Century Indemnity Company v. The Marine Group, LLC et al
Filing
818
OPINION and ORDER - Third-Party Plaintiffs' Motion to Strike James Robertson as Improper Rebuttal Expert and Motion to Strike Barry Lapidus as Untimely Disclosed Expert 705 is GRANTED. The court strikes the Robertson and Lapidus reports and precludes all parties from using those reports in this case. Robertson and Lapidus are precluded from testifying at trial. IT IS SO ORDERED. DATED this 16th day of September, 2015, by United States Magistrate Judge John V. Acosta. (peg)
IN THE UNITED STATES DISTRICT COURT
FOR THE DISTRICT OF OREGON
PORTLAND DIVISION
CENTURY INDEMNITY COMPANY,
a Pennsylvania Corporation,
Plaintiff,
v.
THE MARINE GROUP, LLC, a California
limited liability company, as affiliated with
Northwest Marine, Inc.; et al.,
Defendants.
THE MARINE GROUP, LLC, a California
limited liability company, as affiliated with
Nmihwest Marine, Inc.; et al.,
Third-Party Plaintiffs,
v.
AGRICULTURAL INSURANCE
COMPANY and AGRICULTURAL EXCESS
AND SURPLUS INSURANCE COMPANY,
each an Ohio Corporation,
Third-Party Defendants.
Page 1 - OPINION AND ORDER
3:08-cv-1375-AC
OPINION AND
ORDER
ACOSTA, Magistrate Judge:
This lawsuit concerns the alleged obligations of numerous insurance companies to defend
and indemnify third-patty plaintiffs The Marine Group, LLC; Northwest Marine, Inc.; Northwest
Marine Iron Works; and BAE Systems San Diego Shop Repair, Inc. ("Third-Party Plaintiffs");
for costs incurred in connection with the assessment, removal, and remediation of hazardous
materials released at the Portland Harbor Superfund Site.
Phase I of trial in this case is
scheduled to occur in November 2015. The Phase I trial will resolve each identified party's duty
to defend.
Determining each patty's duty to defend requires the court to identify specific
insurance policies, construct lost policies and construe their terms, fix the time period for which
each policy provided coverage, determine the existence and applicability of exclusions, and
determine the obligations of excess and umbrella insurers.
In accordance with the court's prior scheduling orders, the parties identified expert
witnesses and exchanged expett witness reports and deposed experts regarding the Phase I Trial
issues. Thereafter, Third-Party Plaintiffs and four insurers - Granite State Insurance Company,
Insurance Company of the State of Pennsylvania ("ICSOP"), Centmy Indemnity, and St. Paul
Fire & Marine Insurance Company - each filed motions to exclude some or all of one or more
expert witness's testimony. Collectively, the motions put in issue the testimony of five expert
witnesses: Dennis Connolly, Robert Hughes, Bany Lapidus, James Robertson, and Allen Windt.
This opinion and order resolves the pending motion to strike the expert testimony of two
witnesses, James Robertson and Bany Lapidus. The specific motion is Third-Party Plaintiffs'
Motion to Strike James Robettson as Improper Rebuttal Expert and Motion to Strike Bany
Page 2 - OPINION AND ORDER
Lapidus as Untimely Disclosed Expert (Dkt. No. 705). The court will resolve the remaining
pending motions to strike or exclude expert witnesses (Dkt. Nos. 681, 683, 709, and 714), in a
separate opinion.
I. Motion to Strike James Robertson as Improper Rebuttal Expert.
RULING: GRANTED.
The identification of "lost policies" and their coverage provisions is one of the issues to
be tried in the Phase I trial. In preparation for the trial, the parties were to simultaneously
disclose expert witnesses regarding the lost policy issue on March 10, 2015. (See Dkt. No. 607,
at~~
3, 5, modified by Dkt. No. 644, ~ 1). On that date Third-Party Plaintiffs listed as their
expert witnesses Robe1t Hughes and Dennis Connolly, both of whom are to give testimony on
the lost-policy issue. St. Paul listed no expert witness of its own on the lost-policy issue.
The court's scheduling order also required the parties to disclose rebuttal experts on April
10, 2015, and on that date St. Paul listed Robe1tson as a rebuttal expert witness. Third-Party
Plaintiffs argue Robertson's report actually contains St. Paul's case-in-chief on the critical lostpolicy issue and, thus, Robertson is not a proper rebuttal witness.
They assert St. Paul's
"apparent strategy was to withhold its expert repo1ts until the rebuttal stage so as to flush out
[Third-Party Plaintiffs'] arguments and to deprive [Third-Party Plaintiffs] of an equal rebuttal
opportunity."
They argue this tactic allowed St. Paul to "tailor" its expert testimony and
deprived their expert of the opportunity to rebut St. Paul's lost-policy theories. Third-Party
Plaintiffs ask the comt to strike the Robertson report.
Page 3 - OPINION AND ORDER
St. Paul contends it timely filed a proper rebuttal report. It notes Third-Patiy Plaintiffs
have the burden of proof on the lost-policy issue and they designated experts to support their
burden. Robertson's rebuttal report - which St. Paul timely filed - directly responds to the
points made in the Connolly and Hughes reports, the exact purpose of a rebuttal rep01i. St. Paul
observes that the court's October 28, 2014 Case Management Order contained no date for
serving rebuttal reports, and no pmiy objected to St. Paul's suggestion the parties follow FRCP's
30-day rule for serving rebuttal reports. Finally, St. Paul argues Third-Party Plaintiffs are not
prejudiced by Robertson's report because sufficient time remained to depose Robertson and for
Third-Patiy Plaintiffs' experts to supplement their own reports.
The court's October 28, 2014 Case Management Order specified: "[a]ll Identified Parties
shall designate any experts on any issues covered by this order and serve disclosures on all
parties by February 23, 2015." (See Dkt. No. 607,
March 10, 2015. (See Dkt. No. 644,
at~!.)
at~
3.) The comi extended this deadline to
One of the issues covered in the Case Management
order is "lost policy issues relating to the duty to defend or to reimburse or otherwise pay
defense costs between identified parties." (See Dkt. No. 644, at~ 5.)
First, St. Paul was permitted to file an expert rebuttal report and it filed Robe1ison's
report on the agreed date for rebuttal reports. Third-Patiy Plaintiffs do not refute St. Paul's
assertion that the parties, by informal agreement, provided for rebuttal expert disclosures in
accordance with Federal Rule of Civil Procedure 26(a)(2)(D). Thus, St. Paul complied with the
parties' agreement and the rule's deadline.
Page 4 - OPINION AND ORDER
Second, and the primary question to resolve, is whether Robetison's rebuttal report in
fact is a true rebuttal report or, as Third-Party Plaintiffs assert, an initial expert repoti merely
labeled as a rebuttal report. Federal Rule of Civil Procedure 26(a)(2), entitled "Disclosure of
Expert Testimony," does not distinguish between initial and rebuttal expetis and imposes no
requirement that a rebuttal expert also have been an initially disclosed expert. Thus, St. Paul
properly could offer Robetison as a rebuttal expert even though it did not use him as an initial
expert. Rule 26's only constraint on rebuttal expert evidence is found in subsection (a)(2)(D)(ii),
which defines a rebuttal report as one "intended solely to contradict or rebut evidence on the
same subject matter identified by another party under Rule 26(a)(2)(B) or (C)[.]"
Case law decisions have developed the reach and limits of Rule 26 (a)(2)(D)(ii)'s
definition of rebuttal evidence.
In R & 0 Construction Company v. Rox Pro International
Group, LTD, No. 2:09-cv-017490-LRH-LRL, 2011 WL 2923703 (D. Nev. July 18, 2011), the
court surveyed instructive cases to identify factors relevant to evaluating whether an expert has
submitted a proper rebuttal report:
Fed. R. Civ. P. 26(a)(2)(C)(ii) permits the admission of rebuttal expert
testimony that is "intended solely to contradict or rebut evidence on the same
subject matter identified" by an initial expert witness. TC Sys. Inc. v. Town of
Colonie, NY, 213 F. Supp .2d 171, 179 (N.D.N.Y. 2002). Rebuttal expert repotis
"necessitate 'a showing of facts suppotiing the opposite conclusion' of those at
which the opposing party's expetis anived in their responsive reports." Bone
Care Int'l, LLC v. Pentech Pharmaceuticals, Inc., 2010 WL 389444 (N.D. Ill.
Sep. 30, 2010) (quoting ABB Air Preheater, Inc. v. Regenerative Environmental
Equip., Inc., 167 F.R.D. 668, 669 (D.N.J. 1996). Rebuttal expert reports are
proper if they contradict or rebut the subject matter of the affirmative expert
report. Lindner v. Meadow Gold Dairies, Inc., 249 F.R.D. 625, 636 (D. Haw.
2008). They are not, however, the proper place for presenting new arguments. 1800 Contacts, Inc. v. Lens. com, Inc., 755 F. Supp. 2d 1151, 1167 (D. Utah 2010);
Page 5 - OPINION AND ORDER
see LaFlamme v. Safeway, Inc., 2010 WL 3522378 (D. Nev. Sep. 2, 2010); cf
Marmo v. Tyson Fresh Meats, Inc., 457 F.3d 749, 759 (8th Cir. 2006) ("The
function of rebuttal testimony is to explain, repel, counteract or disprove evidence
of the adverse party.") (citation omitted). "If the purpose of expert testimony is to
'contradict an expected and anticipated portion of the other party's case-in-chief,
then the witness is not a rebuttal witness or anything analogous to one' "Amos v.
Makita U.S.A., 2011 WL 43092 at *2 (D. Nev Jan. 6, 2011) (quoting In re Apex
Oil Co., 958 F.2d 243, 245 (8th Cir. 1992)); see also Morgan v. Commercial
Union Assur. Cos., 606 F.2d 554, 556 (5th Cir.1979); LaFlamme, 2010 WL
3522378 at *3. Rather, rebuttal expett testimony "is limited to 'new unforeseen
facts brought out in the other side's case.' "In re President's Casinos, Inc., 2007
WL 7232932 at* 2 (E.D. Mo. May 16, 2007) (quoting Cates v. Sears, Roebuck &
Co., 928 F.2d 679, 685 (5th Cir. 1991)).
Under Rule 37(c)(l), "A party that without substantial justification fails to
disclose information required by Rule 26(a) ... is not, unless such failure is
harmless, permitted to use as evidence at a trial, at a hearing, or on a motion any
witness or information not so disclosed." This is an either/or standard; nondisclosure must be either substantially justified or harmless to avoid being
excluded under the Rule. Galentine v. Holland America LineWestours, Inc., 333
F. Supp. 2d 991, 993 (W.D. Wash. 2004) (citing Yeti by Molly, Ltd. v. Deckers
Outdoor Corp., 259 F.3d 1101, 1106 (9th Cir. 2001)) (other citation omitted).
"The sanction is automatic and mandatory unless the sanctioned patty can show
that its violation ... was either justified or harmless." Salgado v. General Motors
C01p., 150 F.3d 735, 742 (7th Cir. 1998); see also Yeti by Molly, 259 F.3d at
1107.
R & 0 Construction Company, 2011 WL 2923703, at *2-3. See also Clear-View Technologies,
Inc. v. Rasnick, Case No. 13-cv-02744, 2015 WL 3509384, at *2 (N.D. Cal. June 3, 2015) (citing
R & 0 Construction and summarizing the standard for evaluating whether a rebuttal expert
report is proper). The case decisions make clear the court should consider and weigh all of these
factors to determine whether an expert's rep01t is a proper rebuttal report.
Robertson's report is not a proper rebuttal report. First, Robertson's report addresses
anticipated evidence and does not refute unforeseen theories. St. Paul clearly knew establishing
Page 6 - OPINION AND ORDER
the existence and terms of lost policies would be a fundamental issue for Phase I trial, and also
knew the parties would designate experts on Phase I trial issues. The court's Case Management
Order - the content of which the parties jointly proposed - explicitly so states. (See Dkt. No.
607,
at~~
3, 5.) Third-Party Plaintiffs' use of experts to identify and construct the terms of the
alleged policies was not merely foreseeable, it was to be expected.
St. Paul expected Third-Party Plaintiffs to offer such evidence because in its February 16,
2010 Answer, Affirmative Defenses, and Counterclaim (Dkt. No. 161), St. Paul asserted
affirmative defenses against such theories. For example, St. Paul's Third Affirmative Defense
asse1ts:
In the event that Third-Party Plaintiffs prove the existence, terms, and conditions
of a contract of insurance issued by St. Paul, their claims may be precluded by the
applicable provisions, terms, definitions, conditions, endorsements, limitations,
and/or exclusions of any such policy.
(See Dkt. No. 161, at p. 7.) Throughout Robertson's 28-page rebuttal report he identifies and
opines on the meaning and significance of the terms, conditions, and definitions in the alleged
policies, and discusses the significance of the presence or absence of exclusions and
endorsements to the policies Connolly and Hughes construct in their respective reports. All of
Robertson's evidence is exactly what St. Paul knew more than five years ago it must present at
the time of trial. Merely because Robertson organized his repo11 in reference to the points made
in the Connolly and Hughes reports does not, in this context, compel the conclusion that his
report is a proper rebuttal report that responds to unforeseen theories.
\ \ \\ \
Page 7 - OPINION AND ORDER
Second, St. Paul's affirmative defenses place upon it the burden of proving those
affirmative defenses, and Robertson's report provides evidence to support most of St. Paul's
affirmative defenses.
St. Paul's Third, Fifth, Sixth, Seventh, Eighth, Tenth, and Thirteenth
through Twenty-Fourth Affirmative Defenses each assert a bar to Third-Patty Plaintiffs' claims
or recove1y based on the language of the alleged policies. Proving one or more of these nineteen
affirmative defenses necessarily requires St. Paul to establish the existence of one or more
alleged lost polices, construct the terms of those policies, and then interpret the terms of those
policies - points which Robe1ison discusses throughout his report. An expe1t rebuttal report that
"speaks directly" to a party's affirmative defenses is not considered proper rebuttal. See ClearView Technologies, 2015 WL 3509384, at *3 (striking defendants' expe1t rebuttal report in part
because "the report speaks directly to an issue on which Defendants bear the burden of proof,
and cannot be properly construed as a rebuttal report").
Third, Robertson's report presents new arguments, which a rebuttal report may not
include. The most notable example is Robertson's discussion of the effects of policy exclusions
on the coverage analysis contained in the Connolly and Hughes reports, a subject matter which
Robertson repeatedly references in his report. Hughes never mentions policy exclusions in the
report's 22 pages devoted to the St. Paul policies. Connolly uses ten pages to analyze the St.
Paul policies but does not specifically mention exclusions. Only in a single paragraph, No. 29,
contained in his report's general discussion section does Connolly refer to exclusions, and then
only to declare that standard CGL policies of the time did not include exclusions for
environmental losses.
Page 8 - OPINION AND ORDER
Robertson's analysis of exclusions is not proper rebuttal because he does not merely
contradict or rebut the subject matter of the Connolly and Hughes reports. First, except for the
one-paragraph general reference in Connolly's report - a reference not specific to the St. Paul
policies - Connolly and Hughes do not discuss exclusions or their significance to their respective
St. Paul lost-policies analysis. Neither the lost-policies analysis nor the general reference to
exclusions in Connolly's report are sufficient to constitute the "same subject matter''. See, e.g.,
Vu v. McNeil-PPC, Inc., No. CV 09-1656 ODW (Rzx), 2010 WL 2179882, at *2 (C.D. Cal. May
7, 2010) ("If the phrase 'same subject matter' is read broadly to encompass any possible topic
that relates to the subject matter at issue, it will blur the distinction between 'affirmative expert'
and 'rebuttal expert.' More importantly, such broad reading of Rule 26(a)(2)(C)(ii) will render
the scope of the subject matter limitless and will lead to unjust results.") (emphasis in original).
Second, exclusions are the explicit basis of two of St. Paul's affirmative defenses, the
Third and the Twentieth. St. Paul has the burden of proof of those affirmative defenses and
Robertson's report clearly contains evidence to supp01t those affirmative defenses. St. Paul
should have disclosed Robertson as an initial expert, not as a rebuttal expe1t.
Concluding that Robertson is not a proper rebuttal expert completes only the first of two
steps to determine whether, as Third-Party Plaintiffs request, the court should strike Robertson's
report. The court also must decide whether St. Paul's failure to disclose Roberts's report is
either substantially justified or harmless and, thus, may avoid being excluded under Rule 26(a).
See Salgado v. General Motors Corp., 150 F.3d 735, 742 (7th Cir. 1998) ("The sanction is
automatic and mandatory unless the sanctioned party can show that its violation ... was either
Page 9 - OPINION AND ORDER
justified or harmless.").
The court concludes that St. Paul's failure to disclose is neither
substantially justified nor harmless.
St. Paul argues substantial justification exists because Robertson's report is a rebuttal
report offered to counter the reports of Connolly and Hughes. St. Paul proposed that any rebuttal
experts be disclosed in accordance with Rule 26(a)(2)(D)'s 30-day deadline for disclosing
rebuttal experts, and neither Third-Party Plaintiffs nor any other pmiy objected to that proposal.
Thus, St. Paul concludes, rebuttal reports were proper, the rule controlled the timing of their
disclosure, and it timely disclosed Robe1ison's report.
As previously discussed, Robertson's repo1i is not a proper rebuttal report. Because it is
not, St. Paul should have disclosed it with initial expert disclosures. Because the premise of St.
Paul's substantial justification argument fails, its substantial justification argument is without
basis.
St. Paul argues that even if it should have disclosed Robe1ison's report as an initial expert
report, its untimely disclosure is harmless because Third-Pmiy Plaintiffs can depose Robe1ison,
and Connolly and Hughes can submit supplemental reports to cure any prejudice. This argument
is unavailing for two reasons. First, Robertson's report should have been disclosed with all other
initial expe1i reports in accordance with the comi's Case Management Order. St. Paul did not do
that. Compliance with the court's scheduling orders in this case seven-year-old case is critical to
the court's ability to efficiently manage 27 parties and 43 lawyers toward the case's ultimate
resolution.
One party's non-compliance with deadlines in such a complex case puts all
Page 10 - OPINION AND ORDER
complying parties at a significant disadvantage and disrupts the carefully designed structure and
timing of pretrial filings and disclosures.
Second, because St. Paul produced Robertson's report after Third-Party Plaintiffs
produced the Hughes and Connolly reports, Robe1ison had the opportunity to craft his initial
opinions in direct response to each point in those reports. Neither Hughes nor Connolly enjoyed
this advantage in preparing their initial opinions. And this is not a minor advantage: lost
policies is a central issue in the case and the parties' respective theories of the policies' existence
or non-existence is the evidentimy heati of that dispute. Robertson avoided presenting his initial
theories and, thus, avoided exposing their weaknesses to rebuttal.
Instead, he had the
opportunity both to conceal or minimize weaknesses in his opinions which the Connolly and
Hughes reports might have revealed, and to directly attack the weaknesses in their respective
theories knowing neither would have the opportunity to submit a rebuttal report. St. Paul's
resultant advantages, in the circumstances of this case, cannot be adequately balanced by now
offering to allow Robertson's deposition and Connolly and Hughes to submit supplemental
reports. See Vu v. McNeil-PFC, Inc., 2010 WL 2179882 at *3 ("Here, as a result of Costco's
belated disclosure, Plaintiffs are prevented from rebutting any of Costco' s expeti opinions
dealing with matters outside the scope of Dr. Kelly's report because the deadline for disclosing
rebuttal experts has passed. This is a hornbook example of sandbagging, a litigation tactic this
Court will not tolerate.").
Accordingly, the court strikes Robe1ison's repo1i, precludes any party from using that
report at trial, and precludes Robertson from testifying at trial.
Page 11 - OPINION AND ORDER
II. Motion to Strike Barty Lapidus as Untimely Disclosed Expe1i.
RULING: GRANTED.
The comi's scheduling order required the parties to identify by December 19, 2014, all
other parties to whom should be allocated a share of the defense costs (see Dkt. No. 607,
~
1),
and to disclose by March 10, 2015 expe1i witnesses on that and all other trial issues. (See Dkt.
No. 607,
at~~
3, 5, modified by Dkt. No. 644,
~
1.) Centmy Indemnity filed its identification of
parties on December 19, 2014, and did not identify any of the Third-Party Plaintiffs as a party to
whom a share of defense costs should be allocated. St. Paul did list Third-Party Plaintiffs as
parties to whom a share of defense costs should be allocated, but did so under its policies and not
under Centmy Indemnity's policies, which policies Third-Party Plaintiffs allege cover a different
time period than the St. Paul policies.
Three months later, on March 10, 2015, Century Indemnity served its expert witness
disclosures and served a report by Barry Lapidus. In his report and subsequent rebuttal report
Lapidus explains why Third-Party Plaintiffs are parties to whom a share of defense costs should
be allocated.
Third-Party Plaintiffs argue they have been prejudiced by Century Indemnity
untimely identifying them as parties to whom a share should be allocated, because they did not
obtain expert testimony specific to the Century Indemnity policies and theories.
Centmy concedes it did not designate Third-Pmiy Plaintiffs as pmiies to whom a share of
defense costs should be allocated, but it contends the court should not strike Lapidus's
testimony. It points out St. Paul designated Third-Pmiy Plaintiffs as parties to whom a share of
defense costs should be allocated and argues it "relied on St. Paul's designation" to disclose
Page 12- OPINION AND ORDER
Lapidus as an allocation expe1t against Third-Patty Plaintiffs. Centmy Indemnity observes that
it timely disclosed Lapidus as an expert, that Third-Party Plaintiffs' experts' rebuttal reports
responded to Lapidus's opinion, and that Third-Patty Plaintiffs have deposed Lapidus.
The comt strikes the Lapidus reports. First, Centmy Indemnity violated the court's Case
Management Order. Paragraph 1 of the directs:
St. Paul Fire and Marine Insurance Company, Argonaut Insurance
Company, Insurance Company of No11h America, Agricultural Insurance
Company, Agricultural Excess and Surplus Insurance Company, Century
Indemnity Company, Certain Underwriters at Lloyd's London, Ce1tain London
Market Insurance Companies, Insurance Company of the State of Pennsylvania,
Water Quality Insurance Syndicate, Employers Mutual Casualty Company, and
third-patty plaintiffs (the "Identified Parties") shall file and serve on all parties a
designation of all insurance policies and all patties they contend must participate
in the duty to defend, have an obligation to reimburse or otherwise pay defense
costs, or which any Identified Party believes should otherwise be allocated a share
of defense costs, on or before December 19, 2014.
(Docket No. 607, at
iJ
!)(underline added).
The comt's order explicitly required Century
Indemnity to designate any party and any insurance policy it believed should be allocated a share
of defense costs. Centmy Indemnity did not designate Third-Patty Plaintiffs in its December 19,
2014 designation. (See Dkt. No. 624).
As the court already has noted, compliance with its scheduling orders is critical to the
court's ability to efficiently manage the case as it moves toward Phase I trial. One party's noncompliance with deadlines in this complex case puts all complying parties at a significant
disadvantage and disrupts the carefully designed structure and timing of pretrial filings and
disclosures. That is especially true here because only Centmy Indemnity failed to comply with
the co mt' s order to designate all parties to whom should be allocated a share of defense costs.
Page 13 - OPINION AND ORDER
Second, Century Indemnity contends it "relied" on St. Paul's designation of Third-Party
Plaintiffs, but this argument fails for three reasons.
First, nothing in the court's Case
Management Order allowed any other patty to rely on the designation of any other party.
Second, even if the Case Management Order could be read to allow reliance on other parties'
designation, Century Indemnity's designation did not indicate it would rely on St. Paul's
designation. (See Dkt. No. 624, at pp. 3-4, 10.) 1 Third, St. Paul did not designate Third-Party
Plaintiffs as responsible for an allocation of defense costs under the Centmy Indemnity policies.
St. Paul instead stated it "also reserves the right, pursuant to ORS 465.480(5) and ORS
465.480(6) and applicable Oregon law, to assert that Third-Party Plaintiffs are responsible for
defense fees as an "insurer" for allocation purposes with regard to any relevant uninsured
periods that may be identified.") (see Dkt. No. 621, at p. 2).
Third, if Centmy Indemnity did rely on St. Paul's designation, Lapidus's reports advance
a theo1y not relevant to the St. Paul theoty Centmy Indemnity purpottedly adopted. St. Paul
asserted Third-Party Plaintiffs must share in the allocation of defense costs as "uninsured"
parties under Oregon law, but Lapidus's opinion does not support this theory: he opines ThirdParty Plaintiffs must share in the allocation of defense costs because they are "self-insured"
parties under the Centu1y Indemnity policies. For allocation purposes under Oregon law, being
"self-insured" is critically distinct from being "uninsured, " because an insured party who
undertakes a self-insured retention obligation is not an "insurer" under Oregon law and thus is
1
It is unlikely Centmy Indemnity could have relied on St. Paul's designation, because
St. Paul filed its designation only 40 minutes before Century Indemnity filed its designation.
(Compare Dkt. No. 621, filed at 2:37 p.m., with Dkt. No. 624, filed at 3: 18 p.m.)
Page 14 - OPINION AND ORDER
not allocated a share of defense costs. (See, e.g., Opinion and Order on Summary Judgment
Motions, Dkt. No. 817, at p. 6,
if 6.) Thus, Lapidus's opinions are irrelevant to the allocation
the01y Centmy Indemnity argues it adopted, and also irrelevant in light of the court's summaty
judgment ruling rejecting the theoty Lapidus advances.
Centmy Indemnity's failure to designate Third-Party Plaintiffs as parties to whom should
be allocated a share of defense costs is prejudicial. Century Indemnity identified five months
late Third-Party Plaintiffs as parties to whom a share of defense costs must be allocated. This
belated disclosure deprived Third-Party Plaintiffs of five months - one-half the time until trial to analyze Centmy Indemnity's allocation theory and retain an expert to address it. Ordinmy
methods for remedying untimely filings or disclosures might be adequate in ordinaty cases, but
they are not sufficient in this complex multi-party case involving high financial exposure.
Furthermore, the October 28, 2014 Case Management Order ensured that every Identified
Party knew and could rely upon specific dates for the completion of identified tasks, and Centmy
violated that order. As already discussed, compliance with the court's scheduling orders is
critical to ensuring the orderly and efficient management of this case. All parties knew the
deadline for identifying parties to whom a share of defense costs should be allocated, but only
Centmy Indemnity failed to comply with that deadline.
Federal Rule of Civil Procedure 16(f), entitled "Sanctions," authorizes the court to issue
"any just orders" including those authorized under Rule 37(b)(2)(A)(ii)-(vii), if a party or its
attorney "fails to obey a scheduling or other pretrial order." For the reasons already discussed,
striking the Lapidus reports is the appropriate remedy for Centmy Indemnity's violation of the
Page 15 - OPINION AND ORDER
court's October 28, 2014 Case Management Order. Accordingly, the court strikes the Lapidus
initial and rebuttal reports, precludes all parties from using those reports, and precludes Lapidus
from testifying at trial.
Conclusion
Third-Party Plaintiffs' Motion to Strike James Robettson as Improper Rebuttal Expert
and Motion to Strike Barry Lapidus as Untimely Disclosed Expett (Dkt. No. 705) is
GRANTED. The court strikes the Robertson and Lapidus reports and precludes all parties from
using those reports in this case. Robertson and Lapidus are precluded from testifying at trial.
IT IS SO ORDERED.
DATED this d·HGiay of September, 2015
ited States Magistrate Judge
Page 16 ·OPINION AND ORDER
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