Poore v. Glanz et al
Filing
147
OPINION AND ORDER by Judge John E Dowdell ; granting in part and denying in part 46 Motion in Limine (Re: 145 Opinion and Order,, Setting/Resetting Deadline(s)/Hearing(s),,,, Ruling on Motion for Summary Judgment, ) (SAS, Chambers)
IN THE UNITED STATES DISTRICT COURT FOR THE
NORTHERN DISTRICT OF OKLAHOMA
LADONA A. POORE,
Plaintiff,
v.
STANLEY GLANZ,
Defendant.
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Case No. 11-CV-797-JED-TLW
OPINION AND ORDER
Before the Court is Defendant Stanley Glanz’s Motion in Limine (Doc. 46). The facts of
this case are fully summarized in the Court’s order denying Glanz’s motion for summary
judgment (Doc. 145).
Although the Federal Rules do not specifically authorize motions in limine, the courts
have long recognized the potential utility of pre-trial rulings under the district courts’ inherent
powers to manage the course of trial proceedings. See Luce v. United States, 469 U.S. 38, 41 n.4
(1984). “The purpose of a motion in limine is to aid the trial process by enabling the Court to
rule in advance of trial on the relevance of certain forecasted evidence, as to issues that are
definitely set for trial, without lengthy argument at, or interruption of, the trial.” Mendelsohn v.
Sprint/United Mgmt. Co., 587 F. Supp. 2d 1201, 1208 (D. Kan. 2008) aff'd, 402 F. App'x 337
(10th Cir. 2010) (internal quotations omitted). While pretrial limine rulings can save time and
avoid interruptions at trial, a court is almost always better situated during the actual trial to
determine the probative value of evidence. See id. (citation omitted). For that reason, courts are
often reluctant to enter pretrial rulings which broadly exclude evidence, unless it is clear that the
evidence will be inadmissible on all grounds. See Hawthorne Partners v. AT&T Tech., Inc., 831
F. Supp. 1398, 1400 (N.D. Ill. 1993) (“Unless evidence meets this high standard, evidentiary
rulings should be deferred until trial so that questions of foundation, relevancy and potential
prejudice may be resolved in proper context.”).
Each issue raised in Glanz’s limine motion is addressed by category below.
1.
Post-incident conduct by Glanz and/or the Tulsa County Sheriff’s Office
Glanz argues that post-incident conduct should be excluded under Fed. R. Evid. 402 and
407. Glanz asserts that, following the alleged sexual assaults of Poore in the Jail, the Tulsa
County Sheriff’s Office (TCSO) installed cameras in the Jail’s medical unit, implemented policy
that at least two detention officers be posted in the medical unit on all shifts, and instituted other
training and policy changes, and evidence of these changes should be excluded as subsequent
remedial measures.
Rule 407 of the Federal Rules of Evidence governs subsequent remedial measures. The
Rule provides:
When measures are taken that would have made an earlier injury or harm less
likely to occur, evidence of the subsequent measures is not admissible to prove:
• negligence;
• culpable conduct;
• a defect in a product or its design; or
• a need for a warning or instruction.
But the court may admit this evidence for another purpose, such as impeachment
or--if disputed--proving ownership, control, or the feasibility of precautionary
measures.
Fed. R. Evid. 407.
Poore responds that it is well-established in actions under 42 U.S.C. § 1983 that postevent evidence may be relevant and admissible to prove the existence of a practice or custom.
The Court previously analyzed the state of the law regarding post-incident evidence in the civil
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rights context and concluded that many courts have permitted such evidence to a limited extent,
such as to show the policymaker’s disposition or the existence of a policy or custom at the time
of the incident that is the subject of the lawsuit, but such evidence cannot be used to establish the
causation element, given linear reality. See Cox. v. Glanz, No. 11-CV-457-JED-FHM, 2014 WL
903101 at **9-12 (N.D. Okla. Mar. 7, 2014).
Poore has not explained how the subsequent installation of cameras reflects the existence
of a policy or custom predating the installation of the cameras, so it is unclear to the Court that
the installation of cameras would come within the limited category of cases where such postincident conduct may be admissible. Even if the admission of such evidence were permissible
under Rule 407, the jury would likely make improper inferences, such that the probative value of
the evidence is substantially outweighed by the danger of unfair prejudice or confusion of the
jury. Fed. R. Evid. 403. Moreover, Poore will be able to present evidence that the medical unit
did not have cameras at the time of Poore’s time at the Jail, and the fact that cameras were
installed later adds nothing to establish the state of the medical unit at the time Poore was in Jail.
Evidence of the subsequent installation of cameras will be excluded at this time, without
prejudice.1
Glanz’s motion indicates that Glanz “implemented policy that at least two detention
officers be posted in the medical unit on all shifts, and instituted other training and policy
changes.” (Doc. 46 at 4). The Court is generally familiar with the evidence presented with the
summary judgment briefing, including Sheriff Glanz’s deposition testimony. That evidence
indicated that Glanz’s two detention officer policy was in existence prior to the alleged assaults
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To the extent that trial testimony makes the feasibility of camera installation relevant, the
Court may revisit its ruling and consider a limiting instruction. See Fed. R. Evid. 407 (“the court
may admit [evidence of subsequent measures] for another purpose, such as impeachment or – if
disputed – proving ... the feasibility of precautionary measures.”)
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of Ms. Poore. Evidence of the two detention officer policy will not be excluded, although
references to any subsequent policy changes will be excluded. To the extent that any other
policy and training changes were made subsequent to the assaults of Poore, Glanz has not
specified what those policy changes were, and the Court will defer ruling on that issue.
Sheriff Glanz also requests that the Court enter a pretrial order excluding plaintiff’s
Exhibits 39, 50, 52, 53, 54, 64, 65, 66, 79, 80, 84, 91. These exhibits were not provided with
Glanz’s motion, and the Court is unwilling to enter a broad pretrial order excluding them entirely
without seeing the exhibits and having an understanding of any potentially proper uses of the
exhibits. For example, according to Glanz’s summary description, certain of the documents
apparently do not post-date Poore’s stay at the Jail. (See Doc. 46 at 5-6, descriptions of Exhibits
53, 65). At least one other exhibit was dated or received after Poore was released from Jail, and
from its description, it is conceivable that the document may contain information that is relevant
to Poore. (See id. at 6, description of Exhibits 66). Although plaintiff has not made a claim for a
denial of healthcare, it is possible that records of the medical care provider during the relevant
time-frame could be relevant to Poore’s claims, given that plaintiff was housed in a portion of
the medical unit and Glanz and his Jail staff indicated in their depositions that nursing staff were
nearby to assist with Poore’s care and supervision. (See id., description of Exhibit 53).
Glanz asserts that Exhibit 84 is a schedule for hearings in front of the Review Panel on
Prison Rape and Exhibit 91 is a letter from Glanz to the same panel and that those exhibits
“ha[ve] no relevance to Plaintiff’s claims.” (Id.). The Court recalls the March 29, 2011 letter,
which was submitted in summary judgment briefing. That letter includes information about the
Jail from 2008, 2009, and 2010 and is thus not entirely post-incident. That information could be
useful as impeachment or to undermine Glanz’s argument that the Jail has been recognized as a
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Jail with a low incidence of rape and sexual abuse. Those issues were raised by Glanz in arguing
for summary judgment, and Poore will be allowed to cross-examine him on the veracity of the
data that was presented to obtain the recognition as a Jail with low incidence.
As noted, the Court will defer ruling on the challenged exhibits until the pretrial
conference or trial, after the Court has had an opportunity to review the exhibits and has a better
idea of the context within which they may be offered.
2.
Other alleged sexual misconduct at the Jail
Glanz seeks to exclude evidence of other alleged incidents of sexual misconduct within
the Jail that does not involve Bowers. He argues that evidence of misconduct by other detention
officers should be excluded.
According to Glanz, Poore has named a number of former
detention officers (Cherry Anjorin, Dana Moses, Kristy Peters) who, if allowed to testify, will
not provide any testimony relevant to Poore’s claims, but are anticipated to testify, as they did in
their depositions, “primarily concern[ing] unsubstantiated rumors about staff-on-staff sexual
misconduct within the jail.” (Doc. 46 at 8). In response, Poore notes, correctly, that prior
incidents of relevant conduct often are not only relevant, but are necessary, in order for a § 1983
plaintiff to establish deliberate indifference and knowledge that a class of prisoners was at risk of
harm. Because Glanz did not provide any excerpts of testimony of the referenced witnesses to
which he specifically objects, the Court will defer ruling on the request to exclude those
witnesses until it has a better understanding of the full scope of those witnesses’ testimony. The
Court is unwilling to enter a preclusion order completely excluding a witness from testifying
based solely upon broad statements that their testimony is irrelevant.
Glanz also seeks pretrial exclusion of Poore’s Exhibits 38, 39, 46, 55, 56, 67, 68, 82, and
83. As noted above, without the exhibits, the Court is unwilling to completely exclude those
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exhibits. However, based upon Glanz’s general summaries of the exhibits, the Court will
provide a few observations so that the parties may be better prepared to discuss the exhibits at
the pretrial conference. The Court cannot conceive of the relevance of a list of cases filed
against Glanz in this courthouse, and is thus inclined to exclude Exhibits 38 and 46 in the
absence of a strong showing by plaintiff of the relevance of such exhibits. As noted above,
exhibits relating to the Review Panel on Prison Rape, which includes Exhibits 55, 56, 67, 68, 82,
and 83, may bear some relevance to the extent that they either disclose information about prior
instances of sexual abuse in the medical unit or they may be used to undermine Glanz’s assertion
that the Jail has been commended as a facility with a low incidence of rape and sexual abuse. As
described by Glanz, those exhibits are hundreds of pages in length. The Court has no intention
of distracting the jury with lengthy documents containing irrelevant information. The Court
expects that, if one or more of the challenged exhibits is ultimately admitted, only the portions of
the documents that are actually relevant to Poore’s claims in this case will be introduced.
3.
Accreditation agency audits and evidence of violations of internal policies
Glanz asserts the Court should exclude evidence of alleged violations of internal policies
and accrediting agency standards, because Poore has not alleged any particular policy that is
unconstitutional or was the proximate cause of Poore’s claims. Glanz argues that the courts have
rejected the notion that compliance or noncompliance with one agency’s local policies or
practices is material to the ultimate question of whether a single act violated an individual’s
constitutional rights. Poore responds that the court in Tafoya v. Salazar, 516 F.3d 912 (10th Cir.
2008) expressly held that “the knowing failure to enforce policies necessary to the safety of
inmates may rise to the level of deliberate indifference.” The Court agrees that Glanz’s written
policies in existence at the time Poore was in Jail are relevant to the issue of deliberate
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indifference. While the alleged failure of Glanz to follow or enforce his own written policies
does not establish the existence of an unconstitutional policy, those policies are certainly relevant
to the deliberate indifference analysis. If for example, Glanz promulgated particular policies
knowing that the safety of inmates like Poore depended upon Jail staff acting in accordance with
such policies, but he failed to enforce those policies, a jury could infer that he was deliberately
indifferent to risks to Poore’s safety.
4.
Hearsay
Glanz requests an order “to bar hearsay testimony by and through Plaintiff’s witnesses
and exhibits,” and contends that Poore’s exhibits 2, 3, 5, 43, 44, 45, 49, 67, 68, and 87 contain
hearsay and should be excluded.
Poore responds that she has no intention of introducing
inadmissible hearsay at trial, but that Glanz’s motion is too vague to result in a pretrial ruling
excluding exhibits. Without more analysis and the exhibits themselves, the Court is unwilling to
enter a broad pretrial exclusion ruling at this time. This request is denied at this time as it is so
broad that it is impossible to determine whether the exhibits are hearsay or are subject to any
exceptions to the applicability of the hearsay rule.
5.
Bowers’ polygraph examination
Glanz argues that Bowers’ polygraph examination should be excluded, as Poore has not
presented any evidence that polygraph examinations are scientifically reliable under Fed. R.
Evid. 702.
In the alternative, Glanz argues that, even if the results of the polygraph are
admissible under Rule 702, the evidence is still inadmissible as prejudicial under Rule 403.
Poore responds that she does not intend to introduce the results of Bowers’ polygraph
examination, but may introduce evidence that Bowers took a polygraph test and resigned
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thereafter. Glanz replies that Poore’s intent to indicate that Bowers resigned after taking a
polygraph test is just a method of introducing improper evidence through the back door.
The Tenth Circuit “does not have a per se rule banning the introduction of polygraph test
results.” United States v. Begay, 631 F.3d 1168, 1175, n.7 (10th Cir. 2011). The admissibility of
such results under Fed. R. Evid. 403 and 702 is assessed on a case-by-case basis. Id. Here,
Poore agrees that she has no intention of introducing the results, but she intends to introduce
evidence that Bowers took the exam and then resigned. The Court generally agrees with Glanz’s
position that the introduction of evidence proposed by Poore would be asking the jury to draw
the inference that Bowers failed the polygraph exam. The Court thus concludes that references
to the polygraph examination should be excluded.
IT IS THEREFORE ORDERED that Sheriff Glanz’s motion in limine (Doc. 46) is
granted in part and denied in part, in accordance with the above. The Court has ordered that
the parties provide the Court with two sets of each party’s exhibit notebooks by December 19,
2014. By that same date, Sheriff Glanz’s counsel shall also submit any deposition transcripts or
affidavits of witnesses whose exclusion is sought, including Cherry Anjorin, Dana Moses, and
Kristy Peters. At the pretrial conference, the parties’ counsel shall be prepared to discuss the
specific evidentiary issues as to which the Court has deferred a ruling.
SO ORDERED this 29th day of August, 2014.
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