Copeland et al v. C.A.A.I.R. et al
Filing
262
OPINION AND ORDER by Magistrate Judge Jodi F Jayne ; denying 225 Motion to Compel (Re: 225 MOTION to Compel [Simmons Defendants' Motion to Compel Non-Party Center for Investigative Reporting Inc to Comply With Subpoena Duces Tecum] ) (kah, Chambers)
IN THE UNITED STATES DISTRICT COURT
FOR THE NORTHERN DISTRICT OF OKLAHOMA
ARTHUR COPELAND, individually and on
behalf of all others similarly situated; et al.,
Plaintiffs,
v.
C.A.A.I.R., INC., a domestic not for profit
corporation; et al.,
Defendants.
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Case No. 17-CV-564-SEH-JFJ
OPINION AND ORDER
Before the Court is Simmons Defendants’ Motion to Compel Non-Party Center for
Investigative Reporting, Inc. (“CIR”) to Comply with Subpoena Duces Tecum (“Motion to
Compel”) (ECF No. 225). The Motion to Compel is DENIED.
I.
Factual Background
Plaintiffs brought this proposed class action in 2017 to recover unpaid wages and various
other losses against Defendants Simmons Foods, Inc., and Simmons Pet Food, Inc. (together,
“Simmons”), as well as Christian Alcoholics and Addicts in Recovery, Inc. (“CAAIR”) and four
individuals associated with CAAIR. See ECF No. 193 (Third Amended Complaint). Plaintiffs
allege they participated in CAAIR’s residential drug and alcohol recovery program, typically in
lieu of serving prison time. Plaintiffs allege that, rather than receiving rehabilitation, they were
forced to work for Simmons by processing chickens for over 40 hours a week without wages and
in dangerous conditions. Plaintiffs allege that they provided free labor to Simmons and that
CAAIR provided no rehabilitative services. Plaintiffs allege that, when they were injured or sick,
CAAIR still required them to work, provided inadequate or no medical care, and kept their
workers’ compensation payments.
Nonparty CIR is a nonprofit investigative newsroom that publishes an online news site and
produces a weekly public radio show with approximately one million listeners. CIR has an office
in Emeryville, California and is incorporated under the laws of California. In October 2017, CIR
published articles relating to the facts of this lawsuit. The articles quote named Plaintiffs and other
potential class members. The articles indicate CIR reporters interviewed multiple individuals who
participated in the CAAIR program.
On May 15, 2020, Simmons issued a subpoena to CIR to produce documents containing
statements of current or former CAAIR participants on six topics (“Subpoena”). The Subpoena
lists the place of compliance as the office of Simmons’ counsel, which is in Tulsa, Oklahoma, in
the Northern District of Oklahoma federal judicial district (the “NDOK”). ECF No. 225-1.
On June 4, 2020, the date of compliance in the Subpoena, CIR objected by letter pursuant
to Federal Rule of Civil Procedure 45(d)(2)(B). ECF No. 225-2. In the letter, CIR objected only
on grounds of a reporter’s privilege, citing California law. Simmons then filed the pending Motion
to Compel in the NDOK, seeking to compel the documents over CIR’s privilege objection.
On December 10, 2020, while the Motion to Compel was pending, the district judge
granted Defendants’ motion to dismiss for lack of subject-matter jurisdiction under Federal Rule
of Civil Procedure 12(b)(1). ECF No. 237. The district judge filed a judgment terminating the
entire case, and Plaintiffs appealed. On May 1, 2023, the Tenth Circuit Court of Appeals reversed
the district court’s order and remanded the case with instructions to vacate the judgment and
reinstate the case as to 53 of 55 Plaintiffs. ECF No. 251. Following remand, the Motion to Compel
was reinstated, and the district judge renewed referral of the Motion to Compel to the undersigned.
On January 26, 2024, the Court dismissed several Plaintiffs as a discovery sanction. ECF Nos.
259, 260.
In the Motion to Compel, Simmons argues that the applicable reporter’s privilege is
qualified, and that Simmons’ need for the information overcomes the privilege. In response, CIR
2
argues that the privilege protects the requested information and raises two other objections: (1) the
“subpoena is procedurally defective” as it directs compliance beyond the 100-mile limit in Rule
45(c)(2)(A); and (2) this Court “does not have jurisdiction to compel compliance with the
subpoena even if it were valid,” because this is not “the court for the district where compliance is
required” under Rule 45(d)(2)(B)(i). ECF No. 229 at 2-3.
II.
Jurisdictional/Procedural Objections
This case presents two threshold questions: (1) whether this Court has jurisdiction to decide
the Motion to Compel; and (2) if yes, whether to sustain CIR’s objection to the place of
compliance. The Court has jurisdiction and overrules CIR’s procedural objections.
A.
Jurisdiction is Proper in the NDOK
1.
Rule 45’s Scheme for Document Subpoenas
Rule 45 governs document subpoenas to nonparties. A subpoena must issue from the court
where an action is pending, or the “issuing court.” Fed. R. Civ. P. 45(a)(3). Rule 45(a)(1)(A)(iii)
requires that a subpoena command the person to produce documents, electronically stored
information, or tangible items “at a specified time and place.” Rule 45(c), entitled “place of
compliance,” provides that a document subpoena may command production “at a place within 100
miles where the subpoenaed party resides, is employed, or regularly transacts business in person.”
Fed. R. Civ. P. 45(c)(2)(A). “Although Rule 45(a)(1)(A)(iii) permits the subpoena to direct a place
of compliance, that place must be selected under Rule 45(c).” Fed. R. Civ. P. 45 advisory
committee’s notes to 2013 amendment.1
Rule 45 also provides where to file a motion regarding a document subpoena. The
subpoenaed person may move to quash or modify the subpoena in “the court for the district where
Other portions of the notes state that “parties often agree that production, particularly of
electronically stored information, be transmitted by electronic means.” Id. The notes further
provide that “[s]uch arrangements facilitate discovery, and nothing in these amendments limits the
ability of parties to make such arrangements.” Id.
1
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compliance is required.” Fed. R. Civ. P. 45(d)(3). Similarly, the serving party may move to
compel subpoenaed documents in “the court for the district where compliance is required.” Fed.
R. Civ. P. 45(d)(2)(B)(i). When the “court where compliance is required” did not issue the
subpoena, it may transfer a motion to the “issuing court” only if the subpoenaed party consents to
transfer or upon a finding of exceptional circumstances. Fed. R. Civ. P. 45(f).
The “place of compliance” rules in Rule 45(c), the motion filing rules in Rule 45(d) and
(e), and the transfer rules in Rule 45(f) are designed to protect nonparties from the inconvenience
of litigating outside their local district. The notes explain:
To protect local nonparties, local resolution of disputes is assured by the
limitations of Rule 45(c) and the requirements in Rule 45(d) and (e) that
motions be made in the court in which compliance is required under Rule
45(c). . . . The prime concern should be avoiding burdens on local nonparties
subject to subpoenas, and it should not be assumed that the issuing court is in a
superior position to resolve subpoena-related motions . . . .
Fed. R. Civ. P. 45 advisory committee’s notes to 2013 amendment (emphasis added).
2.
Split in Authority
Rule 45’s document subpoena scheme assumes that a serving party will issue a facially
valid subpoena that complies with Rule 45(c)(2)(A). If the serving party does so, the “court for
the district where compliance is required” is tethered to the location of the subpoenaed person.
This ensures “local resolution of disputes” regarding the subpoena, as contemplated by the 2013
amendment. Further, if a subpoena lists an invalid place of compliance, the subpoenaed party may
serve a written objection suggesting a proper place of compliance within the 100-mile limit. If the
serving party agrees it violated Rule 45(c), it may issue a new subpoena with a corrected place of
compliance. Again, this would ensure that any motion practice occurs in a nonparty’s local district.
But litigation does not always follow this model, and confusion arises when the “place of
compliance” on the subpoena may not comply with Rule 45(c). This can occur, for example, when
a serving party fails to comply with Rule 45(c) out of ignorance of the rule, or based on hope that
4
a subpoenaed party will waive any objection. It can also occur when a serving party attempts to
comply with Rule 45(c), but a legitimate dispute arises over whether the selected location complies
with the 100-mile limit.
In these types of cases, courts grapple with whether the “court for the district where
compliance is required” is: (1) a court encompassing the location listed on the subpoena, or (2) a
court within 100 miles of where the subpoenaed person resides, is employed, or regularly transacts
business in person. Courts adopting the first approach reason that the only way to determine
whether a subpoena violates Rule 45(c) is to receive argument or evidence from the subpoenaed
party, which requires exercising jurisdiction over the motion.
This approach is aimed at
practicality. See, e.g., CSS, Inc. v. Herrington, 354 F. Supp. 3d 702, 710 (N.D. Tex. 2017) (“It is
at the least impractical for a court to be required to formally decide if the nonparty or the
subpoenaing party wins a Rule 45(c) issue on a Rule 45(d) motion in order to determine whether
the court actually can decide which side prevails on the motion on that or any other issue.”); Henry
Schein, Inc. v. Drea, 21-CV-192-RGE-HCA, 2022 WL 18584628, at *3 (S.D. Ia. May 31, 2022)
(explaining split in authority, siding “with the courts that look to the face of the subpoena,” and
reasoning that alternative would be “impractical and a waste of judicial resources”); Adams v.
Symetra Life Ins. Co., No. 19-MC-401-EFM-ADM, 2020 WL 489523, at *3 (D. Kan. Jan. 28,
2020) (following reasoning of CSS, Inc.). This appears to be the majority view among district
courts in the Tenth Circuit. See RSUI Indem. Co. v. Nat’l Rifle Ass’n of Am., No. MC-20-6-D,
2020 WL 4194526, at *1 (W.D. Okla. July 21, 2020) (stating, without discussion, that “[m]ost
courts agree that the district where compliance is required is determined by the location or place
of compliance identified on the subpoena”).
Courts adopting the second approach reason that: (1) Rule 45 contemplates that subpoena
disputes must be litigated in courts convenient to the nonparty; and (2) Rule 45’s purposes would
be defeated if a serving party can demand compliance in violation of Rule 45(c) and then require
5
the nonparty to adjudicate any dispute over that subpoena in a distant forum. See, e.g., Raap v.
Brier & Thorn, Inc., No. 17-MC-3001, 2017 WL 2462823, at *3 (C.D. Ill. July 7, 2017)
(concluding that court in which “compliance is required” is the court in the district within 100
miles of where subpoenaed person resides, is employed, or regularly transacts business in person);
XTO Energy, Inc. v. ATD, LLC, No. CIV 14-1021 JB/SCY, 2016 WL 1730171, at *20 (D.N.M.
Apr. 1, 2016) (stating, without discussion, that “where compliance is required” describes district
in which subpoena recipient resides or works).
3.
Court Adopts “Face of Subpoena” Approach
Both lines of decisions have persuasive reasoning. The former line of cases provides a
bright-line rule for where to file any motion in the first instance, including to resolve a Rule 45(c)
dispute. A court generally cannot know whether a subpoena violates Rule 45(c) without some
record or information from the subpoenaed party; in contrast, a court can quickly determine
whether the address on the subpoena is within its jurisdiction. The latter line of cases is more
consistent with the purpose of Rule 45 to protect nonparties from litigating subpoena disputes
outside a district where they reside or regularly transact business. Permitting the serving party to
disregard the 100-mile rule, and then litigate any issue in its selected forum (whether the issuing
court or some other court of its choosing), is contrary to Rule 45’s purpose.
In the interest of practicality and uniformity, the Court holds that a “court for the district
where compliance is required” is the court encompassing the address listed on the subpoena. Rule
45’s direction to file motions in the “district for the court where compliance is required” does not
address the practical necessity of deciding that issue in the first instance. Although this approach
results in some inconvenience to a subpoenaed party, it provides a practical rule governing where
to litigate Rule 45(c) disputes. The best result is one that provides courts with maximum flexibility
to decide “place of compliance” objections while also protecting nonparties from litigating more
substantive issues in inconvenient forums. See, e.g., RSUI Indem. Co., 2020 WL 4194526, at *2
6
(holding that, for purposes of that motion, it was the “compliance court,” but then quashing
subpoena that improperly required production of documents outside Rule 45(c)(2)(A)’s
geographical limits). If the subpoena is invalid, a court can grant a motion to quash or deny a
motion to compel.2 Presumably, the subpoena will be reissued with a valid place of compliance,
and any further disputes will be resolved in a valid “compliance court” or transferred to the “issuing
court” if appropriate under Rule 45(f).
In this case, the face of the Subpoena lists Tulsa, Oklahoma, as the place where compliance
is required. Tulsa is within the NDOK, and this Court has jurisdiction to decide the Motion to
Compel.
B.
CIR Waived Objection to Place of Compliance By Failing to Object Within 14
Days or File Motion to Quash
CIR argues that it does not regularly transact business in person in Tulsa, Oklahoma, and
that the Subpoena violates Rule 45(c)(2)(A). Simmons does not attempt to argue that Tulsa,
Oklahoma, is within 100 miles of where CIR regularly transacts business in person. Instead,
Simmons argues that CIR waived this objection by failing to timely object under Rule 45(d)(2)(B)
and/or file a motion to quash under Rule 45(d)(3)(A)(ii). Simmons argues that, if CIR “had made
its procedural objections in its letter, they would have been resolved months ago.” ECF No. 236
at 3.
In response to a document subpoena, a subpoenaed entity must serve written objections by
the earlier of the date of compliance or within 14 days after the subpoena is served. See Fed. R.
Civ. P. 45 (d)(2)(B). Failure to object within the required 14-day time period generally results in
waiver of the contested issues. See 9A Charles Alan Wright & Arthur R. Miller, Federal Practice
2
If a serving party unreasonably and without justification forces a nonparty to file or defend a
motion in what is ultimately deemed an invalid forum, a court may consider imposing fees and
costs as a sanction against a serving party. This would promote the purpose of Rule 45 and
incentivize resolution of “place of compliance” disputes before they reach any court.
7
and Procedure § 2463 (3d ed. 2023). See also Metro Mart, Inc. v. N. Star Mut. Ins. Co., No. CIV14-1215-W, 2015 WL 13567095, at *2 (W.D. Okla. June 9, 2015); Electro-Mech. Prod., Inc. v.
Alan Lupton Assocs. Inc., No. 1:22-CV-00763-PAB-SBP, 2023 WL 6461235, at *6 (D. Colo. Sept.
21, 2023). Waiver occurs whether the objections are substantive or procedural in nature. See
Yousuf v. Samantar, 451 F.3d 248, 252 (D.C. Cir. 2006) (rejecting government’s argument that
Rule 45(c)(2)(B)’s 14-day time limit extends only to substantive objections and not to procedural
objections). Timely asserting one type of objection does not preserve other types of objections
under Rule 45(c)(2)(B). See In re DG Acquisition Corp., 151 F.3d 75, 81 (2d Cir. 1998)
(explaining that “Rule 45(c)(2)(B) does require the recipient of a subpoena to raise all objections
at once, rather than in staggered batches, so that discovery does not become a ‘game’”). Courts
may excuse untimely objections upon a showing of “unusual circumstances and good cause.”
Yousuf, 451 F.3d at 252. See also Metro Mart, Inc., 2015 WL 13567095, at *2 (applying same
standard). A subpoenaed person may also file a timely motion to quash, which would preserve the
objection and bring the issue directly to a court. See Fed. R. Civ. P. 45(d)(3).
In this case, CIR waived its objection to the place of compliance listed in the Subpoena.
CIR did not file a motion to quash pursuant to Rule 45(d)(3)(A)(ii) in any court. By letter, CIR
objected to the Subpoena on grounds of privilege pursuant to Rule 45(d)(2)(B) and/or Rule
45(e)(2). However, CIR did not assert any objection under Rule 45(c)(2)(A) to the place of
compliance. In the briefing before the Court, CIR did not attempt to make any showing of good
cause and unusual circumstances to excuse its untimely objection to the place of compliance.
8
Therefore, CIR’s objection to the place of compliance under Rule 45(c)(2)(A) is waived and
overruled.3
III.
Reporter’s Privilege Objection
The requested materials are protected by the qualified reporter’s privilege under federal
common law.
A.
Requested Materials/Parties’ Arguments
The Subpoena requests all documents containing “statements of current or former CAAIR
participants that relate to” six topics listed on the Subpoena. ECF No. 225-1. Those topics include
the participant’s entry into the CAAIR program; experiences in the CAAIR program; experiences
working at Simmons while in the CAAIR program; views or opinions of CAAIR or Simmons;
their history of sobriety and/or addiction before and after completing the CAAIR program; and
any planned legal action against CAAIR or Simmons. The Subpoena carves out exceptions for
publicly available documents and for reporters’ “undisclosed personal thoughts, mental
impressions, strategies, or research endeavors.” ECF No. 225-1. “Documents” is defined as
“writings, videos, sound recordings, images, and other data or data compilations . . . stored in any
medium from which information can be obtained either directly or . . . [by] translation . . . into a
reasonably usable form.” Id. The Subpoena excepts publicly available materials and provides
that, for any responsive materials, CIR may “redact [its] reporters’ undisclosed personal thoughts,
mental impressions, strategies, or research endeavors.” Id.
Nonparties are cautioned to preserve “place of compliance” objections if they desire to litigate
subpoena disputes in a local forum. Nonparties are also cautioned that electronic production of
documents to a place of compliance listed in the subpoena may waive objections to any Rule
45(c)(2)(A) violations. See RSUI Indem. Corp., 2020 WL 4194526, at *2 (stating in dicta that a
“subpoenaed third party can waive the 100-mile requirement by agreeing to transmit production
by electronic means,” but noting that subpoenaed party in that case withheld production and filed
motion to quash).
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CIR objects to producing any unpublished statements of CAAIR participants based on a
reporter’s privilege.4 Simmons argues that, under federal common law, its need for disclosure
outweighs the First Amendment considerations underlying the reporter’s privilege. CIR asserts
that, whether the Court applies California law, Oklahoma law, or the qualified privilege under
federal common law, First Amendment considerations outweigh the need for disclosure.
B.
Scope of Discovery/Burden of Proof
Rule 45 subpoenas are considered discovery within the meaning of the Federal Rules of
Civil Procedure. Rice v. United States, 164 F.R.D. 556, 556-57 (N.D. Okla. 1995). A subpoena
is therefore subject to Federal Rule of Civil Procedure 26(b)(1)’s requirements. Copeland v.
C.A.A.I.R., Inc., No. 17-CV-564-TCK-JFJ, 2020 WL 972754, at *2 (N.D. Okla. Feb. 28, 2020).
Under Rule 26(b)(1), discovery extends to “any non-privileged matter that is relevant to any
party’s claim or defense and proportional to the needs of the case.” Fed. R. Civ. P. 26(b)(1).
CIR claims the requested discovery is privileged and therefore beyond the scope of Rule
26(b)(1). The entity claiming a reporter’s privilege bears the burden of proving it applies. See
Peat, Marwick, Mitchell & Co. v. West, 748 F.2d 540, 542 (10th Cir. 1984) (party asserting any
privilege bears burden of proving it applies); Amaya v. Bregman, No. 14-CV-599 WJ/SMV, 2016
WL 10296798, at *8 (D.N.M. May 13, 2016) (objecting party bears burden of proving reporter’s
privilege); In re Bacon for an Order Pursuant to 28 U.S.C. § 1782 to Conduct Discovery for Use
in Foreign Proceeding v. Archer, No. 17-MC-192-KLM, 2018 WL 4467182, at *6 (D. Colo. Sept.
17, 2018) (same).
In this case, there is no dispute that CIR is the type of entity entitled to assert the privilege. Cf.
In re Bacon for an Order Pursuant to 28 U.S.C. § 1782 to Conduct Discovery for Use in Foreign
Proceeding v. Archer, No. 17-MC-192-KLM, 2018 WL 4467182, at *3 (D. Colo. Sept. 17, 2018)
(discussing whether privilege extended to independent journalists); Amaya v. Bregman, No. 14CV-599 WJ/SMV, 2016 WL 10296798, at *8 n.9 (D.N.M. May 13, 2016) (discussing whether
privilege extended to political operatives).
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C.
Federal Common Law Governs Scope of Privilege
Federal Rule of Evidence 501, entitled “Privilege in General,” provides that federal
common law governs a claim of privilege, unless the U.S. Constitution, federal statute, or Supreme
Court rules provide otherwise. Fed. R. Evid. 501. “But in a civil case, state law governs privilege
regarding a claim or defense for which state law supplies the rule of decision.” Id. Generally,
under Tenth Circuit law, federal privilege law applies to federal claims or defenses, and state
privilege law to state claims or defenses. See Motley v. Marathon Oil, Co., 71 F.3d 1547, 1551
(10th Cir. 1995) (“Motley asserted both federal and state causes of action. As to state causes of
action, a federal court should look to state law in deciding privilege questions.”).
But this rule from Motley is “unhelpful in many instances,” such as where “the privilege
asserted goes to evidence that is relevant to both a federal and a state-law claim.” Vondrak v. City
of Las Cruces, 760 F. Supp. 2d 1170, 1175-76 (D.N.M. 2009). The Court adopts the reasoning of
its sister court in New Mexico that federal privilege law applies in such instances. That court
reasoned:
[T]he weight of circuit-court authority, combined with the practical considerations
involved with running discovery and trials, indicate that the Tenth Circuit would
follow the majority and find that federal privilege law applies under such
circumstances. First, at the discovery phase, any attempt to bifurcate privileges
along the border between federal and state-law claims would be hollow if the
allegedly privileged evidence impacted both sets of claims. If, for example, state
law privileged the evidence, but federal law did not, a court would be in the
conundrum of preventing the discovery of evidence as to the state-law claims
because of the state-law privilege[], while simultaneously ordering the disclosure
of the same evidence as non-privileged as to the federal-law claims. Thus, one
privilege needs to be applied to a discovery determination to avoid such a problem.
Second, it would be impracticable to apply two different bodies of privilege law in
front of one jury. . . . The Court would . . . give a limiting instruction to the jury,
but such a limiting instruction would be of little value, given that evidence which
should have been privileged has been heard, and the privilege effectively lost. In
light of such considerations, the Court believes the best course of action is to apply
one body of privilege law. Moreover, it makes sense that the body of privilege law
that the Court applies should be federal law. Jurisdiction in this case is based on a
federal question rather than on diversity.
11
Vondrak, 760 F. Supp. 2d at 1176-77 (citations omitted). See also United States v. Osage Wind,
LLC, No. 14-CV-704-GKF-JFJ, 2021 WL 149266, at *4 n.5 (N.D. Okla. Jan. 16, 2021) (“[C]ourts
have held that, where jurisdiction is based on a federal question and a court has supplemental
jurisdiction over state-law claims, practical considerations mandate application of federal privilege
rules in the entire case.”).
In this potential class action, Plaintiffs assert both federal and state claims. Simmons
contends the requested documents are relevant to both federal and state claims, and Simmons seeks
to use the materials to defend both federal and state claims. In these circumstances, and where the
Court’s jurisdiction is based on a federal question, federal common law governs the scope of the
reporter’s privilege asserted by CIR.
D.
First Amendment Concerns Outweigh Need For Disclosure
Federal common law recognizes a reporter’s privilege in civil cases. Silkwood v. KerrMcGee Corp., 563 F.2d 433, 438 (10th Cir. 1970) (explaining that, based on Supreme Court
precedent, “the present privilege is no longer in doubt”). See also Shoen v. Shoen, 48 F.3d 412,
414 (9th Cir. 1995) (recognizing “qualified privilege for journalists against compelled disclosure
of information gathered in the course of their work”) (citation omitted). The privilege is rooted in
the First Amendment, and it recognizes that society’s interest in protecting the integrity of the
newsgathering process justifies sacrifices of sources of facts needed in the administration of
justice. See id. See also Grandbouche v. Clancy, 825 F.2d 1463, 1466 (10th Cir. 1987) (“Although
the First Amendment does not normally restrict the actions of purely private individuals, the
amendment may be applicable in the context of discovery orders, even if all of the litigants are
private entities.”).
The reporter’s privilege extends to “both confidential and nonconfidential information and
sources,” because discovery of such information has a chilling effect on the flow of information
to the public. United States v. Rosenschein, No. CR 16-4571 JCH, 2020 WL 4141775, at *2
12
(D.N.M. July 20, 2020) (collecting district court decisions within Tenth Circuit). See also Shoen,
48 F.3d at 416 (explaining media’s various interests in avoiding compliance with discovery
requests for even nonconfidential sources and information). Courts have recognized that “routine
court-compelled disclosure of research materials poses a serious threat to the vitality of the
newsgathering process,” and would result in reporters’ becoming “an investigative arm of the
judicial system or a research tool of the government or of a private party.” Shoen, 48 F.3d at 416
(cleaned up).
Originally, the Tenth Circuit outlined the following factors to consider before ordering
disclosure over a reporter’s privilege objection: (1) whether the party seeking information has
independently attempted to obtain the information elsewhere and has been unsuccessful; (2)
whether the information goes to the heart of the matter; (3) whether the information is of certain
relevance; and (4) the type of controversy. Silkwood, 563 F.2d at 438. In a later decision, the
Tenth Circuit restated the factors as: “(1) the relevance of the evidence; (2) the necessity of
receiving the information sought; (3) whether the information is available from other sources; and
(4) the nature of the information.” Grandbouche, 825 F.2d at 1466. After considering the facts
related to each factor, the court must apply a balancing test to decide “whether the privilege must
be overborne by the need for the requested information.” Id. at 1467. See also Silkwood, 563 F.2d
at 438 (stating ultimate test as whether “First Amendment considerations outweigh[] the need for
the requested information”).
The need for disclosure generally does not outweigh First
Amendment concerns when information is of only “questionable relevance”; when the party
seeking the discovery is on a mere “fishing expedition”; or where a demand is overly “vague.”
Silkwood, 563 F.3d at 438.
After carefully considering all factors, CIR has met its burden of showing that First
Amendment considerations in protecting the newsgathering process outweigh the need for
disclosure of the documents to defend this civil lawsuit.
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1.
Relevance
This is a complex class action that includes fourteen causes of action arising under federal
and three states’ laws. The claims include federal and state wage and hour claims; federal RICO
claims; a Missouri unjust enrichment claim; and federal Trafficking Victims Protection
Reauthorization Act (“TVPRA”) claims, including forced labor, involuntary servitude, and
trafficking.5
As part of its TVPRA forced labor claim, Plaintiffs allege:
Defendants held [plaintiffs] in a state of forced labor, under false pretenses of a
‘rehabilitation’ program, forcing them to work full time at Simmons Foods’
poultry processing plants, without pay, and under constant threat of abuse of law or
legal process; and/or a scheme, plan, or pattern intended to cause Named Plaintiffs
and Members of the Class to believe that if they did not perform the labor or
services, they would suffer serious harm, including psychological, financial, or
reputational harm, or incarceration . . . . Defendants executed a scheme, plan, or
pattern (i.e., a forced labor camp billed as a drug and alcohol rehabilitation
program) intended to cause Named Plaintiffs and Members of the Class to believe
that if they did not continue to work for Defendants, they would suffer serious harm
by threats of incarceration and by controlling their living conditions.
Third Am. Compl. ¶¶ 179, 180 (emphasis added). In a response to Simmons’ motion to dismiss
the TVPRA involuntary servitude claim in a former version of the complaint, Plaintiffs argued:
Simmons argues that a resident’s initial entry into CAAIR is a “choice.” Even if
true, any such choice – made before arrival at CAAIR – is irrelevant to Plaintiffs’
claims. The relevant inquiry is not whether Plaintiffs “chose” to enter CAAIR, but
whether the alternative they ultimately faced – work at Simmons or go to prison –
was a legitimate one. It was not. Once a resident arrives at CAAIR, he discovers
that he is in a labor camp with no rehabilitative purpose. Any legitimate choice
has vanished. CAAIR conceals its origins and misrepresents itself as a
treatment facility to gain total control.
ECF No. 54 at 13 (emphasis added).
5
The district judge dismissed Plaintiffs’ trafficking claim under the TVPRA (18 U.S.C. § 1590)
as to Simmons, because Plaintiffs did not allege facts establishing that Simmons was involved in
bringing Plaintiffs to the CAAIR facility to participate in the rehabilitation program or that
Plaintiffs were under the complete, long-term control of Simmons. See ECF No. 115 at 18-19.
However, Plaintiffs still maintain TVPRA claims against Simmons for forced labor and
involuntary servitude.
14
The requested information is relevant. Positive statements about CAAIR’s rehabilitative
services, if they exist in CIR’s files, are relevant to defend against Plaintiffs’ TVPRA claims and,
specifically, Plaintiffs’ allegations that CAAIR did not provide rehabilitative or drug treatment
services. If CAAIR participants stated they recovered from addiction while at CAAIR, and
described CAAIR’s rehabilitative services in positive terms, this helps refute Plaintiffs’ allegations
and arguments.6 The relevance of the evidence goes beyond mere impeachment of any individual
Plaintiff’s testimony and would assist in defending global allegations that the CAAIR program is
a forced labor camp rather than a rehabilitative drug treatment program.
Further, Simmons is not engaging in an unwarranted fishing expedition by requesting these
statements. The relevant articles directly quote at least two of the original named Plaintiffs, and
CIR likely possesses unpublished, relevant information from these interviews. A complete version
of these Plaintiffs’ interviews is relevant to defending the claims and for potential impeachment.
The articles also quote a potential class member, and that individual’s mother, as praising
CAAIR’s rehabilitative services. This indicates a likelihood that other positive notes or interviews
exist in CAAIR’s files.
The requested information is specific, relevant, and likely to be possessed by CAAIR. This
factor weighs in favor of disclosure.
2.
Necessity
As to the second factor, courts within the Tenth Circuit consider whether the information
is needed to prove a claim, or for “just litigation” of a claim. In re Bacon, 2018 WL 4467182, at
*6. The first factor of “relevance” must not be conflated with the second factor of “necessity.” Id.
6
The Court need not reach the question of whether Plaintiffs must demonstrate the absence of true
rehabilitative services to prove any of their fourteen claims. For this relevance analysis, it is
sufficient that Plaintiffs portray CAAIR as a forced labor camp devoid of any meaningful
rehabilitative services.
15
The requested information is not “necessary” for a just litigation of Plaintiffs’ claims.
Simmons’ two cited cases supporting the “necessity” factor demonstrate why this factor weighs
against disclosure. In one case, a reporter was accused of wrongdoing, and the reporter was
uniquely able to provide information needed for the plaintiff to prove her case. See Amaya, 2016
WL 10296798, at *8 (finding defendant accused of violating plaintiffs’ privacy was uniquely
capable of providing information necessary to proving claim). In the second cited case, a reporter
was a “first-hand witness and record-keeper” of statements alleged to be defamatory or libelous,
although the reporter was not directly sued. See In re Bacon, 2018 WL 4467182, at *6-8 (finding
reporter who witnessed alleged defamatory statements was uniquely capable of having knowledge
of a “smear campaign” that was the subject of foreign defamation lawsuits). In both cases, the
reporter was deemed uniquely capable of providing information necessary to prove a claim,
because the reporter either committed or directly witnessed the alleged wrongdoing at the heart of
the civil case.
Here, CIR is not accused of wrongdoing and did not witness any wrongdoing by CAAIR
or Simmons. Neither CIR nor any other party is being sued by CAAIR or Simmons for publishing
a defamatory article. Instead, CIR is an innocent third party that possesses relevant information
and asserts privilege solely for the purpose of protecting society’s interests in the newsgathering
process. This weighs in favor of protection. See generally Zerilli v. Smith, 656 F.2d 705, 715
(D.C. Cir. 1981) (upholding privilege where privilege proponent was not asserting privilege to
“protect [himself] from liability,” but rather solely to protect First Amendment interests in
newsgathering).
Further, although CIR obtained statements from CAAIR participants who are Plaintiffs or
may be class members, CIR is not uniquely capable of obtaining participants’ subjective
perceptions of the CAAIR program. Presumably, CAAIR and Simmons have lists, or could have
maintained lists, of all CAAIR program participants. The individuals running the CAAIR program
16
should know who experienced recovery in the program or have means of uncovering that
information. CIR is not “uniquely capable” of asking these individuals questions, taking their
statements, or gathering information relevant to Plaintiffs’ allegation that CAAIR failed to provide
rehabilitative services. Although CIR is the only entity that possesses statements made by CIR’s
interviewees on or around October 2017, those precise statements are not “necessary” to a just and
fair defense of this lawsuit.
Statements possessed by CIR, if they praise the CAAIR program, would be relevant and
useful to Simmons. They would also be a convenient discovery tool, as CIR has already done the
investigative work. But relevance, usefulness, and convenience are not sufficient showings for the
necessity factor. The Court finds this factor weighs against disclosure.
3.
Availability From Other Sources
This factor weighs in favor of disclosure where the requesting party makes a “clear and
specific showing that the information is not obtainable from other available sources.” In re Bacon,
2018 WL 4467182, at *6. The requesting party “must demonstrate it has independently attempted
to obtain the information elsewhere and has been unsuccessful.” Id. (citing Silkwood, 563 F.2d at
438).7
Simmons argues it attempted to obtain this information from named Plaintiffs through
written discovery, but Plaintiffs failed to produce any text messages or emails reflecting their
communications about CAAIR or Simmons. Simmons argues that CIR’s “withholding texts or
emails with the Plaintiffs as part of a blanket refusal to produce responsive items reinforces
Plaintiffs’ attempt to hide anything they have said about the program from the ultimate
factfinders.” ECF No. 225 at 7.
Other circuits have required a party to demonstrate that “all reasonable alternative sources” of
the information have been exhausted in order to overcome the privilege. See, e.g., Shoen, 48 F.3d
at 418. The Court applies the test as articulated by the Tenth Circuit.
7
17
The requested information is available from other sources. Simmons issued written
discovery to the 55 named Plaintiffs. Some discovery was aimed at uncovering Plaintiffs’
statements about CAAIR and/or Simmons, including texts, emails, and social media posts.
Although Simmons is not satisfied with Plaintiffs’ responses to document requests, this does not
justify overriding privilege for three reasons. First, many named Plaintiffs have already been
dismissed based on their failures to respond to written discovery as an agreed discovery sanction.
See ECF Nos. 259, 260. Simmons obtained a complete remedy in relation to these Plaintiffs, and
there is no justification for invading a reporter’s privilege to further remedy any former Plaintiffs’
noncompliance with written discovery. Second, Simmons may depose the remaining named
Plaintiffs regarding their experience at CAAIR, which is an alternative method of obtaining
subjective statements about the rehabilitative services provided, or not provided, in the CAAIR
program. See Zerilli, 656 F.2d at 714-15 (finding First Amendment considerations outweighed
disclosure where party seeking privileged information failed to depose four individuals with
greatest knowledge of case). Finally, as to potential class members, CAAIR and Simmons know
or should know who participated in the program and received rehabilitative services. Defendants,
even more than CIR, are uniquely situated to identify witnesses or potential class members whose
statements will counter allegations that CAAIR and/or Simmons ran a “forced labor camp” rather
than a drug rehabilitation program. Although it would be convenient to piggyback on the
investigative work already completed by CIR, defense counsel can obtain the same information by
other means. This factor weighs against disclosure.
4.
Nature of Information
The Court has already analyzed relevance and necessity, and those discussions are
incorporated to this factor. See In re Bacon, 2018 WL 4467182 at *8 (reiterating discussions of
relevance and necessity in discussing fourth factor). In addition, the Court considers whether the
source or information sought is confidential or nonconfidential, with the recognition that
18
confidential sources or information receive greater First Amendment protection. See generally
Shoen v. Shoen, 5 F.3d 1289, 1295 (9th Cir. 1993) (explaining that “the absence of confidentiality
may be considered in the balance of competing interests as a factor that diminishes the journalist’s,
and the public’s, interest in non-disclosure”).
In its response brief, CIR did not assert that it was protecting any confidential sources or
information. At least some of the sources for the article agreed to be quoted, including some who
criticized the program and some who praised it. For purposes of this factor, the Court assumes the
statements sought are not confidential and that CAAIR participants did not demand anonymity
when being interviewed for the article. Because the “nature of the information” is relevant and
not confidential, the fourth factor weighs in favor of disclosure.
5.
Balancing
This is not a clear-cut case for protecting privilege. Simmons made a specific request for
relevant information and has reason to believe the information is in CIR’s possession based on
information in the published articles. Instead, this case requires careful balancing of (1) Simmons’
interest in obtaining relevant information to defend a civil lawsuit, against (2) First Amendment
interests in protecting investigative journalism and avoiding a chill on the newsgathering and
publishing processes.
On balance, and based on the facts discussed above, the Court concludes the First
Amendment considerations override the need for relevant documents in this case. CIR is not
uniquely able to provide information about participants’ subjective perceptions of the CAAIR
program. Simmons can obtain these perceptions from other sources, including depositions and its
own investigation. CIR is not a party or a witness to the alleged wrongdoing, and it invokes the
privilege solely to defend its First Amendment right to investigate and publish news. In light of
these considerations, the First Amendment considerations prevail over the need for disclosure.
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IV.
Conclusion
CIR’s jurisdictional and procedural objections to the Subpoena are OVERRULED, and
CIR’s privilege objection to the Subpoena is SUSTAINED. Defendants’ Motion to Compel NonParty Center for Investigative Reporting, Inc. to Comply with Subpoena Duces Tecum (ECF No.
225) is DENIED.
SO ORDERED this 28th day of February, 2024.
J
ODIF.
J
AYNE,
MAGI
STRATEJ
UDGE
UNI
TEDSTATESDI
STRI
CTCOURT
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