contracts are barred by the applicable statute of limitations, and (2) that certain testimony and evidence introduced at trial unfairly prejudiced three defendants. In all other respects, we affirm.

I. Background

Following the 1978 Camp David Accords, the United States agreed to provide economic assistance to Egypt through the U.S. Agency for International Development (USAID), including funding for improving sewer systems in Cairo and Alexandria. The sewer projects were divided into numerous construction contracts and put out for bidding by contractors prequalified by the USAID.

In 1995, Richard Miller, then a Vice President of the J.A. Jones Construction Company (Jones), the 40% partner in a series of identical joint ventures that bid on three of the projects, filed a complaint under the False Claims Act (FCA). 31 U.S.C. § 3729 et seq. Enacted during the Civil War, the FCA penalizes knowingly submitting or conspiring to submit false or fraudulent claims to the United States Government, § 3729(a)(1)(A), (C), and authorizes private enforcement through qui tam actions, which give individuals knowing of fraud a monetary incentive to come forward, § 3730(b). In his complaint, Miller alleged that in the course of his employment, he discovered that the defendants, other contractors, and a variety of related corporate entities and individuals were all members of a conspiracy to rig the bidding on contracts in Egypt. This so-called Frankfurt Club would meet to discuss upcoming contract bids in Frankfurt, Germany, the home of the conspiracy's leader, Jones's parent corporation, Holzmann, A.G. Miller's complaint focused on the bidding for one particular contract, Contract 20A, and named Holzmann, Jones, Harbert International, Inc. (HII)— Jones's partner on the other side of the joint venture—and several related corporations as defendants.

In accordance with the FCA, Miller filed his complaint in camera, and the district court placed it under seal. A qui tam relator suing under the FCA brings his case "in the name of the Government," § 3730(b)(1), and his initial complaint remains under seal for sixty days. Before the expiration of that period, the Government must (1) intervene and "proceed with the action, in which case the action shall be conducted by the Government," § 3730(b)(4)(A); (2) "notify the court that it declines to take over the action, in which case [the relator has] the right to conduct the action," § 3730(b)(4)(B); or (3) petition the court for an extension of the seal period by showing "good cause," § 3730(b)(3). If the Government decides to intervene, it *876 typically does so by filing an amended complaint.

In this case, soon after Miller filed his complaint, the Government opened a criminal investigation into the alleged conspiracy and, fearing that active civil litigation would interfere with that investigation, filed successive motions to keep Miller's complaint sealed. In the meantime, the Government prosecuted many of the participants in the Cairo and Alexandria bid-rigging arrangements, obtaining guilty pleas or convictions from at least five U.S. corporations or individuals.

In February 2001, the Government allowed Miller's complaint to be unsealed and filed its own Complaint in Intervention, taking over control of the case. The Government's complaint adopted the claims that Miller had asserted on Contract 20A and added claims on two other contracts, Contracts 29 and 07, which it characterized as part of the same Frankfurt Club conspiracy. It charged all the defendants with substantive FCA violations for each of the three contracts and with participating in the overarching conspiracy. Miller later amended his complaint to do the same. In essence, Miller and the United States alleged that prior to each contract, some or all of the bidders prequalified by the USAID met in Frankfurt to discuss the bidding.

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608 F.3d 871, Counsel Stack Legal Research, https://law.counselstack.com/opinion/us-ex-rel-miller-v-bill-harbert-intern-const-cadc-2010.