Samad Brothers, Inc. v. Bokara Rug Co. Inc
Filing
144
OPINION AND ORDER: If presented at trial, Korenbaum's testimony would satisfy Plaintiffs burden to show that there is a reasonable likelihood that Kapoor authored and signed the Kapoor Errata Sheet. Defendants may present any other arguments with respect to the admissibility of the Kapoor Errata Sheet when the parties file motions in limine in advance of trial, which is set for January 14, 2013. (Signed by Judge John F. Keenan on 5/8/2012) (jfe)
UNITED STATES DISTRICT COURT
SOUTHERN DISTRICT OF NEW YORK
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SAMAD BROTHERS, INC.,
:
:
Plaintiff, :
:
No. 09 Civ. 5843 (JFK) (KNF)
–against–
:
:
OPINION AND ORDER
BOKARA RUG CO. INC., JAN
:
Case and GABRIEL VAKNIN,
1:09-md-02013-PAC Document 57 Filed 09/30/10 Page 1 of 45
SOLEIMANI,
:
:
Defendants. :
USDC SDNY
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DOCUMENT
ELECTRONICALLY FILED
APPEARANCES:
DOC #: _________________
DATE FILED: 05/08/2012
UNITED Plaintiff DISTRICT COURT Inc.:
For STATES Samad Brothers,
SOUTHERN DISTRICT OF NEW YORK
KAUFMAN & KAHN, LLP
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747 Third Avenue, 32nd
In re FANNIE MAE 2008 SECURITIES Floor :
08 Civ. 7831 (PAC)
New York, NY 10017
LITIGATION
:
09 MD 2013 (PAC)
By: Mark S. Kaufman, Esq. :
:
OPINION & ORDER
For Defendants Bokara Rug Co., Inc., Jan Soleimani, and Gabriel Vaknin:
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WILSON ELSER MOSKOWITZ EDELMAN & DICKER, LLP
150 East 42nd Street
New York, NY 10017
HONORABLE PAUL A. CROTTY, United States District Judge:
By: Jura C. Zibas, Esq.
JOHN F. KEENAN, United States District Judge:
BACKGROUND1
InThe early years of this decade saw a boom in home financing which was fueled, among
this case, plaintiff Samad Brothers, Inc. (“Samad”) brings claims for
money things, by low interest rates andrelief against defendants Bokara Rug Co. Inc.
other damages and injunctive lax credit conditions. New lending instruments, such as
(“Bokara”),mortgages (high credit risk loans)Vaknin (collectively, “Defendants”) resulting
subprime Jan Soleimani, and Gabriel and Alt-A mortgages (low-documentation loans)
from Defendants’ alleged infringement of too; they took on unmanageable risks on of rug
kept the boom going. Borrowers played a role Samad’s copyrights in a number the
designs. Samadthe market would continue to rise and that the admissibility of a document
assumption that seeks an in limine determination of refinancing options would always be
available in claims is an errata sheet submitted in connection with the November
that Samad the future. Lending discipline was lacking in the system. Mortgage originators did
not deposition of Vikram Kapoor (“Kapoor”), a non-party witness. their books, the
2010 hold these high-risk mortgage loans. Rather than carry the rising risk on For the reasons
originators sold their loans into the secondary mortgage market, often as securitized packages
known as mortgage-backed securities (“MBSs”). MBS markets grew almost exponentially.
But then the housing bubble burst. In 2006, the demand for housing dropped abruptly
stated below, the Court holds that, if presented at trial, the contents of the
declaration of Scott Korenbaum would constitute “evidence sufficient to support a
finding” that the document is Kapoor’s errata sheet. Fed. R. Evid. 901(a). However,
several issues that might affect the admissibility of the document have not been
addressed by the parties, and the Court declines to determine its ultimate
admissibility prior to the filing of motions in limine in advance of the trial
scheduled for January 14, 2013.
I. Background
The Court presumes familiarity with the facts and procedural history of this
case. 1 Briefly, Samad is in the business of importing and selling rugs. (Third Am.
Compl. ¶ 5). Samad alleges that Defendants have infringed twenty-five specified
copyrighted rug designs created by S.N. Kapoor Exports and Jain Carpets and
subsequently assigned to Samad. (Id. ¶¶ 16–18).
Vikram Kapoor is a principal of S.N. Kapoor Exports, and resides in Jaipur,
India. (Decl. of Vikram Kapoor ¶ 2, Mar. 28, 2011, ECF No. 133; Decl. of Joanne J.
Romero ¶ 4, Nov. 18, 2010, ECF No. 66.) In the fall of 2010, Kapoor travelled to the
United States for a deposition at his own expense. Defendants deposed him on
November 23, 2010. During the deposition, Defendants’ counsel Jura Zibas served
Kapoor with a summons and complaint for an action Defendants had initiated in
the Supreme Court of New York, New York County. See Bokara Rug Co., Inc. v.
For additional background, see Samad Brothers, Inc. v. Bokara Rug Co., Inc., No.
09 Civ. 5843 (JFK) (KNF), 2012 WL 43613, at *1–2 (S.D.N.Y. Jan. 9, 2012), and
Samad Brothers, Inc. v. Bokara Rug Co., Inc., No 09 Civ. 5843 (JFK), 2010 WL
5094634, at *1 (S.D.N.Y. Dec. 13, 2010).
1
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Kapoor, Index No. 652079/2010 (N.Y. Sup. Ct. filed Nov. 22, 2010). During the
deposition, Kapoor claimed he was unable to answer a number of questions, and
would have to refer to his records to answer them. According to Plaintiff, after the
deposition was completed, Kapoor submitted an errata sheet (the “Kapoor Errata
Sheet”), purporting to contain additions and corrections to Kapoor’s deposition
testimony.
In anticipation of filing a motion for summary judgment, Defendants moved
in limine to preclude the admission of Kapoor’s deposition and the Kapoor Errata
Sheet. The Court denied Defendants’ motion with respect to Kapoor’s deposition,
holding that Defendants had not satisfied the high burden necessary for exclusion of
evidence under the Court’s inherent power to manage the integrity of the judicial
process. Samad Brothers, Inc. v. Bokara Rug Co., Inc., No. 09 Civ. 5843 (JFK)
(KNF), 2012 WL 43613, *2–5 (S.D.N.Y. Jan. 9, 2012).
The Court also denied
Defendants’ motion to exclude the Kapoor Errata Sheet. Id. at *6–8.
Though
Defendants had established that the Kapoor Errata Sheet was not selfauthenticating under Federal Rule of Evidence 902(3), the Court declined to exclude
the Kapoor Errata Sheet because Plaintiff could seek to authenticate the Kapoor
Errata Sheet under Federal Rule of Evidence 901. Id. at *7 (quoting United States
v. Pluta, 176 F.3d 43, 49–50 (2d Cir. 1999)).
The Court held a combined pre-motion and status conference on March 16,
2012. At the conference, Defendants indicated that they would not be moving for
summary judgment, and the Court set a trial date of January 14, 2013. In response
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to an inquiry from the Court, Samad represented that it would supply a letter and a
declaration from Scott Korenbaum, an attorney who represents Kapoor in New York
Supreme Court, regarding the authenticity of the Kapoor Errata Sheet.
On March 21, 2012, the Court received Plaintiff’s letter, with a declaration
attached (the “Korenbaum Declaration”). In his declaration, Korenbaum states that
he met with Kapoor on November 24, 2010—the day after Kapoor’s deposition in
this case. The meeting was to discuss retaining Korenbaum “to represent Kapoor
Exports in the [New York Supreme Court action] as well as any ancillary matters
that might arise in connection with this action.” (Korenbaum Decl. ¶¶ 3, 6.) Kapoor
Exports retained Korenbaum on December 2, 2010, and Korenbaum has since
represented both Kapoor Exports in the New York State Court litigation and
Kapoor in this litigation. (Id. ¶ 4.) In connection with his representation of Kapoor
and Kapoor Exports, Korenbaum has communicated with Kapoor via mail,
telephone, and e-mail. (Id. ¶ 5.) According to his declaration, Korenbaum received a
copy of the Kapoor Errata sheet as an e-mail attachment. The e-mail had been sent
from the address Kapoor used to correspond with Korenbaum, and Korenbaum
forwarded the electronic version of the Kapoor Errata sheet to counsel for both
parties. The declaration also indicates that Korenbaum later received the original
Kapoor Errata Sheet by mail, and that he then sent the original to Defendants’
counsel. (Id. ¶¶ 7–8.) In the penultimate paragraph of the declaration, Korenbaum
opines that the signature on the Errata Sheet is Kapoor’s, based on:
(1) Korenbaum’s comparison of the signature of the Errata Sheet to signatures on
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other documents he has received from Kapoor while acting as his attorney; and
(2) the circumstances under which he received the Kapoor Errata Sheet. (Id. ¶ 9.)
On March 28, the Court received a letter from Defendants concerning the
admissibility and probative value of the Korenbaum Declaration. On March 30,
Plaintiff and Defendants each submitted an additional letter addressing evidentiary
issues raised by Plaintiff’s proffer of the Korenbaum Declaration.
II. Discussion
Defendants claim that Samad has failed to adduce evidence sufficient to
authenticate the Kapoor Errata Sheet, as required by Rule 901 of the Federal Rules
of Evidence.
In support of their claim, Defendants argue that:
(1) “foreign”
documents that are not self-authenticating under Rule 902(3) are per se
inadmissible; (2) the Korenbaum Declaration is inadmissible by virtue of the fact
that its author represents Kapoor in an ongoing state-court proceeding in which
Bokara and Kapoor are adversaries; and (3) the Korenbaum Declaration, even if
admissible, provides insufficient evidence of authenticity. For the reasons discussed
below, all three of these arguments lack merit. However, the Court declines to rule
on the ultimate admissibility of the Kapoor Errata Sheet, because the resolution of
the authentication question presented here does not resolve all potential objections
Defendants might wish to raise prior to trial. See, e.g., Cornelius v. Hondo Inc., 843
F. Supp. 1243, 1247 (N.D. Ill. 1994) (citing Fed. R. Evid. 901 advisory committee’s
note) (district court’s ruling on authentication question did not resolve a hearsay
issue).
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A.
Admissibility of Foreign Documents
Authenticating Under Rule 902(3)
That
Are
Not
Self-
Defendants seek the exclusion of the Errata Sheet on the theory that it is a
“foreign document” that does not qualify as “self-authenticating” under Rule 902(3).
Setting aside the issue of whether the Kapoor Errata Sheet (as opposed to the
purported notary stamps found on the copy provided in the Korenbaum Declaration)
is a “foreign public document,” and as the Court explained in its Opinion and Order
dated January 9, 2012, Rule 902(3) is not a pre-condition to the admission of
evidence, but is one way a proponent may avoid the general authentication
requirement of Rule 901(a). A document is properly authenticated as required by
Rule 901 where either a proponent has offered evidence “sufficient to support a
finding that the matter in question is what the proponent claims,” or the document
qualifies as self-authenticating under Rule 902. Samad Bros., Inc, 2012 WL 43613,
at *6 (quoting Fed. R. Evid. 901(a), 902). Rule 902 provides no independent basis
for the exclusion of evidence. As the United States Court of Appeals for the Second
Circuit has stated, “[a] document which is of a type that could be self-authenticating
but which does not meet all the requirements of Rule 902 may nonetheless be
authenticated by any means appropriate under Rule 901.” Pluta, 176 F.3d at 49–50
(citing United States v. Childs, 5 F.3d 1328, 1336 (9th Cir. 1993)).
Indeed, nearly every federal court of appeals has recognized—expressly or
implicitly—that a proponent’s failure to satisfy the requirements for selfauthentication under Rule 902(3) does not provide a basis for the exclusion of
evidence. See United States v. Pantic, 308 F. App’x 731, 733 n.2 (4th Cir. 2009)
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(declining to address defendant’s argument that his foreign military records failed
to qualify as self-authenticating under Rule 902(3) where the records had been
authenticated by witness testimony under Rule 901); Vatyan v. Mukasey, 508 F.3d
1179, 1183 (9th Cir. 2007) (permitting the authentication of foreign public
documents by “any recognized procedure for authentication of documents in general,
including the procedures permitted under Federal Rule of Evidence 901”); United
States v. Demjanjuk, 367 F.3d 623, 630–31 (6th Cir. 2004) (rejecting challenge to
authentication of a foreign public document that the district court had held was
properly authenticated under Rule 901(b)(4)); Minh Tu v. Mutual Life Ins. Co. of
N.Y., 136 F.3d 77, 81 (1st Cir. 1998) (considering “authentication” and “selfauthentication” of documents as distinct issues); United States v. Garate-Vergara,
942 F.2d 1543, 1554 n.7 (11th Cir. 1991) (“Rule 902(3) allows admission without
further authentication of . . . [f]oreign public documents.”); United States v. Jimenez
Lopez, 873 F.2d 769, 772–74 (5th Cir. 1989) (domestic public document
authenticated under Rule 901(a) despite not being self-authenticating under Rule
902); United States v. Kairys, 782 F.2d 1374, 1379 (7th Cir. 1986) (foreign public
record authenticated under Rule 901(b)(8) rather than Rule 902(3)); United States v.
M’Biye, 655 F.2d 1240, 1242 (D.C. Cir. 1981) (analyzing two different provisions of
Rule 902 as independent bases for self-authentication). Defendants cite no contrary
authority in support of their argument.
In their letter dated March 27, 2012, Defendants reiterate their objection to
“the admissibility of foreign documents that are not self-authenticating pursuant to
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Fed. R. Evid. 902(3).” In view of the text and structure of Rules of Evidence 901 and
902, as well as the above-cited caselaw, Defendants’ position is without merit.
B.
New York Rule of Professional Conduct 3.7(a) and Korenbaum’s
Competency to Testify
Defendants also challenge Samad’s reliance on the Korenbaum Declaration in
support of their position that Korenbaum’s testimony will authenticate the Kapoor
Errata Sheet under Rule 901(a), (b)(2). They argue that, as Kapoor’s attorney in the
New York state court proceeding, Korenbaum would be barred from testifying on
his behalf, and his testimony would be insufficient to establish the authenticity of a
document authored by his client.
First, Defendants contend that Rule 3.7(a) of the New York Rules of
Professional Conduct (“RPC 3.7(a)”), which states that “[a] lawyer shall not act as
advocate before a tribunal in a matter in which the lawyer is likely to be a witness
on a significant issue of fact,” bars Korenbaum from testifying in this litigation.
This portion of the New York Rules of Professional Conduct, which replaced the
New York Code of Professional Responsibility effective April 1, 2009, is
substantially similar to former Disciplinary Rule 5–102(A) of the Code of
Professional Responsibility. Ramchair v. Conway, 601 F.3d 66, 74 n.6 (2d Cir. 2010).
Like its predecessor, RPC 3.7(a) implements New York’s “advocate-witness rule.”
Id. at 74. The plain text of RPC 3.7(a) and the caselaw applying the advocatewitness rule require that a lawyer who has given testimony before a tribunal be
disqualified as the trial attorney. See United States v. Congi, 420 F. Supp. 2d 124,
128 (W.D.N.Y. 2005) (citing United States v. Kliti, 156 F.3d 150, 156 n.8 (2d Cir.
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1998)).
The purposes of RPC 3.7(a) are to protect the integrity of the judicial
process and avoid potential jury confusion by ensuring that an attorney is not put in
the position of vouching for his or her own credibility or having his or her credibility
impeached by opposing counsel. Murray v. Metropolitan Life Ins. Co., 583 F.3d 173,
178 (2d Cir. 2009).
RPC 3.7(a) accomplishes these objectives by requiring an
advocate-witness to withdraw from the representation in which he or she is acting
as trial counsel; the advocate-witness rule does not provide a basis for the exclusion
of otherwise admissible evidence. See Ramey v. Dist. 141, Int’l Ass’n of Machinists
and Aerospace Workers, 378 F.3d 269, 283 (2d Cir. 2004) (“[T]he remedy where an
attorney is called to testify may be to disqualify the attorney in his representational
capacity, not necessarily his testimonial capacity.”).
Here, Defendants cite RPC 3.7(a) not to disqualify Korenbaum from
representing Vikram Kapoor, but in order to prevent Korenbaum from presenting
evidence at trial. Yet even if exclusion of evidence was an appropriate remedy for a
violation of the advocate-witness rule, Defendants have failed to show that
testimony from Korenbaum would violate the rule. Korenbaum represents Kapoor
in the New York Supreme Court proceedings initiated by Defendants and has
represented Kapoor in connection with his role as a potential witness in this
litigation, but has not appeared before this Court on behalf of any party for
purposes of presenting argument. Furthermore, Defendants have not suggested
that Korenbaum will appear as trial counsel in this litigation. Thus, there is no
potential for Korenbaum to present argument to the jury about his own credibility
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or to have his credibility impeached before a jury to whom he is presenting a case.
In the case at bar, the advocate-witness rule is not implicated by Korenbaum’s
proffered testimony.
The Court notes that despite being given the opportunity to join additional
parties at the pretrial conference held before this Court on January 26, 2011,
Defendants themselves elected to pursue their claims against Kapoor in a separate
forum.
The fact that this case is proceeding in two separate forums is not
attributable to any gamesmanship by Samad, the proponent of the evidence in
question.
Second, Defendants contend that “an affidavit from counsel is generally not
sufficient evidence of authenticity,” and cite Carroll v. LeBoeuf, Lamb, Green &
MacRae, L.L.P., 614 F. Supp. 2d 481 (S.D.N.Y. 2009), in support of their position.
In Carroll, the ruling was that an attorney’s affidavit failed to show that he was
competent to testify about whether two documents were accurate copies of
documents received by his client. Id. at 482. This holding was based on the contents
of the proffered affidavit, which “[did] not even claim that counsel or his client ever
[had] seen the originals.” Id. The proffered affidavit contained only a conclusory
assertion that the copies accurately reflected letters received by the attorney’s
client, and did not establish a basis for the affiant’s personal knowledge of the fact
asserted. Id. at 484. See Fed. R. Evid. 602 (“A witness may testify to a matter only if
evidence is introduced sufficient to support a finding that the witness has personal
knowledge of the matter.”). The Court rejects Defendants’ attempt to characterize
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Carroll as establishing a general rule of attorney incompetency to testify regarding
the authenticity of documents.
As demonstrated from the above discussion, Korenbaum’s status as counsel
to Kapoor, who is not a party involved in this litigation, does not impact his ability
to give testimony at trial.
C.
Korenbaum’s Proffered Handwriting Testimony
Defendants finally argue that the testimony proffered in the Korenbaum
Declaration would not support the authentication of the Kapoor Errata Sheet
because non-expert testimony concerning the authorship of handwritten text or a
signature is “weak.”
The proponent of evidence (here, Samad) has the burden of establishing its
authenticity. Fed. R. Evid. 901(a) (“[T]he proponent must produce evidence
sufficient to support a finding that the item is what the proponent claims it is.”).
However, a proponent is not required to prove an item’s authenticity beyond a
reasonable doubt or by a preponderance of the evidence; only a showing of
“reasonable likelihood” is required. Pluta, 176 F.3d at 49 (quoting United States v.
Holmquist, 36 F.3d 154, 168 (1st Cir. 1994).
Rule 901(b) consists of a non-exhaustive list of evidence satisfying the
authentication requirement of Rule 901(a).
This list includes “[a] nonexpert’s
opinion that handwriting is genuine, based on a familiarity that was not acquired
for the current litigation.” Fed. R. Evid. 901(b)(2). The Second Circuit has held that
“lay witnesses who testify as to their opinion regarding someone’s handwriting must
not only meet the strictures of Rule 701, but must also satisfy Rule 901(b)(2) and
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have a familiarity with the handwriting which has not been acquired solely for
purposes of the litigation at hand.” United States v. Samet, 466 F.3d 251, 254 (2d
Cir. 2006).
Federal Rule of Evidence 701 permits a non-expert witness to give
opinion testimony only if that opinion is “rationally based on the witness’s
perception,” “helpful to . . . determining a fact in issue,” and “not based on scientific,
technical, or other specialized knowledge within the scope of” Federal Rule of
Evidence 702. Fed. R. Evid. 701(a)–(c).
The Second Circuit has narrowly interpreted the restriction on lay-witness
testimony contained in Rule 901(b)(2), and has cited with approval decisions of
other federal courts of appeals that narrowly construe this restriction. For example,
in Samet, the Second Circuit held that a postal inspector who had acquired
familiarity with the defendant’s handwriting in the course of an investigation of the
defendant had not acquired this familiarity “for purposes of the litigation at hand.”
Samet, 466 F.3d at 254.
In so holding, the Second Circuit cited with approval
United States v. Scott, a case in which the United States Court of Appeals for the
First Circuit had held that an Internal Revenue Service agent’s familiarity with the
defendant’s handwriting was not acquired for the “purposes of the litigation,”
though it had been acquired in the course of a criminal investigation of the
defendant. 270 F.3d 30, 50 (1st Cir. 2001). The First Circuit based this holding on
the fact that the IRS agent “became familiar with [the defendant’s] handwriting
over the course of several years, and he did so not for the purpose of testifying, but
instead for the purpose of solving a crime.” Id. Under the analysis employed in
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Samet and Scott, whether a lay witness may testify about the authenticity of a
document based on familiarity with handwriting depends on whether that lay
witness’ familiarity with handwriting was acquired specifically for the purpose of
testifying. Where a witness’ familiarity with handwriting has been acquired for the
purpose of providing testimony about that handwriting, that witness is actually
providing expert testimony, and such testimony must comply with the requirements
of Rule 702. Samet, 466 F.3d at 255 (“Incorporating Rule 901(b)(2)’s limits into Rule
701 . . . helps maintain a critical difference between lay and expert opinion
testimony.”).
Here, Korenbaum acquired familiarity with Kapoor’s signature over the
course of his representation of Kapoor in connection with both this litigation and
the New York Supreme Court litigation.
Defendants have not alleged that
Korenbaum’s knowledge of Kapoor’s handwriting was acquired for the purpose of
providing testimony concerning the authenticity of the Kapoor Errata Sheet or any
other document in this litigation. Additionally, Korenbaum has not relied on any
special skill or training in forming his opinion about the signature contained on the
Kapoor Errata Sheet, but may provide helpful lay-opinion testimony concerning the
authenticity of the Kapoor Errata Sheet because he has a familiarity with Kapoor’s
handwriting that any non-expert might acquire as a result of sustained
correspondence with another. This evidence is “helpful” as required by Rule 701
because the jury is not likely to have the same opportunity to compare the signature
contained on the Errata Sheet with other unchallenged examples of Kapoor’s
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signature. In consideration of all these factors, Korenbaum’s proffered testimony
would be sufficient to authenticate the Kapoor Errata Sheet under Rule 901(b)(2) as
interpreted in Samet.
Furthermore, even if Korenbaum’s proffered testimony were deemed
insufficient to satisfy the requirements of Rules 701 and 902(b)(3), the Korenbaum
Declaration contains references to facts personally known by Korenbaum that
suggest Kapoor was the author of the Kapoor Errata Sheet.
As illustrated by
United States v. Bagaric, a proponent can rely on circumstantial evidence of
authenticity to satisfy the requirement of Rule 901(a). 706 F.2d 42 (2d Cir. 1983),
abrogated on other grounds, National Organization for Women, Inc. v. Scheidler,
510 U.S. 249, 260–61 (1994). In Bagaric, the Second Circuit held that a letter
linking the defendant to a co-conspirator was properly authenticated by the
Government’s presentation of circumstantial evidence, including the letter’s seizure
from the defendant’s home, the postmark from a town in which the co-conspirator
was known to have lived, and references to aliases that would have been known
only to those involved in the conspiracy. 706 F.2d at 67. Particularly in view of
Korenbaum’s assertion that Kapoor was the only person with whom he discussed
his legal work on behalf of Kapoor and Kapoor Exports, Korenbaum’s receipt of
copies and an original of the Kapoor Errata Sheet through the channels he
regularly uses to communicate with Kapoor strongly suggests that Kapoor signed
the Kapoor Errata Sheet. If asserted at trial, these statements would be sufficient
circumstantial evidence of authenticity under Bagaric.
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III. Conclusion
If presented at trial, Korenbaum's testimony would satisfy Plaintiffs burden
to show that there is a reasonable likelihood that Kapoor authored and signed the
Kapoor Errata Sheet. Defendants may present any other arguments with respect to
the admissibility of the Kapoor Errata Sheet when the parties file motions in limine
in advance of trial, which is set for January 14, 2013.
SO ORDERED.
Dated:
New York, New York
May 8, 2012
�7��
JOHN F. KEENAN
United States District Judge
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