ALVES, et al v. FERGUSON, et al
Filing
220
OPINION regarding class action settlement.. Signed by Judge Dennis M. Cavanaugh on 12/4/12. (LM, )
NOT FOR PUBLICATION
UNITED STATES DISTRICT COURT
DISTRICT OF NEW JERSEY
RAYMOND ALVES, et al.,
Plaintiffs,
Civil Action No. 01-789 (DMC)
v.
MERRILL MAIN, Ph.D., et al.,
OPINION
Defendants.
CAVANAUGH, U.S.D.J.
This action began with the filing of a pro se complaint by Plaintiff Raymond Alves more
than a decade ago. Since then, the case has transformed into a large-scale consolidated class
action on behalf of all involuntarily civilly committed residents of New Jersey’s Special
Treatment Unit (“STU”) in Avenel, New Jersey, confined pursuant to the New Jersey Sexually
Violent Predator Act, N.J.S.A. 30:4-27.24, et seq. (“NJSVPA” or “the Act”).
Represented pro bono by the Seton Hall Law School Center for Social Justice and
Gibbons P.C., the plaintiff class challenges the mental health treatment provided at the STU,
alleging that the New Jersey Department of Human Services does not provide minimally
adequate treatment required by federal and state law. After years of litigation followed by years
of complex and intense settlement negotiations, a class wide settlement has been reached that the
settling parties contend substantially improves the treatment available at the STU and provides
the residents with a better opportunity to regain their liberty.
Presently before the Court is the joint motion for final approval of the parties’ settlement.
[CM/ECF No. 193.] The parties, through their counsel, seek: (1) approval of the proposed
Settlement Agreement; (2) a nominal award of attorney’s fees to Class Counsel; and (3) the
appointment of a monitor in furtherance of the Settlement Agreement. The papers submitted
have been carefully considered, as have objections to the settlement. A Fairness Hearing was
held on November 13, 2012. For the reasons that follow, the Court approves the final settlement
and grants attorney’s fees to the Seton Hall Law School Center for Social Justice in the amount
of $78,000. The Court will appoint a monitor by separate order.
I.
BACKGROUND1
A.
The Parties
Plaintiffs are Raymond Alves, Derrick Sessoms and Michael Culbreath on behalf of
themselves and a class consisting of all persons involuntarily confined to the STU under the New
Jersey Sexually Violent Predator Act.2 Defendants are Merrill Main, Ph.D., in his official
capacity of Clinical Director of the STU; Jennifer Velez, in her official capacity as
Commissioner of the New Jersey Department of Human Services (“DHS”); Lynn A. Kovich, in
her official capacity as Assistant Commissioner of the New Jersey Division of Mental Health and
Addiction Services (“DMHAS”); and Jeffrey Chiesa, in his capacity as the Attorney General of
New Jersey.
B.
Overview
Plaintiffs are convicted sex offenders who have completed prison sentences but remain
involuntarily confined pursuant to the NJSVPA, which authorizes the indefinite civil
1
Aspects of this Opinion are drawn from the parties’ joint submission.
At times in this Opinion, Plaintiffs and the Class are referred to as “residents.” This is the term
the parties use to refer to individuals confined to the STU.
2
2
commitment of any individual determined to be a “sexually violent predator.” N.J.S.A. 30:427.26. A sexually violent predator is defined as a person who has been convicted of at least one
sexually violent offense and who suffers from “a mental abnormality or personality disorder that
makes the person likely to engage in acts of sexual violence if not confined to a secure facility
for control, care and treatment.” Id. The “secure facility” that houses the Plaintiffs in this case is
the STU in Avenel, New Jersey, which is operated by the New Jersey Department of
Corrections. N.J.S.A. 30:4-27.34(a).
Once committed to the STU, a sexually violent predator remains there until such time as
a state court finds that he “will not be likely to engage in acts of sexual violence,” in which case
he may be “conditionally discharged.” N.J.S.A. 30:4-27.32(c)(1). In order to be “conditionally
discharged,” the individual must establish that he has been successfully treated for the mental
abnormality or personality disorder that was the basis for his confinement to the STU. In order
for residents to have a meaningful opportunity to work toward a potential release, the Act
provides that class members receive mental health treatment, which is provided by the New
Jersey Department of Human Services. N.J.S.A. 30:4-27.34(b).
Plaintiffs claim, inter alia, that the various Defendants have failed to provide the class
with adequate mental health treatment required by federal and state law. Mental health treatment
is key for STU residents. As discussed below, without adequate mental health treatment,
Plaintiffs and the class members will likely never be released from the STU. However, with
adequate treatment, the residents have an opportunity to show that they have been cured of their
mental abnormality and deserve a conditional discharge.
3
C.
The STU – Present Day
Dr. Main, the clinical director at the STU, has submitted a declaration that details the
treatment programs presently in place at the facility. According to Dr. Main, the primary therapy
provided to Class Members is a form of group therapy administered in “process groups.” The
process groups are supplemented, for some residents, by individual resident specific, psychoeducational “modules” devoted to topics such as victim empathy, relapse prevention, and arousal
reconditioning. (Declaration of Merril Main, Ph.D. (“Main Decl.”) ¶ 3.) At present, two process
groups are offered to the residents per week.
The treatment program at the STU is divided into phases, from phase 1 (Orientation) to
phase five (Transition). (Main Decl. ¶ 5.) When the STU staff believes that a resident has
sufficiently progressed through the stages and further involuntarily commitment is unnecessary,
a conditional discharge is recommended pursuant to the Act. (Id.) Dr. Main states that in nearly
every case where a conditional discharge has been recommended, the resident had reached stage
5 of the program. (Id.) Discharge of STU residents is rare; since the Act was implemented in
1999, 525 individuals have been committed under the NJSVPA. (Declaration of Barbara
Moses, Esq. (“Moses Decl.”) ¶ 22(a).)3 Of the 525 individuals committed, 47 residents have
been released from the STU into the community at large. (Id.) Of the 47 residents released from
the STU, 28 were discharged, in accordance with the recommendation of their treatment team,
after reaching stage 5 of the treatment program. (Id.) The remaining 19 were released by state
courts at phases 1-4 of the treatment program, nearly always over the objection of the STU
treatment team. (Id.)
3
Ms. Moses is a Visiting Clinical Professor at Seton Hall University School of Law and serves
as the Director of the Civil Rights and Constitutional Litigation Clinic at Seton Hall’s Center for
Social Justice, co-class counsel in this case. (Moses Decl. ¶ 1.)
4
As of June 26, 2012, the total population of the STU stood at 469. (Moses Decl. ¶ 22(d).)
165 of these residents have been continuously confined for 10 years or more. (Id.) As of May 4,
2012, there were 5 men confined to the STU who had reached stage 5 of the treatment program
and 20 men in phase 4. (Id.)
D.
The Operative Complaint
Plaintiffs in this case challenge the quantum and quality of therapy offered, contending it
is inadequate. Plaintiffs’ Second Amended Complaint (“SAC”) alleges inadequacy with respect
to current treatment at the STU based on, among other things, the following:
That Defendants offer Class Members a maximum of two 90-minute process
groups per week, and that the groups are often overcrowded, start late, or end
early, further reducing therapy time (SAC ¶¶ 32-33);
That Defendants prevent many Class Members from enrolling in the modules they need
in order to progress in treatment by failing to offer those modules at all or offering
them too infrequently (SAC ¶¶ 34-35);
That Defendants arbitrarily restrict certain Class Members (particularly those
housed in the South Unit) from enrolling in therapy sessions that meet elsewhere
in the STU, thus preventing them from completing modules prescribed for them
and necessary for advancement (SAC ¶¶ 36-37);
That Defendants improperly withhold therapy as punishment for infraction of
STU rules (SAC ¶ 38);
That Defendants fail to give Class Members timely and concrete information
concerning the criteria used to evaluate their treatment progress and readiness for
release, the goals they must accomplish in order to progress towards discharge,
and the time it will take to do so, leading to confusion, frustration, and a counter
therapeutic sense of hopelessness throughout the STU (SAC ¶ 42);
That Defendants fail to assist Class Members with the discharge planning that is
crucial to convince a court that they can in fact be safely released (SAC ¶ 43);
That treatment is not adequately tailored to the specific needs of each Class
Member, as required by the NJSVPA (SAC ¶ 31);
5
That these deficiencies are caused in part by Defendants’ failure to hire and retain
sufficient qualified mental health professionals with training in sex offender specific
treatment (SAC ¶ 33);
That as a result of these deficiencies, few Class Members have been able to regain
their liberty, even conditionally, and few are now sufficiently advanced in the treatment
program to have a reasonable hope of discharge in the foreseeable future (SAC ¶¶ 39-41);
and
That although the DOC has appointed an ombudsman to address complaints about the
STU facilities or security issues, there is no comparable mechanism for addressing
complaints regarding the treatment program, leading to frustration—and a large number
of pro se complaints by STU residents (SAC ¶ 44).
E.
Relevant Procedural History
i.
Commencement of the Action
On February 15, 2001, the original Complaint in the Alves case was submitted pro se by
Plaintiff Raymond Alves. On March 9, 2001, this Court granted Alves in forma pauperis status,
directed that his Complaint be filed, and appointed pro bono counsel. On July 30, 2002, the
Seton Hall University School of Law Center for Social Justice, through its then director, Baher
Azmy, Esq., entered an appearance as pro bono counsel for Mr. Alves. (Declaration of Baher
Azmy, Esq. (“Azmy Decl.”) ¶¶ 1-3, 6.)4 Gibbons P.C., through Lawrence S. Lustberg, Esq., has
joined the Center for Social Justice as pro bono co-counsel for Plaintiffs.
On October 25, 2002, Alves filed an amended complaint asserting claims against both the
DHS officials responsible for the mental health program at the STU and New Jersey Department
of Corrections officials responsible for the STU facility where Alves was confined at the time,
then located in Kearney, New Jersey. (Azmy Decl. ¶¶ 7-11.) On November 17, 2003, this Court
granted in part a pre-answer motion to dismiss the Amended Complaint, finding that the
4
Mr. Azmy is the Legal Director of the Center for Constitutional Rights in New York, and is on
leave from Seton Hall University School of Law, where he was a Professor of Constitutional
Law and Director of the Center for Social Justice. (Azmy Decl. ¶ 1.)
6
NJSVPA was non-punitive on its face, and that, after Seling v. Young, 531 U.S. 250 (2001), a
plaintiff could not state a viable claim under the Double Jeopardy Clause on the theory that the
Act was punitive “as applied.” (Opinion dated November 17, 2003, at 9-11.) This Court also
dismissed Plaintiff’s claim under the Equal Protection Clause. (Id.)
ii.
Discovery & Consolidation
From 2003 through 2005, the parties engaged in extensive discovery, including written
discovery and depositions. (Azmy Decl. ¶¶ 14-26.) During this general time frame,
approximately 30 additional cases filed by pro se residents of the STU were consolidated into the
Alves case. (Declaration of David L. DaCosta, Esq. (“DaCosta Decl.”) ¶ 3.) These
consolidations included the case captioned Bagarozy v. Harris, 04-3066, which was filed by a
group of STU residents led by Richard Bagarozy (the “Bagarozy Plaintiffs”). Prior to
consolidation of the Bagarozy case into Alves, the Honorable Faith Hochberg, U.S.D.J., entered
an Order granting the Bagarozy Plaintiffs’ request for pro bono counsel, and eventually the law
firm of Greenberg Traurig, LLP entered an appearance on behalf of the Bagarozy Plaintiffs.
(DaCosta Decl. ¶ 4.)
iii.
Settlement Negotiations
Starting in late 2004 and gaining steam in early 2005, the parties decided to concentrate
on settlement negotiations with the goal of resolving all cases on behalf of all STU residents on a
class wide basis. (Azmy Decl. ¶¶ 20-21.) Although no formal motion to amend the complaint
or certify a class was brought at that time, it was understood by all that, given the nature of the
relief sought and the alterations to the treatment structure at the STU that were being discussed,
negotiations on a class-wide basis were the only feasible way for the case to resolve. This began
7
a period of intensive settlement negotiations, which were hard-fought and often highly
contentious. (Azmy Decl. ¶¶ 27-38; DaCosta Decl., ¶¶ 3-4; Moses Decl. ¶¶ 6-9.)
In 2008, after the parties had reached an impasse over what would constitute adequate
mental health treatment at the STU, the parties agreed upon the utilization of a joint neutral
expert, Judith Becker, Ph.D., who was selected by Plaintiffs’ pro bono counsel and Defendants.
(Azmy Decl. ¶¶ 36-38; DaCosta Decl. ¶7.) The concept was that Dr. Becker would review the
existing STU treatment program, offer her opinion on the program, and produce a report, which
would be considered solely for purposes of breaking the stalemate in settlement discussions. On
December 29, 2008, Dr. Becker issued her report. (See Report of Judith V. Becker, Ph.D.,
attached to the Certification of Ian Marx, Esq., as Exhibit C (the “Becker Report”).)
Negotiations were continuing into 2010 when Alves and others were moved from
Kearney, New Jersey facility to the current STU located in Avenel. As a result of this move, the
Department of Corrections and DOC-affiliated defendants took the position that the claims
against them were moot. (Azmy Decl. ¶¶ 50-51.) In response, the parties agreed to work
primarily toward a settlement of Plaintiff’s treatment related claims, which were pending only
against the Department of Health and Human Services and DHS-related defendants. (Azmy
Decl. ¶¶ 51-52.) Although the DOC defendants were not formally dismissed at this time, the
case turned away from DOC issues and toward resolving the treatment claims against the DHS
defendants.
II.
OVERVIEW OF THE SETTLEMENT AGREEMENT
In September 2011, the parties agreed to a tentative settlement, which required final
approval from various levels of the state government. (Azmy Decl. ¶ 52; Moses Decl. ¶ 15.)
8
On January 20, 2012, the Court conducted an in-person conference with counsel at which
it was represented that counsel had authority to finalize the settlement agreement. (Moses Decl.
¶ 16.) In attendance, by video conference, were the three lead plaintiffs in the case, Raymond
Alves, Michael Culbreath, and Derrick Sessoms. (Id.)
On February 3, 2012, the Settlement Agreement was executed. (Moses Decl. ¶¶ 16-17 &
Settlement Agreement (attached as Exhibit A).)5 The settlement requires Defendants to improve
both the quantity and quality of the mental health treatment offered in the STU, thereby affording
Class Members a better chance to be released from the facility. The Settlement Agreement itself
is a lengthy document, running 35 single-spaced pages with an additional 35 pages of exhibits.
The crux of the settlement is to respond to the issues in the Complaint and increase the volume
and availability of treatment. Some of the more pertinent terms are the following.6
Guarantee of Comprehensive, Individualized Treatment Plan. The Settlement
Agreement requires that Defendants provide every member of the STU with a
comprehensive treatment plan within 45 days of the individual’s commitment to
the facility. (Moses Decl., ¶ 19(a).) The treatment plan must be narrowly tailored
to the individual resident’s needs. (Id.) Moreover, the plan will be reviewed
every six months by the resident’s treatment team and once a year by the STU’s
Treatment Progress Review Committee (“TPRC”). (Id.)
Guarantee of Therapy Hours. The Settlement Agreement increases and
guarantees a specific number of hours of treatment. Upon approval, Defendants
are required to offer “every class member (including detainees not yet committed
who nonetheless wish to commence treatment, but excluding residents who refuse
treatment and those on MAP)7 a minimum of 20 hours per week of
professionally-led or professionally monitored therapeutic programming,
5
An addendum to the Settlement Agreement was executed in July 2012. (Moses Decl., Ex. B.)
6
The pertinent settlement terms are merely summarized herein. In the event the description of
settlement terms in this Opinion conflicts with the actual language of the Settlement Agreement,
the Settlement Agreement, of course, controls.
7
MAP is a program generally reserved for residents displaying more volatile or problematic
behavior. A more fulsome discussion of the MAP program can be found in prior opinions. See
Fournier v. Corzine, No. 07-1212, 2007 WL 2159584, at *8 n.11 (D.N.J. July 26, 2007).
9
regardless of the resident’s living quarters.” In addition, the “therapy offered
must include, at a minimum, three 90-minute process group sessions per week,
one to two psycho-educational modules, if recommended for that resident, and a
90-minute self help group . . . . If a module recommended to a resident in phase 3
or higher is unavailable, Defendants must provide that resident with the
equivalent self-study materials.” (Moses Decl. ¶ 19(b).) Although residents on
program MAP “may not be entitled to the full 20 hours of therapy, they will
continue to attend their core therapy, consisting of regularly scheduled process
groups and modules, unless therapeutically contraindicated. Residents on tier or
wing MAP will be offered twice-weekly MAP process group.” (Id.)
No Changes in Program Phases Without Notice. The Settlement Agreement
provides that Defendants may not increase the number of treatment phases (as
discussed previously, presently at 5) without notice to Class Counsel. And the
treatment phases cannot be altered so as to intentionally prolong a resident’s
confinement to the STU. (Moses Decl. ¶ 19(c).)
Communication and Feeedback for Residents. The Settlement Agreement
provides that “[t]he treatment plans, six-month reviews and TPRC reviews must
include specific and individualized recommendations for each resident’s treatment
goals. Residents must be informed of the objective criteria needed to meet those
goals (for example, completion of certain modules and successful post-module
testing) and must be given anticipated time frames for completion of the objective
criteria and for attainment of their ultimate treatment goals. Similarly, the TPRC
reports must include an anticipated time frame for promotion for the next phase of
the program. In addition, Defendants must adopt objectively measurable pre-and
post module testing and provide residents with their results within 15 days of the
test. Defendants must also inform the residents of any significant decision
regarding their treatment . . . both orally and in writing within 15 days.” (Moses
Decl. ¶ 19(d).)
Post-Discharge Preparation. The Settlement Agreement requires that social
work staff at the STU develop a discharge plan for residents in phase 4 or higher,
which includes requiring the staff to assist with housing and obtaining the support
necessary for discharge. (Moses Decl. ¶ 19(e).)
Vocational, Educational, and Recreational Opportunities. “Defendants must
conduct an individualized vocational assessment of each resident within 45 days
of final commitment, develop a plan for building on his skills and strengths, and
offer each resident not on MAP or treatment refusal status an average of 10
weekly hours of institutional (paid) work or other vocational activities. Residents
will also be entitled to ten hours of educational activities per week, including
GED coursework. . . . Recreational activities must also be available six days per
week.” (Moses Decl. ¶ 19(f).)
10
Hire Additional Treatment Staff. The STU must hire additional licensed and
qualified therapists so that the therapist to resident ratio is 8 therapists for every
50 residents. Therapists must spend 16 hours a week in direct contact with the
residents. (Moses Decl. ¶ 19(g).)
Staff Training & Evaluation. The Settlement requires the DHS to retain
independent experts in the field of sex offender treatment and have at least one
expert visit the facility per quarter. The expert will evaluate the STU program,
report his or her findings to the STU administration and provide continuing
education to the STU’s therapists and staff. (Moses Decl. ¶ 19(h).)
The Appointment of a Treatment Ombudsperson. The Settlement Agreement
requires Defendants to retain a treatment ombudsperson who will establish a
resident complaint system for treatment issues. The ombudsperson will be
required to investigate all treatment related complaints and report back to
residents. The ombudsperson will also meet with the residents in town hall
meetings. (Moses Decl. ¶ 19(i).)
The Appointment of an Independent Monitor. The Settlement Agreement will
also result in the appointment of a neutral monitor by the Court. The monitor will
be responsible for conducting annual inspections of the facility, during which he
or she will be given full access to the facilities, residents and staff. The
agreement also provides that the monitor will prepare a written report regarding
defendant’s compliance for the period being evaluated, which will be provided to
counsel for Plaintiffs and Defendants. Defendants will then have a period to
respond to the monitor’s report. If Defendants lodge objections and they are
overruled, Defendants will have a 75 day period to cure any deficiency identified.
If they fail to do so, Plaintiffs can seek enforcement from the Court or declare the
provisions null and void and resume litigation. The monitoring period is for a
presumptive five years. There are certain triggers that can shorten the monitoring
period for specific provisions to no less than 3 years. (Moses Decl. ¶ 19(j).)
Preservation of Individual Claims. The settlement agreement also preserves for
class members the right to pursue damages with respect to any claims not alleged
in the Second Amended Complaint, including tort claims. (Moses Decl. ¶ 31(a)
citing Settlement Agreement § Section IX.)
III.
CERTIFICATION OF THE CLASS & PRELIMINARY APPROVAL
On March 24, 2012, Plaintiffs filed an amended consolidated class action complaint,
11
which remains the operative pleading.8 Shortly thereafter, the parties filed a joint motion for
class certification and preliminary approval of the settlement. By Order dated March 29, 2012,
modified on April 4, 2012, this Court certified a class pursuant to Federal Rules of Civil
Procedure 23(a) and 23(b)(2) that is defined as:
all persons who are committed or confined pending commitment to
the New Jersey Special Treatment Unit pursuant to the New Jersey
Sexually Violent Predator Act, N.J.S.A. 30:4-27.24, et seq.
(Order dated April 4, 2012; CM/ECF No. 158.)
This Court also: (1) found that the settlement is “preliminarily approved as fair,
reasonable and adequate subject to further consideration by this Court”; (2) designated Plaintiffs
as class representatives; (3) appointed Gibbons P.C. and Seton Hall’s Center for Social Justice as
Class Counsel; (4) approved the form and manner of notice to be given to the class, including a
deadline for class members to submit objections; and (5) scheduled a Fairness Hearing. Id.
The Class includes approximately 471 residents of the STU. (Declaration of Barbara
Moses, Esq., Regarding Notice and Objections, dated June 12, 2012 (“June 12 Decl.”) ¶ 8;
CM/ECF No. 177.) Notice of the settlement was provided to all class members who were given
a chance to submit objections. (June 12 Decl. ¶¶ 4-7.)9 Approximately 156 objections to the
settlement have been received. (June 12 Decl. ¶ 9.)
Thereafter, Class Counsel and Defendants submitted a joint motion for final approval of
the settlement. Pro bono counsel for the Bagarozy Plaintiffs submitted a brief in opposition to
8
Of note, the Department of Corrections and the DOC-related defendants are not named in the
SAC and the parties, and any related claims, are not part of this settlement. (Moses Decl. ¶
31(e); Azmy Decl. ¶ 51.)
Rule 23(e) requires that notice of a proposed class settlement be provided “in a reasonable
manner to all class members who would be bound.” Id. Here, no legitimate challenge to the
adequacy of class notice has been made. And the fact that a number of objections have been
received confirms that notice of the proposed settlement was adequate.
9
12
the settlement. Generally speaking, as is discussed more below, the Bagarozy Plaintiffs are
dissatisfied with the settlement because it does not incorporate all of the recommendations of Dr.
Becker, the expert who evaluated the STU during settlement negotiations. This group of
Plaintiffs also objects to the settlement’s lack of guaranteed funding. In addition to the brief
from the Bagarozy group, 156 objections were received by individuals confined to STU. These
objections are, at times, difficult to understand and run the gamut from objecting to issues or
parties that are not involved in the case, to seeking millions of dollars in damages, even though
this is an injunctive class action.
On November 13, 2012, a Fairness Hearing was held pursuant to Federal Rule of Civil
Procedure 23(e)(2). Appearing for Plaintiffs was Class Counsel, Seton Hall’s Center for Social
Justice and Gibbons, as well as three Seton Hall Law School students working under the
supervision of Professor Moses.10 Pro bono counsel Greenberg Traurig appeared for the
Bagrozy Plaintiff/Objectors. Also appearing was Jack Furlong, Esq., representing two Plaintiffs,
William Moore and Maryann Hysler.11
IV.
APPROVAL OF CLASS ACTION SETTLEMENTS
Under Rule 23, a court may only approve a class settlement after it has held a hearing and
determined that the settlement is “fair, reasonable, and adequate.” Fed. R. Civ. P. 23(e)(2). The
fairness of a class action settlement is most commonly evaluated by consideration of the factors
10
The students are Lisa Savadjian, Rose Harper, and Kyle Bruno. (Transcript of Fairness
Hearing, dated November 13, 2012 (“Tr.”) at 3:21-25.)
11
Lamont Brooks and Douglas Minatee, two former residents of the STU, also appeared at the
Fairness Hearing and placed comments on the record. (Tr. at 49:4-56:4.) However, the Court
notes that neither Mr. Brooks nor Mr. Minatee are class members since neither is confined to the
STU.
13
found in Girsch v. Jepson, 521 F.2d 153 (3d Cir. 1975):
1) the complexity, expense and likely duration of the litigation
. . . ; (2) the reaction of the class to the settlement . . . ; (3) the
stage of the proceedings and the amount of discovery
completed . . . ; (4) the risks of establishing liability . . . ; (5) the
risks of establishing damages . . . ; (6) the risks of maintaining the
class action through the trial . . . ; (7) the ability of the defendants
to withstand a greater judgment; (8) the range of reasonableness
of the settlement fund in light of the best possible recovery . . . ;
(9) the range of reasonableness of the settlement fund to a
possible recovery in light of all the attendant risks of litigation.
The Girsch factors are a guide and the absence of one or more does not automatically
render the settlement unfair. See In re Am. Family Enter., 256 B.R. 377, 418 (D.N.J. 2000).
Rather, the Court must look at all the circumstances of the case and determine whether the
settlement is within the range of reasonableness. See In re AT&T Corp. Secs. Litig., 455 F.3d
160 (3d Cir. 2006). In addition, a district court should consider whether the settlement is
proposed by experienced counsel who reached the agreed-upon terms through arms-length
bargaining. See In re Warfain Sodium Antitrust Litig., 391 F.3d 516, 535 (3d Cir. 2004).
Settlement of litigation is generally favored by courts, especially in the class action setting. “The
law favors settlement, particularly in class actions and other complex cases where substantial
judicial resources can be conserved by avoiding formal litigation.” In re Gen. Motors Corp.
Pick-Up Truck Fuel Tank Prod. Liab. Litig., 55 F.3d 768, 784 (3d Cir. 1995); see also In re
Warfain, 391 F.3d at 535 (noting the “overriding public interest in settling class action
litigation”). At the same time, the district court functions as “a fiduciary who must serve as a
guardian of the rights of absent class members” by ensuring that the proposed settlement is fair,
reasonable, and adequate.” In re General Motors, 55 F.3d at 785. In sum, the Court’s evaluation
of the settlement is guided by the Girsch factors, but the Court is “free to consider other relevant
14
considerations and tacts involved in the settlement.” Colon v. Passaic County, No. 08-4439,
2012 WL 1457764, at *2 (D.N.J. Apr. 24, 2012).
V.
APPLICATION OF THE GIRSCH FACTORS
1.
Complexity, Expense and Likely Duration of the Litigation
This factor is intended to “capture ‘the probable cost, in both time and money, of
continued litigation.’” In re General Motors, 55 F.3d at 812 (quoting Bryan v. PPG Indus., 494
F.2d 799, 801 (3d Cir. 1974)). Where the complexity, expense, and duration of litigation are
significant, the Court will view this factor as favoring settlement. In re Prudential Ins. Co. of
Am. Sales Practices Litig., 962 F. Supp. 450, 536 (D.N.J. 1997) (“Prudential I”).
If this action were to continue, the parties would expend considerable time and money
pursuing their claims. Absent settlement, additional discovery would be required, including
depositions, additional expert discovery and dispositive motion practice. If the action survived
dispositive motion practice (in whole or in part), a trial would also be required, which could take
weeks. Appeals that would likely follow could take additional years. Added to all of this would
be the further complication that the consolidated cases contain a mix of individual pro se
litigants who would likely seek to pursue individual claims. By reaching a settlement now, the
parties “avoid[] the costs and risks of a lengthy and complex trial.” Ehrheart v. Verizon
Wireless, 609 F.3d 590, 595 (3d Cir. 2010). Since continued litigation would be time-consuming
and expensive, settlement makes eminent sense. This factor weighs in favor of approving the
settlement.
2.
Reaction of Class
The second Girsch factor evaluates whether members of the class generally support or
15
object to the settlement. See In re General Motors, 55 F.3d at 812. In order to properly evaluate
the settlement, “the number and vociferousness of the objectors” must be examined. Id.
Generally, “silence constitutes tacit consent to the settlement.” Id.
Here, there are approximately 471 members in the Class. (See June 12 Decl. ¶ 8.) Twothirds of the class did not submit timely objections to the settlement. (Id.) Thus, the Court
presumes that two-thirds, or approximately 312 class members, support the settlement. See In re
General Motors, 55 F.3d at 812. This is strong support in the STU community for approval of
the Settlement Agreement. See, e.g., Pack v. Beyer, No. 91-3709, 1995 WL 775360, at *6
(D.N.J. Dec. 22, 1995) (approving prison conditions settlement with more than 40% of class
objecting because, in part, “a clear majority of the class favors settlement”). The two-third
support is even more impressive because Class Counsel states that she observed a flyer posted in
the STU, which was apparently created by an objecting member of the class, attempting to gather
support for opposition to the settlement, stating: “Counsel has told us that the more residents that
make valid challenges, the better chance we have of getting a better deal.” (June 12 Decl. ¶ 7.)
The Court does not comment on the flyer to suggest that the effort was in any way improper, but
rather to illustrate that, despite this effort, more than two-thirds of the class (i.e., over 300 STU
residents) agreed with the settlement reached. (Moses Decl. ¶ 29.) Thus, overall, the Court
considers the reaction of the class to be very positive.
Objections to the settlement were also received. The Bagarozy Plaintiffs, through pro
bono counsel, the Greenberg Trauig law firm, submitted a brief, which primarily objects to the
settlement based on their concern that the settlement does not incorporate all or mostly all of the
report of Dr. Becker. In addition, the Court received 156 timely pro se objections to the
settlement, which amounts to about one-third of the class. (June 12 Decl. ¶ 9.) These objections
16
were submitted by un-counseled class member residents of the STU and touch on a wide range
of issues. Some of the objections are difficult to understand, and many are repetitive.12
Moreover, a number of the objections lack legal merit on their face13 and/or are “the result of a
fundamental misunderstanding of the underlying purpose of the class action, a lack of knowledge
of the ramifications to class members of a court-approved settlement, and unrealistic or overly
optimistic expectations.” Hawker v. Consovoy, 198 F.R.D. 618, 628 (D.N.J. 2001).14 Class
Counsel has submitted a declaration that attempts to summarize these pro se objections. (See
generally June 12 Decl.)
Turning to the objections, the Court begins with Dr. Becker’s report.
(i)
Objections Based on the Becker Report
Judith Becker, Ph.D., evaluated the STU facility in 2008, pursuant to a Court-approved
regimen for the sole purpose of aiding settlement negotiations. Following the evaluation, a
report was issued in which Dr. Becker opined on whether aspects of the facility were “minimally
adequate/satisfactory” or “not minimally adequate/unsatisfactory.” (See Procedures of Joint
12
For example, a number of objections are presented in the context of form letters, which means
that the letter was prepared by a resident (or residents) and then circulated to others who changed
the name on the letter and submitted it. Form letters like those described are submitted multiple
times and are signed by various class members, sometimes with alterations and comments.
(June 12 Decl. ¶ 12.)
13
By way of example only, one objection complains about life in the STU but also states that the
objector generally “does not wish to escape and that if the doors were opened he would get some
burgers but return to the STU to eat them.” (Moses Decl. ¶ 25(d).)
14
In cases of this type, it is not unusual to have a large number of objections, nor is it unusual for
a court to approve a settlement over such objections. See, e.g., Reed v. General Motors Corp.,
703 F.2d 170 (5th Cir. 1983) (approving settlement over objections of more than 40% of class
members and 23 out of 27 named plaintiffs); Austin v. Pa. Dep’t of Corr., 876 F. Supp. 1437,
1472 (E.D. Pa. 1995) (approving settlement related to prison conditions over objections of 457
class members); Hawker, 198 F.R.D. at 628 (approving prison conditions settlement over
objections from 250 class members); Pack, 1995 WL 775360, at *5 (approving prison conditions
settlement over objection from 41% the class)
17
Expert Review and Evaluation; CM/ECF No. 214 at 41.) The primary objection to the
settlement, from counseled objectors like the Bagarozy Plaintiffs and from pro se objector/class
members alike, is that the settlement agreement does not adopt all or nearly all of the Report’s
recommendations.
This objection confuses the appropriate inquiry for evaluating the fairness of the
settlement, essentially contending that the settlement must be measured by Dr. Becker’s report.
In short, these objectors ostensibly state that any settlement that does not fully incorporate Dr.
Becker’s report is inadequate or unfair. This is unrealistic and incorrect. The applicable legal
standard is much different than the one relied upon by Dr. Becker in preparing her report. Under
an appropriate legal analysis guided by controlling principles, there is no question that the
settlement is fair, reasonable and adequate and would provide Plaintiffs with more than the
minimally adequate mental health treatment to which they are entitled.
a.
The Becker Report Does Not Apply the Applicable Law
“Minimally adequate” treatment is determined by the standard set forth by the Supreme
Court in Youngberg v. Romeo, 457 U.S. 307 (1982). In Youngberg, which arose under facts
different from those here, the Supreme Court held that an individual involuntarily confined to an
institution for the mentally retarded had a fundamental liberty interest in “minimally adequate”
treatment, defined as “such training as an appropriate professional would consider reasonable” to
facilitate his freedom from restraint. Id. at 318.
The Third Circuit has applied the Youngberg standard to involuntarily committed sex
offenders confined to the STU. See Deavers v. Santiago, 243 Fed. Appx. 719, 722 (3d Cir.
2007) (applying Youngberg to STU resident committed under the NJSVPA); cf. Leamer v.
Fauver, 288 F.3d 532 (3d Cir. 2002) (applying Youngberg to individual confined under New
18
Jersey’s former sex offender statute). Thus, in cases where, like here, state officials have
imposed substantial deprivations of liberty associated with civil commitment, they must also
provide access to mental health treatment that gives those committed a chance to be cured or to
improve the medical condition for which they were confined. See Greenfield v. Corzine, No. 094983, 2012 WL 1134917, at *22 (D.N.J. Apr. 4, 2012); see also Badu-Shabazz v. Sharp, No. 105637, 2011 WL 1080521, at *14 (D.N.J. Mar. 21, 2011).
However, Youngberg only requires “minimally adequate” treatment, which is not the
same as optimal treatment, perfect treatment, desired treatment, or state-of-the-art treatment. Id.
at 202; see also Haggert v. Adams, No. 02-1456, 2005 WL 399300, at *18 (N.D. Ill. Jan. 14,
2005) (noting, in action by Illinois sexually violent predators, that Youngberg “does not provide
for optimal treatment”); Canupp v. Sheldon, No. 04-260, 2009 WL 4042928, at *11 (M.D. Fla.
Nov. 23, 2009) (noting that Youngberg requires only “minimal” treatment). Indeed, under
Youngberg there is a presumption that a treatment professional’s decisions are correct, and a
constitutional violation only occurs when there is “such a substantial departure from accepted
professional judgment, practice or standards as to demonstrate that the person responsible did not
base the decision on such a judgment.” Id. at 202; see also Deavers, 243 Fed. Appx. at 722;
Badu-Shabazz, 2011 WL 1080521, at *14 (finding no Youngberg allegation could be sustained
because there is “no factual allegation of an absolute denial of treatment . . . and [plaintiff] does
not allege that he has been denied treatment altogether”); Canupp, 2009 WL 4042928, at *11
(noting in, SVP case, that “[u]nder the professional judgment standard decisions made by trained
professionals are entitled to a presumption of correctness”).15
15
While obviously bound by the law of this Circuit, it is worth noting that that the Eighth
Circuit has not read Youngberg the same as the Third Circuit and has held that sex offenders are
not constitutionally entitled to any mental health treatment. See Strutton v. Meade, 668 F.3d
19
Dr. Becker’s report does not mention or apply the Youngberg standard. This alone
invalidates using her report as the measure of fairness of the settlement. No one disputes Dr.
Becker’s expertise or that her report was comprehensive, learned, and scholarly and that it
furthered the settlement process in this case. However, in performing her review, Dr. Becker
was to rely on the “professional standards [she] believed relevant and applicable.” (See Joint
Settlement Procedures at 40.) That is, Dr. Becker gave her opinion as any expert would based on
her expertise and her personal view of the circumstances she was evaluating. However, Dr.
Becker’s report does not substitute for the judgment of the court and does not replace the
Youngberg standard for determining minimally adequate care.
b.
The Becker Report Conflicts With Other Relevant Authority
There are other problems with using the Becker Report to judge the settlement’s fairness.
For example, the objectors fail to acknowledge that Dr. Becker is not the only expert in the field
of sex offender treatment, and other experts have substantially differing opinions about what
constitutes adequate treatment. For example, Dr. Main, a defendant in this case, is also an expert
on the subject of treatment for civilly committed sex offenders. And while his view with respect
to this case is weighted, he has also served as an expert in other cases. In one such case, Strutton
v. Meade, Dr. Main testified as an expert witness that a program offering substantially less than
what is already offered to STU residents would satisfy Youngberg. See 2010 WL 1253715, at
*4, 17-18 (E.D. Mo. Mar. 31, 2010). There, the treatment offered consisted of only one weekly
process group (one third of what the settlement here requires) and no modules at all (less than
what is already offered at the STU and certainly less than what the settlement provides). See id.
549, 557 (8th Cir. 2012) (“the district court was correct that Strutton does not have a
fundamental right to sex offender treatment). Of course, the NJSVPA requires that the New
Jersey DHS “provide or arrange for treatment for a person committed pursuant to [the Act].”
N.J.S.A. 30:4-27.34(b).
20
at *17-18. After a jury trial, the district court found such treatment more than sufficient,
concluding that sex offenders did not have a right to any treatment. Id. The Eighth Circuit
affirmed on direct appeal. See Strutton v. Meade, 668 F.3d 549, 557 (8th Cir. 2012) (“the
district court was correct that Strutton does not have a fundamental right to sex offender
treatment”).
Likewise, the objectors’ reliance on the Becker Report fails to account for the fact that
many of the Report’s recommendations are not required for the provision of minimally adequate
care based on existing case law. The Bagarozy Plaintiffs (and other pro se objectors) claim that
Dr. Becker’s recommendations were not followed with respect to, primarily, the following
subjects: the gradual de-escalation of restraints;16 increased therapeutic community time;
increased visitation; recreational activities; and psychiatric consultation. (Bagarozy Br. 22.)
However, in light of preexisting case law in this district, the inclusion of these recommendations
are not required under the Youngberg standard, and it is hard to see how Class Counsel could
have forced Defendants to relent on any of these subjects during settlement negotiations.
For example, in Greenfield v. Corzine, this Court already dismissed a class member’s
claim alleging, among other things, that the vocational, recreational, and educational offerings at
the STU were inadequate. See 2012 WL 1134917 (D.N.J. Apr. 4, 2012) (Cavanaugh, J.). In
Minatee v. Special Treatment Unit, another court in this district dismissed claims of one of the
Bagarozy Plaintiffs alleging that Defendants should have placed him in a community based
setting, and rejected the plaintiff’s request for an injunction directing the creation of a halfway
house or community-based treatment facility. See 2011 WL 5873055, at *4 n.6 (D.N.J. Nov. 16,
This refers to STU residents’ desire for to have more freedom of movement, including greater
opportunities for furloughs and/or supervised forays into the community and the use of a halfway
house or group home community. (See Bagarozy Br. at 22.)
16
21
2011); see also Fornier v. Corzine, 2007 WL 2159584 (D.N.J. July 26, 2007) (Cavanaugh, J.)
(rejecting challenge that NJSVPA was punitive because residents are not permitted to transfer to
halfway houses). Finally, in Badu-Shabazz, another court dismissed allegations that treatment
program at the STU was inadequate because there is “no factual allegation of an absolute denial
of treatment . . . and [plaintiff] does not allege that he has been denied treatment altogether.”
2011 WL 1080521, at *14.
In sum, the Becker Report contains recommendations that could be described as “pie-in
the-sky” in terms of the quality and quantity of sex offender treatment. However, the report is
not based on the Youngberg standard and does not control whether the settlement is fair and
reasonable.17 Despite the objectors’ protestations to the contrary, the Court does not find that the
Becker Report weighs against approval of the settlement.
c.
The Settlement Incorporates Many of Dr. Becker’s Recommendations
Although full implementation of the Becker Report is not necessary for a fair and
reasonable settlement, the Bagarozy Plaintiffs and the unrepresented class member objectors fail
to account for the fact that the Settlement Agreement does, in fact, implement many of Dr.
Becker’s recommendations.
For example, Dr. Becker recommended that the STU conduct a comprehensive
psychological evaluation of each resident upon admission, that pre- and post-module testing be
performed, and that certain instruments, including the “Psychopathy Checklist Revised,” be
utilized to assess treatment progress. (See Becker Report at 12-13, 27.) The Settlement
The objectors frequently invoke a statement in Dr. Becker’s report that the living conditions in
the STU were “the worst she has ever seen.” (Becker Report at 9.) However, this was not a
reference to the STU’s treatment programs, which is what this case is about, but rather a
reference to the physical facilities, which have since changed and are nevertheless within the
control of the New Jersey Department of Corrections, a non-party.
17
22
Agreement responds to these recommendations. See Settlement Agreement §§ VI.A.3.a,
VI.A.3.c., and VI.A.3.e.18
Dr. Becker also suggested that the STU provide more “clear criteria” for the advancement
through the STU treatment phases and ensure that therapists were available to further that
advancement. The settlement addresses these issues. It increases the number of process groups,
mandates a greater number of available modules, requires the staff to provide a minimum
number of resident to therapist hours, and results in the hiring of additional therapists. See
generally Settlement Agreement at §§ VI.A.3.a.3, VI.B.2.
Dr. Becker also recommended that “more process groups and more modules be offered,”
so that each resident is provided “a minimum of 15 to 20 hours in direct clinical service.” The
Settlement Agreement incorporates this recommendation. See Settlement Agreement §§ VI.B.3
and VI.B.10.
Likewise, Dr. Becker criticized the STU’s procedures for “release preparation and
programming” based on her primary concern that a majority of men on conditional release “felt
that had to find housing and jobs on their own.” The Settlement Agreement again addresses this
issue by requiring the STU’s social work staff to develop a discharge plan for every resident in
stage 4 or higher and assist the resident in finding housing and obtaining support. See generally
Settlement Agreement at § VI.G.
18
Coincidentally, Dr. Becker recommended that every resident be assessed using the Hare
Psychopathy Checklist (which is psycho-diagnostic tool commonly used to asses psychopathy)
and urged the parties to utilize penile plethysmography “with every resident who is willing to
undergo such assessment.” (Becker Report at 12.) The settlement does not implement these
recommendations; indeed, the settlement agreement prohibits the use of both techniques unless
they are administered by properly trained staff. This is noteworthy because a number of
objectors oppose the use of these assessment tools for any reason, while at the same time
championing the Becker Report as the barometer of the settlement’s fairness. This inconsistency
underscores that Dr. Becker’s opinion is subject, like any other assessment, to negotiation and
compromise, especially in the course of settlement discussions.
23
The Settlement Agreement also adopts additional recommendations in the Becker Report
regarding staffing levels, vocational and recreational offerings, and the hiring of an Ombudsman.
(Moses Decl. ¶ 33.) Thus, even though much of the treatment recommended does not appear to
be constitutionally required, the Settlement Agreement does not ignore or minimize the Becker
Report, as the objectors contend. In fact, the Settlement Agreement adopts much of it.
In sum, the objections that have been filed based on the Becker Report do not
demonstrate to the Court that the settlement is unfair or unreasonable.
(ii)
Objections Based on the Possibility of Inadequate Funding
The Bagarozy Plaintiffs and other class members also object to the settlement because it
requires funding by the State of New Jersey, which is not guaranteed. The Court does not view
this objection as a serious impediment to approving the settlement. Defendants cannot guarantee
the funding needed to fully implement the settlement because it is subject to the budget process.
However, that does not make the settlement illusory, as the objectors suggest. Indeed, the
Settlement Agreement clearly provides that the Defendants will seek “as one of DHS’s top
priorities” sufficient funding for the settlement. See Settlement Agreement § VIII.A.
The settlement also goes a step further. In the event funding is not secured, the Plaintiffs
are not, as they suggest, without recourse. The Settlement Agreement specifically provides that,
if funding is not secured, the Plaintiffs have the opportunity to declare any affected provisions
“void” and resume litigation with respect to that provision. See Settlement Agreement §§
VIII.B, X.A. Plaintiffs are not required to give up any additional rights or forfeit any other terms
of the settlement and can simply resume litigation with respect to any affected portion. This is a
palpable benefit to Plaintiffs; if a portion of the settlement is not funded, Plaintiffs will continue
24
to reap the benefits of whatever portions of the agreement are not affected, and still have the
right to pursue litigation to address any shortfalls.
Defendants cite Levell v. Monsanto, 191 F.R.D. 551 (S.D. Ohio 2000), to suggest a lack
of guaranteed funding undercuts the fairness of the settlement. This case is easily
distinguishable. In Monsanto, the settlement, which was contingent on funding from the federal
government, did not have a provision that allowed the Plaintiffs to reinstitute suit such as the one
present here, leaving the Plaintiffs with absolutely no recourse if the necessary funding was not
secured. Id. at 551-53. Rather than suggesting that guaranteed funding was required for a fair
settlement, the Monsanto court went out of its way to say that, had the parties provided a
contingency for the funding issue, such as one that would allow the plaintiffs to resume litigation
if funding was not secured, the settlement could have been approved. See id. at 553 n.16.19 That
is precisely what has happened here.
This case is very much like Austin v. Pa. Dep’t of Corr., 876 F. Supp. 1437 (E.D. Pa.
1995), where the court specifically rejected the argument that the settlement was illusory and
unenforceable because it required statutory funding, noting that the ability to reinstiute suit gave
Defendants a “clear incentive to achieve full compliance.” Id. at 1448. So too here.
Finally, it should be noted that Defendants have already begun to implement the
settlement, even though it has not yet been approved. Dr. Main represents that, using funds
already received from prior appropriations acts, “even in advance of the approval of the
settlement,” the STU has begun to develop pre- and post-module testing; revised the Resident
Guide; implemented a newly devised and developed treatment plan, and conducted
19
Objectors also cite Wyatt v. Anderholt, 503 F.2d 1305 (5th Cir. 1974) and Harris v. Vector
Marketing Corp., 2011 WL 4831157 (N.D. Cal. Oct. 12, 2011) to support their argument. The
precise reason is unclear, however, because neither case has anything to do with settlement or
fairness of class action settlements.
25
individualized vocational assessments for residents. (Main Decl. ¶ 8; Supplemental Declaration
of Merrill Main, Ph.D. (“Supp. Main Decl.”) ¶¶ 2-4.) Moreover, the state has entered into two
previous settlement agreements with similar funding contingencies and neither of those
agreements has been voided due to insufficient funding. (See Supplemental Declaration of
David L. DaCosta (“Supp. DaCosta Decl.”) ¶ 4.)
(iii)
Additional Objections
The Court has received additional pro se objections from class member residents of the
STU. These objections have been summarized by Class Counsel. (See June 12 Decl. & Ex. D
(Table Summary of Objections).) Some of the objections are difficult to understand. Some are
also repetitive in the sense that there are a number of objections stating, in verbatim fashion, the
same grievances but signed by different residents. And, as mentioned before, a number of
additional objections appear to be “the result of a fundamental misunderstanding of the
underlying purpose of the class action, a lack of knowledge of the ramifications to class members
of a court-approved settlement, and unrealistic or overly optimistic expectations.” Hawker, 198
F.R.D. at 628. To the extent possible, the objections are grouped by category and addressed
below. The Court has also tried to identify representative objections for each category; however,
many of the objections raise a number of issues, and thus, do not fit neatly within any single
category.
a.
Objections Based on Claims for Monetary Damages
There are a number of objections that seek monetary damages, often tens of millions of
26
dollars.20 These objections are meritless because this is a class action certified pursuant to Rule
23(b)(2) that seeks only injunctive relief. See Hawker, 198 F.R.D. at 630 (when complaint did
not seek money damages “the absence of an award of money damages is neither unfair nor
unreasonable).
b.
Objections Based on Commitment to the STU
There are a large number of objections that claim that the writer was improperly
committed to the STU; that civil commitment to the STU is unconstitutional; that the living
conditions at the STU are substandard; and that actuarial instruments used in pre-commitment
hearings are improper.21 Any objections challenging the constitutionality of civil commitment
fail as a matter of law. See Kansas v. Hendricks, 521 U.S. 346 (1997) (upholding
constitutionality of indefinite civil commitment). The remaining objections simply
misapprehend the scope of this case. This case is limited to the quantum and quality of mental
health treatment at the STU. It does not involve commitment to the STU or what happened to
individual class members prior to commitment. Thus, these objections do not weigh against
approval of the settlement. See, e.g., D.M. v. Terhune, 67 F. Supp. 2d 401, 406 (D.N.J. 1999)
(objections based on issues not involved in the case are futile).
For example, class member Joseph Aruanno seeks “significant monetary and punitive
damages.” See Objection of Joseph Aruanno [CM/ECF No. 177-5 at 17]. Likewise, class
member John Banda asks for “$25 million dollars from each listed defendant in their personal
and individual capacities.” See Objection of John Banda [CM/ECF No. 177-5 at 91].
20
21
See, e.g., Objection of Walter Harrell [CM/ECF No. 177-4]; Objection of Daniel Goodman
[CM/ECF No. 177-5]; Objection of Santos Rivera [CM/ECF No. 177-7 at 112]; Objection of
Bharat Malde [CM/ECF No. 176-6 at 141]; Objection of David Carson [CM/ECF No. 177-5 at
145-46].
27
c.
Objections Seeking Halfway House Community
A number of objections seek the use of a halfway house system, or the implementation of
outpatient sex offender treatment, as opposed to the in-patient STU facility. See, e.g., Objection
of Michael Hasher [CM/ECF No. 177-6 at 66-85.] However, the creation of a halfway house
system is not required under Youngberg. See, e.g., Fournier, 2007 WL 2159584, at *8. And the
Supreme Court has already approved the use of inpatient facilities like the STU. See Kansas,
521 U.S. at 370. Thus, these objections do not weigh against approval of the settlement.
d.
Objections Seeking Release
A number of objectors seek immediate release or release from the STU at a certain age or
after a certain period of confinement.22 However, the Supreme Court has already approved
indefinite civil confinement of sexually violent predators. See Kansas, 521 U.S. at 346. Thus,
these objections are futile.
e.
Objections Based on Department of Corrections Issues
A large number of objections are focused on the physical facilities at the STU and on the
presence and activities of DOC personnel.23 These objections do not bear on the fairness of the
settlement because the DOC and its personnel are not parties to this case. See, e.g., D.M, 67 F.
Supp. 2d at 406. To the extent appropriate, these claims may be pursued as individual actions.
22
See, e.g., Objection of Tyrone Hill [CM/ECF No. 177-6 at 88]; Objection of Stephen Jaffe
[CM/ECF No. 177-6 at 103]; Objection of David Haggerty [CM/ECF No. 177-6 at 58];
Objection of Victor Moody [CM/ECF No. 177-7 at 47].
23
See, e.g., Objection of Mark King [CM/ECF No. 177-6 at 113]; Objection of Benjamin
Hudson [CM/ECF No. 177-6 at 95]; Objection of Paul Winthrop [CM/ECF No. 177-8 at 82].
28
f.
Objections Based on Individual Claims
A number of objections have been filed that are based on individual issues or the
perception that the settlement will eliminate a resident’s individual claims, including objections
focused on the “prison like” conditions at the facility; the food served; the housing conditions;24
and other similar, individual issues. These objections also do not bear on the fairness of the
settlement because the Settlement Agreement does not address or extinguish these claims. Stated
differently, any complaints based on issues that are beyond the scope of the Second Amended
Complaint are not part of this settlement. The objections received show tremendous confusion
on this subject so it bears repeating: To the extent claims are not part of the Second Amended
Complaint and are otherwise cognizable, residents can attempt to pursue these claims
independently. See Settlement Agreement § Section IX.25
g.
Objections to the Class Representatives
A number of objectors, including one of the more prominent form objection letters,
object to Plaintiffs’ class representatives. Although the reasons are not entirely clear, some
objectors suggest the class representatives are subject to different treatment regimes and that this
creates a conflict.26 Others suggest that the representatives were either misled or engaged in
collusion.
24
See, e.g., Objection of Richard Bagarozy [CM/ECF No. 177-5 at 22-31].
25
A letter from Jack Furlong, Esq., dated May 14, 2012, suggests that his clients, William Moore
and Maryann Hysler, object to the settlement to the extent it impacts their claims regarding
religious liberty and the right to marry. As discussed at the Fairness Hearing, the settlement does
not impact these claims. (See Tr. 38:8-40-23.)
26
See, e.g., Objection of Benjamin Hudson [CM/ECF No. 177-6 at 95]; Objection of Gilden
Rivera [CM/ECF No. 177-7 at 106]; Objection of Edward Salerno [CM/ECF No. 177-7 at 12324]; Objection of Rodney Roberts [CM/ECF No. 177-7 at 115].
29
For Rule 23 purposes, lead plaintiffs are typical of the class they represent if there is a
strong similarly in legal theories alleged and the claims arise from the same course of conduct.
See In re Prudential Ins. Co. Sales Practices Litig., 148 F.3d 283, 311-12 (3d Cir. 1998)
(“Prudential II”); Grasty v. Amalgamated Clothing & Textile Workers Union, 828 F.2d 123 (3d
Cir. 1987). Lead plaintiffs are considered adequate representatives if they do not have interests
antagonistic to those of the class. See Prudential II, 148 F.3d at 312; Georgine v. Amchem
Prods., Inc., 83 F.3d 610, 630 (3d Cir. 1996), aff’d sub nom. Amchem Prods., Inc. v. Windsor,
521 U.S. 591 (1997).
Here, there is no conflict between the class representatives and class members because,
regardless of why each class member is confined in the STU, they are all subject to the same
general mental health program and, therefore, its alleged inadequacies impacts all of them. The
lead plaintiffs seek a mental health program that offers them a reasonable prospect of being
successfully treated for the mental abnormality that led to their confinement. This goal does not
and could not conflict with any other class member because no class member has an interest in
an inadequate treatment program. Thus, regardless of any slight variance in treatment for
individual class members, the Court is satisfied that the lead plaintiffs are adequate and typical
class representatives.
h.
Objections to Class Counsel
A number of objectors contend that Class Counsel suffers from a conflict of interest. In
determining the adequacy of class counsel, the Court determines whether counsel is “qualified,
experienced, and generally able to conduct the proposed litigation.” New Directions Treatment
Servs. v. City of Reading, 490 F.3d 293, 303 (3d Cir. 2007). These objectors contend that the
Seton Hall Law School Center for Social Justice has a conflict and cannot represent the Plaintiffs
30
in this case because, in 1999, certain professors at the law school supported passage of the
NJSVPA.27 This objection is frivolous.
First, none of the professors that supposedly create this conflict have ever represented
Defendants. Second, none have ever been part of the Center for Social Justice, let alone worked
on this case. (Azmy Decl. ¶ 3.) Third, this Court has already twice before rejected requests to
remove Class Counsel; the first in an Order dated September 6, 2012, and the second at the
Fairness Hearing. (See Order dated September 6, 2012, at 6 ¶ 10; Tr. 12:8-21.) Class Counsel
has done an exemplary job representing the Plaintiffs in this case, and any objections to the
fairness of the settlement on this ground are rejected.
3.
The Stage of the Proceedings and the Amount of Discovery Completed
The third Girsh factor requires that the Court consider the “degree of case development
that Class Counsel have accomplished prior to Settlement,” including the type and amount of
discovery already undertaken. In re General Motors, 55 F.3d at 813. Under this factor, the Court
considers whether the amount of discovery completed in the case has permitted “counsel [to
have] an adequate appreciation of the merits of the case before negotiating.” In re Schering–
Plough/Merck Merger Litig., No. 09–1099, 2010 U.S. Dist. LEXIS 29121 at *30 (Mar. 26,
2010). The discovery analyzed encompasses both formal and “informal” discovery, including
discovery from parallel proceedings, companion cases and even third parties, such as experts or
witnesses. Id.
This factor weighs heavily in favor of settlement. The lead case in this consolidated
action is a decade old. The parties engaged in years of formal discovery. They also engaged in a
27
See, e,g., Objection of Eric Cruz [CM/ECF No. 177-5 at 168]; Objection of Benjamin Hudson
[CM/ECF No. 177-6 at 95]; Objection of Daniel Richards [CM/ECF No. 177-7 at 97]; Objection
of Mark Pepe [CM/ECF No. 177-7 at 73].
31
continual informal exchange of information during the settlement process. The Becker Report
provided a form of searching discovery that likely exceeds any discovery permitted by the rules.
Indeed, the existence of the Becker Report and the discovery prior to and after it makes clear that
counsel was intimately familiar with the facts of this litigation. And if that wasn’t enough,
following consummation of the settlement, the parties engaged in “confirmatory discovery” on
the merits of the settlement. Prior opinions have addressed how comprehensive the discovery
process was in this case:
The facts and merits of this case have been investigated, pored
over, and discussed in depth for more than 10 years, including
through STU facility changes and changes in administrations.
There were at least three full years of formal fact discovery. In
addition, in a searching and lengthy process supervised by the
Court, a neutral expert approved by both sides did an
unprecedented, and for the most part unlimited, investigation of the
conditions and treatment programs at the STU. This involved
numerous on-site visits, interviews with staff and residents, and the
review of countless documents. During this process, the Court
resolved any disputes on a real time basis, so that the investigation
could proceed. This investigation resulted in a highly detailed, 27
page, single spaced report on the STU. The Court cannot imagine
any “discovery” that would even approach this delving
investigation and report, which certainly aided the contentious
settlement process. Morever, during the arduous settlement
negotiations, exhaustive information was exchanged and it was
patently obvious to the Court that all counsel were apprised of the
relevant facts. Indeed, adversary counsel argued strenuously over
many specific and discrete issues that revealed a deep
understanding of the issues in this case.
In sum, this is not a case resolved on a scant record without
discovery. Nor does class counsel lack an understanding of the
facts and issues. Quite the opposite.
Alves v. Ferguson, No. 01-789, 2012 WL 2339809, at *3-4 (D.N.J. June 19, 2012). This factor
weighs in favor of settlement.
32
4 & 5. The Risk of Establishing Liability and Damages
The fourth and fifth Girsch factors are commonly analyzed together. See, e.g., McCoy v.
Healthnet, Inc., 569 F. Supp. 2d 448, 461 (D.N.J. 2008). These factors survey the “possible risks
of litigation by balancing the likelihood of success . . . against the immediate benefits offered by
settlement.” Prudential II, 148 F.3d at 319. Where the risks of litigation are high, these factors
weigh in favor of the settlement. See id. To properly weigh these considerations, the Court
should rely to a certain extent on the estimation provided by class counsel, who is experienced
with the intricacies of the underlying case. See Weber v. Gov’t Empls. Ins. Co., 262 F.R.D. 431,
445 (D.N.J. 2009) (quoting Perry v. FleetBoston Fin. Corp., 229 F.R.D. 105, 115 (E.D. Pa.
2005)).
When the risk of establishing liability in this case is balanced against the benefit resulting
from the Settlement Agreement, it is clear these factors weigh heavily in favor of settlement.
Certain Objectors to the settlement contend that, in light of the Becker Report, the risk of not
establishing liability is very slight. Their view is that liability is a fait accompli and the only
discussion should be about the scope of damages. This position is not realistic. Liability would
be a strongly contested issue in this case.
As mentioned previously, the Youngberg standard controls the adequacy of treatment,
not the Becker Report. And under Youngberg, Plaintiffs would have to establish that the present
state of the STU is legally deficient. This would not necessarily be simple. This is demonstrated
by the fact that class members, often proceeding pro se, have had tremendous difficulty
successfully litigating the issue of their treatment. See, e.g, Deavers, 243 Fed. Appx. at 722 (no
violation of rights when placed in restricted activities program without opportunity to contest
allegations against him); Belton v. Singer, No. 10-6462, 2011 WL 2690595 (D.N.J. July 8, 2011)
33
(dismissing case brought by class member and finding that rights were not violated when placed
in prison facility with poor conditions and subjected to prison policies); Bondutrant v. Christie¸
No. 10-3005, 2010 WL 4869094, at *6 (D.N.J. Nov. 22, 2010) (dismissing claim of class
member that his rights were violated when placed in South Unit and limited to “segregated
activities”).28
Yet, the class members’ lack of success is not for a lack of trying. A brief sampling of
Third Circuit case law shows that, certain objectors, such as Joseph Aruanno, are prolific pro se
litigators on the subjects of their confinement, treatment, and civil rights, having more than 20
cases reach the Third Circuit—all without success.29 Likewise, at the Fairness Hearing, Class
Counsel persuasively described the repeated inability of class members to establish liability and
prevail on the merits in cases that were somewhat similar to this case. (Tr. 17:9-18:21.)
Class Counsel’s oral presentation on prior cases underscores the considerable risk
Plaintiffs would face if the settlement was rejected and Plaintiffs attempted to litigate the case to
conclusion. In the face of all of this, some objectors still seem to think that liability can be easily
established in light of the Becker Report, which they contend is the report of the State’s “own
expert.”30 This oversimplifies the liability issue in the case and ignores that the Becker Report
does not utilize the Youngberg standard, wholly apart from the fact that there are serious issues
28
See also Greenfield, 2012 WL 1134917; Minatee, 2011 WL 5873055; Fornier, 2007 WL
2159584; and Badu-Shabazz, 2011 WL 1080521, all discussed supra.
29
See Aruanno v. Velez, No. 12-152, 2012 WL 1232415 (D.N.J. Apr. 12, 2012) (noting, “[s]ince
2005, Mr. Aruanno has filed over 28 civil cases in this Court and 27 appeals in the United States
Court of Appeals for the Third Circuit”), aff’d 2012 WL 4748193 (3d Cir. Oct. 5, 2012).
30
This is a highly misleading description. It is true that Dr. Becker was one of several experts
suggested by Defendants when the parties were considering various individuals to evaluate the
STU for settlement purposes. But, this does not make Dr. Becker “Defendants’ expert,” and
Defendants never adopted Dr. Becker’s opinions. And, were the case to proceed, it would seem
certain that Defendants would, in fact, retain a different expert.
34
regarding whether the Becker Report would even be admissible at a trial.31 In reality, as Class
Counsel notes, this settlement would be the first time that a federal court has mandated change to
the STU and would achieve more for the residents in one action then has been accomplished in
more than a decade of pro se litigation. (See Moses Decl. ¶¶ 40-42.) With no track record of
prior success, Plaintiffs’ ability to establish liability in this case is questionable.
Moreover, even if Plaintiffs were successful and prevailed on the merits of the case
(which, again, has apparently never happened in this district), there is the further risk that the
relief they would obtain following a trial would be less or the same as what has already been
negotiated in the parties’ Settlement Agreement. In other words, contrary to what many
objectors seem to think, prevailing on the merits of the case does not mean that the entire Becker
Report would be automatically implemented. Thus, the Court believes the risk that Plaintiff
would not establish liability at trial weighs in favor of settlement.
In stark contrast to the serious risk associated with liability, the benefits of settlement are
obvious. As the papers and objections received make clear, one of the primary complaints of the
residents at the STU is how long they have been confined to the facility. Professor Moses has
expressed the opinion that the Settlement Agreement provides real change in the near future and
that she believes the best and most effective way for class members to regain their liberty is to
pursue increased treatment and eschew further litigation. (Moses Decl. ¶ 47.) Thus, this factor
weighs in favor of approving the settlement.
There is some disagreement among the parties as to whether Dr. Becker’s report was to be
considered for settlement purposes only pursuant to Federal Rule of Evidence 408. The relevant
procedural history suggests that the Becker Report was for settlement purposes only and would
not be properly admissible at trial.
31
35
6.
The Risk of Maintaining the Class Through Trial
The sixth Girsch factor “measures the likelihood of obtaining and keeping class
certification if the action were to proceed to trial.” In re Warfain, 391 F.3d at 538. This case
was certified as a class action regardless of whether the settlement was approved. This was not a
settlement class. Cf. In re Cmty Bank of N. Va., 418 F.3d 277, 299 (3d Cir. 2005) (discussing
concept of “settlement only” classes). Thus, there is no real risk that this action would not
proceed to trial as a class action. Nevertheless, it should be noted that this consolidated class
action is comprised of many individual pro se complaints from confined residents, which
presents practical problems. In addition, class certification can always be modified at any time
before final judgment. Fed.R. Civ. P. 23(c)(1)(C). All in all, the risk of decertification is small.
Yet, should this case proceed to trial, there remains the possibility that the class could be
decertified or procedural problems managing the class could arise. This factor is neutral.
7.
The Ability of Defendants to Withstand a Greater Judgment
The seventh Girsch factor is “concerned with whether the defendants could withstand a
judgment for an amount significantly greater than the settlement.” In re Cendant, 264 F.3d 201,
244 (3d Cir. 2001). Since the individual defendants are state employees, it would be the State of
New Jersey that bears ultimate responsibility for satisfying any judgment, as well as funding any
additional litigation, trials, and appeals. Presumably the State can fund any judgment that could
be received, thus this factor is neutral. However, it should be noted that these are difficult
economic times. And the negotiations in this case were not isolated from the economic reality
affecting the State of New Jersey. (Azmy Decl. ¶ 55.) While New Jersey would be able to fund
a judgment in this case following a trial, it is more preferable to have a settlement that
36
Defendants consider a funding priority, as opposed to the potential for an unfunded judicial
mandate following a trial and appeals years from now.
8 & 9. The Range of Reasonableness of the Settlement in Light of the Best Possible
Recovery and the Risks of Litigation
The final two Girsh factors collectively “evaluate whether the settlement represents a
good value for a weak case or a poor value for a strong case.” In re Warfarin, 391 F.3d at 538.
To make this determination, the Court analyzes the reasonableness of the settlement against the
best possible recovery and the risks the parties would face if the case went to trial. Prudential II,
148 F.3d at 322.
Here, continued litigation involves considerable risk that the Plaintiffs would lose the
merits of the case. Moreover, even if Plaintiffs prevailed, the relief obtained could be less than is
provided for in the Settlement Agreement. The best possible recovery is hard to quantify in a
case like this. See Canupp, 2009 WL 4042928, at *11 (noting in, SVP case, that [i]t is difficult
to gauge the range of possible recovery in an injunctive case for an area of the law that is not
well litigated”). It appears that few comparable cases have actually been tried, and when they
have, the results have not been good for plaintiffs. See generally Strutton, 668 F.3d at 557
(affirming complete denial of relief and finding no treatment is required). The only case that has
been identified where civilly committed sexually violent predators prevailed following a trial is
Turay v. Richards, No. 07-35309, 2009 WL 229838 (9th Cir. Jan. 29, 2009). And Turay is not
necessarily encouraging for Plaintiffs. In Turay, while the plaintiffs were successful at trial in
showing that the State of Washington’s SVP treatment program was constitutionally deficient,
37
after appeals, the involvement of a special master and many court proceedings, it took seven
years for plaintiffs to secure any relief.32
In contrast, the Settlement Agreement here mandates material improvements to the
treatment program at the STU within 6 months. (Moses Decl. ¶ 43.) The reforms address most
of the issues in the second amended complaint and do so quickly and with some degree of
certainty. The settlement yields substantial and immediate benefits, and it is reasonable in light
of the best possible recovery and the attendant risks of litigation—little or no recovery at all.
Thus, the Court finds these factors weigh in favor of settlement.
10.
Additional Considerations
(i)
Class Counsel
In addition to the Girsh factors, courts in this Circuit traditionally “attribute significant
weight to the belief of experienced counsel that settlement is in the best interest of the class.”
Austin, 876 F. Supp. at 1472. As the Third Circuit has noted, “[c]lass counsel’s duty to the class
as a whole frequently diverges from the opinion of either the named plaintiff or other objectors.”
Walsh v. Great Atl. & Pac. Tea Co., 726 F.2d 956, 964 (3d Cir. 1983) (affirming district court
decision denying named plaintiff’s motion to dismiss class counsel, denying motion to appoint
additional counsel for objectors, and approving settlement over objections from named plaintiff).
Here, Class Counsel are highly skilled attorneys, especially in this area of the law. Their
opinions carry persuasive weight. See Prudential I, 962 F. Supp. at 543 (“the Court credits the
judgment of Plaintiff’s counsel, all of whom are active, respected, and accomplished in this type
of litigation”). Professor Moses represents that class counsel has “reviewed all of the objections
32
While the Turay plaintiffs did secure the right to be discharged to halfway house-like
communities as sought by some objectors in this case, there is a crucial distinction between the
Washington program and the NJSVPA. In particular, the Washington SVP program expressly
contemplates the use of less restrictive facilities; the NJSVPA does not. (Moses Decl. ¶ 44.)
38
and have spoken to a large number of Class Members about the Settlement, both in person and
via telephone,” and that “[counsel] continue to sincerely believe . . . that the Settlement is in the
best interest of the Class as a whole.” (Joint Br. 29.) Moreover, Professor Moses states that
“while the settlement does not guarantee release for any class member, class counsel believes
that the bargained for improvements to the quantity and quality of the mental health treatment
offered at the STU—overseen by an independent monitor—will enable the Class Members to
progress more rapidly and regain their freedom more quickly.” (Moses Decl. ¶ 47.) Class
Counsel’s recommendation provides further support for approving the settlement.
(ii)
The Settlement Negotiations Were Overseen by a Magistrate Judge
In this case, the parties also benefitted from the involvement of a magistrate judge in
mediating the Settlement.33 The participation of an independent mediator in settlement
negotiations “virtually insures that the negotiations were conducted at arm's length and without
collusion between the parties.” Bredbenner v. Liberty Travel, Inc., 09-905, 2011 WL 1344745,
at *10 (D.N.J. Apr. 8, 2011); Kolar v. Rite Aid Corp., No. 01-cv-1229, 2003 WL 1257272, at *3
(E.D. Pa. Mar. 11, 2003) (noting that involvement of magistrate judge in settlement process
“provides a great deal of comfort at the threshold of our fairness consideration”).
(iii)
The Settlement Agreement Requires a Court Appointed Monitor
The Settlement Agreement also calls for the Court to appoint a monitor to ensure
compliance with the agreement’s terms. While the appointment of a monitor may not fit neatly
within any of the traditional Girsch factors, the presence of an observer specifically delegated the
33
The Court would be remiss if it did not recognize Magistrate Judge Falk for his outstanding
effort in bringing this matter to a joint conclusion. During the course of this litigation, he
shepherded this matter through numerous pretrial obstacles and played a major role in bringing
both sides together in final settlement. Quite simply, but not for his significant involvement over
a period of ten years, no resolution would be in sight.
39
task of ensuring compliance with the agreement is an additional safeguard that the settlement
reforms are real, will be implemented, and will provide the class with the increased treatment
that they have bargained for.
VI.
SUMMARY
To the extent the future of the STU residents depends largely on mental health treatment,
this Court finds that the Settlement Agreement does an excellent job of increasing the quantum
and quality of available care. This should provide each resident with an increased opportunity to
show that he has successfully treated his mental abnormality and should be considered for a
conditional discharge. The Agreement may not provide every class member with every aspect of
treatment that they desire. But, the settlement does more for the treatment of sexually violent
predators than any case has been able to accomplish in more than a decade of pro se litigation
since the NJSVPA was passed into law.
The Settlement Agreement easily satisfies the Girsch factors. The settlement is
eminently fair and the negotiation process was unassailable. The Court has no hesitation in
concluding that the majority (if not all) of the Girsh factors, and several additional
considerations, strongly favor approval. The settlement provides a significant benefit to all class
members, which is substantiated by the generally positive response from the class. The
settlement was also recommended by two groups of experienced class counsel, who truly
advocated for the best interests of their clients. For all of the reasons stated above, the settlement
is fair, reasonable and adequate. The Settlement Agreement is approved.
VII.
ATTORNEY’S FEES
The Settlement Agreement also provides that Defendants agree to pay Plaintiffs’ class
counsel, the Seton Hall Center for Social Justice, $78,000 in attorney’s fees as part of the
40
settlement. See Settlement Agreement XII.A. In any Section 1983 action, like this one, the
Court may determine that a prevailing party is entitled to attorney’s fees. See 42 U.S.C. § 1988.
A reasonable fee is generally calculated by application of the lodestar method, which requires
multiplying the hours reasonably expended by a reasonable hourly rate. See City of Riverside v.
Rivera, 477 U.S. 561, 568 (1986) (citing Hensley v. Eckerhart, 461 U.S. 424, 433 (1983)).
There is no need for a full lodestar analysis in this case. The Court finds that the
comparatively de minimus attorney’s fee award agreed to by the parties in this case is per se
reasonable in this decade old case. Professor Moses represents that she personally spent more
than 400 hours on this litigation, and that her usual billing rate is $375.00 per hour. (Moses
Decl. ¶¶ 48-49.) Professor Azmy represents that he spent nearly 1,500 hours working on the
case at $375.00 per hour for a total of more than $560,000 in attorney’s fees. (Moses Decl. ¶ 50;
Azmy Decl. ¶ 59.) Seton Hall Law School students also spent more than a 1,000 hours working
on this litigation. (Moses Decl. ¶ 48.) Co-class counsel at Gibbons, Lawrence Lustberg, Esq.
and other attorneys, spent nearly 700 hours working on the case—in addition to incurring nearly
$40,000 in expenses. (Moses Decl. ¶ 51.) In total, the attorney’s fees expended in this case
appear to be close to $2 million. In light of this, the minimal fee award of $78,000 is clearly
“reasonable” under the circumstances. Hensley, 462 U.S. at 433.
VIII. MONITOR
The Settlement Agreement also calls for the Court to appoint a monitor to facilitate the
implementation of the Settlement Agreement and render determinations as to whether DMHAS
is in compliance. See generally Settlement Agreement § VII. The monitor will be appointed by
separate order following further conference with counsel.
41
IX.
CONCLUSION
Based on all of the reasons set forth above, the party’s motion for joint approval of
settlement [CM/ECF No. 193] is GRANTED. The Court hereby approves the parties
Settlement Agreement and grants Class Counsel’s request for $78,000 in attorney’s fees.
An appropriate Order will be entered.
s/Dennis M. Cavanaugh__________________
DENNIS M. CAVANAUGH
UNITED STATES DISTRICT JUDGE
DATED: December 4, 2012
42
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