Doe 1 et al v. City of Chicago
Filing
230
MEMORANDUM Opinion and Order Signed by the Honorable Sunil R. Harjani on 7/9/2019. Mailed notice(lxs, )
IN THE UNITED STATES DISTRICT COURT
FOR THE NORTHERN DISTRICT OF ILLINOIS
EASTERN DIVISION
JANE DOES 1-5,
Case No. 18-cv-03054
Plaintiffs,
v.
Magistrate Judge Sunil R. Harjani
CITY OF CHICAGO, a municipal
Corporation,
Defendant.
MEMORANDUM OPINION AND ORDER
This matter is before the Court on Plaintiffs’ motion to sanction Defendant for failure to
preserve evidence, Doc. [194], Plaintiffs’ motion to file Exhibit B thereto under seal, Doc. [19596], and Plaintiffs’ motion to strike a portion of Defendant’s response to its motion for sanctions.
Doc. [216]. These discovery motions arise from a lawsuit alleging sexual harassment, retaliation,
disparate treatment, and sex discrimination brought by five female paramedics against the City of
Chicago. The motions discussed herein primarily pertain to Jane Doe 1.
The issue in this case requires the Court to determine whether a recording, which Plaintiff
claims was not preserved, actually exists, and if it did, whether the duty to preserve attached in
time and warranted preservation, and finally, whether Plaintiff has suffered any prejudice from the
alleged destruction. For the reasons stated below, Plaintiffs’ motion for sanctions is denied in its
entirety.
I.
Plaintiffs’ Motion to Sanction Defendant for Failure to Preserve ElectronicallyStored Evidence
A.
Background
Plaintiffs move for sanctions under Rule 37(e)(1), claiming that Defendant failed to
preserve an electronic recording of a radio communication made during a drill on October 28,
2017. This radio communication relates to Plaintiffs’ allegation that Field Chief Richard Raney
“called Jane Doe 1’s ambulance over the radio” during a drill and “berated Jane Doe 1 in a harsh
tone stating that she was not to question him and to do as she was told.” Doc. [1] at ¶¶ 49-50.
Plaintiffs argue that this recording will show the contents and tone that Raney directed towards
Jane Doe 1, after she allegedly rebuffed his advances, and is therefore evidence of a hostile work
environment and retaliation. To sanction Defendant for the alleged destruction, Plaintiffs request
“that they be allowed to present evidence to the jury regarding the destruction of the OEMC
recording and the likely relevance of the lost information; and that the jury shall be instructed that
it may consider this information when making its decision.” Doc. [194] at 13. Plaintiffs also seek
a host of other sanctions relating to summary judgment proceedings.
Defendant counters that no such recording was ever made. Additionally, Defendant
reasons that even if the radio communication was recorded, its preservation obligation was not
triggered before its regularly-scheduled destruction. Defendant further contends that even if a
recording existed and it did have enough notice to trigger its preservation obligations, Plaintiffs’
motion should nevertheless be denied for lack of prejudice and that their requested sanctions are
unwarranted. The Court addresses these arguments in turn.
B.
Legal Standard
The Federal Rules of Civil Procedure gives the Court the authority to sanction a party for
failure to preserve electronically stored documents. See Fed R. Civ. P. 37(e). To find that sanctions
2
for spoliation are appropriate, courts have determined that there must be: (1) a duty to preserve the
specific documents and/or evidence, (2) that the duty was breached, (3) that the other party was
harmed by the breach, and (4) that the breach was caused by the breaching party's fault. See, e.g.,
Love v. City of Chicago, No. 09 C 03631, 2017 WL 5152345, at *4 (N.D. Ill. Nov. 7, 2017)
(internal citation omitted); Jones v. Bremen High Sch. Dist. 228, No. 08 C 3548, 2010 WL
2106640, at *5 (N.D. Ill. May 25, 2010). (internal citation omitted); Wells v. Berger, Newmark &
Fenchel, P.C., No. CIV.A. 07 C 3061, 2008 WL 4365972, at *6 (N.D. Ill. Mar. 18, 2008) (internal
citation omitted). Moreover, Rule 37(e) was amended in 2015 to address the circumstances under
which sanctions could be imposed for spoliation. Now, under Rule 37(e), the Court must
determine that: (1) the ESI should have been preserved in anticipation of litigation; (2) the ESI is
lost; (3) the party failed to take reasonable steps to preserve it; and (4) it cannot be restored or
replaced through additional discovery.
The duty to preserve does not necessarily start when a formal discovery request is made
because a variety of events may alert a party to the prospect of litigation. See id.; see also Wells,
2008 WL 4365972, at *6 (internal citation omitted). Indeed, the duty to preserve can be triggered
much earlier than a discovery request and even the filing of a Complaint in a district court. The
inquiry is one based on the specific circumstances and facts and whether those facts give rise to a
reasonable foreseeability that litigation will ensue. “Often these events provide only limited
information about that prospective litigation, however, so that the scope of information that should
be preserved may remain uncertain. It is important not to be blinded to this reality by hindsight
arising from familiarity with an action as it is actually filed.” Fed. R. Civ. P. 37, 2015 Amendment
Advisory Committee Notes. Thus, the Court must carefully review the kinds of information that
reasonably should have been preserved even when the duty attaches to preserve electronically
3
stored information before litigation commences.
Moreover, a key finding since the 2015
amendments, before sanctions can be considered, is that the destroyed material cannot be replaced
or restored through additional discovery. Fed. R. Civ. P. 37(e).
C.
The Existence of the Recording
The Court first addresses whether there was a duty to preserve the radio communication
between Raney and Jane Doe 1 that took place during a drill on October 28, 2017. See TraskMorton, 534 F.3d at 681. Interestingly, in this case, the parties dispute whether the radio
communication was recorded in the first place. Of course, there cannot be a duty to preserve
evidence that never existed. See Love, 2017 WL 5152345, at *5.
A similar circumstance was faced by the district court in Love. In that case, the plaintiff
sought production of any existing recordings of a call she made to report a police officer to the
Office of Professional Standards shortly after calling 911. Id. at *4. Relying on the defendant City
of Chicago’s attorney’s statement that no recordings were made, Love concluded that such
“production is not possible, because [the Office of Professional Standards] did not have a policy
of recording phone calls . . . nor was any call actually recorded.” Id. (citing Defs.’ Resp. Br. Doc.
No. [487] at 7).
After considering all the facts, as discussed below, the Court finds that there is more
evidence in the record than in Love to demonstrate that the relevant communication was
unrecorded. Doc. [212] at 6.
Specifically, Defendant City of Chicago has supplied three
declarations that state any communications between paramedic personnel (i.e., between Raney and
Jane Doe 1) would have taken place over an unrecorded “tactical” radio channel rather than the
recorded “JNT OPS” and “CW Fire” channels. Doc. [212] at 6. These Declarations include
Defendant’s Deputy Fire Commissioner Timothy Sampey, Doc. [212-1] at 39-40, Defendant’s
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Assistant Deputy Fire Commissioner Mary Sheridan, Doc. [212-1] at 48-49, and Field Chief
Richard Raney. Doc. [212-1] at 51-52. Notably, Plaintiff Jane Doe 1 did not submit a contradictory
declaration even though she was a participant on the radio channel when Raney allegedly berated
her.
In Deputy Fire Commissioner Timothy Sampey’s declaration, Sampey stated that the
October 28, 2017 drill’s radio communications used three radio channels: “CW Fire,” “JNT OPS,”
and “tactical channels” such as “UHF Analog Simplex.” Doc. [212-1] at 40. Sampey’s declaration
notes that the “tactical channels” are not recorded while both “CW Fire” and “JNT OPS” are
recorded. Doc. [212-1] at 40, ¶¶ 8-13. According to Sampey, the three channels each have a
distinct purpose, as follows. First, the JNT OPS channel would have been used only for the
Chicago Fire Department to Communicate with the Chicago Police Department. Doc. [212-1] at
40, ¶ 10. Second, the CW Fire channel would have been used as the dispatch channel, that is, the
channel used to dispatch units to scene. Doc. [212-1] at 40, ¶ 11. Sampey’s declaration states that
radio communications between Paramedic personnel during the October 28, 2017 drill would not
have been over the recorded JNT OPS channel or CW Fire Channel but over an unrecorded tactical
channel. Doc. [212-1] at 40, ¶¶ 12-13.
In Assistant Deputy Fire Commissioner Mary Sheridan’s declaration, she states that she
was present at the October 28, 2017 drill and heard the radio communication between Raney and
Jane Doe 1. Doc. [212-1] at 48, ¶¶ 4, 7.
Sheridan’s declaration similarly states that this
communication would have taken place over an unrecorded tactical channel because it was a radio
communication between paramedic personnel. Doc. [212-1] at 48, ¶ 7.
Last, Defendant attached a declaration from Field Chief Raney himself. Doc. [212-1] at
51-52. In his declaration, Raney states that he “communicated with Jane Doe 1 over the radio
5
during the drill” and that “[a]ny communication that I would have had with Jane Doe 1 would have
been over a ‘tactical’ channel which I understand are not recorded by the OEMC or Chicago Fire
Department.” Doc. [212-1] at 51, ¶¶ 5-6.
Jane Doe 1’s only statement in the record that goes to which radio channel she was using
is found in her internal human resources complaint that states: “[Raney] called my ambulance over
the radio. I responded, identifying my ambulance and said we were the [Rapid Intervention Team]
ambulance. He said something like ‘you are to do as I say, you are to do as you’re told, do not
question me.’ This was over the drill frequency.” Doc. [195] at 10 (emphasis added). But the
record does not indicate that there was a radio channel called “drill frequency,” and both recorded
and unrecorded channels were used during the drill. So, Jane Doe 1’s characterization of a “drill
frequency” is not definitive as to whether a recorded or unrecorded radio channel was used.
Rather than attach a declaration or affidavit of Jane Doe 1, Plaintiffs argue that the October
28, 2017 radio communication would have occurred on a “Dispatch Channel, all of which are
recorded” because her assignment during the drill was “to respond to any ‘real’ emergencies.”
Doc. [218] at 2. In support of this theory, Plaintiffs rely on the “Chicago Fire Department –
Incident Radio Communications Plan (ICS 205)” attached by Defendant in response to this motion.
Doc. [212-1] at 44.
The Radio Communications Plan provides seven special instructions.
Plaintiffs point to the “actual incident” and “emergency” special instructions that provide for the
use of recorded “JNT OPS” and “CW FIRE” channels. Doc. [218] at 2; Doc. [212-1] at 44. First,
the “actual incident” special instruction provides that in “the event of an actual incident . . . the
Fire Alarm Office or applicable shall notify CFD Command and the Command Van on JNT OPS.
CFD Command Staff shall evaluate the incident and stop the drill if necessary.” Doc. [212-1] at
44. Although Jane Doe 1 indicated that there was indeed a “real world patient,” Doc. [195] at 10,
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the Radio Communications Plan only provides that JNT OPS would be used to notify CFD
Command and the Command Van. Doc. [212-1] at 44. There is no indication or argument that
Jane Doe 1 was serving as CFD Command or in the Command Van so even if the “actual incident”
special instruction was triggered, that instruction does not necessarily mean that the radio
communication between Raney and Jane Doe 1 occurred over JNT OPS. Doc. [212-1] at 44.
Second, there is no indication that the emergency special instruction was triggered. The emergency
special instruction provides that in “the event of an EMERGENCY, persons witnessing the
emergency shall verbally state, ‘EMERGENCY, EMERGENCY, EMERGENCY…’ on the
frequency being used and the drill will stop . . . All CFD units will change channels to (SE: CW
FIRE) and standby for direction.” Doc. [212-1] at 44 (ellipsis in original). Nothing in the record
suggests that the verbal statement was made, which would have triggered this special instruction’s
protocol to then use the recorded CW FIRE channel. Doc. [212-1] at 44.
Rather, the three declarations submitted by Defendant and made under penalty of perjury
are convincing evidence that the relevant radio communication was never recorded in the first
place. Raney, a participant in the communication, has stated that his statements would have been
made over an unrecorded channel. Sheridan, who heard the radio communication while it
occurred, similarly declares that it would have been unrecorded. Sampey’s declaration echoed
Raney’s and Sheridan’s declarations in that it would have occurred over an unrecorded channel.
These declarations, combined with Jane Doe 1’s failure to provide a declaration as to her
recollection, support a finding that the October 28, 2017 radio communication between Raney and
Jane Doe 1 was not recorded. As there is no duty to preserve that which does not exist, Plaintiffs’
motion for sanctions is denied.
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D.
The Duty to Preserve
Although Plaintiffs’ motion for sanctions is denied as the relevant radio communication
was never recorded, for completeness, the Court analyzes Plaintiffs’ motion as if the radio
communication had been recorded. If it was recorded, Defendant would have had a duty to
preserve when it “knew, or should have known, that litigation was imminent” or reasonably
foreseeable, and that the radio communication was material to that prospective litigation. TraskMorton v. Motel 6 Operating L.P., 534 F.3d 672, 681 (7th Cir. 2008) (internal citation omitted);
see also Wells, 2008 WL 4365972, at *6 (“A party has a duty to preserve evidence over which it
had control and reasonably knew or could reasonably foresee was material to a potential legal
action”); Fed. R. Civ. P. 37, 2015 Amendment Advisory Committee Notes (“Many court decisions
hold that potential litigants have a duty to preserve relevant information when litigation is
reasonably foreseeable.”).
Plaintiffs claim that there are four instances that purportedly serve as “distinct notices that
litigation would be forthcoming” which triggered Defendant’s obligation to preserve the October
28, 2017 radio communications between Raney and Jane Doe 1. Doc. [194] at 6. These four
notices are discussed in turn.
First, Plaintiffs cite a demand letter sent on November 14, 2017 from Jane Doe 1’s counsel
to CFD General Counsel Aaron DeCamp and Assistant Deputy Fire Commissioner Mary Sheridan.
Doc. [212-1] at 101-2. A demand letter threatening litigation may trigger the duty to preserve
documents within its scope. See Trask-Morton, 534 F.3d at 681. The Court finds that this demand
letter put Defendant on notice that litigation concerning Raney’s treatment of Jane Doe 1 was
imminent and reasonably foreseeable for the following reasons. First, it explicitly threatened legal
action: “[Jane Doe 1] will seek immediate legal action to ensure the following if the Department
8
does not take action prior to her next shift which is Friday, November 14, 2017 . . . .” Doc. [2121] at 102. Second, its allegations are particularly serious such that they could yield litigation
because it claims that Raney used sexually inappropriate language with Jane Doe 1, sexually
propositioned her numerous times through text messages and in person, entered a dark room while
Jane Doe 1 was in bed and blocked the door to prevent her from leaving, and that Raney retaliated
against Jane Doe 1 verbally for having refused his sexual advances in the presence of other
firefighters and paramedics. Doc. [212-1] at 101. Third, the fact that Jane Doe 1 sent her demand
letter through counsel further emphasizes the seriousness of Jane Doe 1’s threat and intent to sue.
Therefore, Defendant’s duty to preserve documents was first triggered on the date that it received
Jane Doe 1’s demand letter -- November 14, 2017. The trigger date is important because
Defendant had a 30-day destruction policy at that time, and since the radio communication
occurred on October 28, 2017, the radio communication (if it existed) would have been allegedly
destroyed on or after November 27, 2017. Thus, because Defendant had a duty to preserve as of
November 14, 2017, documents relevant to Jane Doe 1’s allegations of sexual harassment should
have been preserved.
Next the Court must determine whether the November 14, 2017 letter put Defendant on
notice that the October 28, 2017 radio communication between Raney and Jane Doe 1 was within
the scope of information that should have been preserved. “A party's duty to preserve specific
types of documents does not arise unless the party controlling the documents has notice of those
documents' relevance.” In re Old Banc One Shareholders Sec. Litig., No. 00 C 2100, 2005 WL
3372783, at *3 (N.D. Ill. Dec. 8, 2005) (internal citation omitted) (emphasis added). “[T]he duty
to preserve potentially discoverable information does not require a party to keep every scrap of
paper. Instead, a party is required to keep relevant evidence over which it had control and
9
reasonably knew or could foresee was material to the litigation.” Id. (internal citations omitted).
The Court recognizes that the events that alert a party to the prospect of litigation may only provide
a limited set of information about prospective litigation such “that the scope of information that
should be preserved may remain uncertain.” Fed. R. Civ. P. 37, 2015 Amendment Advisory
Committee Notes. Thus, the duty to preserve does not exist in a vacuum and the preservation
obligation has to be evaluated through the lens of reasonableness. As a result, the Court must
consider, without the benefit of hindsight, whether it was reasonable for Defendant to believe it
had to preserve the alleged radio communication after November 14, 2017.
First, the letter from Jane Doe 1’s counsel does not specifically describe any incident
between Raney and Jane Doe 1 that occurred during a drill, over a radio communication, or on
October 28, 2017. Doc. [212-1] at 101-2. Thus, without these important details, Defendant was
not alerted to the possibility that the October 28, 2017 drill’s incident was relevant to the lawsuit
that Jane Doe 1 threatened in her demand letter. Certainly, one could imagine that relevant
communications, such as emails at the Chicago Fire Department, could be subject to a litigation
hold. However, to extend it to radio communications without any specific knowledge provided by
Jane Doe 1 that the alleged incidents of sexual harassment occurred over a recorded radio line that
was open to others on the channel is too much of stretch. Accordingly, although the November
14, 2017 demand letter, alone, created a preservation duty, it did not on its own make it reasonable
for Defendant to foresee that an October 28, 2017 radio communication would be relevant to Jane
Doe 1’s threatened litigation.
This Court next addresses whether the other three purported notices of litigation, in
combination with the November 14, 2017 demand letter, bring the October 28, 2017 radio
communication within the scope of information that Defendant reasonably knew or should have
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known was material to the litigation. First, Plaintiffs claim that an email dated November 20, 2017
sent from Jane Doe 1 to CFD’s deputy commissioner and director of human resources, Adrienne
Bryant, then forwarded to Defendant’s General Counsel and EEO, gave notice to Defendant to
preserve radio communications from the October 28, 2017 drill. Doc. [212-1] at 104-5. But, like
the November 14, 2017 demand letter, the November 20, 2017 email does not mention the October
28, 2017 drill or a radio communication. Doc. [212-1] at 104-5. Therefore, even in combination
with the November 14, 2017 demand letter, as explained above, it did not trigger Defendant’s
obligations to preserve any recordings of the October 28, 2017 drill’s radio communications.
Second, Plaintiffs cite a text message about “the incident” that Jane Doe 1 sent to “top EMS
official” Mary Sheridan. Doc. [194] at 6-7. But the Plaintiffs’ brief neither describes the contents
of the text message, nor the date it was sent, nor did either party attach a copy as an exhibit for
context. Doc. [194] at 6-7. The text message provides no evidentiary value.
Last, Plaintiffs contend that an internal complaint dated November 29, 2017 that Jane Doe
1 submitted to Defendant’s Department of Human Resources triggered a duty to preserve the
October 28, 2017 drill’s radio communications between Raney and Jane Doe 1. Doc. [195]. Unlike
the demand letter and its related email, discussed above, Jane Doe 1’s internal human resources
complaint put Defendant on notice that litigation concerning the drill’s communications were
relevant because it specifically identifies them. Doc. [195] at 10-11. The internal complaint
describes the October 28, 2017 drill incident between she and Raney, that also included “probably
100 participants.” Doc. [195] at 10. Jane Doe 1 continues,
I was on Ambulance 53 . . . . Richard [Raney] was the field chief for
the actual exercise . . . . He’s the person calling for ambulances and
direction them. . . . He called my ambulance over the radio. . . . He
said something like “you are to do as I say, you are to do as you’re
told, do not question me.” This was over the drill frequency. His
voice sounded annoyed, demanding and irritated. . . . Everybody
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heard this. This was live on air. . . . I think Richard [Raney] was
retaliating because the shift before I did not accept his advances in
the private quarters.
Doc. [195] at 10 (emphasis added). The emphasized sentence relates to allegations described in
Jane Doe 1’s November 14, 2017 demand letter that put Defendant on notice of imminent and
reasonably foreseeable litigation concerning Raney’s alleged harassment and retaliation. Compare
Doc. [195] at 10 with Doc. [212-1] at 101-2. So, Jane Doe 1’s November 29, 2017 internal
complaint 1 notified Defendant that the legal action she had threatened on November 14, 2017, and
followed up on in an email dated November 20, 2017, also involved retaliation that occurred over
a radio channel during an October 28, 2017 drill. Doc. [195] at 110; Doc. [212-1] at 101-2; Doc.
[212-1] at 104-5. Therefore, Defendant’s duty to preserve that radio communication’s recording,
if it was recorded in the first place, was triggered when Jane Doe 1 submitted her internal complaint
to human resources. That date is November 29, 2017. Doc. [195] at 2.
Defendant also argues that, had the radio communication been recorded, Defendant was
not given a reasonable amount of time to preserve it because it received notice of its relevance
“only 2 days before the[ir] scheduled destruction . . . .” Doc. [212] at 9 (emphasis in original).
Apparently, the destruction pursuant to a 30-day document retention plan was set to occur on or
about December 1, 2017. 2 Rule 37(e) contemplates “reasonable steps” to preserve and the rule’s
advisory committee’s notes likewise “recognize[ ] that ‘reasonable steps’ to preserve suffice; it
does not call for perfection.” Fed. R. Civ. P. 37, 2015 Amendment Advisory Committee Notes.
1
Doc. [195] at 12 indicates that at least two EEO Investigators and an EEOO Officer reviewed Jane Doe 1’s internal
human resources complaint.
2
It is unclear why Defendant has contended that the date for destruction pursuant to the retention policy is December
1, 2019. A 30-day retention policy would result in destruction on November 27, 2017, in which case the purported
recording would have been destroyed prior to the November 29, 2017 trigger date for the duty to preserve. However,
the Court analyzes the issue above based on Defendant’s representation that the date of the alleged destruction is
December 1, 2017.
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The question presented then is whether two days is sufficient time for a party to take action to
prevent the destruction of relevant recordings. There is no categorial rule as to how much time is
permitted to pass before a litigation hold is placed. Every company and entity is different and
often litigation holds cannot be placed in a matter of minutes without communications to
individuals in information technology and coordination with custodian of records. Not only is an
entity required to identify where the relevant electronic and paper documents are located, the entity
must establish the time-frame for the litigation hold, the scope and subject matters of the litigation
hold, and the key players who may be involved.
This is a fact-specific inquiry and one that requires more information than provided by
Defendant as to the alleged unreasonableness of two days to effectuate a litigation hold. Such an
inquiry will require the Court to fully comprehend the methods by which the City of Chicago
implements litigation holds and, specifically, litigation holds with respect to City recorded radio
communications. The Court need not delve into this question, however, because as demonstrated
below, even if the alleged recording should have been preserved, the information can be replaced
by other discovery and there is no prejudice to Plaintiff Jane Doe 1.
E.
Prejudice
In 2015, Rule 37(e) was revised to more clearly identify the circumstances under which a
court could impose sanctions for spoliation and also to provide guidance as to when the ultimate
form of sanctions, adverse inferences and claim preclusions, could be imposed. As a result, Rule
37(e) required there be a duty to preserve, a breach of that duty, and that the information cannot
be restored or replaced through additional discovery. Fed. R. Civ. P. 37(e). Moreover, only upon
a finding of prejudice can the Court consider measures to cure the prejudice. Id.
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“To suffer substantive prejudice due to spoliation of evidence, the lost evidence must
prevent the aggrieved party from using evidence essential to its underlying claim.” Schmalz, 2018
WL 1704109 at *3 (internal citations omitted). As stated in 2015 Advisory Committee Notes,
“[t]he rule does not place a burden of proving or disproving prejudice on one party or the other[.]
In other situations, however, the content of the lost information may be fairly evident, the
information may appear to be unimportant, or the abundance of preserved information may appear
sufficient to meet the needs of all parties. Requiring the party seeking curative measures to prove
prejudice may be reasonable in such situations. The rule leaves judges with discretion to determine
how best to assess prejudice in particular cases.” Fed. R. Civ. P. 37, 2015 Amendment Advisory
Committee Notes.
For the following reasons, if the radio communication was recorded then destroyed, the
Court finds that both the information can be replaced by other discovery and also that there is no
prejudice to Plaintiffs. First, Defendant does not dispute Plaintiffs’ allegation as to the contents of
the October 28, 2018 radio communication. See, e.g., Doc. [30] at 14; Doc. [212] at 1. For
example, Defendant’s Answer admits that Jane Doe 1 answered a call from Raney over the radio
during the October 28, 2017 drill, advised him that her ambulance was not part of the drill,
challenged a direct order from Raney, and was advised “not to question him and to do as she was
told.” Doc. [30] at 14, ¶ 50. Beyond Defendant’s admissions, the record suggests an overwhelming
amount of evidence that would serve to avoid any prejudicial impact to Plaintiff stemming from
the purportedly lost recordings. Predominantly, there is an abundance of witnesses – upwards of
100 people – that could testify to the content and tone of the radio communication based on Jane
Doe 1’s internal human resources complaint that noted “[e]verybody heard this. This was live on
the air.” Doc. [195] at 10. Jane Doe 1 also recognized this reality in her Complaint, Doc. [1] at 8,
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¶ 47, and Defendant admits to the same. Doc. [30] at 13, ¶ 47. In addition to Jane Doe 1’s ability
to testify as to the content and tone of the radio communication, 3 several witnesses have already
been specifically identified in the record that could testify to the radio communication’s content
and tone. For example, Jane Doe 1’s human resources complaint noted that “field chief John
Genova said ‘Rainey [sic] was really harsh on you, I felt like that was uncalled for.’” Doc. [195]
at 10. Assistant Deputy Fire Commissioner Mary Sheridan can also testify to the content and tone
of Raney’s radio communication as she heard it during the drill. Doc. [212-1] at 48, ¶¶ 4, 7.
Last, the Court evaluates the allegedly lost radio communication’s importance in the
litigation. See Fed R. Civ. P. 37, 2015 Amendment Advisory Committee Notes (noting that an
evaluation of prejudice from lost information includes an evaluation of the information’s
importance). Raney’s tone in the allegedly lost radio communication’s recording provides limited
value compared to other evidence in the record that goes directly to the retaliation claim such as
what he said and how he treated her. Further undermining the importance of Raney’s tone to the
litigation, to the extent the parties look towards upcoming summary judgment proceedings,
Defendant has stated that it “will accept that the tone of the communication was as Jane Doe 1
describes it . . . .” Doc. [212] at 12.
Therefore, the Court finds that, even if the October 28, 2017 radio communication was
recorded, its destruction did not prejudice Plaintiffs. 4 For the foregoing reasons, Plaintiffs’ Motion
to Sanction Defendant for Failure to Preserve Evidence, Doc. [194], is denied in its entirety.
3
In her human resources complaint, Jane Doe 1 described Raney’s tone as “annoyed, demanding and irritated.” Doc.
[195] at 10.
4
Accordingly, the Court need not address Plaintiffs’ requested sanctions.
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II.
Plaintiffs’ Motion to File an Exhibit Under Seal, Doc. [196]
Plaintiffs seek to file Exhibit B, Doc. [195], to its motion for sanctions under seal. Doc.
[194-96]. Exhibit B appears to be a City of Chicago Department of Human Resources Complaint
Form that was completed and submitted by Jane Doe 1. Doc. [195] at 3-12. Exhibit B includes a
narrative description of Jane Doe 1’s allegations against her supervisor, Richard Raney. Doc.
[195] at 3-12. Exhibit B also includes a document entitled “Receipt of Materials and Information
Acknowledgement Form” that indicates the Complainant and Investigator received a “Diversity
and Equal Employment Opportunity Policy” and a “Business Card of the EEO Officer of
Investigator.” Doc. [195] at 2.
A party seeking to file materials in secret under seal must justify it and “analyze the
applicable legal criteria or contend that any document . . . [that] legitimately may be kept from
public inspection despite its importance to the resolution of the litigation.” Baxter Int'l v. Abbott
Laboratories, 297 F.3d, 544, 546 (7th Cir. 2002) (“So perfunctory was this motion that it could
have been summarily rejected.”); see also Ne. Series of Lockton Companies, LLC v. Bachrach, No.
12 CV 1695, 2013 WL 3989295, at *1 (N.D. Ill. Aug. 2, 2013) (“If a party claims that injury will
result from public disclosure of certain information, it must provide support for such a statement.”).
“Simply asserting that something should be filed under seal is not enough.” Motorola Sols., Inc.
v. Hytera Commc'ns Corp., 367 F. Supp. 3d 813, 816 (N.D. Ill. 2019). “Even the agreement of the
parties will not justify the entry of a protective order that ought not otherwise be entered.” Id.
(citing Jepson, Inc. v. Makita Elec. Works Ltd, 30 F.3d 854, 858 (7th Cir. 1994)); see also County
Materials Corp v. Allan Block Corp., 502 F.3d 730, 740 (7th Cir. 2007). Closed proceedings
“breed suspicion of prejudice and arbitrariness, which in turn spawns disrespect for law.”
Richmond Newspapers, Inc. v. Virginia, 448 U.S. 555, 595 (1980). “The determination of good
16
cause [to seal materials] cannot be elided by allowing the parties to seal whatever they want . . . .”
Citizens First Nat. Bank of Princeton v. Cincinnati Ins. Co., 178 F.3d 943, 945 (7th Cir. 1999).
“[M]any litigants would like to keep confidential . . . the injuries they suffered . . . but when these
things are vital to claims made in litigation they must be revealed.” Baxter Int'l, Inc., 297 F.3d at
547 (7th Cir. 2002) (citing Union Oil Co. v. Leavell, 220 F.3d 562 (7th Cir. 2000)). “Whatever
may have been done in the past cannot and will not justify under seal filings of things that by no
stretch of the legal imagination qualify as under seal treatment.” Motorola Sols., 367 F. Supp. 3d
at 816.
Plaintiffs’ motion to seal merely advances boilerplate averments that good cause exists to
seal Exhibit B, Doc. [195]. For example, Plaintiffs contend that the information contained in
Exhibit B is highly private and sensitive information, and that the parties have consistently filed
documents containing private and/or sensitive information under seal. Doc. [196]. Lots of
documents in a sexual harassment claim are private and sensitive. The motion does not specifically
explain why there is good cause to seal Exhibit B under this Circuit’s case law. See Doc. [196].
Nor does it explain how the document contains information that should not be subject to public
scrutiny. Doc. [196]. In fact, the face of the document Plaintiffs seek to file under seal contains
important and pertinent information directly underlying allegations Jane Doe 1 advances in her
publicly filed Complaint. Compare Doc. [195] with Doc. [1]. This information is the type of
document that Baxter indicates are “things” that “are vital to claims made in litigation” that “must
be revealed.” Baxter Int'l, Inc., 297 F.3d at 547. Last, Plaintiffs’ statement that the parties have
consistently filed documents containing private and/or sensitive information under seal is not the
appropriate legal inquiry. See Motorola Sols., 367 F. Supp. 3d at 816.
17
For the reasons stated above, Plaintiffs’ motion to file Exhibit B under seal is granted in
part and denied in part. Jane Doe 1’s identity has been preserved during these proceedings and
thus, the Court will not order the public disclosure of this information until it receives further
information. Plaintiff Jane Doe 1 may be entitled to publicly file a suitable redacted version.
Before filing a publicly redacted version, Plaintiff Jane Doe 1 shall provide the Court in camera
with a proposed order containing a version redacting only what she believes to be so sensitive as
to warrant non-public treatment along with a memorandum explaining why the document shall be
maintained under seal with citation to relevant authority. As guidance, the Court advises Jane Doe
1 not to redact any information that is vital to her claims and that has been disclosed already in the
public arena. The proposed redacted version and memorandum are due within 14 days of the entry
of this Opinion and Order.
III.
Plaintiffs’ Motion to Strike, Doc. [216]
Plaintiffs next move to strike Defendant’s Exhibits 8 and 8-1 attached to its response to
Plaintiffs’ motion for sanctions. Exhibit 8 is a Declaration of Daniel Casey, City of Chicago’s
Deputy Director, Public Safety Information Technology, Office of Emergency Management and
Communications (“OEMC”). Doc. [212] at 54. Attached to Casey’s Declaration is Exhibit 8-1, a
document entitled “Application for Authority to Dispose of Local Records” dated May 14, 2002.
Doc. [212-1] at 57. According to Casey’s Declaration, the Application for Authority to Dispose
of Local Records reflects OEMC’s record retention policy that was in effect for 2017. R. [212-1]
at ¶ 6. Casey’s declaration states that the recorded channels used by the Chicago Fire Department
during the October 28, 2017 drill would have been treated as 9-1-1 recordings as set forth in section
11.11 in Exhibit 8-1. Doc. [212-1] at 54-55. Section 11.11 of the Application for Authority to
dispose of Local Records states that, as of April 14, 2015, recordings of 9-1-1 calls are to be
18
retained for “thirty (30) days after creation of the recordings, then dispose[d] of, unless the
recordings are deemed evidence in any criminal, civil, or administrative proceeding and then the
recordings must only be destroyed upon final disposition and an order from the court . . . .” Doc.
[212-1] at 88.
Plaintiffs argue that these two documents should be stricken because the Application for
Authority to Dispose of Local Records should have been, but was not, produced pursuant to
Plaintiffs’ previous requests for documents. See Doc. [216] at ¶¶ 1-4, 8. Plaintiffs’ reason that
Defendant’s delay in producing this discovery led Plaintiffs to believe that a document retention
policy from the year 1984 was applicable and current. Doc. [216] at ¶ 8.
Plaintiffs’ motion is brought under Federal Rule of Civil Procedure 12(f). Rule 12(f)
provides that the “court may strike from a pleading an insufficient defense or any redundant,
immaterial, impertinent, or scandalous matter.” Fed. R. Civ. P. 12(f). A motion is not a pleading.
Rule 12(f) is not the proper mechanism for striking an exhibit attached to a response to a motion
for sanctions. Id.
Next, Plaintiffs argue that these documents should be stricken pursuant to the Court’s
“inherent power to strike an exhibit that is not [ ]properly before the court.” Doc. [216]. Indeed,
“it is within the district court's discretion to strike an unauthorized filing.” Cleveland v. Porca Co.,
38 F.3d 289, 297 (7th Cir. 1994) (citing Midwest Grinding Co., Inc. v. Spitz, 976 F.2d 1016, 1020
(7th Cir. 1992)). Rule 26(a)(1)(A)(ii) requires a party to provide to the other party a copy or
description “of all documents, electronically stored information, and tangible things that the
disclosing party has in its possession, custody, or control and may use to support its claims or
defenses.” Shott v. Rush Univ. Med. Ctr., No. 11 CV 50253, 2014 WL 7665075, at *1 (N.D. Ill.
Nov. 6, 2014), aff'd, 652 F. App'x 455 (7th Cir. 2016)). Under Rule 37(c)(1), if a party fails to
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“provide information or identify a witness as required by Rule 26(a) or (e), the party is not allowed
to use that information or witness to supply evidence on a motion, at a hearing, or at a trial, unless
the failure was substantially justified or is harmless.” Id.
Therefore, the Court addresses whether Defendant had an obligation to disclose OEMC’s
record retention policy in the first place. The document request at issue requested “document
retention policies as related to the Chicago Fire Department (or the City of Chicago as applied to
the Chicago Fire Department) applicable from January 1, 2014, to present.” Doc. [216-4] at 3. To
which, Defendant objected in part as “overly broad and vague.” Doc. [216-4] at 3. Importantly,
Plaintiffs’ document request did not narrowly request OEMC’s document retention policies. Doc.
[216-4] at 3. The Federal Rules of Civil Procedure require requests for production to “describe
with reasonable particularity each item or category of items to be inspected.” Fed. R. Civ. P.
34(b)(1)(A). Had Plaintiffs specifically wanted OEMC’s retention policy or the retention policy
concerning recorded radio communications, then Plaintiffs should have specifically requested it
pursuant to Rule 34(b)(1)(A). Instead, Plaintiffs submitted a broad discovery request covering
primarily CFD’s document retention policies. Therefore, the Court finds that Plaintiffs never
requested the document that Defendant attached as Exhibit 8-1 and so Defendant never incurred
an obligation to produce it in the first place.
Even if Defendant should have previously produced OEMC’s record retention policies, the
Seventh Circuit “has identified the following relevant factors to use when evaluating whether a
failure to disclose was substantially justified or harmless: (1) the prejudice or surprise to the party
against whom the evidence is offered; (2) the ability of the party to cure the prejudice; (3) the
likelihood of disruption to the trial; and (4) the bad faith or willfulness involved in not disclosing
the evidence at an earlier date.” Shott, 2014 WL 7665075, at *1 (quoting Tribble v. Evangelides,
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670 F.3d 753, 760 (7th Cir. 2012)). “The determination of whether a Rule 26(a) violation is
justified or harmless is left to the discretion of the district court.” Shott, 2014 WL 7665075, at *1
(citing David v. Caterpillar, Inc., 324 F.3d 851, 857 (7th Cir. 2003)).
Here, there is no indication whatsoever that Plaintiffs were prejudiced by not learning about
OEMC’s record retention policy that was in effect for 2017 in response to their motion for
sanctions. Plaintiffs’ best argument that Defendant’s delay in producing this discovery caused
prejudice is that it led them to believe that Defendant’s 1984 document retention policy was the
most current document retention policy. Doc. [216] at ¶ 8. Plaintiffs do not articulate actual ways
in which Defendants’ post-discovery disclosure of OEMC’s record retention policy harmed
Plaintiffs or impacted their case strategy. Moreover, the Court finds that any potential prejudice
from the non-disclosure has been cured. Plaintiffs have now obtained the applicable retention
policy and had an opportunity to substantively address it in both their reply in support of their
motion for sanctions and in this motion to strike. Docs. [216, 218]. In fact, other courts have found
no prejudice or surprise where a party filed an undisclosed document at later stages than the instant
litigation, including dispositive motions for summary judgment. See Shott, 2014 WL 7665075, at
*2-3 (denying motion to strike documents filed in a response to a motion for summary judgment
that were not produced previously in discovery); see also Dauska v. Green Bay Packaging, No.
12-C-925, 2014 WL 3843547, at *6-9 (E.D. Wis. Aug. 5, 2014) (same). Plaintiffs neither allege
likelihood for disruption at trial nor is such apparent to this Court. Therefore, for the reasons
stated above, the Court denies Plaintiffs’ motion to strike, Doc. [216], in its entirety.
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IV.
Conclusion
For the foregoing reasons, Plaintiffs’ motion to sanction Defendant for failure to preserve
evidence, Doc. [194], is denied in its entirety, Plaintiffs’ motion to file Exhibit B thereto under
seal, Doc. [195-96], is granted in part and denied in part, and Plaintiffs’ motion to strike, Doc.
[216], is denied in its entirety. Plaintiff Jane Doe 1 shall provide the Court in camera with a
proposed order containing a proposed publicly redacted version that censors only what is so
sensitive as to warrant non-public treatment consistent with the discussion herein along with a
memorandum explaining why the document shall be maintained under seal with citation to relevant
authority. The proposed redacted version and memorandum are due by July 23, 2019.
SO ORDERED.
Dated: July 9, 2019
______________________________
Sunil R. Harjani
United States Magistrate Judge
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