LIGHTHOUSE POINT MARINA & YACHT CLUB, LLC v. INTERNATIONAL MARINE UNDERWRITERS
Filing
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AMENDED OPINION. Signed by Judge William H. Walls on 1/20/15. (DD, )
NOT FOR PUBLICATION
UNITED STATES DISTRICT COURT
DISTRICT OF NEW JERSEY
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LIGHTHOUSE POINT MARINA &
YACHT CLUB, LLC,
Plaintiff,
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v.
INTERNATIONAL MARINE
UNDERWRITERS,
Defendant.
AMENDED OPINION
Civ. No. 14-2974 (WHW)(CLW)
Walls, Senior District Judge
Plaintiff brought this action against its insurer, seeking payment for alleged wind and
water damage to residential property during Hurricane Sandy. Defendant alleged that the lawsuit
was fraudulent. The Court dismissed the action and ordered Plaintiff to show cause why the
Court should not impose sanctions for filing a complaint that lacked factual basis. Plaintiff did
not respond, despite timely receiving the order through ECF and by certified mail. The Court
now imposes sanctions.
FACTUAL AND PROCEDURAL BACKGROUND
This was one of more than 250 actions brought in New Jersey courts by Plaintiff’s
attorneys, a Texas firm working with local counsel, against insurers to recover for alleged
property damage caused by Hurricane Sandy. The complaints bear the signature of Audwin
Levasseur, Esq., and an illegible signature under the typed name of the Voss Law Firm, P.C.,
along with the names Bill L. Voss, Scott G. Hunziker, and The Voss Law Center. See Compl. 7,
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ECF No. 1-1. The original complaints are nearly identical, including typos. Compare, e.g.,
Compl. ¶ 4, ECF No. 1-1 with Compl. ¶ 4, ECF No. 1-2, Aquarian Condo Assoc. v. Scottsdale
Ins. Co., 2:14-cv-02822-SDW-SCM (D.N.J. 2014) (both filed on the same day, both stating,
“[t]hrough it [sic] insurance policy, Plaintiff was objectively insured for the subject loss by
Defendants [sic]”). Plaintiff’s First Amended Complaint corrected the typos and updated
Defendant’s name and address, but did not add factual details apart from the policy number.
Compl., ECF No. 1-1. The amended complaint alleged that Defendant did not pay Plaintiff the
benefit owed for “extreme external and internal damages, as well as other wind-related losses” to
property at 1 Crabbe Road, Toms River, New Jersey, but did not specify the value or nature of
the damages. Id. ¶¶ 2, 11-12. The amended complaint changed the description of the property
from commercial to residential. Id. ¶ 2. Plaintiff further alleged that Defendant acted in bad faith
by failing to conduct a reasonable investigation into the “denial or underpayment.” Id. ¶ 14.
In response, Defendant asserted that it had already sufficiently compensated Plaintiff for
its losses. Defendant issued a policy to Plaintiff for the period from July 18, 2012 through July
18, 2013, which was for commercial property, not residential. Decl. of Mark L. Antin in Supp. of
Def.’s Mot. to Dismiss (“Antin Decl. MTD”) ¶ 5, Ex. A. The storm hit on or about October 29,
2012. Compl. ¶ 4. On November 7, 2012, Plaintiff sent Defendant a Property Loss Notice
alleging “wind damage to buildings.” Antin Decl. MTD ¶ 6, Ex. B. An adjuster inspected
Plaintiff’s property on December 4, 2012. Antin Decl. MTD ¶ 7, Ex. C. The inspection report
found wind damage to two fences, and “[n]o damage to any of the 4 buildings.” Id. It valued the
claim at $1,612.00, and recommended a payment of $612.00, after applying a $1,000 deductible.
Id. Defense counsel’s declaration asserted that Defendant paid Plaintiff $612.00, id. ¶ 8, though
counsel did not submit evidence of the payment. Notwithstanding this appraisal, in June of 2013,
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Plaintiff’s counsel wrote Defendant demanding $540,000 to pay for the wind damage, and an
additional $135,000 in attorney’s fees. Compl. 22. Plaintiff filed the original complaint in New
Jersey Superior Court on October 23, 2013, filed the amended complaint on April 3, 2014, and
Defendant removed the case to this Court on May 9, 2014. Notice of Removal, ECF No. 1.
The policy at issue requires that the insured allow the insurer to inspect the property “[a]s
often as may be reasonably required.” Antin Decl. MTD ¶ 11, Ex. A. § E(3)(6). It also requires
the insured to fully comply with its terms before commencing legal action. Antin Decl. MTD ¶
12 Ex. A (D)(1). Defendant made multiple requests to reinspect the property after receiving the
demand letter from Plaintiff’s counsel. Antin Decl. MTD ¶¶ 13-16, Ex. D. Plaintiff never
responded to these requests. Id. ¶ 15. The parties entered into a Joint Discovery Plan for the
litigation, ordered by Magistrate Judge Waldor on July 28, 2014, under which Plaintiff was
required to make the property available for inspection before August 15, 2014. Joint Discovery
Plan, ECF No. 8. When Plaintiff did not allow an inspection even after entering into the Joint
Discovery Plan, Defendant requested the Court’s guidance. Antin Decl. MTD ¶¶ 19-20. The
Court held a conference call and instructed Plaintiff that any further avoidance of an inspection
would put the case at risk of dismissal. Id. Since then, Defendant made frequent requests to
reinspect the property, but Plaintiff denied or ignored them. Id. ¶¶ 21-22.
Defendant moved to dismiss on September 11, 2014. Mot. to Dismiss, ECF No. 13.
Attached to the motion are five separate letters from an insurance adjuster to Plaintiff’s counsel,
over the course of six months, requesting an opportunity to inspect the property on behalf of
Defendant. Id. Ex. D. The letters detail the multiple ways the adjuster attempted to communicate
with Plaintiff’s counsel, including by certified letter, fax, email, and phone. Id. Ex. D-E. The
adjuster left messages on Plaintiff’s counsel’s voicemail and with an administrative assistant. Id.
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Plaintiff did not respond to the adjuster’s requests or to Defendant’s motion, and did not submit
any evidence to counter Defendant’s assertions of fraud, Answer ¶ 27, ECF No. 3, accord and
satisfaction, id. ¶ 22, or failure to comply with contractual obligations. Id. ¶ 20. The Court
granted the motion on November 13, 2014, finding that the case deserved dismissal under Poulis
v. State Farm Fire & Casualty Co., 747 F.2d 863 (3d Cir. 1984). ECF Nos. 15-16.
The same day, the Court ordered Plaintiff to show cause why the Court should not
impose sanctions under Fed. R. Civ. P. 11(c)(3) for filing a claim that lacked merit, and for
failing to properly investigate before filing. ECF No. 14. Specifically, the Court asked Plaintiff to
provide the evidentiary basis for alleging in ¶ 12 of the complaint that Defendant “fail[ed] to pay
Plaintiff’s benefits relating [to] the cost to properly repair the Property, as well as, for all
alternate living expenses and content-related losses.” Id. ¶ 2. Plaintiff was ordered to include
documentary evidence of any appraisal of the damage claimed, along with a description of the
method of appraisal, the credentials of the appraiser and the date of inspection. Id. The Court
warned Plaintiff’s counsel of possible consequences, including revocation of pro hac vice status,
liability for Defendant’s attorney’s fees, and referral to disciplinary authorities.
Plaintiff did not respond to the Court’s order. Defendant’s counsel submitted a
declaration setting forth its litigation expenses. Decl. of Mark L. Antin in Resp. to Order to Show
Cause (“Antin Decl. OSC”), ECF No. 17. Attached to the declaration was an itemized billing
invoice to Defendant from its counsel, ECF No. 17-1, along with certified mail receipts
indicating that Plaintiff’s counsel had received a copy of the Court’s opinion, Order of Dismissal
and Order to Show Cause. ECF No. 17-2. Mr. Levasseur received a copy of these documents on
November 24, 2014, and the Voss Law Firm received its copy on November 21, 2014. ECF No.
17-1. Defendant’s counsel also stated in his declaration that he had not received any
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communication of any kind from Plaintiff’s counsel, or from Plaintiff, since the Court issued the
Order. Antin Decl. OSC ¶ 4.
STANDARD FOR RULE 11 SANCTIONS
An attorney who submits a complaint certifies that there is a reasonable basis in fact and
law for the claims made, to the best of the attorney’s knowledge, information, and belief, formed
after an inquiry reasonable under the circumstances. Fed. R. Civ. P. 11; see also Napier v. Thirty
or More Unidentified Federal Agents, etc., 855 F.2d 1080, 1090 (3d Cir. 1988). Rule 11
“imposes on counsel a duty to look before leaping and may be seen as a litigation version of the
familiar railroad crossing admonition to ‘stop, look, and listen.’” Leuallen v. Borough of
Paulsboro, 180 F. Supp. 2d 615, 618 (D.N.J. 2002) (citing Lieb v. Topstone Indus., 788 F.2d
151, 157 (3d Cir. 1986)). The rule is intended to discourage the filing of frivolous, unsupported,
or unreasonable claims. Id. The Third Circuit has written that “[t]he legal standard to be applied
when evaluating conduct allegedly violative of Rule 11 is reasonableness under the
circumstances.” Ford Motor Co. v. Summit Motor Products, Inc., 930 F.2d 277, 289 (3d Cir.
1991) (citations omitted), cert. denied, 502 U.S. 939 (1991). Reasonableness in the context of a
Rule 11 inquiry has been defined as “an objective knowledge or belief at the time of the filing of
a challenged paper that the claim was well grounded in law and fact.” Ford Motor Co., 930 F.2d
at 289. Bad faith is not required for a Rule 11 violation, see Martin v. Brown, 63 F.3d 1252, 1264
(3d Cir. 1995), and thus there can be no “empty head, pure heart” justification for the filing of
frivolous claims. See Leuallen, 180 F. Supp. 2d at 618 (quoting Fed. R. Civ. P. 11, adv. cmte.
notes (1993)).
“On its own initiative, the court may enter an order describing the specific conduct that
appears to violate subdivision (b) [of Rule 11] and directing an attorney, law firm, or party to
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show cause as to why it has not violated subdivision (b) with respect thereto.” Fed. R. Civ. P.
11(c)(1)(B). In the case of sanctions imposed sua sponte under Rule 11(c)(3), “[t]he party sought
to be sanctioned is entitled to particularized notice including, at a minimum, 1) the fact that Rule
11 sanctions are under consideration, 2) the reasons why sanctions are under consideration, and
3) the form of sanctions under consideration.” Simmerman v. Corino, 27 F.3d 58, 64 (3d Cir.
1994). “A District Court has the authority and, indeed, the duty to examine allegations that an
attorney appearing before the court has violated his moral and ethical responsibility and to
fashion an appropriate remedy, if warranted.” Thomason v. Lehrer, 183 F.R.D. 161, 170 (D.N.J.
1998), aff’d, 189 F.3d 465 (3d Cir.1999) (citations omitted). Courts have broad discretion “to
control the conduct of those who appear before them” with “an arsenal of sanctions they can
impose for unethical behavior.” Id. (citations omitted). “The sanction may include nonmonetary
directives; an order to pay a penalty into court; or, if imposed on motion and warranted for
effective deterrence, an order directing payment to the movant of part or all of the reasonable
attorneys’ fees and other expenses directly resulting from the violation.” Fed. R. Civ. P. 11(c)(4).
STANDARD FOR REVOCATION OF PRO HAC VICE STATUS
Admission pro hac vice is a privilege, and may be revoked as a sanction for unethical
behavior. See Johnson v. Trueblood, 629 F.2d 302, 304 (3d Cir. 1980); L. Civ. R. 101.1(c)(1)
(pro hac vice admission is “in the discretion of the court”). The Third Circuit specified that “a
violation of any disciplinary standard applicable to members of the bar of the court would justify
revocation of pro hac vice status.” Johnson, 629 F.2d at 304. “An attorney
admitted pro hac vice in the courts of this State or the federal district court is subject to
discipline, which may include a denial of future pro hac vice admissions by reason of
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‘countervailing considerations.’” Arnold, White & Durkee, Professional Corp. v. Gotcha
Covered, Inc., 714 A.2d 360, 366 (N.J. App. Div. 1998), cert. denied, 157 N.J. 543 (N.J. 1998)
(citing Nat’l Ass’n for the Advancement of Colored People v. State of New Jersey, 312 N.J.
Super. 552, 557-59, 563-65 (N.J. App. Div. 1998)). Courts have the power to suspend the
privilege of pro hac vice admission for a certain period of time. See In re Bailey, 273 A.2d 563,
563 (N.J. 1971) (after attorney made improper statements to the media, issuing an order to show
cause why respondent should not be barred from further practice pro hac vice in New Jersey, and
sanctioning attorney with a one-year bar on admission). Before revocation, a court must give the
attorney “a meaningful opportunity to respond to identified charges.” Johnson, 629 F.2d at 303.
ANALYSIS
Following the devastation of Hurricane Sandy, thousands of homeowners and businesses
sued their insurers, claiming inadequate compensation under wind and flood insurance policies.
The large volume of Hurricane Sandy cases presents a significant challenge to both state and
federal courts, and frivolous actions obstruct the judiciary’s efforts to resolve these matters
justly. Rule 11 does not limit the number of claims an attorney may bring, so long as the attorney
properly investigates and has a reasonable basis for filing each one of them. The Court is aware
of no authority that relaxes Rule 11 when a natural disaster generates a large volume of
litigation. Cf. In re: FEMA Trailer Formaldehyde Products Liability Litigation, 2012 WL
730457 (E.D.La. 2012) (finding attorney misbehavior in multi-district litigation after Hurricane
Katrina). In the face of Defendant’s allegation that Plaintiff had already received adequate
compensation under the policy, Plaintiff did not respond. Because Plaintiff’s counsel ignored the
Court’s Order to Show Cause, no proof is before the Court that counsel inspected the property, or
conducted any investigation whatsoever, before or after filing the complaint.
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Plaintiff’s counsel initiated more than 250 actions that were filed in or removed to the
district of New Jersey, with differently situated plaintiffs, diverse defendants and varied fact
patterns. Yet the pleadings are practically identical. Filing such a large number of complaints
within such a short time raises suspicion that they were prepared without investigation.
Plaintiff’s counsel has submitted no evidence to counter that suspicion. To the contrary, it is
evident from the docket reports of many of these cases that Plaintiff’s attorneys are not
prosecuting their cases with diligence. Messrs. Levasseur, Hunziker and Voss have filed multiple
Hurricane Sandy-related cases that were dismissed after they failed to respond to a defendant’s
motion. See, e.g., Brusco v. Harleysville Ins. Co., Civ. No. 14-cv-914 (JEI/JS) (D.N.J. 2014);
Fandel v. Narragansett Bay Ins. Co., Civ. No. 14-431 (MAS/TJB) (D.N.J. 2014); ECF No. 12,
Rossetti v. Fidelity Nat. Ins. Co., Civ. No. 13-7550 (D.N.J. 2014) (“ORDER that the Plaintiff
shall oppose or otherwise respond to Defendant’s application to dismiss this matter for failure to
prosecute in writing within 7 days of entry of this Order.”); id. at ECF No. 14 (dismissing case
after no response). Other dismissal motions are pending. See, e.g., Def.’s Mot. to Dismiss, ECF
No. 20, Peter Blaso v. Alterra Excess & Surplus Ins. Co., Civ. No. 14-2574 (D.N.J. 2014)
(requesting dismissal, as plaintiff’s discovery is more than 120 days past due). They have failed
to appear before the Court when ordered, and failed to respond to at least one other Order to
Show Cause. See ECF No. 12, Dringus v. NJM Ins. Grp., 13-cv-6693 (JAP/TJB) (D.N.J. 2014)
(“Order to Show Cause Hearing held on 11/17/2014 why this matter should not be dismissed
with prejudice. Plaintiff’s attorney failed to appear. Report recommending dismissal to be
entered.”).
The detriment of mass-produced lawsuits is not simply to the Court and the public, but
also to the parties themselves. Plaintiff’s counsel’s participation in this matter has been cursory,
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depriving Plaintiff and its adversary of the diligence to which they are entitled. See New Jersey
Rules of Professional Conduct 1.3. The amended complaint is devoid of factual details, and
alleges damage to a residence when the insurance policy covers commercial property. Plaintiff’s
counsel ignored the provisions of the Court’s case management order, denying Defendant an
opportunity to inspect the property, despite repeated requests. Warned by the Magistrate Judge
that continuing this behavior would lead to dismissal, counsel still did not comply. Plaintiff’s
counsel never facilitated the inspection of the property, and did not respond to their adversary’s
motion to dismiss. Faced with allegations of fraud, and ordered to show cause why the case was
not frivolous, Plaintiff’s counsel remained silent. There is no indication that Plaintiff ever
provided evidence of loss, which a standing order in this district requires plaintiffs in Hurricane
Sandy litigation to do automatically. Hurricane Sandy Case Management Order No. 1 § 4(a)
(D.N.J. March 24, 2014), available at
http://www.njd.uscourts.gov/sites/njd/files/SandyCaseManagementOrderNo1.pdf. Considering
that the only documented damage to Plaintiff’s property was to a fence, and the insurer alleged to
have already paid the claim, Plaintiff’s counsel’s issuance of a settlement demand in the high sixfigures suggests a lack of investigation.
The Court gave Plaintiff’s counsel proper warning and a chance to explain its conduct.
Plaintiff’s counsel offered no explanation whatsoever. The Court now imposes sanctions.
Mr. Voss is barred from applying for pro hac vice admission before me for a period of
one year from the date of this opinion. When applying for pro hac vice admission in the future,
Mr. Voss must attach a copy of this opinion and the accompanying order. As Messrs. Levasseur
and Hunziker are members of the New Jersey bar, the Court will refer them to the chief judge of
this district to determine whether further discipline is required.
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The Court will also award Defendant its litigation expenses. Plaintiff and Plaintiff’s
counsel shall be jointly and severally liable to Defendant for Defendant’s attorney’s fees and
court costs, in the amount of $6,224.90. Within 30 days, Defendant shall make application to the
Court for any fees associated with this motion, and any other litigation expenses not already
submitted.
The Court has considered lesser sanctions, such as imposing a period of probation for Mr.
Voss where any further misconduct would automatically result in a bar on applying for pro hac
vice status. But Plaintiff’s counsel’s apathy when faced with a motion to dismiss, indifference to
the Court’s Order to Show Cause, noncompliance with earlier orders of this Court, disregard for
this district’s Hurricane Sandy Case Management Order, negligence in pursuing their client’s
claim, apparent lack of investigation before and after filing, issuance of a settlement demand
with no factual relation to the case, stonewalling of their adversary’s attempts to investigate,
along with the apparent baselessness and potential fraudulence of the claim, and the continuing
pattern of neglect before other judges in this district, justify a more serious response.
“The court must keep in mind that the primary objective of any sanction is to preserve
the integrity of the process, rather than to punish the offender.” Mruz v. Caring, Inc., 166 F.
Supp. 2d 61, 68 (D.N.J. 2001). In order to be an effective deterrent, the sanction should signal
that the cost of unfounded filings is greater than the potential reward. These sanctions will
encourage future diligence on the part of these attorneys and others similarly situated.
CONCLUSION
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Under Fed. R. Civ. P. 11(c), and in accordance with its Order to Show Cause of
November 13, 2014, the Court imposes sanctions on Plaintiff and its counsel, in the manner
described above and in the accompanying order.
DATE:
01/20/2015
___________________________
Senior United States District Judge
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