People for the Ethical Treatment of Animals, Inc. v. Tri-State Zoological Park of Western Maryland, Inc. et al
Filing
102
MEMORANDUM OPINION. Signed by Judge Paula Xinis on 11/1/2018. (heps, Deputy Clerk)
IN THE UNITED STATES DISTRICT COURT
FOR THE DISTRICT OF MARYLAND
PEOPLE FOR THE ETHICAL
TREATMENT OF ANIMALS, INC.,
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*
Plaintiff,
*
v.
Civil Action No. 1:17-cv-02148-PX
*
TRI-STATE ZOOLOGICAL PARK OF
WESTERN MARYLAND, INC., et al.,
Defendants.
*
*
***
MEMORANDUM OPINION
Pending before the Court are Defendants Tri-State Zoological Park of Western Maryland,
Inc., Animal Park, Care & Rescue, Inc., and Robert Candy’s Motion for Judgment on the
Pleadings, Motion for Sanctions, and Interim Motion to Seal Filed in Support of Defendants’
Motion for Sanctions. ECF Nos. 55, 71, 72. The motions are fully briefed, and no hearing is
necessary. See Local Rule 105.6. For the reasons that follow, the Court denies Defendants’
motion for judgment on the pleadings, grants in part and denies in part Defendants’ motion for
sanctions, and grants the joint motion to redact a portion of the motion for sanctions.
I.
Background
Defendants own and operate a zoological park in Cumberland, Maryland (“the Zoo”).
ECF No. 1 ¶¶ 12–15. The Zoo houses many animals, including five tigers, one lion, and two
lemurs. 1 ECF No. 1 ¶ 3. Plaintiff People for the Ethical Treatment of Animals, Inc. (“PETA”)
filed suit under the Endangered Species Act (“ESA”), seeking, inter alia, to enjoin the Zoo from
1
After the pleadings closed, one lemur, Bandit, passed away and the other lemur, Alfredo, was transferred
to the Maryland Zoo. ECF No. 55-1 at 24. For purposes of the motion for judgment on the pleadings brought
pursuant to Rule 12(c) of the Federal Rules of Civil Procedure, the Court, in its discretion, considers only the facts
included in the pleadings. See A.S. Abell Co. v. Balt. Typographical Union No. 12, 338 F.2d 190, 193 (4th Cir.
1964).
owning or possessing endangered or threatened species. Id. at 38. According to the Complaint,
the animals at the Zoo live in unsanitary and unsafe conditions, are not fed sufficiently, and are
not provided adequate enrichment in the Zoo habitat . Id. ¶ 25.
PETA is a nonprofit organization “dedicated to protecting animals, including animals
used in entertainment, from abuse, neglect, and cruelty.” Id. ¶¶ 11, 110. To advance this
mission, PETA educates the public on animal-welfare issues, rescues animals, advocates for
protective animal-welfare legislation, and organizes mission-related protests and fundraisers. Id.
¶ 111. For purposes of standing, PETA avers that the Zoo’s public mistreatment of animals has
frustrated PETA’s mission by contributing to the increasing population of animals in need of
rescue and by “making it harder to persuade the public that it should not tolerate the use of
animals in entertainment.” Id. ¶¶ 112, 113. Similarly, PETA avers that it has diverted its
resources toward investigating the Zoo and engaging in a public-relations campaign aimed at
exposing the Zoo’s adverse treatment of the animals. Id. ¶¶ 115–16. PETA contends that the
effort expended in the name of protecting the Zoo’s animals has diverted resources away from
its other animal rescue missions and campaigns. ECF No. 1 ¶ 118.
PETA undertook this investigation at the direction of its counsel, and in anticipation of
filing this lawsuit. ECF No. 71-3 at 1. Specifically PETA deployed undercover investigators
who posed as volunteers offering their services to the Zoo. ECF No. 71-1 ¶ 10. PETA’s
volunteers gained entry to Zoo, and subsequently denied to Defendant Candy any affiliation with
an animal-rights organization. Id. ¶ 11; ECF No. 87 at 4 n.4. The volunteers surreptitiously took
over 300 photographs and 70 video recordings. ECF No. 71-1 ¶ 2; ECF No. 71-3 at 1. At least
some of the video recordings also seem to include audio of conversations between PETA
investigators and Defendant Candy. ECF No. 71-4 at 10.
2
Defendants initially moved to dismiss the Complaint, arguing that the Animal Welfare
Act preempted PETA’s claims, that the treatment of the animals did not rise to the level of
actionable harm, that the Complaint was vague, and that the Court did not have power to award
the requested relief. ECF No. 15-1. The Court denied Defendants’ motion in its entirety. ECF
No. 23. Defendants now attempt to relitigate several of the same claims, which, for the reasons
discussed below, will not be revisited. Defendants also now contend that PETA lacks standing
to bring the claims and that dismissal is warranted as a sanction for PETA having “illegally
obtain[ed] evidence.” ECF No. 55; ECF No. 71-1 at 3.
II.
Standard of Review
Under Federal Rule of Civil Procedure 12(c), a party may move for judgment on the
pleadings after the pleadings are closed. Fed. R. C. P. 12(c). A motion under Rule 12(c) “is
assessed under the same standards as a motion to dismiss under Rule 12(b)(6).” Occupy
Columbia v. Haley, 738 F.3d 107, 115 (4th Cir. 2013). The well-pleaded allegations are
accepted as true and viewed most favorably to the party pursuing the allegations. ImpactOffice,
LLC v. Siniavsky, No. TDC-15-3481, 2017 WL 1410773, at *3 (D. Md. Apr. 19, 2017). The
motion will not be granted unless “no genuine issues of material fact remain and the case can be
decided as a matter of law.” Bell Atl.-Md., Inc. v. Prince George’s Cty., 155 F. Supp. 2d 465,
473 (D. Md. 2011).
In resolving a motion brought pursuant to Rule 12(c), the court “considers the pleadings,
which consist of the complaint, the answer, and any written instruments attached to those
filings.” ImpactOffice, 2017 WL 1410773, at *3. The court, may, in its discretion, also consider
evidence beyond the four-corners of the pleadings. A.S. Abell Co., 338 F.2d at 193. However, in
that circumstance, “the motion must be treated as one for summary judgment” and “the parties
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must be given a reasonable opportunity to present all the material pertinent to the motion.”
Jones v. Nucletron Corp., No. RDB-11-02953, 2013 WL 663304, at *4 (D. Md. Feb 20, 2013)
(quoting Fed. R. Civ. P. 12(d)) (internal quotation marks omitted).
III.
Analysis
A. Motion for Judgment on the Pleadings
1.
Grounds for Dismissal Previously Decided
Defendants seek to re-litigate whether the ESA is preempted by the Animal Welfare Act
and whether the harm to the tigers, as pleaded in the Complaint, is actionable. Compare ECF
No. 55-1 at 4, 17; with ECF No. 15-1 at 5, 12, and ECF No. 23 at 15, 19. The Court will not
allow Defendants a second bite at the dismissal apple. As a preliminary matter, the Court notes
that Rule 12(g) prohibits the refiling of a motion already brought pursuant to Rule 12, absent
limited exceptions set forth in Rule 12(h)(2) and (3). Smith v. Integral Consulting Servs., Inc.,
No. DKC 14-3094, 2015 WL 4567317, at *1 (D. Md. July 27, 2015). Challenges to the Court’s
subject matter jurisdiction or a defense of failure to state a claim upon which relief can be
granted are two such exceptions. Fed. R. Civ. P. 12(h)(2)–(3).
However, Defendants have previously sought dismissal on these grounds, which the
Court rejected. Accordingly, the Court will only reconsider its previous decision based on: (1) a
change in controlling law; (2) additional evidence that was not previously available; or (3) a
showing that that the prior decision was clearly erroneous or manifestly unjust. See Boyd v.
Coventry Health Care Inc., 828 F. Supp. 2d 809, 814 (D. Md. 2011); Paulone v. City of
Frederick, No. CIV. WDQ-09-2007, 2010 WL 3000989, at *2 (D. Md. July 26, 2010). The
Court cannot discern any of the above-described bases that would support reconsideration. The
Court will not revisit these claims, and so the motion for dismissal on these grounds is denied.
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The Court next turns to Defendants’ arguments not previously raised.
2. Standing
A court retains jurisdiction only where the plaintiff has standing to bring the claim.
Lujan v. Defenders of Wildlife, 504 U.S. 555, 560 (1992). Pursuant to Article III of the United
States Constitution, federal courts are of limited jurisdiction, hearing only live “Cases” and
“Controversies.” Id. at 559; U.S. Const. art. III, § 2. A legal action meets the case-orcontroversy requirement where the “questions [are] presented in an adversary context.”
Massachusetts v. E.P.A., 549 U.S. 497, 516 (2007) (quoting Flast v. Cohen, 392 U.S. 83, 95
(1968) (internal quotation marks omitted). For a case to satisfy the case-or-controversy
requirement, the plaintiff must have “such a personal stake in the outcome of the controversy as
to assure that concrete adverseness which sharpens the presentation of issues upon which the
court so largely depends for illumination.” Massachusetts, 549 U.S. at 517. The plaintiff must
demonstrate that “(1) it has suffered an ‘injury in fact’ that is (a) concrete and particularized and
(b) actual or imminent, not conjectural or hypothetical; (2) the injury is fairly traceable to the
challenged action of the defendant; and (3) it is likely, as opposed to merely speculative, that the
injury will be redressed by a favorable decision.” Friends of the Earth, Inc. v. Laidlaw Envtl.
Servs. (TOC), Inc., 528 U.S. 167, 180–81 (2000).
In addition to the constitutional standing requirements, courts impose prudential
limitations on legal actions. Lujan, 504 U.S. at 560. Among the prudential considerations is the
requirement that a plaintiff’s grievance “fall within the zone of interests protected or regulated by
the statutory provision.” Bennett v. Spear, 520 U.S. 154, 162 (1997). However, prudential limits
may be “modified or abrogated by Congress.” Id. at 162. Congress enacted a citizen-suit
provision of “remarkable breadth” in the ESA, which allows “any person” to file suit to enforce
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ESA protections. Id. at 164; 16 U.S.C. § 1540(g)(1). Congress thus expanded the zone of
interests “to the full extent permitted under Article III of the Constitution.” People for the
Ethical Treatment of Animals, Inc. v. Miami Seaquarium, 189 F. Supp. 3d 1327, 1338 (S.D. Fla.
2016), aff’d, 879 F.3d 1142, 1146 n.5 (11th Cir. 2018), adhered to on denial of reh’g, No. 1614814-BB, 2018 WL 4903081 (11th Cir. Oct. 9, 2018); see also Animal Welfare Inst. v. Beech
Ridge Energy LLC, 675 F. Supp. 2d 540, 559 (D. Md. 2009).
Defendants’ standing challenge is confined to whether PETA has suffered a sufficiently
concrete and particularized injury under the Constitution. ECF No. 55-1 at 4–14. Taking the
alleged facts in the Complaint as true, Adams v. Bain, 697 F.2d 1213, 1219 (4th Cir. 1982), the
Court disagrees.
PETA, as an organization, may establish what is known as organizational standing on its
own behalf. Equal Rights Ctr. v. Equity Residential, 798 F. Supp. 2d 707, 719 (D. Md. 2011).
Organizational standing is conferred where the defendants’ misconduct causes injury to the
organization by frustrating the organizational mission, thus requiring the organization to divert
resources in response. Id. at 720; Havens Realty Corp. v. Coleman, 455 U.S. 363, 379 (1982).
PETA contends that it has organizational standing because the Defendants’ “take,” as defined
under the ESA, directly frustrates PETA’s mission to reduce animal abuse. ECF No. 59 at 22.
The ESA prohibits the unlawful taking of any endangered or threatened animal species. 16
U.S.C. § 1538(a)(1); 50 C.F.R. § 17.21(c); 50 C.F.R. § 17.31(a). To “take” an animal means to
“harass, harm, pursue, hunt, shoot, wound, kill, trap, capture, or collect, or attempt to engage in
any such conduct.” 16 U.S.C. § 1532(19); see also 50 C.F.R. § 17.3 (defining “harass” and
“harm”). The Complaint particularly avers that the Zoo has taken animals that the ESA protects.
As a result of the Defendants’ unlawful taking, the number of abused animals has risen, as has
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the public’s tolerance for animal abuse, thereby frustrating PETA’s mission to forestall the same.
ECF No. 1 ¶¶ 112–13.
The Defendants contend, however, that PETA merely has an “inchoate ideological
interest” in the animals. ECF No. 55-1 at 5. Although PETA had no prior involvement with the
Zoo’s individual animals, this fact alone does not eviscerate organizational standing. See Equal
Rights Ctr. v. AvalonBay Communities, Inc., No. AW-05-2626, 2009 WL 1153397, at *4 (D.
Md. Mar. 23, 2009) (finding organizational standing for nonprofit that could not “identify any
person that it had to counsel, refer, or educate as a result of the alleged . . . violations”). The
Zoo’s current unlawful take of the animals “is in direct conflict with PETA’s mission of
protecting animals.” Miami Seaquarium, 189 F. Supp. 3d at1338. Additionally, given PETA’s
broad campaigns for public education and advocacy, the Court credits PETA’s argument that the
Zoo’s normalization and display of alleged mistreatment undermines PETA’s educational
programming. See Organic Consumers Assoc. v. Sanderson Farms, Inc., 284 F. Supp. 3d 1005,
1011 (N.D. Cal. 2018) (finding standing for organizations that promote organic consumption in
suit against company that deceptively labeled products as “natural”). Taking all facts in the light
most favorable to PETA, the Court finds that PETA has pleaded sufficient injury to PETA’s
mission arising from Defendants’ alleged misconduct.
The Complaint also avers that PETA has devoted its limited resources toward
investigating and uncovering the Zoo’s ESA violations and thus away from funding other animal
rescues and mission-related public campaigns. ECF No. 1 ¶ 118. The resources specifically
diverted include those used to extensively investigate the Zoo, distribute press releases related to
the Zoo’s violations, and draft and submit formal complaints to government agencies. Id. ¶¶
115–16. The Complaint, therefore, plausibly avers that this diversion of resources perceptibly
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impaired PETA’s ability to advance its mission. See Equity Residential, 798 F. Supp. 2d at 722;
AvalonBay, 2009 WL 1153397, at *4, 6. Accordingly, these facts, accepted as true and most
favorably to PETA, confer organizational standing.
3. Tigers’ Protection under the ESA
Defendants next argue that PETA fails to state a claim with respect to the “take” of the
Zoo’s tigers because these tigers are captive-bred, “generic,” and, thus, exempted from ESA
protection. Defendants misapprehend the reach of the ESA as to tigers.
As a preliminary matter, the Court recognizes that the Secretary of the Interior maintains
authority to determine which species are deemed endangered or threatened and thus protected
under the ESA. 16 U.S.C. § 1533(a)(1). Further, the United States Fish and Wildlife Service
(“the Service”), under the direction of the Secretary of the Interior, has promulgated regulations
“to encourage responsible breeding efforts” with such species. Captive-bred Wildlife
Regulation, 58 Fed. Reg. 68,323, 68,324 (Dec. 27, 1993). These regulations allow for the taking
of captive-bred, endangered animals when the purpose of the take “is to enhance the propagation
or survival of the affected species.” 50 C.F.R. § 17.21(g)(1). Said differently, “taking” is
permitted in limited circumstances when such taking increases the tiger population. Any such
taking under this exception, however, requires the person taking the animals to be registered with
the Service, unless the species falls within certain enumerated exemptions. 50 C.F.R.
§ 17.21(g)(2), (g)(6). However, between 1998 and 2016, the Service exempted from registration
“inter-subspecific crossed or generic” tigers. Endangered and Threatened Wildlife and Plants;
U.S. Captive-Bred Inter-subspecific Crossed or Generic Tigers, 81 Fed. Reg. 19,923, 19,923
(Apr. 6, 2016); see also 50 C.F.R. § 17.21(g)(6) (2005). “Crossed” and “generic” tigers are
those who cannot be readily identified or identifiable as a particular subspecies. 81 Fed. Reg. at
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19,923. 2
Against this regulatory backdrop, Defendants argue that while the exemption was in
place before 2016, the Service had effectively removed altogether the ESA protections as to the
taking of generic tigers. ECF No. 55-1 at 16. This is incorrect. The pre-2016 exemption
governed solely the requirement to register with the Service to take the generic tigers for
reproductive purposes; it did not affect the underlying legal protections afforded to generic tigers
more broadly. Indeed, the Service explicitly announced that “[e]ven with this exemption, intersubspecific crossed or generic tigers were still protected under the Act” because the “regulations
under the ESA prohibit[ed] the taking of any tiger, including generic tigers.” 81 Fed. Reg. at
19,924 (emphasis added). Importantly, tigers are listed as an endangered species, which includes
“any subspecies.” 16 U.S.C. § 1532(16) (defining “species”); 50 C.F.R. § 17.11 (listing tigers as
endangered); see also United States v. Kapp, 419 F. 3d 666, 672–73 (7th Cir. 2005). As an
endangered species, taking of tigers—all tigers—is permitted only to promote responsible
propagation, see 58 Fed. Reg. at 68,325, not simply for the display of wildlife.
No facts averred in the Complaint allow the plausible inference that the Defendants’
taking of the tigers was designed for the propagation of the species. Rather, the Complaint
alleges that the take of the tigers was for exhibition purposes only. Because if true, these facts
support an ESA violation, judgment on the pleadings is denied as to the tigers.
4. Lions’ Protection under the ESA
Defendants assert that the ESA only protects two subspecies of lions, neither of which are
the lions kept in captivity at the Zoo. ECF No. 55-1 at 23. 3 Historically, classification of lion
2
There are four subspecies of tigers: Bengal (Panthera tigris tigris), Sumatran (P. t. sumatrae), Siberian
(P. t. altaica), and Indochinese (P. t. corbetti). Id.
3
Defendants argue that two lions, Peka and Mbube, are not protected by the ESA. Id. However, PETA
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subspecies for ESA protection purposes has been difficult. Endangered and Threatened Wildlife
and Plants; Listing Two Lion Subspecies, 80 Fed. Reg. 80,000, 80,001 (Dec. 23, 2015)
(“[T]raditional classifications recognize anywhere from zero subspecies (classifying lions as one
monotypic species) up to nine subspecies.”). In 2015, the Service adopted for lion classification
the International Union for Conservation of Nature (“IUCN”)’s taxonomy, which recognizes that
all lions fall into one of two lion subspecies: Panthera leo leo and Panthera leo melanochaita.
Id. at 80,000. Thus, under ESA regulations, all lions are classified as either P. l. leo or P. l.
melanochaita, and most important for this case, all enjoy ESA protection. 50 C.F.R. § 17.11. 4
Defendants contend that because their lions are both in captivity and in the United States,
their lions do not fall into either of the protected subspecies. This is so, say Defendants, because
the classification of a lion as belonging to a particular subspecies is not determined by “genetics
or appearance, but by what country on the African continent” in which the lion is currently
located. ECF No. 55-1 at 19 (emphasis in original). In support of this contention, Defendants
primarily point to the Service’s description of the countries where each subspecies of lion is
found in the wild—a fact integral to the Service’s inquiry of whether a particular subspecies is in
danger of extinction. See 80 Fed. Reg. at 80,004. But Defendants apparently missed where the
Service states that IUCN taxonomy is based on “recent genetic research.” Id. at 80,001. And
nowhere in the fifty-six page publication does the Service suggest that a lion “could in theory
change his or her subspecies daily just in the normal course of travel” between countries. See
ECF No. 55-1 at 19 n.2. Most significantly, the Service itself has noted that “captive-held
specimens are not eligible for separate consideration for listing,” and that effectively all lions,
appears to only allege the unlawful taking of Peka, and discusses Mbube solely as evidence of the alleged
inadequacy of Defendants’ veterinary care. ECF No. 1 ¶¶ 83–109. For the purposes of this motion, the Court will
address Defendants’ argument about both lions, rather than focusing solely on Peka.
4
P. l. leo is listed as endangered and P. l. melanochaita is listed as threatened. Id.
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captive or wild, enjoy ESA protection. 80 Fed. Reg. at 80,055. 5 The prohibitions on taking
endangered and threatened species thus apply to all lions, including the lions at Defendants’ Zoo.
See 50 C.F.R. §§ 17.21(c)(1), 17.40(r), 17.31(a)–(c). Judgment on the pleadings as to the lions is
denied.
B. Motion for Sanctions
Defendants also seek to dismiss the Complaint as a sanction for “illegally obtain[ing]
evidence.” ECF No. 71-1 at 3. Courts retain inherent authority to sanction bad-faith conduct,
including “wrongfully obtaining the property or confidential information of an opposing party.”
Glynn v. EDO Corp., No. JFM-07-01660, 2010 WL 3294347, at *3 (D. Md. Aug 20, 2010).
However, the Court must only exercise this authority “with restraint and discretion.” Victor
Stanley, Inc. v. Creative Pipe, Inc., 269 F.R.D. 497, 518 (D. Md. 2010). A court must reserve
the “extraordinary sanction of dismissal” for only those instances where the misconduct caused
prejudice to the movant sufficiently severe to outweigh the public policy in favor of resolving
claims on the merits. Glynn, 2010 WL 3294347, at *6. Dismissal is warranted where the
wrongdoing “deceives a court or abuses the process at a level that is utterly inconsistent with the
orderly administration of justice or undermines the integrity of the process.” Glynn, 2010 WL
3294347, at *3 (quoting United States v. Shaffer Equip. Co., 11 F.3d 450, 462 (4th Cir. 1993))
(internal quotation marks omitted). The court considers the following factors:
(1) the degree of the wrongdoer's culpability; (2) the extent of the
client's blameworthiness if the wrongful conduct is committed by
its attorney, recognizing that we seldom dismiss claims against
blameless clients; (3) the prejudice to the judicial process and the
administration of justice; (4) the prejudice to the victim; (5) the
availability of other sanctions to rectify the wrong by punishing
culpable persons, compensating harmed persons, and deterring
similar conduct in the future; and (6) the public interest.
5
Defendants’ stray line suggesting that their lions are hybrid lion subspecies, and thus unprotected by the
ESA, is also unavailing. See Kapp, 419 F.3d at 673.
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Glynn, 2010 WL 3294347, at *3 (quoting Shaffer Equip., 11 F.3d at 462–63) (internal
quotation marks omitted). The movant must demonstrate by clear and convincing evidence the
propriety of the requested sanctions. Steves & Sons, Inc. v. JELD-WEN, Inc., No. 3:16-CV-545,
2018 WL 2023128, at *5 (E.D. Va. May 1, 2018).
Defendants argue that PETA illegally obtained evidence outside the bounds of courtsupervised discovery. ECF No. 71-1 at 3. Specifically, Defendants assert that PETA gained
access to the Zoo by posing as volunteers, surreptitiously took photographs and video recordings,
and illegally recorded audio of unconsenting persons in violation of the Maryland Wiretap Act.
Id. at 2–3. Defendants also allege that PETA’s counsel participated in this misconduct. Id. at 16.
The Court considers each allegation in turn.
First with respect to PETA’s presence on Zoo property, Defendants contend that access
was obtained by fraud and thus constituted a trespass. A civil trespass is “an intentional or
negligent intrusion upon or to the possessory interest in property of another.” Litz v. Md. Dep’t
of Env’t, 446 Md. 254, 276–77 (2016) (quoting Schuman v. Greenbelt Homes, Inc., 212 Md.
App. 451, 475 (2013)). Courts across the country are split on whether consent is a viable defense
to trespass when such consent was obtained through fraud. Food Lion, Inc. v. Capital
Cities/ABC, Inc., 194 F.3d 505, 517 (4th Cir. 1999). Neither this Court nor the parties unearthed
any Maryland controlling law. Because the law in this respect is unsettled, the Court is hardpressed to find that obtaining evidence in this manner warrants the sanction of dismissal.
Defendants next contend that, once on the property, PETA gathered evidence by
surreptitious recordings in violation of the Maryland Wiretap Act, thus warranting sanctions.
The court recognizes that merely taking photographs and videos without audio does not
constitute a Wiretap Act violation. See Holmes v. State, 236 Md. App. 636, 654 (2018) (“[A]
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video recording without audio or oral communication is not prohibited under the wiretap
statute.”); cf. Furman v. Sheppard, 130 Md. App. 67, 73 (2000) (noting, in context of tort law,
that “[i]f surveillance is ‘conducted in a reasonable and non-obtrusive manner, it is not
actionable’”) (quoting Pemberton v. Bethlehem Steel Corp., 66 Md. App. 133, 164 (1986)).
Under Maryland’s Wiretap Act, a person must obtain all parties’ consent before recording oral
communications. Md. Code, Cts. & Jud. Proc. § 10-402. Indeed, “the use of a cell phone by a
private citizen to secretly record a face-to-face oral conversation without the consent of all
participants is . . . a presumptive violation of Maryland’s wiretap law.” Holmes, 236 Md. App. at
649.
PETA’s own internal memorandum and deposition testimony strongly suggest that
certain of its video recordings also include audio. ECF No. 71-4 at 10; ECF No. 71-9 at 27:5–6.
Further PETA appears to have unlawfully recorded audio without first obtaining consent of those
who were recorded. See ECF No. 71-9 at 27:20–21 (stating, in deposition of PETA, that agents
“would not have asked [for] permission” to record audio). Such recordings violate the Wiretap
Act and will be excluded entirely from this case.
Defendants further contend that the recordings were made with counsel’s knowledge and
endorsement. ECF No. 71-1 at 17. In support, Defendants attach a privilege log, which notes
that videos were “prepared pursuant to attorney direction.” ECF No. 71-3 at 1. However, little
evidence links specific “attorney direction” to the PETA agents having obtained recordings in
violation of the Wiretap Act. Defendants do not show what direction counsel gave PETA,
whether the videos taken on those dates included audio, or even a single concrete example of
counsel using the video recordings.
In light of the strong public policy in favor of deciding cases on the merits and the
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availability of lesser sanctions, the Court declines to dismiss the case. The Court recognizes,
however, that as to any video recorded with audio, those videos will not be accepted as evidence
for any and all purposes in future court proceedings. See Md. Code, Cts. & Jud. Proc. § 10-405.
Exclusion of such evidence, in the Court’s view, cures any prejudice that otherwise would have
been visited on Defendants. At this stage in the litigation, and now that PETA has been
specifically put on notice regarding the lawful limits of its investigative techniques, the Court
does not believe additional sanction is warranted. See Victor Stanley, 269 F.R.D. at 536. Any
future similar violations, however, will be viewed as knowing, willful and contemptuous, and
will be sanctioned accordingly.
C. Motion to Seal
Defendants and PETA jointly request that the Court allow the parties to redact the name
of PETA’s undercover investigator. ECF Nos. 72, 88, 53. Before granting a motion to seal, the
parties must rebut the general presumption that the public enjoys free and unfettered access to
court records. Nixon v. Warner Commc’ns, Inc., 435 U.S. 589, 597 (1978). The presumption of
access may be rebutted to protect individual privacy concerns or corporate confidential,
proprietary information. Interstate Fire & Cas. Co. v. Dimensions Assur. Ltd., No. GJH-133908, 2014 WL 6388334, at *1 (D. Md. Nov. 13, 2014). PETA contends that preserving the
investigator’s anonymity will, in turn, preserve the investigator’s future ability to investigate
instances of animal abuse in an undercover capacity. ECF No. 88 at 7. PETA’s concern is
legitimate, and the redaction request is narrowly circumscribed to meet this concern. The Court,
therefore, grants the request. The Defendants shall file a public version of the motion for
sanctions (ECF No. 71) with the investigator’s name redacted.
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IV.
Conclusion
For the foregoing reasons, Defendants’ motion for judgment on the pleadings is denied,
Defendants’ motion for sanctions is granted in part and denied in part, and Defendants’ motion to
seal is granted. A separate Order follows.
November 1, 2018_______________
Date
__/S/_______________________
Paula Xinis
United States District Judge
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