Brown v. Blue Cross and Blue Shield of Alabama et al
Filing
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ORDER granting in part and denying in part 17 Motion to Compel Interrogatory and Document responses. Signed by Senior Judge Graham Mullen on 7/15/2014. (eef)
IN THE UNITED STATES DISTRICT COURT
FOR THE WESTERN DISTRICT OF NORTH CAROLINA
CHARLOTTE DIVISION
CIVIL ACTION NO. 3:13-CV-121-GCM
BETTY BROWN,
Plaintiff,
v.
BLUE CROSS AND BLUE SHIELD OF
ALABAMA, CAHABA SAFEGUARD
ADMINISTRATORS, LLC, and BLUE
CROSS AND BLUE SHIELD OF
ALABAMA GROUP HEALTH CARE
PLAN,
Defendants.
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ORDER
THIS MATTER comes before the Court on Plaintiff Betty Brown’s Motion to Compel
and Memorandum in Support (Doc. No. 17), Defendants’ Response in Opposition (Doc. No. 18),
and Plaintiff’s Reply Memorandum in Support (Doc. No. 19). Plaintiff has withdrawn her
Motion to Compel insofar as it relates to her Request for Production of Documents. (Pl.’s Reply
at 6, Doc. No. 19.) As such, that portion of her Motion is DENIED as moot. For the reasons
stated below, the remainder of Plaintiff’s Motion, related to Plaintiff’s First Set of
Interrogatories, is GRANTED insofar as it seeks to compel Defendants to specify the records
that must be reviewed in accordance with Federal Rule of Civil Procedure 33(d).
I.
FACTUAL BACKGROUND
Plaintiff Betty Brown was employed by Blue Cross Blue Shield offices for a total of
forty-three years and retired in 2011. (Pl.’s Mem. Supp. at 2, Doc. No. 17.) Plaintiff had worked
for Blue Cross Blue Shield of North Carolina (“BCBS-NC”) for thirty-three years, ending in
2001, at which point she held the position of Advanced Staff Auditor. (Id.) In 2001, the work
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Plaintiff performed for BCBS-NC was obtained by Cahaba Benefit Administrators (“CBA”), an
affiliate of Blue Cross Blue Shield of Alabama (“BCBS-AL”). (Id.; Def.’s Answer ¶ 7, Doc. No.
3.) Plaintiff and other employees of BCBS-NC were offered the opportunity to and did transition
into work for CBA. (Pl.’s Mem. Supp. at 2, Doc. No. 17.)
Following her transfer to CBA, Plaintiff continued to perform the tasks she had
performed previously for BCBS-NC. (Id.) According to Plaintiff, her job performance at CBA
was at all times rated satisfactory or above in her performance evaluations. (Id.) After her
transfer to CBA, Plaintiff allegedly observed that younger employees who had transitioned at the
same time as she did from BCBS-NC and other Blue Cross Blue Shield entities to CBA “were
provided better wages, benefits and service awards than she was provided, in spite of the fact that
some were performing the same or a similar position to hers.” (Id.) Additionally, Plaintiff
alleges that she should have been eligible for certain medical benefits and coverage for her and
her family under the “Blue Cross and Blue Shield of Alabama Retiree Plan.”
(Id. at 3.)
According to Plaintiff, she was denied these benefits; however, Plaintiff alleges, “[t]hese benefits
have been afforded to younger employees who transitioned to Blue Cross Blue Shield of
Alabama.” (Id.)
On April 12, 2012, Plaintiff filed a charge of discrimination with the Equal Employment
Opportunity Commission (“EEOC”) against the Defendants, in which she alleged discrimination
on the basis of age in the terms and conditions of her employment with Defendants. (First Am.
Compl. ¶ 33, Doc No. 1-3.) Plaintiff alleged in the alternative that the policies of BCBS-AL had
a disparate and adverse impact on older workers in violation of the Age Discrimination in
Employment Act (“ADEA”); particularly, Plaintiff alleged that BCBS-AL awarded service credit
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to employees who transitioned, but did not retire, for their years of service with BCBS-NC. On
September 4, 2012, Plaintiff received a Notice of Right to Sue from the EEOC. (Id. ¶ 34.)
The present discovery dispute arises from Plaintiff’s First Set of Interrogatories and
Requests for Production of Documents. (Doc. No. 17-1.) Plaintiff served these discovery
requests on May 29, 2013, and Defendants served their responses in the beginning of July 2013.
(Pl.’s Mem. Supp. at 4, Doc. No. 17.) On February 19, 2014, via facsimile and email, Plaintiff
notified Defendants about certain deficiencies in their discovery responses and asked Defendants
to supplement those responses. (Ex. D, Doc. No. 17-4.) According to Plaintiff, Defendants
provided insufficient responses to Interrogatory Nos. 7–11. (Id.) Particularly, Plaintiff informed
Defendants that they had not responded to Interrogatory No. 7 whatsoever. Additionally, when
answering Interrogatory Nos. 8–11, Defendants exercised their right under Federal Rule of Civil
Procedure 33(d) to provide documents with responsive information; Plaintiff complained to
Defendants that these documents “[did] not begin to answer the interrogatories and the
information requested.” (Id.)
In late February 2014, the parties made efforts to settle the matter through a mediator,
Judge Carl Horn. (Defs.’ Resp. Opp’n at 7, Doc. No. 18.) During this time, Plaintiff agreed with
Judge Horn “to extend the time for [Defendants] to respond to the request for supplementation of
discovery responses” and to “hold off filing a motion to compel while [the parties] were in
settlement discussions.” (Ex. D, Doc. No. 17-4.) Unfortunately, in March 2014, the settlement
discussions broke down. (Defs.’ Resp. Opp’n at 8, Doc. No. 18.) On March 26, 2014, Plaintiff
notified Defendants that, because Defendants had not responded to Plaintiff’s settlement offer,
she would “go ahead and file the motion to compel . . . tomorrow unless [Defendants] provide[d]
sufficient supplementation as requested in [Plaintiff’s] February 19th letter.” (Ex. D, Doc. No.
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17-4.) In an email sent that same day, Defendants responded that they would “make relevant,
responsive documents to be available for inspection in Birmingham, Alabama,” and that this
should “resolve[] any discovery dispute.” (Id.) In response to this offer, Plaintiff sent two more
emails to Defendants on March 26 and March 27, 2014, asking how many documents were
available for review, whether they were currently available for review, whether they were
responsive to all Plaintiff’s requests, and whether Defendants would be providing the requested
supplemental answers to the Interrogatories in dispute. (Pl.’s Mem. Supp. at 5, Doc. No. 17.)
Defendants failed to respond to these inquiries, so Plaintiff filed the instant Motion on March 31,
2014. (Pl.’s Mot. Compel, Doc. No. 17.)
Defendants have agreed to provide documents that are responsive to Plaintiff’s discovery
requests. Plaintiff has therefore withdrawn her Motion to Compel insofar as it relates to the
Requests for Production of Documents. (Pl.’s Reply at 6, Doc. No. 19.) Thus, the remaining
portion of Plaintiff’s Motion relates only to Interrogatory Nos. 7–11; Plaintiff asks the Court to
order Defendants “to provide full and complete responses to [the Interrogatories in dispute] and,
if Defendant is seeking to utilize Rule 33(d), to comply with Rule 33(d)’s requirements in their
responses.” (Id. at 5–6.) Defendants, in their Response in Opposition, maintain that their email
response on March 26, 2014—an offer to make “relevant, responsive documents” available for
Plaintiff’s review in Birmingham, Alabama—met the requirements of Rule 33(d). (Defs.’ Resp.
Opp’n at 10–11 & n.5, Doc. No. 18.) Thus, Defendants contend that the Court should deny
Plaintiff’s Motion as moot. (Id. at 13.)
II.
LEGAL STANDARD
Generally, parties are entitled to discovery regarding any nonprivileged matter that is
relevant to any claim or defense. Fed. R. Civ. P. 26(b)(1). “Relevant information need not be
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admissible at the trial if the discovery appears reasonably calculated to lead to the discovery of
admissible evidence.” Id. The scope of discovery permitted by Rule 26 “is designed to provide
a party with information reasonably necessary to afford a fair opportunity to develop its case.”
United States v. Albemarle Corp., No. 5:11-00991-JM, 2013 WL 6834597, at *2 (D.S.C. Dec.
23, 2013) (citing Nat’l Union Fire Ins. Co. of Pittsburgh, Pa. v. Murray Sheet Metal Co., Inc.,
967 F.2d 980, 983 (4th Cir. 1992)).
If a party fails to answer an interrogatory, the party seeking discovery “may move for an
order compelling an answer.” Fed. R. Civ. P. 37(a)(3)(B). This Rule makes clear that “an
evasive or incomplete answer is to be considered . . . a failure to answer. The courts . . . have the
power to compel adequate answers.” Fed. R. Civ. P. 37 advisory committee’s note (1970
Amendment). However, in lieu of answering interrogatories, Rule 33(d) provides the responding
party “the option of choosing to answer the interrogatories by providing access to business
records.” U.S. Sec. & Exch. Comm’n v. Elfindepan, S.A., 206 F.R.D. 574, 576 (M.D.N.C. 2002).
The Rule provides that:
If the answer to an interrogatory may be determined by examining, auditing,
compiling, abstracting, or summarizing a party’s business records . . . , and if the
burden of deriving or ascertaining the answer will be substantially the same for
either party, the responding party may answer by:
(1) specifying the records that must be reviewed, in sufficient detail to enable the
interrogating party to locate and identify them as readily as the responding
party could; and
(2) giving the interrogating party a reasonable opportunity to examine and audit
the records and to make copies, compilations, abstracts, or summaries.
Fed. R. Civ. P. 33(d).
The party seeking to produce records in lieu of answering interrogatories must satisfy
several factors to justify the use of Rule 33(d). Hillyard Enters., Inc. v. Warren Oil Co., Inc.,
No. 5:02-CV-329, 2003 WL 25904133, at *2 (E.D.N.C. Jan. 31, 2003); Elfindepan, 206 F.R.D.
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at 576–77. Relevant here, the producing party must show that a review of the offered documents
will, in fact, reveal answers to the interrogatories.
Elfindepan, 206 F.R.D. at 576 (“The
producing party must show that the named documents contain all of the information requested by
the interrogatories.”). Additionally, the producing party must adequately and precisely specify,
for each interrogatory, the actual documents where the requested information will be found.
Warren Oil, 2003 WL 25904133, at *2; Elfindepan, 206 F.R.D. at 576 (“Document dumps or
vague references to documents do not suffice.”). This requirement is meant “to make it clear that
a responding party has the duty to specify, by category and location, the records from which
answers to interrogatories can be derived.” Fed. R. Civ. P. 33 advisory committee’s note (1980
Amendment).
III.
DISCUSSION
Plaintiff has asked the Court to order Defendants “to provide full and complete
responses” to Interrogatory Nos. 7–11 and, if utilizing Rule 33(d) to answer these interrogatories,
to comply with the requirements of the Rule by “specifying the records that must be reviewed, in
sufficient detail to enable [Plaintiff] to locate and identify them as readily as [Defendants]
could.” (Pl.’s Mem. Supp. at 12, Doc. No. 17; Pl.’s Reply at 5, Doc. No. 19.) Defendants point
to their email to Plaintiff dated March 26, 2014, in which they offered to make “relevant,
responsive documents” available for Plaintiff’s review in Birmingham, Alabama.
This
communication, they argue, complied with Rule 33(d) and was therefore responsive to the
interrogatories in dispute. (Defs.’ Resp. Opp’n at 11 n.5, Doc. No. 18.) The Court will discuss
each Interrogatory in turn.
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A. Interrogatory No. 7
Plaintiff’s Interrogatory No. 7 asks Defendants to “[i]dentify all persons employed by any
of the Defendants at any time since January 1, 2008, who have filed an EEOC charge, grievance
or any other complaint alleging violation of the [ADEA].” (Pl.’s First Set of Interrogs. at 4, Doc.
No. 17-1.)
In their response, Defendants objected to this Interrogatory as “overly broad,
burdensome, immaterial, remote in time frame, and not reasonably calculated to lead to the
discovery of admissible evidence.” (Defs.’ Resps. Pl.’s First Set of Interrogs. at 4, Doc No. 172.) Defendants argued that, because Plaintiff had been an employee of Cahaba Safeguard
Administrators (“CSA”) since 2003, “[a] generalized request to obtain every instance in which
any employee of her employer or its parent company, Blue Cross Blue Shield of Alabama[,]
raised an allegation of age discrimination . . . is unwarranted and outside the scope of permissible
discovery.”
(Id.)
Plaintiff has since proposed to limit this interrogatory to charges and
grievances alleging age discrimination which were filed by employees of CSA and CBA during
the time period Plaintiff was an employee of those subdivisions of BCBS-AL. (Pl.’s Mem.
Supp. at 6, Doc. No. 17.) Defendants have agreed to identify prior claims that fall within this
limited scope of Interrogatory No. 7. (Defs.’ Resp. Opp’n at 13, Doc. No. 18.)
A party seeking to utilize Rule 33(d) must specify for each interrogatory the documents
that “will actually reveal answers to the interrogatories.” Elfindepan, 206 F.R.D. at 576. Here,
although Defendants stated in their Response in Opposition that they would identify certain prior
age-based claims of discrimination asserted against them during Plaintiff’s employment, they
have specified no other documents where this information can be found. As such, Defendants
have failed to justify the use of Rule 33(d) regarding Interrogatory No. 7—they have not
specified, in sufficient detail, “the records that must be reviewed . . . to enable [Plaintiff] to
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locate and identify them as readily as [Defendants] could.” See Fed. R. Civ. P. 33(d)(1); Am.
Rockwool, Inc. v. Owens-Corning Fiberglas Corp., 109 F.R.D. 263, 266 (E.D.N.C. 1985).
Accordingly, the Court GRANTS Plaintiff’s Motion regarding Interrogatory No. 7 and
ORDERS Defendants to comply with Rule 33(d) by specifying, by category and location, the
records from which an answer to Interrogatory No. 7—limited in scope as proposed by Plaintiff
and agreed to by Defendants—can be derived.
B. Interrogatory Nos. 8–11
Plaintiff’s Interrogatory No. 8 asks Defendants to identify, for the time period of
September 1, 2001, to November 30, 2011, all employees who worked for BCBS-NC before
transferring to BCBS-AL, CSA, or CBA. (Pl.’s First Set of Interrogs. at 4–5, Doc. No. 17-1.)
For each employee identified in response to this Interrogatory, Plaintiff asks Defendants to state:
a) [the employee’s] name;
b) [the employee’s] job title with BCBC-NC at the time of their move to BCBSAL;
c) [the employee’s] job title(s) with BCBS-AL;
d) [the employee’s] date of birth;
e) [the employee’s] salary;
f) [the employee’s] total income reported on a W-2 for each year of employment;
g) [the employee’s] annual weeks of vacation allotted;
h) [the employee’s] annual vacation pay;
i) [the employee’s] service awards by date and amount;
j) whether or not [the employee] retired from BCBS-AL;
k) if retired[,] whether or not [the employee] is a participant in the BCBS of
Alabama Group Health Care Plan;
l) [the employee’s] dates of employment with BCBS-AL, [CSA], and [CBA];
m) [the employee’s] dates of employment with any other Blue Cross entity; [and]
n) [the employee’s] scores on annual performance evaluation for each year
employed with BCBS-AL, [CSA], and [CBA].
(Id. at 5.)
Interrogatory No. 9 asks Defendants to identify, for the time period of September 1, 2001,
to November 30, 2011, all employees of BCBS-AL, CSA, and CBA “who were given service
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credit for years of service with BCBS-NC.” (Pl.’s First Set of Interrogs. at 5, Doc. No. 17-1.)
Plaintiff next asks Defendants, in Interrogatory No. 10, to identify all employees who received
the same confirmation of employment letter from CBA that Plaintiff received. (Id.) Finally,
Interrogatory No. 11 asks Defendants to identify all employees of BCBS who retired in 2011 and
“were allowed to receive benefits under the Blue Cross and Blue Shield Group Health Plan.”
(Id. at 6.)
1. Defendants’ Objections
Defendants objected to each of these Interrogatories. (Defs.’ Resps. Pl.’s First Set of
Interrogs. at 5–6, Doc No. 17-2.) To properly object to an interrogatory, the responding party
must state “[t]he grounds for objecting . . . with specificity.” Fed. R. Civ. P. 33(b)(4). A mere
statement by the responding party “that an interrogatory or a document production request is
‘overly broad, burdensome, oppressive, and irrelevant’ does not suffice as a specific objection.”
Mainstreet Collection, Inc. v. Kirkland’s, Inc., 270 F.R.D. 238, 240 (E.D.N.C. 2010) (quoting
Momah v. Albert Einstein Med. Ctr., 164 F.R.D. 412, 417 (E.D. Pa. 1996)). If the objection has
been properly articulated, the party seeking discovery has the burden to show that the discovery
request falls within the confines of Rule 26. Id. at 240. However, an unstated ground for
objection—e.g., one that is not properly articulated—“is waived unless the court, for good cause,
excuses the failure.” Fed. R. Civ. P. 33(b)(4).
Here, Defendants failed to properly articulate their objections to the Interrogatories in
dispute. For each Interrogatory in dispute, Defendants merely stated that the request was “overly
broad, burdensome, immaterial, remote in time frame, and not reasonably calculated to lead to
the discovery of admissible evidence.” (Defs.’ Resps. Pl.’s First Set of Interrogs. at 5–6, Doc
No. 17-2.) Mere boilerplate language such as this does not suffice as a proper objection to a
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discovery request.
Mezu v. Morgan State Univ., 269 F.R.D. 565, 573 (D. Md. 2010)
(“Objections to discovery must be specific, non-boilerplate, and supported by particularized facts
where necessary to demonstrate the basis for the objection.”). Accordingly, the boilerplate
language used by Defendants constitutes a waiver of their objections on the grounds asserted—
that the requests were “overly broad, burdensome, immaterial, remote in time frame, and not
reasonably calculated to lead to the discovery of admissible evidence.” See id. at 580 (finding
that, where the responding party objected to the request as “overly broad and burdensome,” the
response was “a boilerplate objection that lacked particularized facts and therefore [was] a
waiver of [the responding party’s] objection on those grounds”).
2. Defendants’ Utilization of Rule 33(d)
In addition to stating their objections, for each Interrogatory in dispute, Defendants
attempted to employ Rule 33(d) and directed Plaintiff “to the documents of employees similar to
Plaintiff, if any, who retired from [BCBS-NC] on or about October 2001 and subsequently were
employed by [CSA].”
(Defs.’ Resps. Pl.’s First Set of Interrogs. at 5–6, Doc No. 17-2.)
Defendants then informed Plaintiff that these documents were made available for inspection in
response to Plaintiff’s Request for Production No. 19. (Id.) After Plaintiff filed her Motion to
Compel, Defendants, in their Response in Opposition, offered to allow Plaintiff to review
“responsive documents from the personnel files and payroll records of those employees who (a)
worked for Defendants during the relevant time period[,] (b) who retired under the BCBS Group
Health Plan, and (c) who, prior to working for Defendants, worked for a different Blue Cross and
Blue Shield entity.” (Defs.’ Resp. Opp’n at 12, Doc. No. 18.) Defendants maintain that “[t]his
inspection would satisfy Plaintiff’s demands for supplementation of Interrogatory Nos. 8–11.”
(Id. at 12 n.9.) Plaintiff agrees, stating in her Reply Memorandum that these documents “are
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responsive to the unanswered and incompletely answered discovery.” (Pl.’s Reply at 5, Doc. No.
19.) However, Plaintiff asks the Court to order Defendants to comply with Rule 33(d) by
“specifying the records that must be reviewed, in sufficient detail to enable [Plaintiff] to locate
and identify them as readily as [Defendants] could.” (Id.)
As discussed previously, a party seeking to employ Rule 33(d) must specify for each
interrogatory the documents that “will actually reveal answers to the interrogatories.”
Elfindepan, 206 F.R.D. at 576. “Document dumps or vague references to documents do not
suffice.” Id. Here, Defendants are willing to allow Plaintiff to review certain “personnel files
and payroll records,” but not one specific document is identified for any of the Interrogatories in
dispute.
This attempted use of Rule 33(d) is more akin to a “document dump” than a
specification of documents. Thus, Defendants have not complied with one of the requirements
of Rule 33(d)—they have not specified “the records that must be reviewed, in sufficient detail to
enable the interrogating party to locate and identify them as readily as the responding party
could.” Id. at 577 (finding that the responding party did not comply with the specification
requirement of Rule 33(d) where the responding party’s actions were “more in the nature of a
document dump”). As such, Defendants have failed to justify the use of Rule 33(d) regarding
Interrogatory Nos. 8–11.
Accordingly, the Court GRANTS Plaintiff’s Motion regarding
Interrogatory Nos. 8–11 and ORDERS Defendants to comply with Rule 33(d)—Defendants
must specify, by category and location, the records from which answers to these Interrogatories
can be derived.
IV.
CONCLUSION
IT IS THEREFORE ORDERED that Plaintiff’s Motion to Compel is DENIED as
moot insofar as it relates to her Request for Production of Documents. The remainder of
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Plaintiff’s Motion, related to Plaintiff’s First Set of Interrogatories, is GRANTED insofar as it
seeks to compel Defendants to specify the records that must be reviewed in accordance with
Federal Rule of Civil Procedure 33(d). The Court ORDERS Defendants, within fourteen (14)
days of the entry of this Order and in accordance with Rule 33(d), to specify, by category and
location, the records from which answers to Interrogatory Nos. 7–11 can be derived and to
provide Plaintiff a reasonable opportunity to inspect such records.
Signed: July 15, 2014
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