Talismanic Properties, LLC et al v. City of Tipp City, Ohio
Filing
37
DECISION, ORDER AND ENTRY: (1) VACATING THE COURTS ORDER TO SHOW CAUSE REGARDING SUBJECT MATTER JURISDICTION (DOC. 9 )(2) DENYING PLAINTIFFS MOTION FOR LEAVE TO AMEND WITHOUT PREJUDICE TO REFILING; (3) ORDERING JUDITH TOMB AND PLAINTIFFS COUNSEL TO SHOW CAUSE AS TO WHY SANCTIONS SHOULD NOT ISSUE; AND (4) ORDERING SUPPLEMENTAL BRIEFING WITH REGARD TO PRIVILEGE. Signed by Magistrate Judge Michael J. Newman on 11/21/16. (kma)
UNITED STATES DISTRICT COURT
SOUTHERN DISTRICT OF OHIO
WESTERN DIVISION AT DAYTON
TALISMANIC PROPERTIES, LLC, et al.,
Plaintiffs,
Case No. 3:16-cv-285
vs.
TIPP CITY, OHIO,
Magistrate Judge Michael J. Newman
(Consent Case)
Defendant.
______________________________________________________________________________
DECISION, ORDER AND ENTRY: (1) VACATING THE COURT’S ORDER TO
SHOW CAUSE REGARDING SUBJECT MATTER JURISDICTION (DOC. 9); (2)
DENYING PLAINTIFFS’ MOTION FOR LEAVE TO AMEND WITHOUT PREJUDICE
TO REFILING; (3) ORDERING JUDITH TOMB AND PLAINTIFFS’ COUNSEL TO
SHOW CAUSE AS TO WHY SANCTIONS SHOULD NOT ISSUE; AND (4) ORDERING
SUPPLEMENTAL BREIFING WITH REGARD TO PRIVILEGE
______________________________________________________________________________
This civil consent case is before the Court on an Order to Show Cause docketed by the
undersigned on September 8, 2016, in which the Court -- noting that Plaintiffs’ federal claims all
appear to arise out of an alleged “taking without just compensation” -- ordered the parties to
explain why the Court possesses jurisdiction in the absence of allegations that Plaintiffs
exhausted state remedies. Doc. 9. The parties filed responses to the Court’s Order to Show
Cause. Docs. 15, 18. The Court has carefully reviewed this issue and the written submissions of
the parties, and this issue is now ripe for determination by the Court.
Plaintiffs also moved for leave to file an amended complaint (doc. 13), in which they
assert that the proposed amendment is needed because discovery has unveiled “additional
information that requires amendments to the [c]omplaint.” Doc. 13 at PageID 354. In their
motion, Plaintiffs do not disclose that their proposed amended complaint also removes all
specific references to the United States Constitution and, thus, appears to an attempt to remove
all claims asserted under federal law. See doc. 13-1. Defendant Tipp City, Ohio (“Tipp City”)
filed a memorandum in opposition to Plaintiffs’ motion for leave. Doc. 21. Plaintiffs did not file
a reply memorandum and the time for doing so has expired.
Finally, this case is before the Court on the City’s motion to terminate depositions and to
permit the clawback of privileged communications. Doc. 27.
Plaintiffs also filed a brief
addressing the City’s of privilege. Doc. 26.
The Court has carefully reviewed all of the foregoing documents, and these motions are
now ripe for decision.
I.
Plaintiff Talismanic Properties, LLC (“Talismanic”) owns 42 lots in the City, which it is
developing into a residential subdivision called “Cedar Grove.” Doc. 5 at PageID 145. Plaintiff
Judith Tomb is Talismanic’s general manager. Id. The parties were previously involved in litigation
in the Miami County, Ohio Court of Common Pleas that resulted in a settlement agreement. See doc.
5 at PageID 146. As part of that settlement agreement, the parties entered into a Construction
Agreement.
Id.
In the Construction Agreement, Plaintiffs agreed to install general public
improvements for the subdivision, including sewer systems, for which Plaintiffs separately
contracted with a private construction company to complete at approximately $1.2 million. Id.
The Construction Agreement also required that Plaintiffs obtain certain electrical
improvements through the City at an estimated cost of $142,721.00, payable in two installments. Id.;
see also doc. 5-2 at PageID 214. Although Plaintiffs entered into the Construction Agreement as part
of the settlement, they contend that the estimated cost of the electrical improvements sought by the
City is excessive, and that certain portions of the electrical improvements sought by the City -specifically, a three phase above ground electric line -- offer no benefit to Plaintiffs’ development
and benefit only neighboring businesses and landowners. Id. at PageID 147-48. Plaintiffs also
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contend that part of the estimated $142,731.00 charged by the City for electrical improvements
include excessive material and labor costs -- costs that allegedly exceed comparable costs the City
charged other developers in the City. Id. at PageID 148.
In addition to the allegedly excessive costs demanded by the City with regard to the electrical
improvements, Plaintiffs also allege that the City is unreasonably requiring: (1) that Plaintiffs use
more expensive backfill that provides no additional engineering benefit; (2) that conduits be bored
under streets for installation of electrical crossings at an additional cost of $12,000 to Plaintiffs; (3)
the unnecessary replacement of a portion of a sanitary sewer line at an additional cost to Plaintiffs of
$100,000; and (4) the replacement of sections of non-defective curbs. Id. at PageID 149-51.
Plaintiffs acknowledge that Tipp City Ordinance § 155.03(F) -- which sets forth the
procedure by which aggrieved persons must appeal administrative decisions under the Ordinances -may apply on its face, but set forth no allegations that they availed themselves of such appeal or that
such appeal has been finally adjudicated. Id. at PageID 151-54. Instead, Plaintiffs initiated this
lawsuit in the Miami County Court of Common Pleas alleging, among other claims, that: (1) Tipp
City Ordinance § 155.03(F) is unconstitutional because it violates due process as applied in this case;
(2) that the City violated Ohio’s Public Records Act; (3) the City breached its contract with
Plaintiffs; (4) the City’s requirement that Plaintiffs pay for the three phase above ground electric line,
as well as excessive charges for labor and material in relation to the electrical line, amount to an
unconstitutional deprivation of property without just compensation; and (5) the City tortiously
interfered with contracts they entered into with third-parties. Id. at PageID 151-59.
The City removed to this Court on the basis that Plaintiffs’ complaint sets forth claims arising
under federal law -- namely, claims alleging a taking, a deprivation of due process, and an equal
protection violation. See doc. 1 at PageID 1. Plaintiffs never sought to remand the case to the state
court; however, the Court, sua sponte, ordered the parties to brief the issue of jurisdiction in light of
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the fact that Plaintiffs set forth a takings claim without alleging that they availed themselves of state
procedures for obtaining compensation.
II.
The Court first addresses the ripeness of Plaintiffs’ takings claim and whether the Court
possesses jurisdiction to proceed. Here, Plaintiffs allege a taking by virtue of the City’s demand
that they pay for a three phase above ground electric line -- which they allege provides no benefit
and bears no relation to their development -- in exchange for approval of their development plan.
See doc. 5 at PageID 156-58.1 The taking alleged by Plaintiff appears to arise in the context of a
taking by virtue of the “unconstitutional conditions doctrine.” See Koontz v. St. Johns River
Water Mgmt. Dist., 133 S. Ct. 2586, 2594-99 (2013).2
The Takings Clause does not require the payment of just compensation before or
“contemporaneously with” the alleged taking. Williamson Cnty. Reg’l Planning Comm’n v.
Hamilton Bank of Johnson City, 473 U.S. 172, 194 (1985). Instead, if an “adequate process for
obtaining compensation” exists, “and if resort to that process ‘yield[s] just compensation,’ then
the property owner ‘has no claim against the Government’ for a taking.”
Id. at 194-95.
Generally, “federal court[s] may . . . hear a takings claim only after two criteria are met: (1) the
Notably, Plaintiffs’ due process and equal protection claims do not reference the City’s demand
that they pay for above ground electrical line. See doc. 5 at PageID 151-54. Instead, Plaintiffs claims in
this regard stem from allegations that the City required them to, at great expense: (1) use more expensive
backfill not required to be used by other developers and which provides no additional engineering benefit;
(2) bore conduits under streets for installation of electrical crossings at an additional cost of $12,000 to
Plaintiffs; (3) unnecessarily replace of a portion of a sanitary sewer line at an additional cost to Plaintiffs
of $100,000; and (4) replace sections of non-defective curbs. Doc. 5 at PageID 149-51. Plaintiffs allege
they have no adequate opportunity to be heard on the propriety of such decisions via the City’s
administrative appeal process prior to the expiration of their building permit, thus depriving them of their
permit without due process. They also allege that such demands have not been made upon similarly
situated developers. Id. at PageID 145-56.
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That doctrine, as it applies in the context of a Fifth Amendment Takings claim, was more fully
explained recently by the Supreme Court in Koontz, where the Court held that the government runs afoul
of the Takings Clause when it demands certain property -- including money -- from a property owner in
exchange for a building permit where the property demanded “lack[s] an essential nexus and rough
proportionality” to impact of the building development proposed. Id.
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plaintiff must demonstrate that he or she received a ‘final decision’ from the relevant
government; and (2) the plaintiff must have sought ‘compensation through the procedures the
State has provided for doing so.’” Hensley v. City of Columbus, 557 F.3d 693, 696 (6th Cir.
2009) (quoting Williamson, 473 U.S. at 194).
In Ohio, the compensation procedure requires -- in the absence of an appropriation
proceeding initiated by the appropriating government authority -- that the deprived landowner
initiate a mandamus action in state court. Coles v. Granville, 448 F.3d 853, 865 (6th Cir. 2006);
Vill. of Maineville v. Hamilton Twp., 902 F. Supp.2d 1072, 1080 (S.D. Ohio 2012). Absent
availing oneself to such state procedures for obtaining just compensation, a taking claim is
“unripe.” Texas Gas Transmissions, LLC v. Butler Cnty Bd. of Comm’rs, 625 F.3d 973, 976 (6th
Cir. 2010) (citation omitted). While “[t]his procedure . . . must be followed regardless of
whether a physical or regulatory taking is at issue,” see id., the undersigned has found no case
within the Sixth Circuit finding that a property owner must avail themselves of state procedures
-- or that adequate procedures even exist under state law -- in the context of a taking by
imposition of “unconstitutional conditions.”
Even assuming Williamson does apply and that adequate state procedure exist, the Court
finds that federal jurisdiction exists under the circumstances of this case. Notably, the lack of
ripeness under the Williamson standard amounts only to “prudential ‘ripeness’” and “not, strictly
speaking, jurisdictional” ripeness under Article III. Horne v. Dep’t of Agric., 133 S. Ct. 2053,
2062 (2013) (citing Lucas v. South Carolina Coastal Council, 505 U.S. 1003, 1013 (1992)).
This “prudential rather than . . . jurisdictional bar” should not apply where a local government
removes a property owner’s takings claim from a state court to federal court because application
of Williamson in such circumstances “would create the possibility for judicially condoned
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manipulation of litigation.” Sansotta v. Town of Nags Head, 724 F.3d 533, 545 (4th Cir. 2013);
see also Sherman v. Town of Chester, 752 F.3d 554, 564 (2d Cir. 2014); River N. Properties,
LLC v. City & Cty. of Denver, No. 13-CV-01410-CMA-CBS, 2014 WL 1247813, at *9 (D. Colo.
Mar. 26, 2014).
In fact, courts have held that local governments waive this “ripeness”
requirement “by removing the action . . . and thus invoking federal jurisdiction.” Athanasiou v.
Town of Westhampton, 30 F. Supp.3d 84, 88-89 (D. Mass. 2014); see also Martini v. City of
Pittsfield, No. CIV.A. 14-30152-MGM, 2015 WL 1476768, at *5 (D. Mass. Mar. 31, 2015).
Based upon the foregoing, the Court concludes that it possesses jurisdiction to proceed
on Plaintiffs’ federal claims, as well as certain state law claims.
Accordingly, the Order to Show
Cause (doc. 9) is VACATED.
III.
Next, the Court addresses Plaintiffs’ motion for leave to file an amended complaint. Doc.
13. The City first argues that Plaintiffs’ proposed amended complaint should be denied because
they propose to dismiss all claims arising under federal law in an attempt to divest the Court of
jurisdiction. The Court finds no merit to the City’s arguments in this regard for a few reasons.
“The plaintiff is the master of the complaint” and, as such, “selects the claims that will be alleged
in the complaint.”
See United States v. Jones, 125 F.3d 1418, 1428 (11th Cir. 1997).
Nevertheless, “a plaintiff may not compel remand by amending a complaint to eliminate the
federal question upon which removal was based.” Rice v. CRST Int’l Enter., No. 5:14-CV00148-ODW, 2014 WL 988805, at *2 (C.D. Cal. Mar. 13, 2014) (citation omitted). Instead,
following dismissal of federal claims, a court maintains discretion over whether or not to
continue exercising supplemental jurisdiction over state law claims. Carlsbad Tech., Inc. v. HIF
Bio, Inc., 556 U.S. 635, 640 (2009). Accordingly, Plaintiffs’ voluntary dismissal of all federal
claims would not, ipso facto, divest this court of jurisdiction.
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The City next argues that Plaintiffs’ due process claims under the Ohio Constitution are
futile because the due process provision of the Ohio Constitution is not a “self-executing”
provision and does “not create [an] independent cause of action.” See PDU, Inc. v. City of
Cleveland, No. 81944, 2003 WL 21555157, at *5 (Ohio Ct. App. July 10, 2003). Certainly,
federal courts have held that “[t]here is no Ohio statute that is analogous to § 1983 that creates an
independent cause of action to remedy violations of the Ohio Constitution.” Harris v. Butler
Cty., Ohio, No. 1:07CV069, 2008 WL 4186316, at *8 (S.D. Ohio Sept. 3, 2008), aff’d sub nom.
Harris v. Butler Cty., Ohio ex rel. its Sheriff’s Dep’t, 344 F. App’x 195 (6th Cir. 2009). In their
reply memorandum, Plaintiffs offer no rebuttal to the City’s contention in this regard. As a
result, the Court finds the City’s argument well-taken. In other words, amending the complaint
to set forth a due process claim under only the Ohio Constitution would be futile.
Defendants also argue that including a claim for tortious interference with a business
relationship under Ohio law is futile because the City is immune from such claims. See doc. 21
at PageID 459. Plaintiffs argue that because they assert malicious conduct on the part of the
City, see doc. 13-1 at PageID 376, and Ohio Rev. Code § 2744.06(A)(6) applies as an exception
to immunity. See doc. 28 at PageID 656. In support, Plaintiffs cite Paige v. Coyner, 867 F.
Supp.2d 975, 984 (S.D. Ohio 2012). Plaintiffs misconstrue the analysis set forth by the Court in
Paige. There, the Court concluded that, as a matter of law, the political subdivision itself was
immune from state law claims, including tortious interference claims, and that such claims must
be dismissed. Id. The Court did, however, apply Ohio Rev. Code § 2744.06(A)(6) in concluding
that a question of fact remained as to whether an employee of the political subdivision was
immune from such claims. Id. 984-85. Plaintiffs have not named any city employee as a
defendant in this case and do not propose to do so in their amended complaint. Because the City
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itself is immune from liability on a tortious interference claim, amending the complaint to
continue to set forth such a claim would be futile. See Dolan v. City of Glouster, 879 N.E.2d
838, 845 (Ohio Ct. App. 2007) (stating that “Ohio courts specifically hold that ‘a political
subdivision is immune from a claim of intentional interference with business interests”).
Next, Defendants argue that Plaintiffs’ motion for leave to amend should be denied
because they seek punitive damages which are not recoverable against the City. As noted above,
Plaintiffs’ proposed amended complaint seeks to assert only state law claim. However, under
Ohio law, “in an action against a political subdivision to recover damages for injury, death, or
loss to person or property caused by an act or omission in connection with a governmental or
proprietary function . . . [p]unitive or exemplary damages shall not be awarded[.]” Ohio Rev.
Code § 2744.05(A). Plaintiffs’ only argument in opposition is that “[p]unitive damages can be
recovered against an employee of the municipality.” Doc. 28 at PageID 657. Again, neither
Plaintiffs’ original complaint nor their proposed amended complaint names any individual
employee as a party.
Based upon all of the foregoing, Plaintiffs’ motion is DENIED WITHOUT
PREJUDICE to refiling. The Court notes that Plaintiffs, in their reply memorandum, set forth
their intent to further amend the complaint to add individual employees once they identify those
individuals in discovery. Insofar as certain claims may become viable upon identification and
inclusion of individual employees as parties to this case, Plaintiffs are not foreclosed from
attempting to add certain claims or damage requests at that time if supported by law.
IV.
Finally, the Court addresses the City’s motion to terminate or limit depositions and to
permit a “clawback” of privileged attorney-client communications. Doc. 27. This dispute arose
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during a deposition of Tipp City’s City Manager, Timothy Josh Eggleston, when Plaintiffs’
counsel questioned Mr. Eggleston regarding documents produced in discovery that the City
contends are protected by the attorney-client privilege. Counsel for the parties contacted the
Court on October 28, 2016 when the dispute arose during the deposition. The Court held a
hearing on the concerns at that time and ordered the parties to submit briefing on the issues. The
parties then timely submitted simultaneous briefing in that regard. Docs. 26, 27. The City’s
motion is now fully briefed and ripe for decision by the Court.
Prior to and during the pendency of this case, Plaintiff Judith Tomb has made numerous
public records requests from the City. See doc. 26 at PageID 566. According to the City, Ms.
Tombs requests for public records number approximately 200. See doc. 27 at PageID 609. The
City has created a “Public Records Request Log” documenting Ms. Tombs requests. Doc. 23-1.
That document is 42 pages long. Id. In response to those requests, Plaintiffs estimate that the
City has produced “over twenty thousand documents (20,000) documents.” Doc. 26 at PageID
566. Subsequent to the City’s production of documents responsive to Plaintiffs’ public records
requests, the City also marked those documents as responsive to Plaintiffs written requests for
documents in the discovery phase of this litigation. See doc. 26-3 at PageID 575-76. At this
time, Plaintiffs have identified four of the approximately 20,000 documents that the City claims
are privileged. See docs. 26-6, 26-7, 26-8, 26-9.
A.
Violation of Rule 26(b)(5)(B) by Plaintiffs and Plaintiffs’ Counsel
Before reaching the issue of privilege and potential waiver, the Court first addresses
concerns with the conduct of Plaintiffs and counsel after the City’s claim of privilege regarding
the documents at issue. Although many documents were produced in response to hundreds of
public records requests, those documents were also incorporated by reference as produced in
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response to Plaintiffs’ Rule 34 document requests in this case. See doc. 26-3. As a result, the
Court concludes that Rule 26 applies to the production of documents at issue here.
Specifically, Rule 26 states that:
If information produced in discovery is subject to a claim of privilege or
of protection as trial-preparation material, the party making the claim may
notify any party that received the information of the claim and the basis
for it. After being notified, a party must promptly return, sequester, or
destroy the specified information and any copies it has; must not use or
disclose the information until the claim is resolved; must take reasonable
steps to retrieve the information if the party disclosed it before being
notified; and may promptly present the information to the court under seal
for a determination of the claim. The producing party must preserve the
information until the claim is resolved.
Fed. R. Civ. P. 26(b)(5)(B).
Based upon the record before the Court, it appears that Plaintiffs and their counsel have
failed to comply with each of the requirements set forth in Rule 26(b)(5)(B). Plaintiffs and their
counsel, upon the City’s claim of privilege, did not “return, sequester, or destroy the specified
information and any copies it has.” See id. Because Plaintiffs and counsel oppose the City’s
claim of privilege, they, at the least, were required to “sequester” the information, “not disclose
the information until the claim [of privilege] is resolved.” Id. They failed to do so.
Such failure is demonstrated by Ms. Tomb’s email of October 31, 2016 -- three days after
the deposition in which the City claimed privilege -- in which Ms. Tomb disseminated
documents at issue via email to Mr. Eggleston and 14 other individuals. Doc. 27-6 at PageID
650. Ms. Tomb further represented that she had also “disseminated choice correspondence to
numerous members of the community (which I am certain are forwarding it to others)[.]” Id.
Presumably, given the context of Ms. Tomb’s email, the “choice correspondence” referenced
includes materials the City claims are privileged. Id. Unless disseminated prior to the claim of
privilege, such conduct is a further violation of Rule 26’s requirement to “not use or disclose the
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information until the claim [of privilege] is resolved.” See Fed. R. Civ. P. 26(b)(5)(B). To the
extent Ms. Tomb “disseminated the choice correspondence” before the claim of privilege was
asserted, Plaintiffs’ counsel present no evidence that they took any steps to retrieve the
information.
Further, Plaintiffs’ counsel also violated Rule 26 by attaching the subject
documents to their memorandum and filed them as public docket without seeking leave to submit
them under seal[.]” Id.
Put simply, and as set forth above, Ms. Tomb’s email evidences both her and her
attorneys’ violation of Rule 26(b)(5)(B).
A violation of Rule 26(b)(5)(B) is sanctionable
conduct. See Cmty. Bank v. Progressive Cas. Ins. Co., No. 1:08CV01443WTLJMS, 2010 WL
1435368, at *4 (S.D. Ind. Apr. 8, 2010), on reconsideration in part, No. 108-CV-01443-WTLJMS, 2010 WL 2484306 (S.D. Ind. June 14, 2010). The Court, troubled by the apparent conduct
of Ms. Tomb and her attorneys in this regard, hereby ORDERS that Ms. Tomb and her counsel
of record SHOW CAUSE, in writing and on or before December 5, 2016 as to why sanctions
should not issue against them. The City may file a response to the written submission of Ms.
Tomb and her attorneys on or before December 19, 2016. The Court anticipates that no reply
memoranda will be filed in the absence of leave.
B.
Privilege
Next, the Court addresses whether the documents are privileged. Because this case is
before the Court on federal question jurisdiction, federal law governs issue of privilege. See
Hancock v. Dodson, 958 F.2d 1367, 1373 (6th Cir. 1992) (holding that, “[s]ince the instant case
is a federal question case . . . the existence of pendent state law claims does not relieve us of our
obligation to apply the federal law of privilege”). Information is protected by the attorney-client
privilege:
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(1) Where legal advice of any kind is sought (2) from a professional legal
adviser in his capacity as such, (3) the communications relating to that
purpose, (4) made in confidence (5) by the client, (6) are at his instance
permanently protected (7) from disclosure by himself or by the legal
adviser, (8) unless the protection is waived.
Reed v. Baxter, 134 F.3d 351, 355-56 (6th Cir. 1998).
The party asserting privilege bears the
burden of proving that the privilege applies. See Ross v. City of Memphis, 423 F.3d 596, 606
(6th Cir. 2005); In re Columbia/HCA Healthcare Corp. Billing Practices Litig., 293 F.3d 289,
294 (6th Cir. 2002).
Here, the City asserts privilege and argues that the documents were inadvertently
disclosed. Noticeably absent from the City’s motion, however, is any argument or citation to
authority supporting the assertion that the attorney-client privilege applies. For some or all of the
documents, the application of the attorney-client privilege is not evident on its face.3 For
example, one document purports to be advice from the City’s Director of Law to three
individuals regarding preparation for depositions, but there is no information as to who the three
individuals are and whether they fall within the definition of “client.” See doc. 26-7 at PageID
587. Another document contains a string of emails, only two emails of which appear to be
between the City’s Director of Law and outside counsel; the remainder appearing to either be to
or from Plaintiffs’ counsel. See doc. 26-8 at PageID 590-97. Finally, one document is an email,
portions of which are barely legible and others wholly illegible, from Mr. Eggleston to Mr.
Lantz. See doc. 26-9 at PageID 598. Mr. Eggleston’s email, upon first blush, appears to fall
within the confines of the attorney-client privilege, but the Court cannot be sure without proper
context explained by the City and/or Mr. Eggleston.
3
Notably, the City has not asserted application of the work-product privilege.
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In the interests of justice, the Court ORDERS supplemental briefing from the City
regarding application of the attorney-client privilege to the documents at issue.
Said
supplemental memorandum shall be filed on or before December 5, 2016. Plaintiffs may file a
memorandum in opposition to Plaintiffs’ supplemental memorandum on or before December 19,
2016. The undersigned does not anticipate permitting reply memoranda in the absence of leave.
Based upon all of the foregoing, Plaintiffs’ motion is DENIED WITHOUT
PREJUDICE to refiling.
V.
Accordingly, the Court ORDERS that:
(1)
the Court’s Order to Show Cause (doc. 9) regarding subject matter
jurisdiction is VACATED;
(2)
Plaintiffs’ motion for leave to file an amended complaint (doc. 13) is
DENIED WITHOUT PREJUDICE;
(3)
Plaintiff Judith Tomb and Plaintiffs’ counsel SHOW CAUSE in writing
and on or before December 5, 2016 as to why sanctions should not issue
for violation of Fed. R. Civ. P. 26(b)(5)(B); and
(4)
The City file a supplemental memorandum regarding privilege on or
before December 5, 2016.
IT IS SO ORDERED.
Date:
November 21, 2016
s/ Michael J. Newman
Michael J. Newman
United States Magistrate Judge
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