Azkour v. Haouzi et al
Filing
170
MEMORANDUM AND ORDER. For the reasons set forth above, the plaintiff's motion to compel, Docket Entry No. 155, is granted, in part, and denied, in part. (Signed by Magistrate Judge Kevin Nathaniel Fox on 9/9/2014) Copies Mailed By Chambers. (rjm)
UNITED STATES DISTRICT COURT
SOUTHERN DISTRICT OF NEW YORK
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HICHAM AZKOUR,
:
:
Plaintiff,
:
:
-against:
:
JEAN-YVES HAOUZI, FRANCK MACOURT,
:
JESSICA COMPERIATI , LITTLE REST
:
TWELVE, INC., SHELDON SKIP TAYLOR,
:
LAW OFFICES OF SHELDON SKIP TAYLOR, :
:
Defendants.
:
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KEVIN NATHANIEL FOX
UNITED STATES MAGISTRATE JUDGE
MEMORANDUM AND ORDER
11-CV-5780 (RJS)(KNF)
Plaintiff Hicham Azkour, proceeding pro se, brings this action against defendants Jean
Yves Haouzi (“Haouzi”), Franck Macourt (“Macourt”), Jessica Comperiati (“Comperiati”) and
Little Rest Twelve, Inc. (“LRT”) alleging a violation of 42 U.S.C. § 1981. Before the Court is
the plaintiff’s motion: (1) to compel the defendants to produce documents, pursuant to Rule 37
of the Federal Rules of Civil Procedure; and (2) for a determination of the sufficiency of the
defendants’ answers to the plaintiff’s requests for admissions, pursuant to Rule 36 of the Federal
Rules of Civil Procedure. The defendants oppose the motion.
BACKGROUND
LRT operated a restaurant and bar in Manhattan known as Ajna Bar. The plaintiff
worked for LRT from October 2009 until February 2010.1 In his declaration submitted in
support of the instant motion, the plaintiff states that his employment application, which was
1
After his employment with LRT ended, the plaintiff commenced a civil action, in this
court, against it pursuant to, inter alia, the Fair Labor Standards Act of 1938 (“FLSA”), 29
U.S.C. § 201 et seq. See Azkour v. Little Rest Twelve, Inc., No. 10-CV-4132.
1
signed and dated October 10, 2009, reflects that he applied and was hired by LRT as a waiter.
Plaintiff avers that he was later told that he would instead be trained as a busboy and food
runner. According to the plaintiff, after his employment by LRT was terminated on February 9,
2010, he requested, on several occasions, a post-employment letter of reference; however, LRT’s
management ignored his request. On February 19, 2010, the plaintiff visited Ajna Bar and met
with Jessica Rosa (“Rosa”), then director of human resources for LRT. According to the
plaintiff, “[t]he conversation took place in her office and was about my withheld wages and
gratuities.” Plaintiff avers that “[d]uring that day, I also inspected my personnel file in Ms.
Rosa’s office, which was located in the basement of Ajna Bar. . . . All documents, including my
employment application, were stored in a large armoire in her office. Many other employees’
files were stored inside that same office furniture.”
On or about March 30, 2010, the defendants in this action became the new owners and
managers of Ajna Bar. Thereafter, according to the plaintiff, Haouzi, along with twenty or thirty
armed men, invaded the premises of Ajna Bar and may have taken possession of financial
statements and other business documents. However, the accounts of the incident provided by the
plaintiff indicate that the facts of the matter are in dispute. For example, the plaintiff states that
“after an alleged armed raid by the current managers and their attorneys, on or about March 30,
2010, evidence was allegedly destroyed.” The plaintiff also states that “[f]or about 4 years,
endless accusations of evidence spoliation have been exchanged in different fora by attorneys for
the two management teams.” Additionally, according to the plaintiff, it has been alleged that
“the former managers refused to disclose the documents . . . requested” and that the attorney
representing the former managers “who are the defendants in [a state court action] accuses the
2
current managers of having destroyed the evidence when they assumed control of defendant
[LRT].”
On or about April 1, 2010, the plaintiff requested from Macourt, the new general
manager of Ajna Bar, that the defendants provide him with a reference letter. The plaintiff avers
that “[d]efendants categorically refused to provide me with such a document because, according
to them, they had not hired me and I had never worked for them.”
Previously, in January 2010, Azkour had filed: (1) a charge of discrimination with the
United States Equal Employment Opportunity Commission (“EEOC”), alleging that LRT’s
previous owners and managers discriminated and retaliated against him; and (2) a complaint
with the United States Department of Labor (“DOL”), alleging that LRT’s previous owners and
managers violated the FLSA.
On December 20, 2013, in connection with the plaintiff’s related FLSA action, LRT
wrote to the Court and the plaintiff and offered to provide the plaintiff with a letter of reference
on condition that the offer was without prejudice to the defendants’ claim that they had no legal
obligation to provide such a letter. The plaintiff refused the offer.
The plaintiff filed a third-amended complaint on February 2, 2012, alleging, inter alia,
discrimination on the basis of race under 42 U.S.C. § 1981.2 The defendants filed their answer
on October 7, 2013.3 On or about October 21, 2013, the defendants served on the plaintiff a
2
By a report dated June 28, 2013, the Court recommended that the defendants’ motion to
dismiss the plaintiff’s claims, brought pursuant to the Americans with Disabilities Act (“ADA”)
and his § 1981 retaliation claim, be granted. Thereafter, on August 1, 2013, the assigned district
judge adopted the Court’s recommendation.
3
On October 11, 2013, the defendants re-filed their answer and annexed to it the affidavit
of Kristal Mallookis; the affidavit appears to have been prepared for submission in support of the
defendants’ motion for summary judgment in the related FLSA action.
3
document entitled “Defendants’ Initial Disclosure Pursuant to FRCP Rule 26(a).” This
document identifies Haouzi, Macourt and Comperiati as individuals “likely to have discoverable
information that the Defendants may use as defenses to Plaintiff’s claims.” The address
provided for each of these individuals is that of defendants’ counsel. Thereafter, by an order
dated November 1, 2013, the Court, inter alia, set a discovery deadline of February 28, 2014.
On December 27, 2013, the plaintiff wrote to the undersigned stating that he had served
his first request for production of documents on defendants’ counsel on October 21, 2013, but
the defendants “have not so far complied with my request to produce all the documents.”
(Docket Entry No. 144). Attached to the plaintiff’s letter was a copy of the request, entitled
“Plaintiff’s First Request for Production of Documents,” which sets forth twenty-three such
requests.4
The plaintiff wrote to the undersigned again on January 15, 2014; attached to the
plaintiff’s letter was a document dated December 27, 2013, and entitled “Plaintiff’s Requests for
Admission,” which sets forth fifteen such requests. According to the plaintiff, the defendants
“have so far refused to answer my requests for admission and provide me with all the documents
I requested.” (Docket Entry No. 147).
On January 16, 2014, the defendants’ counsel wrote to the plaintiff advising him, inter
alia, that he was enclosing “a copy of all the records that our clients have been able to locate
4
In a second letter, also dated December 27, 2013, and addressed both to the undersigned
and to the district judge assigned to this case, the plaintiff requested, inter alia, that the Court
“compel the defendants . . . to abide by all discovery requests and rules as mandated by Rule 26
of the Federal Rules of Civil Procedure.” (Docket Entry No. 145).
4
responsive to your document request.” Annexed, improperly, as an exhibit to the plaintiff’s
memorandum of law in support of the instant motion is a set of documents which appears to
constitute the defendants’ production. The documents provided include: (i) a letter dated
February 9, 2010, from Rosa, the former director of human resources for LRT, to the plaintiff
advising him, among other things, of his suspension with pay pending an investigation into his
EEOC complaint; (ii) an e-mail message dated February 14, 2012, from the plaintiff to an
employee of LRT advising of the plaintiff’s resignation from employment; (iii) an undated
statement by LRT’s employee responding to the complaints made by the plaintiff concerning the
circumstances of his termination from employment; (iv) a Federal Insurance Contributions Act
(“FICA”) Tip Credit Report for LRT for the periods March 1, 2009, to February 28, 2010, and
April 1, 2009, to March 31, 2010; (v) two documents entitled “Payroll Journal” for LRT for the
periods December 28, 2009, to January 3, 2010, and January 4, 2010, to January 10, 2010; (vi)
six documents entitled “Payroll” prepared on a weekly basis for “25 Little West 12 St” for the
period January 4, 2010, through February 14, 2010; (vii) a document entitled “Labor” prepared
for “25 Little West 12th Street” for the period February 1, 2010, to February 7, 2010; (viii) three
documents entitled “FOH Payroll”; (ix) e-mail correspondence between employees of LRT
concerning payments made to the plaintiff, among others; and (x) an Accident/Incident Report
dated February 19, 2010, apparently prepared by security personnel concerning the plaintiff’s
visit to Ajna Bar on that date and his alleged forced removal from the premises. The defendants’
responses to the plaintiff’s requests for admission were also provided to the plaintiff on January
16, 2014.
The plaintiff wrote to the Court on January 22, 2014, acknowledging that the defendants’
counsel had produced documents in response to his requests but characterized the production as
5
“scraps of paper, which he purports [sic] to be the documents I requested.” (Docket Entry No.
148).
By an order dated February 18, 2014, the Court directed the plaintiff to serve and file any
motion to compel on or before March 13, 2014. The plaintiff complied with the Court’s order
and filed the instant motion timely. In support of his motion, the plaintiff submitted a
memorandum of law, including exhibits annexed thereto improperly, see Local Civil Rule
7.1(a)(3) of this court, and a declaration.
PLAINTIFF’S CONTENTIONS
The plaintiff, through his motion, contends that the defendants have failed to comply
fully with his request for the production of documents, have refused to make the initial
disclosures mandated by Rule 26(a) of the Federal Rules of Civil Procedure and have “answered
evasively” his requests for admission.
A.
Production of Documents
The plaintiff contends that the defendants failed to produce certain elements of his
personnel file, including his employment application, resume and “signed W-4 forms” and
documents related to, among other things, an investigation conducted by the Department of
Labor. As previously noted, according to the plaintiff, when he visited the defendants’ bar on
February 19, 2010, “all documents pertaining to his employment were stored and preserved at
[that location] [17 Little West 12th Street, New York, New York].” However, “after an alleged
armed raid by the current managers and their attorneys . . . evidence was allegedly destroyed.”
The plaintiff contends that, notwithstanding the alleged destruction of his employment records,
“the current managers and owners are the ones liable for the preservation of any evidence and
the production of the herein requested documents.” He states: “Defendants are under the
6
obligation to preserve employment records, especially when they became aware that Plaintiff
twice complained to the EEOC regarding Defendants’ violation of [Title VII] and the Americans
with Disabilities Act.”
B.
Rule 26(a) Disclosure
The plaintiff contends that the defendants have failed to provide him with the name,
address and telephone number of each individual likely to have discoverable information, as well
as other information, in accordance with Federal Rule of Civil Procedure 26(a)(1)(A).
In this connection, the plaintiff notes that the defendants’ counsel failed to provide him with “the
address and telephone number of a witness, namely, Kristal Mallookis, who testified for
Defendants in the instant matter.”
As noted earlier, the defendants served on the plaintiff their initial disclosure pursuant to
Fed. R. Civ. P. 26(a) on or about October 21, 2013. That document identified Haouzi, Macourt
and Comperiati as individuals “likely to have discoverable information that the Defendants may
use as defenses to Plaintiff’s claims” and provided as contact information for them their
counsel’s business address.
C.
Requests for Admission
The plaintiff contends that the defendants “answered evasively” his requests for
admission. Specifically, the plaintiff challenges five of the defendants’ responses to his requests
for admission. These requests, and the defendants’ answers to them, are as follows:
Request No. 1:
Admit that on December 20, 2013, you offered to provide Plaintiff with a postemployment letter of professional reference (“reference letter”) if he agreed that said letter be
7
not used as evidence against you in the present matter and in Azkour v. Little Rest Twelve, Inc.,
et al., 10-cv-4132 (RJS) (KNF) (“FLSA Action”), which is still pending before this Court.
Answer:
DENIED, but admit that defendants offered to provide plaintiff with a reference letter on
the conditions detailed in letters to the plaintiff.
Request No. 2:
Admit that you have direct knowledge that Plaintiff has been requesting the reference
letter in his complaint since the initiation of the instant matter on or about August 8, 2011.
Answer:
DENIED.
Request No. 3:
Admit that you have no direct knowledge whether Plaintiff requested a reference letter
from the former managers of Little Rest Twelve, Inc.
Answer:
OBJECTION. We do not understand your request.
Request No. 6:
Admit that, since April 23, 2010, you have been aware that Plaintiff twice complained to
the U.S. Equal Employment Opportunity Commission, New York District Office, (“EEOC”), of
violations of Title VII of the Civil Rights Act of 1964 and the American[s] with Disabilities Act
(“ADA”).
Answer:
DENIED.
8
Request No. 15:
Admit that all similarly situated employees of a different protected class other than
Plaintiff’s were paid their full wages and gratuities.
Answer:
DENIED.
The plaintiff objects to the defendants’ responses on the following grounds. Regarding
Request No.1, the plaintiff asserts: “Defendants untruthfully and ambiguously deny that they
offered to provide Plaintiff a reference letter with conditions prohibiting him from using it as
evidence against them in the FLSA Action, despite the striking evidence.” (Emphasis in the
original). According to the plaintiff, the letter in question “does not reflect the least ambiguity
. . . as to their demand that Plaintiff relinquish the use of such a letter as a relevant piece of
evidence proving the furtherance of their discriminatory and retaliatory practices” in the matters
now before the court.
Regarding Request No. 2, the plaintiff asserts that the defendants’ response is not
truthful. According to the plaintiff, a “simple, even a diagonally furtive review of Plaintiff’s
complaint and Third Amended Complaint reveal that he complained to this Court of Defendants’
denial of said letter.”
Regarding Request No. 3, the plaintiff contends that the defendants’ “objection is an
absurdity, because they object to a request they purportedly did not understand.”
Regarding Request No. 6, the plaintiff states: “Defendants deny that they have ever been
aware that Plaintiff twice complained to the [EEOC] . . . [d]espite the irrefutable fact that
Defendants . . . received copies of two notices from the EEOC . . . and (2) their former attorney
9
. . . provided Plaintiff’s former attorney . . . with copies of such notices, including the envelopes
in which they were mailed.”
Regarding Request No. 15, the plaintiff objects that “they deny that they have ever paid
back wages to employees of a different protected class other than Plaintiff’s, despite clear
evidence that, following an investigation, they were compelled to enter into an agreement with
the U.S. Department of Labor enjoining them to abide by the provisions of the Fair Labor
Standards Act.”
DEFENDANTS’ OPPOSITION
In opposition to the plaintiff’s motion, the defendants submitted the declaration of their
attorney, Andrew S. Hoffman (“Hoffman”). The Court notes that the defendants’ submission
fails to comply with Local Civil Rule 7.1 of this court, which requires a party opposing a motion
to submit a memorandum of law, setting forth, inter alia, the cases and other authorities relied
upon, as well as supporting affidavits and exhibits thereto containing any factual information and
portions of the record necessary for the decision of the motion. The defendants’ submission is
therefore deficient. Furthermore, for the reasons discussed below, some of the statements
contained in Hoffman’s declaration are hearsay and not probative.
In response to the plaintiff’s motion to compel the production of documents, Hoffman
states: “Plaintiff previously interposed a demand for the production of documents. Defendants
have responded and provided all of the responsive documents they were able to locate.
Defendant [sic] is not refusing to produce any of the requested documents.”
With respect to the alleged failure by the defendants to comply with Rule 26(a), Hoffman
states: “[p]laintiff complains that we have not provided him with addresses and telephone
numbers for ‘a number of witnesses, namely Kristal Mallookis,’ a non-party who supplied an
10
affidavit about the New York City labor market for busboys.” According to Hoffman, the
plaintiff is correct about this and he has “no intention of providing [the plaintiff] with contact
information for any of defendants’ witnesses, each of whom can be produced, if necessary,
through my office.”
As for the plaintiff’s claims regarding his requests for admission, Hoffman states:
“[P]laintiff appears not to be happy with defendants’ responses to his requests for admissions.
Simply put, the responses are the responses. Once again, this is not an appropriate basis to
proceed with a motion to compel discovery.” Hoffman further declares: “In sum, defendants
have provided plaintiff with the documents and information available to them. I am now advised
that defendant [LRT] has sold Ajna Bar restaurant and has ceased doing business. Thus there is
no opportunity to even attempt to search for additional documents, none of which have any
relevance to the single and very narrow cause of action sustained by the Court in this case.”
PLAINTIFF’S REPLY
The plaintiff has submitted a reply to the defendants’ opposition to his motion. In his
reply papers, the plaintiff requests that the Court sanction the defendants for, inter alia, their
failure to provide him with discovery material related to his employment by rendering a default
judgment against them, see Fed. R. Civ. P. 37(b)(2), or by issuing a judgment on the pleadings
pursuant to Fed. R. Civ. P. 12(c).
DISCUSSION
Motion to Compel
Rule 37 of the Federal Rules of Civil Procedure provides that “[o]n notice to other parties
and all affected persons, a party may move for an order compelling disclosure or discovery.”
Fed. R. Civ. P. 37(a)(1). “The motion must include a certification that the movant has in good
11
faith conferred or attempted to confer with the person or party failing to make disclosure or
discovery in an effort to obtain it without court action.” Id. “Motions to compel, pursuant to
Rule 37 of the Federal Rules of Civil Procedure, are left to the sound discretion of the district
court.” Debellis v. Bize, No. 11 Civ. 7113, 2013 WL 935764, at *1 (S.D.N.Y. Mar. 11, 2013)
(quoting Alli v. Steward-Bowden, No. 11 Civ. 4952, 2012 WL 6041045, at *5 (S.D.N.Y. Nov.
29, 2012)) (internal quotation marks omitted).
The plaintiff’s memorandum of law submitted in support of the instant motion states that
he has “conferred in good faith with counsel to the Defendants in an effort to obtain complete
discovery disclosure without this Court’s action.”
Production of Documents
The plaintiff contends that the defendants have withheld or failed to produce certain
documents which were part of his personnel file and which he saw during a visit to Ajna Bar on
February 19, 2010. None of the defendants has provided evidence, via an affidavit or otherwise,
in response to the plaintiff’s contention. Rather, counsel to the defendants stated in a declaration
submitted in opposition to the instant motion that the defendants have “provided all of the
responsive documents they were able to locate [and are] not refusing to produce any of the
requested documents.”
Typically, a person “may testify to a matter only if evidence is introduced sufficient to
support a finding that the [person] has personal knowledge of the matter.” Fed. R. Evid. 602.
Here, no evidence has been introduced to show that Hoffman has personal knowledge
concerning documents in the defendants’ possession responsive to the plaintiff’s requests.
Consequently, the statements in Hoffman’s declaration about such documents are hearsay and
not probative.
12
At the same time, however, the plaintiff has acknowledged that the documents he seeks
may have been destroyed at the time of the “armed raid” of the defendants’ premises. If the
documents were destroyed, whether they were destroyed by the current or former owners of LRT
remains a matter in dispute. On the other hand, if the documents were not destroyed, whether
they are currently in the possession, custody, or control of one or more of the owners of LRT or
some other entity is a matter which, on the motion record, is not free from doubt. Under the
circumstances, the plaintiff cannot meet his burden of establishing that the defendants have
custody or control of the documents he seeks. Therefore, the defendants cannot be required to
produce those documents. See Alexander Interactive, Inc. v. Adorama, Inc., No. 12 Civ. 6608,
2014 WL 61472, at *3 (S.D.N.Y. Jan. 6, 2014) (“Where control is contested, the party seeking
production of documents bears the burden of establishing the opposing party’s control over those
documents.”) (citation omitted); 8B Charles Alan Wright, et al., Federal Practice & Procedure,
§ 2210 (3rd ed. 2010) (“[A] party cannot be required to permit inspection of documents or things
that it does not have and does not control.”).
The plaintiff contends, however, that, notwithstanding the alleged destruction of
documents during the “armed raid” of the defendants’ premises, they were under an obligation to
take steps to preserve his employment records, especially when they became aware that he had
complained to the EEOC regarding the defendants’ alleged violation of Title VII and the ADA.
According to the plaintiff, the defendants were made aware of his EEOC complaint through the
February 9, 2010 suspension letter from a representative of the former owners, which makes
reference to that complaint, and through a Notice of Right to Sue from the EEOC, which the
defendants received on April 23, 2010. The plaintiff contends that, under the circumstances,
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“any documents found by defendant Haouzi and the attorney-raiders in conjunction with
Plaintiff’s employment records should have been minutely preserved.”
“Spoliation is the destruction or significant alteration of evidence, or the failure to
preserve property for another’s use as evidence in pending or reasonably foreseeable litigation.”
West v. Goodyear Tire & Rubber Co., 167 F.3d 776, 779 (2d Cir. 1999). “[A] district court may
impose sanctions for spoliation, exercising its inherent power to control litigation.” Id. (citations
omitted). “Outright dismissal of a lawsuit . . . is within the court’s discretion. Dismissal is
appropriate if there is a showing of willfulness, bad faith, or fault on the part of the sanctioned
party.” Id. (citations and internal quotation marks omitted). In addition, where “the nature of the
alleged breach of a discovery obligation is the non-production of evidence, a district court has
broad discretion in fashioning an appropriate sanction, including the discretion to delay the start
of a trial . . . to declare a mistrial . . . or to proceed with a trial and give an adverse inference
instruction.” Residential Funding Corp. v. DeGeorge Fin. Corp., 306 F.3d 99, 107 (2d Cir.
2002) (citation omitted). See also Port Auth. Police Asian Jade Soc’y of New York & New
Jersey Inc. v. Port Auth. of New York & New Jersey, 601 F. Supp. 2d 566, 569 (S.D.N.Y. 2009)
(“Among the permissible sanctions for spoliation is ‘an inference that the evidence would have
been unfavorable to the party responsible for its destruction.’”) (quoting Kronisch v. United
States, 150 F.3d 112, 126 (2d Cir. 1998)).
In this case, the plaintiff has not requested that the court give an adverse inference jury
instruction in the event that the case goes to trial but has instead asked the Court to order the
defendants “to comply with discovery and disclosure requests and eventually impose sanctions.”
At the same time, however, the plaintiff devotes considerable space in his motion papers to a
14
discussion of the conditions that must be met in order to demonstrate that an adverse inference
jury instruction is warranted. Therefore, a discussion of this type of sanction is appropriate.
“[A] party seeking an adverse inference instruction based on the destruction of evidence
must establish (1) that the party having control over the evidence had an obligation to preserve it
at the time it was destroyed; (2) that the records were destroyed ‘with a culpable state of mind’;
and (3) that the destroyed evidence was ‘relevant’ to the party’s claim or defense such that a
reasonable trier of fact could find that it would support that claim or defense.” Residential
Funding Corp., 306 F.3d at 107 (citing Byrnie v. Town of Cromwell, Bd. of Educ., 243 F.3d 93,
107-12 (2d Cir. 2001)). Further, “[t]he ‘culpable state of mind’ factor is satisfied by a showing
that the evidence was destroyed ‘knowingly, even if without intent to [breach a duty to preserve
it], or negligently.’” Id. at 108 (quoting Byrnie, 243 F.3d at 109) (emphasis in the original).
A review of the record reveals that: (a) an adverse inference jury instruction is not
warranted in this case; and (b) the plaintiff has not shown that the sanction of dismissal of the
lawsuit is appropriate.
As noted, the first requirement for an adverse inference jury instruction is a showing that
the party having control over evidence had an obligation to preserve the evidence. In this case,
the plaintiff has shown that the defendants had notice of their obligation to preserve relevant
evidence as of the date on which they took possession of Ajna Bar, that is, on or about March 30,
2010. By that date, the February 9, 2010 suspension letter referring to the plaintiff’s EEOC
complaint had been issued and, since the letter was included as part of the defendants’ document
production, clearly it was not destroyed and came into the defendants’ hands. Moreover, since
the defendants had taken control of Ajna Bar on or about March 30, 2010, it is reasonable to
conclude that they received the April 23, 2010 notice from the EEOC in the regular course of
15
business.5 However, for the reasons discussed earlier, it cannot be determined, on the motion
record, whether the defendants have control over the documents the plaintiff seeks and,
therefore, whether they had an obligation to preserve them. Since the plaintiff cannot establish
the first requirement for an adverse inference jury instruction – the obligation to preserve the
evidence – such an instruction is not warranted here.
Similarly, in the absence of a showing that the defendants have control of the requested
documents, the plaintiff cannot demonstrate willfulness, bad faith or fault on their part with
respect to the preservation of the documents. Thus, since no basis exists for concluding that the
defendants’ failure to meet their obligation to preserve documents exhibited willfulness or bad
faith, the Court finds that the harsh sanction of dismissing the lawsuit would not be appropriate
in this case. Under the circumstances, the plaintiff has not provided a basis for his request that
the defendants be compelled to produce additional documents in response to his document
requests or for the imposition of sanctions. Therefore, the plaintiff’s motion to compel, pursuant
to Rule 37, is denied.
Rule 26(a) Disclosure
Rule 26(a) provides, in pertinent part, that a party must provide to the other parties “the
name and, if known, the address and telephone number of each individual likely to have
discoverable information – along with the subjects of that information– that the disclosing party
5
In light of the evidence presented by the plaintiff in connection with this motion, which
was not presented at the time he filed his Third Amended Complaint, it may be appropriate to
revisit the plaintiff’s allegation of retaliation pursuant to § 1981, and his motion(s) for
reconsideration of the court’s order dated August 1, 2013, adopting this Court’s Report and
Recommendation with respect to the defendants’ motion to dismiss.
16
may use to support its claims or defenses, unless the use would be solely for impeachment.”
Fed. R. Civ. P. 26(a)(1)(A)(i).
As noted earlier, the defendants served their initial disclosure on the plaintiff on or about
October 21, 2013. At that time, the defendants identified Haouzi, Macourt and Comperiati as
individuals “likely to have discoverable information that the defendants may use as defenses to
the plaintiff’s claims.” The plaintiff objects that the defendants failed to provide him with the
address and telephone number of the named defendants, or of Kristal Mallookis, who testified
previously for the defendants in a related matter. In response, the defendants’ counsel
acknowledges the failure to provide contact information for these potential witnesses, but insists
that they can be contacted through his office.
The defendants have cited no authority in support of the proposition that they are not
required to comply with Rule 26(a) by providing the contact information mandated by that rule
for the individuals in question. Therefore, the defendants are directed to comply with the
requirements of Rule 26(a)(1)(A)(i) by providing to the plaintiff, within seven (7) days from the
date of this order, the necessary information. Furthermore, the defendants are admonished for
their improper conduct in disregarding the requirements of Rule 26(a)(1)(A)(i).
Requests for Admission
Rule 36 of the Federal Rules of Civil Procedure governs requests for admissions. Rule
36(a) permits a party to serve on another party “a written request to admit, for purposes of the
pending action only, the truth of any matters within the scope of Rule 26(b)(1) relating to:
(A) facts, the application of law to fact, or opinions about either; and (B) the genuineness of any
described documents.” Fed. R. Civ. P. 36(a)(1). Rule 36(a) also provides:
17
If a matter is not admitted, the answer must specifically deny it or state in
detail why the answering party cannot truthfully admit or deny it. A denial must
fairly respond to the substance of the matter; and when good faith requires that a
party qualify an answer or deny only a part of a matter, the answer must specify
the part admitted and qualify or deny the rest. The answering party may assert
lack of knowledge or information as a reason for failing to admit or deny only if
the party states that it has made reasonable inquiry and that the information it
knows or can readily obtain is insufficient to enable it to admit or deny.
Fed. R. Civ. P. 36(a)(4).
A responding party may also object to a request for admission but not “solely on the
ground that the request presents a genuine issue for trial.” Fed. R. Civ. P. 36(a)(5).
Additionally, Rule 36 expressly permits the requesting party to move a court to determine the
sufficiency of an answer or objection to a request for admission. See Fed. R. Civ. P. 36(a)(6).
“Unless the court finds an objection justified, it must order that an answer be served.” Id. If the
court finds that an answer does not comply with the Rule, it “may order either that the matter is
admitted or that an amended answer be served.” Id.
“The purpose of Rule 36(a) is to narrow the issues for trial to those which are genuinely
contested.” United Coal Companies v. Powell Constr. Co., 839 F.2d 958, 967 (3rd Cir. 1988)
(citing United States v. Watchmakers of Switzerland Info. Ctr., Inc., 25 F.R.D. 197, 201
(S.D.N.Y. 1959)). “Where . . . issues in dispute are requested to be admitted, a denial is a
perfectly reasonable response. Furthermore, the use of only the word ‘denied’ is often sufficient
under the rule.” Id. (citation omitted). Additionally, “Rule 36 should not be used unless the
statement of fact sought to be admitted is phrased so that it can be admitted or denied without
explanation.” Id. at 968 (citation omitted).
With respect to Request No. 1, the Court does not find that the defendants’ denial of the
request stated therein is either untruthful or ambiguous, as the plaintiff contends. As the
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accompanying admission makes clear, the defendants do not deny that they offered to provide to
the plaintiff a letter of reference but only the terms of their offer, as characterized by the
plaintiff. Additionally, the defendants have complied with Rule 36 by specifying “the part
admitted.”
With respect to Request No. 2, the plaintiff argues that the defendants’ denial that they
have “direct knowledge” that plaintiff has been requesting a letter of reference since the
initiation of this action is not truthful. Based on this argument, it appears that the plaintiff is
asking the Court to ascertain the truth or falsity of the defendants’ denial. However, at this
juncture, prior to trial, the Court is not authorized to address the substantive accuracy of a denial
in the context of a request for admission. See Chase v. Nova Southeastern Univ., Inc.,
No. 11-61290-CIV, 2012 WL 1309238, at *3 (S.D. Fla. Apr. 16, 2012). Rather, “in determining
the sufficiency of a request for admission, the court’s role is to ensure the formalities of [Rule
36(a)] are observed. As long as a responding party’s answer is adequate to satisfy the technical
requirements of Rule 36, the court is not empowered to compel [the responding party] to change
an answer to conform to the ‘truth’ or to any particular theory or other evidence.” Id. (citation
and internal quotation marks omitted). Therefore, notwithstanding the plaintiff’s objection, the
Court finds that the defendants’ answer to Request No. 2 complies with the Rule.
With respect to Request No. 3, the Court finds that the defendants’ objection is justified,
and the basis for it, namely, that they do not understand the request, is not unreasonable. The
request, which asks the defendants to admit that they have “no direct knowledge” concerning the
plaintiff’s actions with respect to the former managers of LRT, is not phrased so that it can be
admitted or denied without explanation. Therefore, the request warrants the objection the
defendants provided. With respect to Requests No. 6 and 15, the Court finds that, as these
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requests concern issues in dispute in this action, the defendants' denials are permissible.
Additionally, as with Request No. 2, the plaintiffs objection to the defendants' answers to these
requests turns on whether they are true, a matter which is not properly addressed in this context.
CONCLUSION
For the reasons set forth above, the plaintiffs motion to compel, Docket Entry No. 155,
is granted, in part, and denied, in part.
SO ORDERED:
Dated: New York, New York
September 9, 2014
KEVIN NATHANIEL FOX
UNITED STA TES MAGISTRATE JUDGE
Copy mailed to:
Hicham Azkour
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