Low v. Trump University, LLC et al
Filing
565
Notice of Tentative Ruling on Plaintiffs' and Defendants' Motions in Limine (ECF Nos. #518 , #520 , #521 , #522 , #523 , #524 , #525 , #526 , #527 , #528 , #529 , #530 , #531 , #532 , #533 ). Counsel are advised that the Court's rulings are tentative. The Court will entertain additional argument at the hearing on November 10, 2016. Signed by Judge Gonzalo P. Curiel on 11/10/16.(dlg)
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UNITED STATES DISTRICT COURT
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SOUTHERN DISTRICT OF CALIFORNIA
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SONNY LOW, J.R. EVERETT and
JOHN BROWN, on Behalf of Themselves
and All Others Similarly Situated,
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Case No.: 3:10-cv-00940-GPC-WVG
NOTICE OF TENTATIVE RULING
ON PLAINTIFFS’ AND
DEFENDANTS’ MOTIONS IN
LIMINE
Plaintiffs,
v.
TRUMP UNIVERSITY, LLC, a New
York Limited Liability Company, and
DONALD J. TRUMP,
[ECF Nos. 518, 520, 521, 522, 523, 524,
525, 526, 527, 528, 529, 530, 531, 532,
533.]
Defendants.
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On October 20, 2016, Plaintiffs Sonny Low, J.R. Everett, and John Brown
(collectively, “Plaintiffs”), filed seven motions in limine. (Dkt. Nos. 518, 520, 521, 523,
525, 530, 533.)1 Defendants Trump University, LLC (“TU”), and Donald J. Trump
(collectively, “Defendants”) filed responses to Plaintiffs’ motions. (Dkt. Nos. 545, 546,
548, 553, 554, 557, 559.)
On October 20, 2016, Defendants filed eight motions in limine. (Dkt. Nos. 522,
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524, 526, 527, 528, 529, 531, 532.) Plaintiffs filed responses to Defendants’ motions.
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Citations to the record are based upon the pagination generated by the CM/ECF system.
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Dkt. Nos. 547, 549, 550, 551, 552, 555, 556, 558.)
Having reviewed the parties’ moving papers and the applicable law, and for the
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following reasons, the Court is prepared to GRANT IN PART AND DENY IN PART
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Plaintiffs’ and Defendants’ motions in limine.
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ADMISSIBILITY OF ABSENT CLASS MEMBER TESTIMONY
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The Court finds it appropriate to first address the admissibility of absent class
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member testimony, because the issue pervades both parties’ motions in limine. Pursuant
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to the Court’s Order on August 2, 2016 (Dkt. No. 502), the parties filed supplemental
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briefing on the issue (Dkt. Nos. 505, 509). Having reviewed the parties’ briefing and the
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applicable law, the Court concludes as follows.
Defendants argue that non-representative student testimony is admissible pursuant
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to their Seventh Amendment right to a jury trial and pursuant to Federal Rule of Evidence
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402. (Dkt. No. 505 at 8–10.) Defendants maintain that class certification does not
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relieve Plaintiffs of their burden of proof or restrict Defendants from presenting their
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defense, citing, inter alia, Wal-Mart Stores, Inc. v. Dukes, 564 U.S. 338 (2011). (Id. at
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10–13.) Defendants contend that the proposed non-representative student testimony is
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relevant to materiality, uniformity, falsity, and reliance. (Id. at 13–20.)
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Plaintiffs maintain that non-representative student testimony is irrelevant to
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liability and accordingly inadmissible during phase one of trial. (Dkt. No. 509 at 8.)
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They contend that even if non-representative student testimony were relevant to liability,
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it should be excluded because its probative value is outweighed by the risk of unfair
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prejudice, confusion of the issues, and misleading the jury. (Id. at 19–21.) Plaintiffs
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briefly cite concerns that allowing non-representative student testimony will significantly
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lengthen phase one of trial. (Id. at 21.) Finally, Plaintiffs argue that exclusion of absent
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class member testimony will not violate Defendants’ Seventh Amendment or due process
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rights, as Defendants have the ability to present individualized defenses during phase two
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of trial. (Id. at 21–22.)
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The Court begins by rejecting Plaintiffs’ position that non-representative student
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testimony should be excluded wholesale from phase one of trial. C.f. Negrete v. Allianz
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Life Ins. Co. of N. Am., No. CV 05-6838 CAS MANX, 2013 WL 6535164, at *21 (C.D.
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Cal. Dec. 9, 2013) (declining to issue a blanket ruling on the admissibility of absent class
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member testimony). Plaintiffs cite Waters v. Int’l Precious Metals Corp., 172 F.R.D. 479
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(S.D. Fla. 1996), to argue that “in light of the Court’s decision to restrict the trial to
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common issues only, the testimony of opt-outs . . . on the issue of reliance is irrelevant.”
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172 F.R.D. at 489. Plaintiffs only cursorily argue that Dukes does not undermine Waters.
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(Dkt. No. 509 at 19.) In light of the Supreme Court’s statement in Dukes that to invoke
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the “fraud on the market” presumption of reliance in securities class actions, plaintiffs
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must “prove again at trial” the facts giving rise to the presumption “in order to make out
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their case on the merits,” Dukes, 564 U.S. at 351 n.6, this Court concludes that Plaintiffs
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must do the same to invoke the benefit of the inference of reliance. The Court
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accordingly declines to issue a blanket order excluding testimony of non-representative
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students.
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The Court likewise declines to rule that non-representative student testimony is
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admissible without limit. In Negrete v. Allianz Life Ins. Co. of N. Am., No. CV 05-6838
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CAS MANX, 2013 WL 6535164 (C.D. Cal. Dec. 9, 2013), the defendant moved to
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exclude the plaintiffs’ absent class member testimony. The plaintiffs represented to the
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court that they “d[id] not intend to introduce testimony from individual class members to
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show reliance and causation,” but that the evidence would be relevant to show, inter alia,
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“that the alleged misrepresentations were in fact uniform, that [the defendant] engaged in
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two or more predicate acts under RICO, and that the asserted enterprise was ongoing.”
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2013 WL 6535164, at *21. In light of these representations, the court stated that the
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“testimony may be relevant for reasons other than reliance or causation” and declined to
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issue a blanket ruling on the admissibility of non-representative testimony before trial.
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Id. (emphasis added). Moreover, the court concluded that because the case was about
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“alleged uniform misrepresentations, not about the particularities of specific . . . sales,”
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subjective testimony from absent class members would be irrelevant. Id. at *9, *21 n.13.
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Here, Defendants similarly intend to offer absent class member testimony to
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illustrate how individual class members subjectively understood and interpreted
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Defendants’ alleged misrepresentations. (Dkt. No. 505 at 14–18.) Given that this case
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involves alleged uniform misrepresentations, absent class member testimony as to the
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particularities of specific sales is likewise irrelevant. Furthermore, unlike the defendant
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in Negrete, see 2013 WL 6535164, at *20, here, Plaintiffs contend that absent class
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member testimony is irrelevant to all elements of liability, not just irrelevant as to
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reliance. The Court accordingly examines the relevance of non-representative student
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testimony as to materiality, falsity, and the inference of reliance below.
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1. Materiality
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As Defendants acknowledge (Dkt. No. 505 at 14), materiality is an objective, not a
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subjective, element. See, e.g., Vasquez v. Superior Court, 484 P.2d 964, 973 (Cal. 1971).
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Defendants’ arguments are not persuasive as to how individualized testimony by absent
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class members is relevant to the jury’s objective determination of materiality.
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Furthermore, the cases Defendants enlist do not aid their argument that absent class
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member testimony should be allowed to rebut evidence of materiality. Defendants first
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cite Skydive Arizona, Inc. v. Quattrocchi, 673 F.3d 1105, 1110–11 (9th Cir. 2012) for the
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proposition that the Ninth Circuit has “expressly rejected plaintiffs’ contention that
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because materiality is ‘objective,’ it may only be proven through surveys or by experts.”
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(Dkt. No. 505 at 14.) Here, however, Plaintiffs do not argue that materiality may only be
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proven through surveys or by experts. (Dkt. No. 509 at 17–18.) Moreover, as Plaintiffs
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correctly point out, Skydive Arizona was not a class action case, see 673 F.3d at 1108, and
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accordingly does not bolster Defendants’ contention that absent class member testimony
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should be admitted on the question of materiality.
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Defendants next cite Plascencia v. Lending 1st Mortg., No. C 07-4485 CW, 2011
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WL 5914278, at *1–2 (N.D. Cal. Nov. 28, 2011). Here, Defendants incorrectly conflate
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the element of materiality with the Plascencia court’s ruling that class member testimony
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may be admitted to rebut the elements giving rise to an inference of reliance—Plascencia
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does not speak to the admissibility of absent class member testimony with respect to the
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element of materiality. Id. Accordingly, Defendants may not proffer non-representative
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student testimony with respect to materiality.
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2. Falsity
“Determining whether or not a statement is a fraudulent representation is an
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objective inquiry that can be made on a class-wide basis.” Negrete v. Allianz Life Ins.
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Co. of N. Am., 287 F.R.D. 590, 610 n.11 (C.D. Cal. 2012). The only legal authority that
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Defendants cursorily cite in their supplemental briefing does not aid Defendants’ position
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that absent class member testimony may be admitted to rebut evidence of falsity. (Dkt.
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No. 505 at 17–18.) A jury can assess, according to a reasonable person standard, whether
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the misrepresentations were in fact merely non-actionable puffery without evaluating
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absent class member testimony. Defendants may not proffer non-representative student
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testimony with respect to falsity.
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3. Reliance
a. Uniformity
“If the trial court finds that material misrepresentations have been made to the
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entire class, an inference of reliance arises as to the class.” In re Vioxx Class Cases, 103
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Cal. Rptr. 3d 83, 95 (Cal. Ct. App. 2009). To obtain the inference of reliance, Plaintiffs
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therefore must establish that the misrepresentations were (1) material and that they were
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(2) uniformly made to the entire class. The Court has already addressed materiality and
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will address only the issue of uniformity here.
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Contrary to Defendants’ reading of Plascencia, the court held that “the class-wide
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presumption cannot be rebutted by showing that individual absent class members did not
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rely upon the fraudulent omissions.” 2011 WL 5914278, at *2. Rather, the “presumption
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could be rebutted on a class-wide basis only if there is evidence that can be properly
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generalized to the class as a whole.” Id. In Plascencia, the court held that Defendants’
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depositions of absent class members could not be properly generalized to the class, as
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“the depositions ordered would not be statistically representative of the class as a whole”
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and were accordingly not relevant. Id. at *2 – 3. Here, as Plaintiffs argue, given that
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Defendants propose offering testimony of class opt-outs and other individual absent class
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members, the jury would be left with a skewed perspective not statistically representative
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of the class. (Dkt. No. 509 at 20.) Accordingly, Defendants may not offer absent class
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member testimony to rebut the inference of reliance in its entirety. Instead, as explained
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below, Defendants may offer such testimony only to rebut a showing that the material
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misrepresentations were uniformly made.
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The Court rejects Plaintiffs’ position that absent class member testimony is
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inadmissible to address uniformity for purposes of rebutting the inference of reliance.
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Contrary to Plaintiffs’ reading, the Plascencia court held that “Defendants may defeat the
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presumption by showing that the incomplete disclosures were not uniform or would not
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be material to a reasonable person. They may also rebut the presumption by introducing
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evidence specific to the named Plaintiffs.” 2011 WL 5914278, at *2. Accordingly,
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Defendants may offer non-representative student testimony to rebut the uniformity prong
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of the inference of reliance by countering Plaintiffs’ showing that the material
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misrepresentations were uniformly made to the class. The Court reserves the right
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pursuant to Federal Rule of Evidence 403 to prevent the presentation of unduly
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cumulative evidence at trial.
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PLAINTIFFS’ MOTIONS IN LIMINE
I.
Plaintiffs’ Motion in Limine No. 1: Ground Rules for Phase 1 of Trial (Dkt.
No. 518)
Plaintiffs first seek to establish ground rules for the liability phase of trial. (Dkt.
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No. 518 at 2.) Plaintiffs assert six requests in their first motion in limine. (Id.)
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Defendants oppose all but the sixth request. (Dkt. No. 553.) The Court addresses the six
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requests in turn.
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1. Citing reasons of judicial economy and efficiency, Plaintiffs seek to “[p]reclude
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the same witness from being called to testify more than once (except for witnesses
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re-called in rebuttal).” (Dkt. No. 518 at 2–3.) Defendants respond that Plaintiffs
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may not restrict Defendants’ “right to present their case in the manner of their
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choosing,” and that Plaintiffs’ request would result in “disjointed examinations and
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inevitable confusion.” (Dkt. No. 553 at 5–6.) The Court declines to issue a
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blanket procedural ruling and is prepared to DENY Plaintiffs’ first request.
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2. Plaintiffs request a ruling to (a) “[p]reclude [D]efendants from calling for live
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testimony any witness who refused to provide live testimony during [P]laintiffs’
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case-in-chief” and to (b) “[p]reclude [D]efendants from introducing deposition
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testimony of a witness under their control.” (Dkt. No. 518 at 3–4.) Defendants
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respond that Federal Rule of Evidence 611 does not impose an obligation on
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Defendants to make unavailable witnesses appear for live testimony during
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Plaintiffs’ case-in-chief. (Dkt. No. 553 at 6.) Defendants contend that Plaintiffs’
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request to preclude Defendants from introducing deposition testimony of a witness
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purportedly under Defendants’ control conflicts with Federal Rule of Civil
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Procedure 32(a)(4). (Id. at 7–8.) Defendants respond that Plaintiffs fail to identify
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specific witnesses that Defendants purportedly control. (Id. at 8.) Because
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Plaintiffs’ request is overbroad, the Court is prepared to DENY Plaintiffs’ second
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request for lack of specificity.
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3. Plaintiffs request a ruling permitting them to use leading questions when
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examining “former officers, employees and/or independent contractors associated
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with [Defendants].” (Dkt. No. 518 at 5–6.) Plaintiffs request that Defendants be
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prohibited from using leading questions when cross-examining witnesses
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associated with Defendants. (Id. at 6.) Defendants respond that Plaintiffs have not
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identified the hostile witnesses, with the exception of Michael Sexton, that they
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intend to call, and that Plaintiffs have not adequately shown that such witnesses are
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hostile within the meaning of Federal Rule of Evidence 611. (Dkt. No. 553 at 9–
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10.) Due to Plaintiffs’ lack of specificity in identifying relevant witnesses, the
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Court is prepared to DEFER ruling on Plaintiffs’ third request until any adverse
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witnesses are called at trial.
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4. Plaintiffs move to exclude as irrelevant any argument or testimony about the
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attorneys and law firms that have represented the parties in the instant litigation.
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(Dkt. No. 518 at 6–7.) Defendants respond that Plaintiffs’ request is unnecessary,
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and that Plaintiffs have not presented any basis for a blanket order at this stage.
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(Dkt. No. 553 at 10–11.) Agreeing that Plaintiffs have not identified specific
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evidence that they wish to exclude, the Court is prepared to DENY the Plaintiffs’
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fourth request without prejudice to Plaintiffs raising objections at trial.
5. Plaintiffs move to exclude as irrelevant any evidence or argument relating to
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witnesses’ political affiliation, voting preferences, and political contributions.
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(Dkt. No. 518 at 8–9.) Defendants respond that such evidence “may bear on
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witness credibility and bias.” (Dkt. No. 553 at 11.) Because such evidence has no
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apparent relevance and may be unduly inflammatory, the Court is prepared to
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GRANT the Plaintiffs’ fifth request. The Court directs the parties’ counsel to
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provide advance notice to the Court outside the presence of the jury if they intend
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to offer evidence of witnesses’ political affiliation.
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6. Pursuant to Federal Rule of Evidence 615, Plaintiffs move to exclude from the
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courtroom non-party percipient witnesses. (Dkt. No. 518 at 9–10.) Defendants do
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not oppose this request. Accordingly, the Court is prepared to GRANT Plaintiffs’
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sixth request.
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II.
Plaintiffs’ Motion in Limine No. 2: Exclude Evidence and Argument
Unrelated to Liability During Phase One of Trial (Dkt. No. 520)
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Plaintiffs move to exclude from phase one of trial any evidence of TU’s value and
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other damages issues on grounds of irrelevance and confusion to the jury. (Dkt. No. 520
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at 3–5.) Plaintiffs move to exclude four categories of evidence: (1) student testimonials,
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“success stories,” and evaluations; (2) damages-related testimony from non8
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representative former students; (3) damages-related testimony from instructors and
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employees; and (4) paid TU course materials. (Id. at 5–10.) Defendants respond that the
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contested evidence is relevant to falsity and materiality. (Dkt. No. 559 at 3–5.) They
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further contend that such evidence is relevant to prove Plaintiffs’ “full refund” theory.
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(Id. at 11–12.)
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First, the Court has previously addressed the admissibility of non-representative
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student testimony and will not repeat its analysis here. Second, the Court will address the
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admissibility of student evaluations in its analysis of Plaintiffs’ Motion in Limine No. 7
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and the admissibility of online products in its analysis of Plaintiffs’ Motion in Limine No.
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3. Third, to the extent that Defendants seek to admit “success stories” at trial—either via
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former students or via instructors and employees of TU—to establish the subjective value
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of TU courses to individual students, the Court finds that such evidence is irrelevant to
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the liability phase of trial and appropriate only in the damages phase of trial. Finally, the
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Court will DEFER until trial ruling on the admissibility of TU course materials.
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Accordingly, the Court is prepared to (1) GRANT IN PART Plaintiffs’ motion as
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to “success stories” to establish subjective value, (2) GRANT IN PART Plaintiff’s
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motion as to non-representative student testimony as discussed above, and (3) DENY IN
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PART Plaintiffs’ motion without prejudice as to the course materials. As to the course
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materials, Plaintiffs may renew their objection to specific testimony at trial.
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III.
Plaintiffs’ Motion in Limine No. 3: Limit Evidence and Argument to Class
Products (Dkt. No. 521)
Plaintiffs request a broad ruling limiting evidence to the class products at issue in
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this case. (Dkt. No. 521 at 2.) Plaintiffs move to exclude four categories of evidence: (1)
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evidence regarding the online instructors and whether Mr. Trump handpicked those
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instructors; (2) materials from courses and other offerings outside of the Live Events, as
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well as emails and other communications regarding the marketing of these non-class
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products; (3) documents related to other entities, namely Trump Institute and Trump
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University Canada; and (4) Trump Entrepreneur Initiative (“TEI”) marketing and course
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materials, as well as TEI’s rating with the Better Business Bureau (“BBB”). (Id. at 4–9.)
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The Court DEFERS until trial ruling on the admissibility of the course materials
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and online materials. Next, as addressed infra, the Court is prepared to GRANT IN
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PART and DENY IN PART the motion to exclude certain evidence of the BBB’s
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ratings of TU and TEI. Accordingly, the Court plans to DENY Plaintiffs’ motion without
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prejudice. Plaintiffs may renew their objection to specific testimony at trial.
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IV.
Plaintiffs’ Motion in Limine No. 4: Allow Live Trial Testimony Via
Contemporaneous Video Transmission From a Different Location (Dkt.
No. 533)
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Plaintiffs move to allow James Harris, TU’s “top nationwide instructor,” to testify
at trial via contemporaneous video transmission from a courtroom near his residence
pursuant to Federal Rule of Civil Procedure 43(a). (Dkt. No. 533 at 2.) Plaintiffs assert
that “good cause in compelling circumstances” exists, as Mr. Harris is an important
witness to the case and had evaded service on multiple occasions and failed to comply
with the deposition process. (Id. at 4.) In the alternative, Plaintiffs request that the Court
allow them to play Harris’s videotaped CNN interview at trial (Plaintiffs’ Exhibit 196).
(Id.) Plaintiffs also assert a request to allow a proportional number of non-representative
witnesses to testify at trial via contemporaneous video transmission. (Id.) Plaintiffs note
that this request is contingent upon the Court’s decision to allow Defendants to introduce
testimony of non-representative students. (Id.)
Defendants respond that Plaintiffs have failed to show that good cause exists to
allow Mr. Harris to testify via contemporaneous video transmission. (Dkt. No. 545 at 5.)
Defendants point out that Plaintiffs have failed to identify the potential student-witnesses
who may be called to testify via contemporaneous video transmission. (Id.) At
minimum, Defendants urge the Court to defer ruling on the unnamed witnesses until
Plaintiffs demonstrate “good cause in compelling circumstances” pursuant to Rule 43(a).
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(Id. at 8.) Finally, Defendants contend that the CNN interview of Mr. Harris is
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inadmissible hearsay and unduly prejudicial. (Id. at 10–15.)
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Federal Rule of Civil Procedure 43(a) provides that “[f]or good cause in
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compelling circumstances and with appropriate safeguards, the court may permit
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testimony in open court by contemporaneous transmission from a different location.”
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The advisory committee notes to Rule 43(a) emphasize that “[t]he importance of
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presenting live testimony in court cannot be forgotten” and that contemporaneous
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transmission “is permitted only on showing good cause in compelling circumstances.”
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The Court has discretion to grant or deny requests to allow witnesses to testify by
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contemporaneous video transmission. Draper v. Rosario, 836 F.3d 1072, 1081 (9th Cir.
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2016).
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Here, Plaintiffs have not carried their burden to establish that “good cause in
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compelling circumstances” exists to permit examination of Mr. Harris via
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contemporaneous video transmission. Plaintiffs argue that Mr. Harris’s testimony is
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important to their case, and that his evasion of service and lack of cooperation during
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discovery have prejudiced Plaintiffs. (Dkt. No. 533 at 6–7.) While the Court expresses
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concern with Mr. Harris’s lack of cooperation during discovery, the Court notes that
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Plaintiffs have not provided any information about Mr. Harris’s current whereabouts or
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any related correspondence regarding attempts to procure his presence at trial. (Id. at 4.)
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Absent a showing of “good cause in compelling circumstances,” the Court is unwilling to
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grant Plaintiffs’ Rule 43(a) request. Accordingly, the Court is prepared to DENY
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Plaintiffs’ request to allow Mr. Harris to testify via contemporaneous video transmission.
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For similar reasons, the Court is prepared to DENY Plaintiffs’ Rule 43(a) motion as to
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the currently unidentified non-representative students.
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Finally, finding that the CNN video of Mr. Harris is heavily redacted and does not
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qualify for a hearsay exception, and that its probative value is substantially outweighed
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by the danger of unfair prejudice, the Court is prepared to DENY Plaintiffs’ request to
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play the CNN video of Mr. Harris.
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V.
Plaintiffs’ Motion in Limine No. 5: Exclude Evidence and Argument
Related to the Court’s Class Action Orders (Dkt. No. 530)
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In broad brush strokes, Plaintiffs move to exclude “argument and evidence seeking
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to challenge this Court’s (multiple) prior orders certifying this action as a class action for
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purposes of liability.” (Dkt. No. 530 at 2.) Plaintiffs seek to exclude four categories of
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evidence: (1) testimony of non-representative TU customers concerning their
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individualized, subjective experiences; (2) declarations of TU customers concerning their
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individualized, subjective experiences; (3) exhibits of paid TU course materials that
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Plaintiffs believe Defendants will use to argue that TU courses varied from class to class;
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and (4) evidence of TU customer evaluations, surveys, and testimonials that Plaintiffs
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believe Defendants will use to argue that TU customers had varying experiences at TU
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and varied interactions with TU personnel. (Id. at 4–11.)
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Defendants respond that Plaintiffs’ motion inaccurately frames Defendants’
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proposed evidence as a veiled “collateral attack” on the Court’s certification order. (Dkt.
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No. 548 at 5.) Defendants argue that the evidence is relevant to how a reasonable person
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would interpret and understand the two certified misrepresentations, and that the evidence
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is not being used to challenge Court’s certification orders. (Id. at 6–12.) Defendants
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contend that Plaintiffs’ motion is vague and overbroad, and that Plaintiffs have failed to
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analyze why the contested evidence is not properly generalized to the entire class. (Id. at
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6–7, 12–13.)
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Like Plaintiffs’ Motions in Limine Nos. 2 and 3, this motion also seeks to exclude
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course material evidence in an overbroad manner. The Court’s conclusion as to the
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admissibility of testimony, evidence, and argument regarding non-representative students
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has already been addressed at the outset of this Order, and the Court will not repeat its
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ruling or analysis here. Accordingly, the Court is prepared to GRANT IN PART
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Plaintiffs’ motion with respect to non-representative student testimony that has no
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bearing on whether the misrepresentations were uniformly made, and DENY IN PART
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the remainder of Plaintiffs’ Motion in Limine No. 5. Plaintiffs may renew their objection
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to specific testimony at trial.
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VI.
Plaintiffs’ Motion in Limine No. 6: Exclude Undisclosed Witnesses,
Exhibits, and Defenses (Dkt. No. 525)
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Plaintiffs request a ruling prohibiting Defendants from (1) calling witnesses whom
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Defendants did not identify in their Federal Rule of Civil Procedure 26(a)(1) disclosures;
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(2) offering into evidence documents that Defendants “withheld from discovery”; and (3)
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“directly or indirectly asserting any reliance on counsel—in testimony, exhibits, or
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argument.” (Dkt. No. 525 at 2.)
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With respect to witnesses, Defendants respond that with the exception of Meredith
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McIver, all of the witnesses Plaintiffs object to were disclosed in Rule 26(a)(1)
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disclosures in the Cohen case; disclosed in Rule 26(a)(3) disclosures in February and
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March of this year; identified on Plaintiffs’ own witness lists; deposed in this case or in
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Cohen; are former class members who notified Plaintiffs’ counsel of their intent to opt
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out of the class within the last six months; and/or are document custodians whose
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testimony is offered to authenticate documents. (Dkt. No. 557 at 5.) With respect to
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documents, Defendants respond that contrary to Plaintiffs’ claim, they have not withheld
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the contested exhibits from discovery. (Id. at 13–14.) Defendants maintain that Plaintiffs
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used many of the disputed exhibits in depositions and filings in the instant case and in
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Cohen; that Plaintiffs have had access to these documents; that Defendants have offered
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to make all physical exhibits available to Plaintiffs for inspection; and that there is no
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prejudice resulting to Plaintiffs. (Id. at 6.) Finally, Defendants respond that Plaintiffs’
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request that Mr. Trump be barred from invoking an “advice of counsel” defense is
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unnecessary, premature, and moot. (Id. at 14–15.)
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The Court has discretion to issue sanctions pursuant to Federal Rule of Civil
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Procedure 37(c)(1). Yeti by Molly, Ltd. v. Deckers Outdoor Corp., 259 F.3d 1101, 1106
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(9th Cir. 2001). Rule 37(c) is described as a “self-executing, automatic sanction to
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provide a strong inducement for disclosure of material[.]” Id. (internal citation, quotation
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marks, and alteration omitted). “Two express exceptions ameliorate the harshness of
2
Rule 37(c)(1): The information may be introduced if the parties’ failure to disclose the
3
required information is substantially justified or harmless.” Id. The party facing
4
sanctions has the burden to prove harmlessness. Id. at 1107.
The Court begins by noting that while the parties “agreed that fact discovery in
5
6
one action may be cross-designated for use in the other action,” the specific language of
7
the parties’ cross-designation agreement—stating that “all written discovery and
8
depositions from the Makaeff case may be designated for use in either case by either
9
Plaintiff or Defendant”—appears to be more limited than Defendants suggest.2
10
(Compare Dkt. No. 425 at 3 with Dkt. No. 425-1 at 10.) Nonetheless, because the
11
agreement states that “any deposition taken going forward that is taken in Cohen and is
12
cross-designated in Makaeff counts against the Makaeff deposition limit,” the Court, in
13
assessing harmlessness, will take into account whether the disputed witnesses were
14
disclosed to Plaintiffs in Cohen. The Court will thus focus its inquiry on the witnesses
15
and documents recently disclosed in Defendants’ October 6, 2016 disclosures, as
16
Plaintiffs have had over half of a year’s notice of the witnesses and documents
17
Defendants disclosed in February and March of this year.
18
Plaintiffs maintain that fourteen witnesses were disclosed for the first time in
19
Defendants’ October 6, 2016 disclosures, less than two months before trial. (Dkt. No.
20
525 at 4.) Based on a review of Defendants’ chart illustrating Plaintiffs’ contacts with the
21
fourteen disputed witnesses (Dkt. No. 557-1 at 1), the Court finds that Defendants’
22
untimely disclosure of Daniel Berman, Aleshia Boerin-dlock, Meredith McIver, and
23
24
25
26
27
28
The Court also takes note of Plaintiff’s citation of an order from Magistrate Judge Gallo providing that
“[a]ll deposition taken in this action shall relate to this action only[.]” (Dkt. No. 525 at 7.) However,
because Judge Gallo’s order was issued on November 20, 2014, one year prior to the parties’ submission
of their cross-designation agreement on November 20, 2015, the Court credits the agreement as
reflective of the parties’ understanding regarding cross-designation.
2
14
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1
Richard Nichilo is not substantially justified or harmless, and that Defendants have failed
2
to carry their burden to prove that they qualify for an exception from Rule 37(c)(1).
3
As for exhibits, the Court finds that Defendants have failed to carry their burden to
4
demonstrate that their untimely disclosure was substantially justified or harmless. Based
5
on a comparative review of Plaintiffs’ list of disputed exhibits (Dkt. No. 525-1 at 1) and
6
Defendants’ appended explanatory chart of disputed exhibits (Dkt. No. 557-1 at 2), the
7
Court is prepared to exclude Defendants’ exhibits, numbered as follows: 4390, 4439,
8
4442, 4481, 4543, 4544, 4545, 4546, 4547, 4548, 4549, 4550, 4551, 4552, 4553, 4554,
9
4556, 4557, 4558, 4559, 4560, 4561, 4562, 4563, 4564, 4565, 4567, and 4575. Although
10
a number of these exhibits were identified as publically available by Defendants, the fact
11
that exhibits were publicly available does not justify Defendants’ untimely disclosure.
12
Accordingly, the Court is prepared to GRANT IN PART and DENY IN PART
13
Plaintiffs’ motion to exclude previously undisclosed witnesses and documents. In
14
addition, the Court is prepared to DENY Plaintiffs’ premature request to exclude any
15
direct or indirect “reliance on counsel” defense. Plaintiffs may renew their objection to
16
specific testimony at trial.
17
18
VII. Plaintiffs’ Motion in Limine No. 7: Exclude Evidence and Argument About
Trump University’s Purported Approval Rating and Student-Victim
Evaluations (Dkt. No. 523)
19
20
21
22
23
24
25
26
27
Plaintiffs move to exclude evidence regarding TU’s purported “98% approval
rating” or student-victim evaluations. (Dkt. No. 523 at 2.) Plaintiffs contend that the
rating is irrelevant to falsity and materiality and only relevant to prove damages during
phase two of trial. (Id. at 4.) Plaintiffs further contend that the rating and evaluation
forms that formed the basis for the rating are inadmissible hearsay, and that the survey
evidence does not meet the requirements of Federal Rule of Evidence 702. (Id. at 5–9.)
Plaintiffs move to prohibit Mr. Trump from testifying about the rating or the studentvictim evaluations for lack of personal knowledge. (Id. at 9–11.) Finally, Plaintiffs
28
15
3:10-cv-00940-GPC-WVG
1
contend that the rating and student-victim evaluations are misleading, confusing, and
2
unfairly prejudicial. (Id. at 11.)
3
Defendants respond that the evaluations and rating are relevant to falsity and
4
materiality; that they show that Defendants lacked knowledge of the alleged deception;
5
that they show that Plaintiffs lacked actual injury; and that they are relevant to establish,
6
inter alia, witnesses’ state of mind, which classes witnesses attended, which instructors
7
taught those classes, and when they attended those classes. (Dkt. No. 554 at 7–10.)
8
Defendants contend that using the evidence to establish Defendants’ lack of knowledge
9
does not constitute hearsay, and that independently, the evaluations and rating are
10
admissible under exceptions for business records, present sense impression, and then-
11
existing mental, emotional, or physical condition. (Id. at 11–13.) Defendants argue that
12
the surveys are not expert evidence and are thus not subject to Daubert requirements or
13
Federal Rule of Evidence 702. (Id. at 14–15.)
14
The Court first finds that the 98% rating derived from the evaluations is irrelevant
15
to falsity and materiality. The measure of approval for the three-day workshops does not
16
tend to prove or disprove the “handpicked” or “university” misrepresentations. The
17
feedback questions posed to the students—inquiring, inter alia, how TU could help
18
attendees “meet [their] goals” and whether instructors were “friendly, professional, and
19
approachable” (see, e.g., Dkt. No. 554-1 at 7)—do not inquire about the two
20
misrepresentations. A post-hoc approval rating derived from questions that have no
21
bearing on the two misrepresentations is irrelevant to establish whether the
22
misrepresentations were material to purchasers of the three-day workshops or to
23
purchasers of the Elite package. Nor is Defendants’ argument that the 98% rating
24
establishes Defendants’ lack of knowledge of the misrepresentations credible.
25
For the same reasons, the evaluation forms are irrelevant with respect to students
26
who purchased only the three-day Fulfillment workshop. Assuming, arguendo, that the
27
evaluation forms are relevant to disprove materiality with respect to class representatives
28
who purchased the Elite program, Defendants may offer the forms as party-opponent
16
3:10-cv-00940-GPC-WVG
1
admissions. Given the Court’s conclusion that non-representative student testimony may
2
be offered only to rebut a showing that material misrepresentations were uniformly made,
3
Defendants may not produce evaluation forms by non-representative students at trial.
4
And if Defendants offer evaluation forms by non-representative students at trial to
5
rebut a showing of uniformity, the evidence will need to qualify for a hearsay exception.
6
The Court finds preliminarily that the evidence does not qualify for the business records
7
exception under Federal Rule of Evidence 803(6). The “business records exception
8
applies only where the person furnishing the information is ‘acting routinely, under a
9
duty of accuracy, with the employer reliance on the result, or in short in the regular
10
course of business.’” Shimozono v. May Dep’t Stores Co., No. 00-04261 WJR AJWX,
11
2002 WL 34373490, at *13 (C.D. Cal. Nov. 20, 2002) (quoting United States v. Pazsint,
12
703 F.2d 420, 424 (9th Cir. 1983)) (internal quotation marks omitted). Here, customers
13
of the three-day workshops were “under no duty to report accurately.” Id. (excluding
14
customer service survey response cards). Whether the evidence qualifies for the present
15
sense impression or state-of-mind exceptions depends on how Defendants intend to offer
16
the evidence at trial.
17
Accordingly, the Court is prepared to GRANT Plaintiffs’ motion to exclude the
18
98% rating. As for the evaluation forms, the Court is prepared to GRANT Plaintiffs’
19
request to exclude the forms with respect to representatives who purchased only the
20
three-day workshop and DENY Plaintiffs’ request with respect to representatives who
21
purchased the Elite program. Plaintiffs may renew their objection to specific testimony at
22
trial.
23
24
25
26
DEFENDANTS’ MOTIONS IN LIMINE
I.
Defendants’ Motion in Limine No. 1: Exclude Specific Evidence of NonCertified Alleged Misrepresentations (Dkt. No. 522)
Defendants move to exclude three categories of evidence: (1) evidence implying
27
that TU “guaranteed” its students financial success to induce them to pay for its courses;
28
(2) evidence concerning complaints by TU students as to the scope and quality of their
17
3:10-cv-00940-GPC-WVG
1
mentorships; and (3) statements allegedly made by a TU instructor that he had dinner
2
with Mr. Trump. (Dkt. No. 522 at 4–6.) Defendants argue that such evidence is
3
irrelevant to the two certified misrepresentations, confusing and unfairly prejudicial, and
4
comprises improper character evidence. (Id. at 6–11.)
5
Plaintiffs move the Court to deny as moot Defendants’ request to exclude evidence
6
that Defendants “guaranteed” TU customers could recoup their payments, as Plaintiffs do
7
not intend to present any arguments to that effect at trial. (Dkt. No. 547 at 4.) Plaintiffs
8
also move the Court to deny as moot Defendants’ request to exclude testimony about the
9
scope and quality of TU mentorships, as Plaintiffs do not intend to make arguments to
10
that effect at trial. (Id. at 5.) Plaintiffs additionally point out that Defendants’ first two
11
requests are overbroad and will exclude permissible uses of the contested evidence. (Id.
12
at 2.) As to the third category of evidence Defendants seek to exclude, Plaintiffs respond
13
that statements about instructors dining with Mr. Trump are directly relevant to the
14
“handpicked” misrepresentation and are admissible as impeachment evidence. (Id. at 5–
15
10.)
16
Declining to adopt Defendants’ restrictive interpretation of relevance, the Court at
17
this stage finds that statements by TU instructors about dinner with Mr. Trump are
18
relevant to the “handpicked” misrepresentation and may be admissible as impeachment
19
evidence. Given Plaintiffs’ position that they do not intend to offer the contested
20
evidence in the manner that Defendants object to, the Court is prepared to DENY AS
21
MOOT Defendants’ motion.
22
23
II.
Defendants’ Motion in Limine No. 2: Exclude Certain Statements By or
About Donald Trump (Dkt. No. 524)
24
Citing concerns of relevance, unfair prejudice, and improper character evidence,
25
Defendants move to exclude “evidence and argument relating to statements made by or
26
about Mr. Trump outside of the adjudicative process.” (Dkt. No. 524 at 3–8.)
27
Defendants list fifteen broad categories of evidence that they wish to exclude. (Id. at 4.)
28
Plaintiffs oppose, arguing that Defendants’ motion is vague and premature, and that
18
3:10-cv-00940-GPC-WVG
1
various categories of evidence Defendants move to exclude are relevant and not unfairly
2
prejudicial. (Dkt. No. 549 at 3–11.)
3
Defendants have not identified specific evidence that they wish to exclude.
4
Accordingly, the Court declines to issue a blanket ruling at this time and is prepared to
5
DENY Defendants’ motion without prejudice. Defendants may renew their objection to
6
specific testimony at trial.
7
8
9
III.
Defendants’ Motion in Limine No. 3: Exclude Evidence and Argument
Regarding David Lazarus and LA Times (Dkt. No. 526)
Defendants move to exclude evidence and argument regarding Los Angeles Times
10
(“LA Times”) columnist David Lazarus. (Dkt. No. 526 at 2.) Specifically, Defendants
11
move to exclude three articles written by Mr. Lazarus: (1) “Trump Spins in Foreclosure
12
Game,” dated December 12, 2007 (Plaintiffs’ Exhibit 185), (2) “Trump’s a Grump About
13
Column on His ‘Priceless’ Tips,” dated December 16, 2007 (Plaintiffs’ Exhibit 186), and
14
(3) “Donald Trump Tried to Get Me Fired After I Wrote About Trump University,” dated
15
March 9, 2016 (Plaintiffs’ Exhibit 187). (Id. at 3.) Defendants also move to exclude a
16
letter to the editor attributed to Mr. Trump, which the LA Times published on December
17
13, 2007 (Plaintiffs’ Exhibit 1000). (Id.) Mr. Lazarus is not a class member and attended
18
only a free “preview” event for TU in 2007. (Id.) Accordingly, Defendants contend that
19
the contested evidence is irrelevant and unduly prejudicial, and that the articles constitute
20
improper lay opinion and hearsay. (Id. at 5–11.) Finally, Defendants also make a broad
21
request for exclusion of all other media coverage of TU. (Id. at 12.)
22
Plaintiffs respond that Mr. Lazarus’s testimony and the related exhibits are relevant
23
to show that Mr. Trump had notice that TU’s Live Events were being conducted by
24
instructors whom he did not handpick—specifically, Stephen Goff. (Dkt. No. 550 at 2.)
25
Plaintiffs state that they intend to limit Mr. Lazarus’s testimony to his article identifying
26
Mr. Goff and Mr. Trump’s response to the article. (Id. at 4–5.)
27
Given Plaintiffs’ intentions, the Court is prepared to DENY Defendants’ motion.
28
Plaintiffs may use the contested evidence for the limited purpose of establishing notice.
19
3:10-cv-00940-GPC-WVG
1
The Court is prepared to DENY Defendants’ request to exclude all other media coverage
2
of TU for lack of specificity. Defendants may renew their objection to specific testimony
3
at trial.
4
IV.
5
Defendants’ Motion in Limine No. 4: Exclude Evidence Related to Better
Business Bureau (“BBB”) Complaint Resolution Process, Ratings, and
Membership Applications (Dkt. No. 531)
6
7
8
9
10
11
12
13
14
15
16
17
18
19
20
21
22
23
24
25
26
27
Defendants move to exclude (1) documents and testimony related to the BBB
dispute resolution process and (2) documents and testimony related to BBB ratings and
membership. (Dkt. No. 531 at 5.) Defendants move that the contested evidence is
irrelevant, as the evidence does not concern the “handpicked” representation. (Id. at 7.)
Defendants posit that even the exhibits that contain reference to TU being an “accredited
university” are irrelevant, as they were generated pursuant to internal BBB rules, rather
than by consumers with percipient knowledge about Defendants’ representations. (Id.)
Defendants also argue that Plaintiffs’ evidence constitutes inadmissible lay opinion
testimony by BBB representatives or former TU students, as well as inadmissible opinion
on the ultimate legal question. (Id. at 8–10.) Defendants finally argue that TU students’
complaints to the BBB and the BBB’s letters denying accreditation are inadmissible
hearsay and unduly prejudicial. (Id. at 11–13.)
Plaintiffs respond that the BBB evidence is highly probative of the falsity and
materiality of the “university” misrepresentation. (Dkt. No. 556 at 3 – 5.) Moreover,
Plaintiffs argue that the evidence is relevant to show that the Defendants had notice or
knowledge of the alleged falsity of their marketing campaign, and that the evidence may
be used as impeachment or rebuttal evidence. (Id. at 4–5.) Plaintiffs contend that the
evidence is not inadmissible hearsay, as the BBB records qualify for the business records
exception, and TU’s correspondence with the BBB qualify as party-opponent admissions.
(Id. at 7–9.) Finally, Plaintiffs argue that the evidence is not unduly prejudicial, and state
that they do not intend to offer non-representative student evidence if Defendants
28
20
3:10-cv-00940-GPC-WVG
1
likewise do not offer non-representative testimony as to “student satisfaction.” (Id. at
2
10–11.)
3
Given the Court’s conclusion that Defendants may offer absent class member
4
testimony only to rebut Plaintiffs’ showing that the material misrepresentations were not
5
uniformly made, Defendants’ motion is moot as to Plaintiffs’ non-representative student
6
evidence. The Court finds that the BBB evidence is relevant to show that Defendants had
7
knowledge or notice of the misrepresentations. The Court is prepared to DENY
8
Defendants’ motion and allow Plaintiffs to use the BBB evidence for the limited, non-
9
hearsay purpose of establishing knowledge and notice.
10
11
V.
Defendants’ Motion in Limine No. 5: Exclude Evidence and Argument
Relating to (1) New York Education Law; (2) New York State Education
Department; and (3) New York Attorney General Case (Dkt. No. 529)
12
13
14
15
16
17
18
19
20
21
22
23
24
25
26
27
28
Defendants move to exclude exhibits, witnesses, and testimony related to the New
York State Education Department (“NYSED”), its communications with Defendants
about New York licensing requirements, and an enforcement action brought by the New
York Attorney General. (Dkt. No. 529 at 3.) The categories of disputed evidence are: (1)
internal TU correspondence and correspondence between a NYSED regulator and TU
about steps TU should take to use the word “university”; (2) complaints from NY
students to the NYSED; (3) testimony of Joseph Frey, a NYSED employee who sent and
received the communications; and (4) pleadings, court decisions, and other evidence
relating to the New York Attorney General’s enforcement action against TU. (Id. at 5–
6.) Defendants argue that the evidence exceeds the scope of class certification by
improperly injecting a fraudulent omission theory into the case. (Id. at 6.) Defendants
further contend that the evidence is irrelevant to the misrepresentations, as the class
members did not know of the applicable New York regulation, and that it constitutes an
improper legal opinion. (Id. at 6–9.) Defendants argue that the evidence is unduly
prejudicial, confusing, and a waste of time, given that, inter alia, the pending prosecution
in New York will require introduction of New York law and will require fact finding on
21
3:10-cv-00940-GPC-WVG
1
many other issues not litigated in this case. (Id. at 9–10.) Finally, Defendants argue that
2
New York law cannot serve as the predicate for a UCL violation. (Id. at 10–12.)
3
Plaintiffs respond that the NYSED evidence is highly relevant to the common
4
liability issues. (Dkt. No. 558 at 4–6.) In particular, Plaintiffs assert that the 2005
5
NYSED cease-and-desist letter is relevant to falsity and materiality. (Id. at 6–7.)
6
Plaintiffs contend that the NYSED evidence is not excludable as hearsay and urge the
7
Court to defer ruling on hearsay objections until trial. (Id. at 7.) Plaintiffs posit that Mr.
8
Frey’s testimony is permissible under Federal Rule of Evidence 701. (Id. at 8–9.)
9
Plaintiffs maintain that the disputed evidence is not unfairly prejudicial, and that the New
10
York enforcement action is “inextricably linked” to the evidence in this case. (Id. at 9–
11
11.)
12
In response to Defendants’ argument that New York law is an improper predicate
13
for the UCL’s unlawful prong, Plaintiffs contend that state law violations unique to
14
domiciled companies in the state of incorporation are actionable under the UCL. (Id. at
15
11.) Plaintiffs’ lone piece of legal authority is Process Specialties, Inc. v. Sematech, Inc.,
16
No. CIV. S-00-414FCD PAN, 2001 WL 36105562 (E.D. Cal. Nov. 8, 2001). In Process
17
Specialties, the court held that the plaintiff may bring its UCL claim based on a violation
18
of Delaware law. 2001 WL 36105562, at *15. However, the violation was fact-specific:
19
the defendant, a Delaware corporation, had committed ultra vires acts in violation of its
20
certificate of incorporation. Id. Here, there is no analogous violation. And even if
21
Plaintiffs could successfully analogize their position to Process Specialties, recent case
22
law clearly points to the opposite conclusion. See, e.g., Hilton v. Apple Inc., No.
23
CV137674GAFAJWX, 2014 WL 10435005, at *3 (C.D. Cal. Apr. 18, 2014) (“California
24
law does not permit the assertion of a UCL claim based on the violation of foreign law.”).
25
The Court preliminarily finds that Mr. Frey’s testimony is permissible under
26
Federal Rule of Evidence 701. Plaintiffs state that Mr. Frey is slated to testify based on
27
firsthand knowledge that “the actions he took were on behalf of the NYSED in the course
28
of his official duties, including sending the 2005 cease-and-desist directive.” (Dkt. No.
22
3:10-cv-00940-GPC-WVG
1
558 at 8.) To that end, Mr. Frey’s testimony is admissible. See United States v.
2
Matsumaru, 244 F.3d 1092, 1102 (9th Cir. 2001) (holding that government witnesses’
3
opinions were rationally based on their perception of the documents (visa petitions), and
4
that the witnesses did not prove impermissible legal conclusions in testifying as to how
5
knowing certain facts could have affected their decisionmaking). Whether or not Mr.
6
Frey’s testimony constitutes an improper opinion as to the legal conclusion of the case
7
will depend on how Mr. Frey testifies at trial.
8
The Court is prepared to DENY IN PART Defendants’ motion with respect to the
9
NYSED evidence, which may be admissible for the limited purpose of demonstrating
10
Defendants’ knowledge and notice of the misrepresentations, and with respect to the
11
testimony of Mr. Frey. Defendants may reassert their objection to specific testimony at
12
trial. The Court is prepared to GRANT IN PART Defendants’ motion with respect to
13
the pending New York Attorney General enforcement action.
14
15
16
VI.
Defendants’ Motion in Limine No. 6: Exclude Evidence Related to
Students’ Financial Condition (Dkt. No. 527)
Defendants move to exclude evidence related to TU students’ financial condition.
17
(Dkt. No. 527 at 3.) Defendants contend that the students’ ability to afford the courses
18
they purchased in light of their personal finances, and evidence of students’ efforts to
19
accumulate sufficient funds to purchase TU’s products, are irrelevant, unduly prejudicial,
20
and inadmissible hearsay. (Id.) Defendants note that statements by non-class
21
representatives raise particularly problematic hearsay issues. (Id. at 7.)
22
Plaintiffs respond that Defendants’ motion is overbroad and vague. (Dkt. No. 551
23
at 7.) Plaintiffs emphasize that evidence of students’ financial condition is relevant to
24
proving the class representatives’ reliance on Defendants’ misrepresentations. (Id. at 4–
25
5.) Plaintiffs again reiterate their position that non-representative testimony is
26
inadmissible. (Id. at 5–8.)
27
28
As the Court has already addressed the admissibility of non-representative student
testimony, Defendants’ motion as to statements by absent class members is moot.
23
3:10-cv-00940-GPC-WVG
1
Because Defendants’ motion is overbroad and premature at this stage, and because
2
evidence of the students’ financial condition is relevant to the issue of reliance, the Court
3
is prepared to DENY Defendants’ motion without prejudice. Defendants may reassert
4
their objection to specific testimony at trial.
5
6
7
VII. Defendants’ Motion in Limine No. 7: Exclude Opinion Testimony of Gary
Eldred (Dkt. No. 528)
Defendants move to exclude specific excerpts and testimony of Dr. Gary Eldred,
8
but do not move to exclude Dr. Eldred as a witness entirely. (Dkt. No. 528 at 3.)
9
Defendants note that while Dr. Eldred’s testimony constitutes expert opinion, Dr. Eldred
10
was not designated as an expert witness, and that accordingly, his expert opinion
11
testimony is inadmissible. (Id. at 3–7.) Defendants argue that Dr. Eldred also does not
12
offer admissible lay opinion—he lacked firsthand knowledge of the TU materials that
13
Plaintiffs asked him to review; his opinion requires specialized knowledge; and his
14
opinion is not helpful to the jury. (Id. at 7–11.)
15
Plaintiffs begin by stating that they will not use the disputed portions of Dr.
16
Eldred’s testimony so long as no evidence or argument about the “substance or value, or
17
lack thereof, of TU’s Live Events’ materials” during phase one of trial. (Dkt. No. 555 at
18
4.) Plaintiffs respond that Dr. Eldred’s testimony is in fact admissible, because his
19
opinion does not constitute an expert opinion on the value of TU Live Events’ materials.
20
(Id. at 5–6.) Plaintiffs argue that his testimony is admissible lay testimony based on his
21
particularized knowledge, and that his testimony is less technical than lay witness
22
testimony admitted in other cases. (Id. at 6–7.) Finally, Plaintiffs unconvincingly
23
analogize Dr. Eldred’s testimony to in-court identification testimony. (Id. at 7–9.)
24
The disputed portions of Dr. Eldred’s testimony are not based upon Dr. Eldred’s
25
percipient knowledge, and thus cannot qualify as lay opinion under Federal Rule of
26
Evidence 701. The testimony is instead based on Dr. Eldred’s expertise in his field.
27
(Dkt. No. 528 at 5–6.) Accordingly, the Court is prepared to GRANT Defendants’
28
motion to exclude only the specific, disputed portions of Dr. Eldred’s testimony.
24
3:10-cv-00940-GPC-WVG
1
2
3
VIII. Defendants’ Motion in Limine No. 8: Exclude Evidence Related to TU
Instructors’ Bankruptcy Proceedings (Dkt. No. 532)
Defendants move to exclude evidence that certain former instructors of TU had
4
filed for bankruptcy protection, arguing that such evidence is irrelevant and unfairly
5
prejudicial. (Dkt. No. 532 at 4–6.) Plaintiffs respond that the Court may deny as moot
6
Defendants’ motion so long as phase one of trial is limited to liability issues only. (Dkt.
7
No. 552 at 2.) Plaintiffs maintain that if evidence about “positive attributes of TU
8
instructors” or what the instructors purported to offer students is admitted, then evidence
9
of the instructors’ bankruptcy proceedings is admissible to rebut evidence of the
10
11
instructors’ value or qualifications. (Id. at 3–7.)
Defendants cite cases wherein evidence of bankruptcy proceedings was excluded
12
as unduly prejudicial. (Id. at 5–6.) Given the potential for bankruptcy proceedings to
13
invoke social stigma, the Court is prepared to GRANT Defendants’ motion. Should
14
evidence of the instructors’ bankruptcy proceedings become relevant to rebut
15
Defendants’ evidence during the course of trial, the Court is prepared to allow Plaintiffs
16
to point to the evidence’s relevance at trial.
17
18
19
20
21
CONCLUSION
Counsel are advised that the Court’s rulings are tentative. The Court will entertain
additional argument at the hearing on November 10, 2016.
IT IS SO ORDERED.
Dated: November 10, 2016
22
23
24
25
26
27
28
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3:10-cv-00940-GPC-WVG
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