Santella et al v. Grizzly Industrial, Inc
Filing
50
Findings of Fact and Conclusions of Law. The Court finds that the risk of unfair prejudice to Grizzly's ability to defend against Plaintiffs' claims outweighs the potential of inadvertent disclosure of SawStop's confidential informati on. Accordingly, Grizzly's Amended Motion to Compel 4 is GRANTED in further part as follows: upon Mr. Domeny's execution of Exhibit A to the protective order 16 , Mr. Domeny may be given access to SawStop's confidential documents received in discovery by Grizzly, including SawStop's documents marked Attorneys Eyes Only. Signed on 11/5/12 by Judge Michael H. Simon. (mja)
IN THE UNITED STATES DISTRICT COURT
FOR THE DISTRICT OF OREGON
PORTLAND DIVISION
STEVEN SANTELLA and SONYA
SANTELLA,
Case No. 3:12-mc-00131-SI
Plaintiffs,
FINDINGS OF FACT AND
CONCLUSIONS OF LAW
v.
GRIZZLY INDUSTRIAL, INC. f/k/a
Grizzly Imports, Inc.,
Defendant,
v.
SAWSTOP, LLC; SD3, LLC; and
STEPHEN F. GASS, PH.D.,
Subpoenaed Entities.
Jeffrey Steven Shelly, BOIES, SCHILLER AND FLEXNER, Albany, New York. Attorney for
Plaintiffs.
James D. Meadows, BALCH & BINGHAM, LLP, Atlanta, Georgia; and Kenneth J. Abere, Jr.,
COSGRAVE VERGEER KESTER, LLP, Portland, Oregon. Attorneys for Defendant.
David A. Fanning, SAWSTOP, LLC, Tualatin, Oregon. Attorney for Subpoenaed Entities.
SIMON, District Judge.
This action involves discovery disputes arising out of third-party subpoenas served on
three related entities in Oregon by the defendant in a federal court lawsuit in Texas. The Court
previously granted in part and denied in part a motion to compel brought by Defendant against
these Subpoenaed Entities. There were then four additional discovery disputes pending before
this Court. The Court’s September 26, 2012 Amended Opinion and Order resolved the first three
(Doc. 40.) An evidentiary hearing was held on September 24, 2012, to determine whether
Defendant’s expert witness could be given access to the Subpoenaed Entities’ confidential
information. Doc. 39. For the reasons discussed below, Defendant’s motion to compel is further
GRANTED in part, allowing Mr. Peter Domeny, Defendant’s expert witness, access to the
Subpoenaed Entities’ documents, including those marked “Attorneys’ Eyes Only.”
BACKGROUND
Plaintiffs Steven and Sonya Santella (“Plaintiffs”) sued Defendant Grizzly Industrial, Inc.
(“Grizzly” or “Defendant”) in a products liability action in federal court in Austin, Texas (the
“Texas Lawsuit”). The Texas Lawsuit is styled Steven and Sonya Santella v. Grizzly Industrial,
Inc. f/k/a Grizzly Imports, Inc., Civil Action No. 1-11-CV-00181-LY (W.D. TX). In the Texas
Lawsuit, Grizzly caused subpoenas to be issued by the federal court in Oregon and served on
three related non-parties, SawStop, LLC, SD3, LLC, and Stephen F. Gass, Ph.D.
(collectively “SawStop” or the “Subpoenaed Entities”). Grizzly’s subpoenas required the
production or inspection of responsive documents in Oregon, where all three Subpoenaed
Entities reside. The Subpoenaed Entities objected to certain requests contained in Grizzly’s
subpoenas. Grizzly then commenced this miscellaneous action under
Page 2 – FINDINGS OF FACT AND CONCLUSIONS OF LAW
Fed. R. Civ. P. 45(c)(2)(B)(i), seeking an order compelling discovery. Doc. 1. The Court granted
in part and denied in part Grizzly’s motion to compel. Doc. 13.
On June 19, 2012, the Court signed a stipulated, two-tiered protective order. This
protective order, among other things, limits the circumstances under which independent
consultants and expert witnesses retained by a party may have access to information marked
“Confidential” or “Attorneys’ Eyes Only.” Doc. 16, at page 6, paragraph 9. Grizzly has retained
as its independent consultant and testifying expert Mr. Peter Domeny. The Subpoenaed Entities
timely objected. The Court held an evidentiary hearing on September 24, 2012, (Doc. 18), on the
issue of whether Grizzly may disclose SawStop’s “Confidential” or “Attorneys’ Eyes Only”
material to Grizzly’s designated expert Mr. Domeny. 1 Mr. Domeny has agreed to be bound by
the terms of the protective order, but SawStop, joined by Plaintiffs, argues that if Mr. Domeny
gains access to SawStop’s confidential information, then SawStop faces a substantial risk of
competitive harm. Grizzly responds that the information SawStop seeks to protect is not within
the scope of Rule 26(c), but even if it were, Mr. Domeny’s agreement to be bound to the terms of
the protective order will eliminate any reasonable risk of competitive harm to SawStop. Grizzly
adds that it would suffer substantial prejudice if it is unable fully to rely on Mr. Domeny.
///
///
///
///
1
Grizzly seeks to provide Mr. Domeny with access to the following categories of SawStop’s
documents: (1) documents that evince brake cartridge activations; (2) agreements with outside
engineers, vendors, and manufacturers; (3) engineering emails from 2000 through 2006; and (4)
documents that reveal component part pricing and cost information. Grizzly’s Post-Evidentiary
Hearing Notice 2–4. Doc. 41.
Page 3 – FINDINGS OF FACT AND CONCLUSIONS OF LAW
DISCUSSION
I.
Findings of Fact
A.
1.
Background
The Court has heard and evaluated the testimony of Mr. Domeny and finds him tobe
credible.
2.
Skil Corp. (“Skil”) and Robert Bosch Tool Corp. (“Bosch”) employed Mr. Domeny in
various capacities from 1969 through January 2009. Mem. Supp. Subpoenaed Entities’
Mot. for Limited Disc. (Doc. 20), Ex. 1 (“SawStop’s Mot. Limited Disc.). Mr. Domeny
retired as Bosch’s Director of Product Safety. Id.
3.
Mr. Domeny acted and intends to continue to act as a litigation consultant for Bosch and
other power tool manufacturers. Grizzly’s Pre-Evidentiary Hr’g Br., Ex. C, Domeny
Aff. ¶ 3 (Doc. 31) (“Grizzly’s Pre-Hr’g Br.”). In 2011, Mr. Domeny billed Bosch
Management Services more than $170,000 for his consulting work. Tr. 34–35. 2
4.
Except for outside litigation consulting work, Mr. Domeny does not anticipate working
again for Bosch. Tr. 35.
5.
In the last year, Mr. Domeny had some contact with current employees of Bosch. For
example, Mr. Domeny was on an early September 2012 conference call with Mr. Tom
Siwek, Director of Product Safety at Bosch, and has spoken to him regarding litigation in
which Bosch is involved. Tr. 38–39.
6.
Mr. Domeny is a member of the American National Standards Institute (“ANSI”)
Technical Advisory Group (“TAG”), and he personally funds his participation in that
2
All references to the September 24, 2012 Hearing Transcript will be notated as “Tr.”
Page 4 – FINDINGS OF FACT AND CONCLUSIONS OF LAW
group from his consulting work. Mr. Domeny does not receive remuneration for his work
with ANSI. Tr. 36–37.
B.
7.
The Power Tool Institute
The Power Tool Institute (“PTI”)3 is an industry organization that represents the interests
of manufacturers of power tools. Membership in the PTI is limited to business entities,
which are represented by their employees. Tr. 45, 59.
8.
The PTI opposes regulations mandating the inclusion of active injury mitigation
technology on consumer table saws, believing that such regulation would give SawStop a
monopolistic position. Tr. 60–61. In October 2011, the PTI hired Mr. Domeny to
advocate for a similar position before Underwriters Laboratories (“UL”)4 and the U.S.
Consumer Product Safety Commission (“CPSC”)5 and to consult on related proposed
legislation in California. Tr. 36. Mr. Domeny personally supports the position of PTI on
this issue. Tr. 61–62.
9.
From 2003 to October 2011, Mr. Domeny represented Bosch in a PTI Joint Venture
(“JV”) project that developed an alternative to active injury mitigation technology that
would not infringe SawStop’s patents. Tr. 45, 53–54. After the development of the
3
The Power Tool Institute, Inc., is an independent organization founded to “promote the
common business interests of the power tool industry.” Power Tool Institute – Who We Are,
http://www.powertoolinstitute.com/pti_pages/who.asp (last visited Oct. 23, 2012).
4
Underwriter’s Laboratory is a “global independent safety science company,” which offers,
among other things, “product safety testing and certification.” UL|Product Safety, available
at http://www.ul.com/global/eng/pages/offerings/businesses/productsafety/ (last visited Oct. 23,
2012).
5
Congress created the U.S. Consumer Products Safety Commission to “protect the public against
unreasonable risks of injury associated with consumer products” through product evaluation,
injury-related research, and standard setting. See 15 U.S.C. § 2051(b). To effectuate the
Commission’s purpose, it is authorized to “promulgate consumer product safety standards . . .
[if] such a standard shall be reasonably necessary to prevent or reduce an unreasonable risk of
injury associated with such product.” 15 U.S.C. § 2056(a).
Page 5 – FINDINGS OF FACT AND CONCLUSIONS OF LAW
alternative technology, the focus of the project turned to developing an acceptable
manufacturing process. Tr. 56.
10.
Active injury mitigation technology can be generally conceptualized as two independent
processes. The first process must detect contact between the operator and the hazardous
component (i.e. a spinning saw blade). The second process must expeditiously move the
hazard away from the operator. Tr. 54–55.
11.
The PTI JV group completed development of the technology necessary to accomplish
both processes by 2009. Tr. 56, 68. Subsequently, a third party developed a method to
efficiently manufacture the technology behind the second process, which was finished in
October 2011. Tr. 56–57.
12.
Before 2009, Mr. Domeny was extensively involved in the design and development of
both technical processes. Tr. 58. Only members of the PTI, however, are allowed to
attend PTI Joint Venture (“JV”) meetings. After Mr. Domeny ceased working for Bosch,
he became ineligible to attend these meetings. Tr. 45. Thus, Mr. Domeny’s involvement
in the PTI JV project ended, at the latest, when he stopped working for Bosch
Management Services. Tr. 53.
13.
In 2011, the PTI filed two patent applications that named Mr. Domeny as an inventor.
Tr. 66–67, 182. On November 21, 2011, the PTI filed a patent application titled “Saw
Accessories and Clamp for Use Therewith,” which is a divisional application that stems
from another patent filed on March 25, 2008, and named Mr. Domeny as an inventor.
U.S. Patent Application No. 13/301,118. On November 29, 2011, the PTI Filed a patent
application titled “Safety Devices for Saws,” which named Mr. Domeny as one of the
inventors. U.S. Patent Application No. 13/306,892.
Page 6 – FINDINGS OF FACT AND CONCLUSIONS OF LAW
14.
Mr. Domeny participates in an internal PTI working group conference call approximately
every Monday. Tr. 39. The members of this working group also include employees of
entities that develop and manufacture power tools and have an interest in the subject,
employees of and consultants for the PTI, and an outside lobbyist. Tr. 40–42. The
purpose of these calls is to discuss the PTI’s positions with respect to the proposed UL
standard. Tr. 67–68. Mr. Domeny participates in similar meetings regarding related issues
before the CPSC and the proposed legislation in California. Tr. 76–77.6
C.
15.
Underwriter’s Laboratory
At the request of UL, the PTI participates in a working group tasked with evaluating the
performance of active injury mitigation systems. Tr. 69–70. In October 2011,
Mr. Domeny was hired by the PTI to participate in the UL table saws working group as
one of its representatives. Tr. 36.
16.
On behalf of the PTI, Mr. Domeny co-authored a letter dated October 12, 2012, sent to
UL with Mr. Ted Gogoll. SawStop’s Submission of New Evidence, Ex. 1 (Doc. 46)
(SawStop’s Post-Hearing Evidence). The October 12th letter commented on the UL’s
“Active Injury Mitigation System Draft Proposal.” Id. In part, the letter sought to
demonstrate how licenses to SawStop’s patents would be essential for compliance with
the proposed standard. Id.
D.
17.
Consumer Product Safety Commission
On October 11, 2011, the CPSC published, “Table Saw Blade Contact Injuries; Advance
Notice of Proposed Rulemaking; Request for Comments and Information,” which
6
Mr. Domeny testified that he plans to continue to represent the PTI in opposing any future
proposed legislation in California. Tr. 78–79.
Page 7 – FINDINGS OF FACT AND CONCLUSIONS OF LAW
requested public comment on a proposed “new performance safety standard . . . to
address an unreasonable risk of injury associated with table saws.” 76 Fed. Reg. 62678,
62678. The comment period closed on February 10, 2012. See Table Saw Blade Contact
Injuries; Notice of Extension of Time for Comments, 76 Fed. Reg. 75504-01 (December
2, 2011).
18.
When evaluating a proposal that would mandate the incorporation of a safety measure,
the CPSC considers the “societal cost” of that incorporation, a holistic approach. Tr. 83.
19.
The PTI hired Mr. Domeny in October 2011 to work on matters related to the CPSC.
Tr. 36.
II.
Conclusions of Law
A.
Standards
Under the Federal Rules of Civil Procedure the potential scope of permissible discovery
is broad. Fed. R. Civ. Pro. 26(b)(1) (Generally, “[p]arties may obtain discovery regarding any
nonprivileged matter that is relevant to any party’s claim or defense.”). Upon a showing of “good
cause,” however, Rule 26(c) gives a court substantial latitude in directing or limiting discovery.
Id. at 26(c) (“The court may, for good cause, issue an order to protect a party from annoyance,
embarrassment, oppression, or undue burden or expense.”). The court is explicitly empowered to
issue an order requiring confidential information “not be revealed or revealed only in a specified
way.” Id. at 26(c)(1)(G).
Although a court may compel the production of confidential information, it may
simultaneously restrict those who may access that confidential information. See Brown Bag
Software v. Symantec Corp., 960 F.2d 1465, 1470 (9th Cir. 1992) (holding that good cause
includes “protection from misuse of trade secrets by competitors”). When a party is concerned
Page 8 – FINDINGS OF FACT AND CONCLUSIONS OF LAW
about the competitive misuse of confidential information and a protective order appears to be
insufficient protection, the court must balance the risk of disclosure to competitors against the
risk of damaging the claims or defenses of the party seeking access. See id. A court must
“examine factually all the risks and safeguards surrounding inadvertent disclosure” before
granting or denying access to confidential information to in-house counsel, an expert witness, or
another litigation participant. Id.
The Ninth Circuit, following the Federal Circuit, held that a “crucial factor” in evaluating
the risk of inadvertent disclosure is whether the person seeking access “was involved in
‘competitive decision-making’; that is, advising on decisions about pricing or design ‘made in
light of similar or corresponding information about a competitor.’” Id. (quoting U.S. Steel Corp.
v. United States, 730 F.2d 1465, 1468 n.3 (Fed. Cir. 1984) (emphasis added).7
B.
Discussion
Where the parties have stipulated to a protective order, “the party opposing disclosure has
the burden of establishing that there is good cause to continue the protection of the discovery
material.” In re Roman Catholic Archbishop of Portland, 661 F.3d 417, 424 (9th Cir. 2011) cert.
denied, 132 S. Ct. 1867 (U.S. 2012). SawStop opposes disclosure of its confidential information
to Mr. Domeny; thus, it has the burden to show why the risk of disclosure outweighs the risk of
harm to Grizzly’s case. Cf. In re Deutsche Bank Co. Americas, 605 F.3d 1373, 1378–79 (Fed.
Cir. 2010) (party seeking to include a patent prosecution bar provision in a protective order has
the burden to show good cause).
7
In U.S. Steel, the Federal Circuit defined “competitive decision-making” to include, among
other things: “a counsel's activities, association, and relationship with a client that are such as to
involve counsel's advice and participation in any or all of the client's decisions (pricing, product
design, etc.) made in light of similar or corresponding information about a competitor.”
U.S. Steel, 730 F.2d at 1468 n.3.
Page 9 – FINDINGS OF FACT AND CONCLUSIONS OF LAW
Assuming arguendo that the documents Grizzly seeks to disclose to Mr. Domeny are
protectable under Rule 26(c), SawStop has failed to offer any persuasive evidence that
Mr. Domeny will violate the protective order by intentionally disclosing its confidential
information. Although SawStop attempts to identify inconsistencies in Mr. Domeny’s testimony,
the Court finds that any such inconsistencies are minor and immaterial and not detrimental to
Mr. Domeny’s credibility. Instead, the Court finds Mr. Domeny to be a credible witness and
accepts his representation that he will abide by the terms of the protective order. Additionally,
Mr. Domeny has been subject to prior protective orders, arising from other litigation and joint
ventures, and has never been accused of violating one. Tr. 94. Therefore, the Court concludes
that Mr. Domeny will abide by the protective order, which negates the risk of Mr. Domeny
intentionally disclosing SawStop’s confidential information.
The Court, however, must also consider the issue of “inevitable disclosure,” that is
whether Mr. Domeny can “lock-up [the confidential information] in his mind, safe from
inadvertent disclosure.” Brown Bag, 960 F.2d at 1471. The Court must balance the risk to
SawStop of inadvertent disclosure against the risk that Grizzly will be hindered in presenting its
case. See id. at 1470.
1.
Risk of Inadvertent Disclosure
The parties disagree about whether Mr. Domeny is a “competitive decision-maker.”
SawStop argues that Mr. Domeny is a competitive decision-maker, and thereby not independent
under the terms of the protective order, because he is working for its competitors under the
auspices of the PTI and that he is personally and professionally opposed SawStop’s active injury
mitigation technology being required on consumer table saws. SawStop’s Post-Hearing
Mem. 11–12. Doc. 44.
Page 10 – FINDINGS OF FACT AND CONCLUSIONS OF LAW
A competitive decision-maker is one who “advis[es] on decisions about pricing or design
‘made in light of similar or corresponding information about a competitor.’” Brown Bag, 960
F.2d at 1470 (quoting U.S. Steel, 730 F.2d at 1468 n.3) (emphasis added). A risk of inadvertent
disclosure arises not from an information recipient’s position or influence with a competitor of
the party opposing disclosure, but from being in a position where the subtle percolation of the
confidential information can tangibly and unavoidably alter the recipient’s actions. Cf. FTC v.
Exxon Corp., 636 F.2d 1336, 1350 (D.C. Cir. 1980) (“‘[I]t is very difficult for the human mind to
compartmentalize and selectively suppress information once learned, no matter how wellintentioned the recipient.”). In the classic scenario, a decision-maker may learn how a competitor
prices its product and despite the decision-maker’s best conscious effort his or her future pricing
decisions may be made in partial reliance on that information. See, e.g., Brown Bag, 960 F.2d
at 1471 (inquiring whether the in-house counsel could “lock-up trade secrets in his mind”).
As SawStop has established, Mr. Domeny is involved with an organization, the PTI,
whose membership is composed of SawStop’s competitors in the table saw market. Tr. 40–45.
The PTI hired Mr. Domeny as a consultant to advance its opposition to regulatory and
administrative efforts to mandate active injury mitigation technology. Tr. 36, 60–61.8
Mr. Domeny’s activities with the PTI place him in a competitive relationship with SawStop. A
competitive relationship alone, however, is not sufficient to find that Mr. Domeny will
inadvertently disclose SawStop’s confidential information. See Brown Bag, 960 F.2d at 1470–71.
8
Mr. Domeny was involved with the PTI JV project through 2011, which was charged with
developing an alternative to SawStop’s active injury mitigation system. Tr. 45, 53–54.
Mr. Domeny’s involvement in that project ended with his retirement from Bosch; further, the
project later entered the tool engineering phase, which is being handled by a third party and is
outside of Mr. Domeny’s expertise and involvement. Tr. 56, 171. Outside of the JV project,
Mr. Domeny testified that he had no involvement with product development now that he is in
retirement. Tr. 121.
Page 11 – FINDINGS OF FACT AND CONCLUSIONS OF LAW
In addition to being in a competitive relationship, Mr. Domeny must be acting as a
decision-maker. See id. Although Mr. Domeny’s role with the PTI and his substantial experience
with power tool manufacturers places him in contact with competitive decision-makers, those
contacts are insufficient to make Mr. Domeny himself a decision-maker. See Matsushita Elec.
Indus. Co., Ltd. v. United States, 929 F.2d 1577, 1580 (Fed. Cir. 1991) (“[T]he standard is not
‘regular contact’ with other corporate officials who make ‘policy,’ or even competitive decisions,
but ‘advice and participation’ in ‘competitive decision-making.’”). Instead, Mr. Domeny must be
in a position to effectuate or direct decisions made using knowledge that is tainted by SawStop’s
confidential information. Cf. In re Deutsche Bank, 605 F.3d at 1379–81 (distinguishing between
attorneys that “craft[] the content of patent applications” and those with “high-altitude oversight
of patent prosecution”).9 At most, Mr. Domeny may be in a position to help shape the strategy
used by the PTI to promote its interests before UL, the CPSC, and the state of California. In
doing so, however, Mr. Domeny is not in a position likely to result in the inadvertent disclosure
of SawStop’s confidential information.
SawStop lists a myriad of ways in which Mr. Domeny could utilize SawStop’s
confidential information and cause SawStop competitive harm. See SawStop’s Post-Hearing
9
Although this conclusion at first appears to be in tension with Brown Bag, which held that the
advice given by a party’s in-house counsel was competitive decision-making, Mr. Domeny’s
involvement with the PTI, Bosch, and other power tool manufacturers is factually different. See
Brown Bag, 960 F.2d at 1471. The in-house counsel in Brown Bag was the company’s “sole
legal advisor,” who was responsible for advising the company on “contract, employment, and
competitive marketing decisions.” Id. Mr. Domeny’s role is substantially more circumscribed
because he is retained by SawStop’s competitors for discrete projects where his expertise is
appreciated, but his influence is limited. Tr. 35–36 (Mr. Domeny was serving as a litigation
consultant and the PTI’s advocate on a select issue); see also Tr. 126 (Mr. Domeny was not
involved in selecting the PTI’s lobbyist for the active injury mitigation technology issue).
Moreover, Mr. Domeny’s role as an outside consultant limits his sphere of influence. See, e.g.,
SawStop’s Post-Hearing Evidence, Ex. 1 (letter written by Mr. Domeny and Mr. Gogoll, director
of compliance at Black and Decker); Tr. 43; Tr. 135–38 (discussing Mr. Domeny’s role as a factchecker for a PTI Fact Sheet in concert with other PTI employees).
Page 12 – FINDINGS OF FACT AND CONCLUSIONS OF LAW
Mem. 2–4. Common among all of the examples, and fatal to SawStop’s argument, is the
requirement that Mr. Domeny act affirmatively to communicate to others SawStop’s confidential
information in violation of the express provisions of the terms of the Court’s protective order.
SawStop argues that Mr. Domeny could “ask a particular question of a colleague” or “suggest a
line of technical inquiry.” Id. at 2. These examples, however, simply describe potentially
surreptitious behavior intended to violate the protective order, but they do not demonstrate
inadvertence. See Brown Bag, 960 F.2d at 1471 (“Knowledge of Symantec’s trade secrets would
place in-house counsel in the ‘untenable position’ of having to refuse his employer legal
advice . . . lest he improperly or indirectly reveal [those] trade secrets.”).
SawStop suggests that the PTI’s strategy in opposing regulations and standards
mandating SawStop’s technology could be influenced by Mr. Domeny’s access to SawStop’s
confidential information. The type of information at issue, however, is not amenable to
inadvertent disclosure because the information that could cause SawStop competitive harm—for
example, if it were given to UL or the CPSC—is limited to specific values. For example, the
CPSC, in theory, could use information revealing the true cost to integrate SawStop’s technology
into existing table saws as part of its decision-making process. Tr. 83. Mr. Domeny, however, is
in no position to inadvertently disclose that such specific dollar-amount information. If
Mr. Domeny were a member of the CPSC, UL, or a California legislator, then he could, perhaps,
be in a position inadvertently to use that information in reaching a decision because it would be
irrevocably present in his mind, but as an outside advocate Mr. Domeny may only communicate,
or in any other way use, that information through an affirmative act. Cf. In re Deutsche Bank,
605 F.3d at 1379–81 (distinguishing between attorneys that “craft[] the content of patent
applications” and those with “high-altitude oversight of patent prosecution”). Moreover,
Page 13 – FINDINGS OF FACT AND CONCLUSIONS OF LAW
Mr. Domeny is already attempting to persuade UL, the CPSC, and the California Legislature that
integrating SawStop’s technology would be prohibitively expensive and his knowing a specific
added cost, but being forbidden from revealing it would do nothing to alter that strategy.
For these reasons, the Court concludes there is no reasonable likelihood that Mr. Domeny
would inadvertently disclose SawStop’s confidential information.
2.
Risk of Prejudice to Grizzly
Grizzly argues that Mr. Domeny’s experience in the power tool industry and familiarity
with SawStop make him uniquely qualified to oppose Dr. Gass’s expert testimony in the
underlying litigation. See Grizzly’s Post-Hearing Br. 11–12. (Doc. 42.) Further, Grizzly argues
that the impending trial date in January 2013 makes it unreasonably burdensome, indeed
impossible, to locate an acceptable replacement. See Grizzly’s Pre-Hr’g Br. 11–15. In response,
SawStop proposes several alternatives to Mr. Domeny’s receipt of its confidential information
and argues that Grizzly’s timing-induced prejudice is self-inflicted. See SawStop’s Post-Hearing
Mem. 12–14.
In assessing the risk to the party seeking disclosure, the court must consider “the nature
of the claims and [the] party’s opportunity to develop its case through alternative discovery
procedures.” Brown Bag, 960 F.2d at 1470. In Brown Bag, the court found insufficient prejudice
to overcome a risk of inadvertent disclosure where: (1) the party seeking disclose had outside
counsel that had spent six months studying the confidential information, giving the party ample
time to prepare for the court-ordered summary judgment deadline; (2) the trade secrets were not
themselves relevant to the party’s claims; and (3) the presiding judge provided for a method for
the in-house counsel to obtain any relevant documents. See Brown Bag, 960 F.2d at 1471.
Page 14 – FINDINGS OF FACT AND CONCLUSIONS OF LAW
In the underlying Santella litigation, expert disclosures were due by April 2012 and the
case is scheduled to go to trial in January 2013. Grizzly’s Pre-Hr’g Br., Ex. D, ¶ 4, 8. Although
Grizzly has identified five testifying experts in various subject matters, it has only sought to
disclose SawStop’s confidential information to Mr. Domeny and one other expert. Id. at 11–12.
SawStop argues that Grizzly was in a position to mitigate the prejudice resulting from a
truncated litigation timeframe because Grizzly designated Mr. Domeny as an expert. SawStop’s
Post-Hearing Mem. 12–13. Mr. Domeny, however, has testified in opposition to Dr. Gass in at
least two prior cases, which belies SawStop’s argument that this challenge to Mr. Domeny’s
independence was foreseeable. Tr. 30–31. Indeed, Mr. Domeny’s competitive role only has
decreased since his retirement, which implies he is even more independent now than he was
previously. E.g., Tr. 35. Although Grizzly might have been able to choose an expert to whom
SawStop did not object, Grizzly was under no obligation to do so. Thus, the Court will consider
the prejudice to Grizzly arising from the need to try to replace Mr. Domeny ahead of a January
2013 trial date.
In Plaintiffs’ case-in-chief, they will be required to prove that a safer alternative design,
presumably incorporating active injury mitigation technology, was economically and
technologically feasible when the saw left Grizzly’s control. See Tex. Civ. Prac. & Rem. Code
Ann. § 82.005(a),(b); Am. Tobacco Co., Inc. v. Grinnell, 951 S.W.2d 420, 433 (Tex. 1997)
(holding a product is not unreasonably dangerous as a matter of law if no safer design exists)
superseded by statute on other grounds, Tex. Civ. Prac. & Rem. Code § 82.004, as recognized in
Green v. R.J. Reynolds Tobacco Co., 274 F.3d 263, 265 (5th Cir. 2001). Dr. Gass opined in a
report prepared for Plaintiffs that it was economically and technologically feasible to incorporate
SawStop’s technology into the Grizzly table saw that injured Mr. Santella. Grizzly’s Am. Br.
Page 15 – FINDINGS OF FACT AND CONCLUSIONS OF LAW
Supp. Mot. Compel Discovery, Ex. A, ¶ 64–66. (Doc. 4.) Aside from offering his own expert
opinion, Mr. Domeny’s testimony is intended to rebut Dr. Gass’s testimony. See Grizzly’s PreHr’g Br. 12.
Further, a significant portion of Mr. Domeny’s value as an expert witness results from his
ability to testify with personal reference to the state of the industry during the relevant period—
the release of the saw that injured Mr. Santella and the development and release of SawStop’s
technology. E.g., Tr. 191. As the nature of Plaintiffs’ suit requires inquiry into the state of the art
during a prior time period, Mr. Domeny’s involvement in the power tool industry during that
period is important to Grizzly’s defense. Further, his unique insights might be lost if, as SawStop
suggests, he is required to filter his knowledge through a SawStop-approved intermediary. See,
e.g., Biovail Labs.Int'l SRL v. Abrika, LLLP, 04-61704-CIV, 2007 WL 788849, at *4 (S.D. Fla.
Mar. 14, 2007) (finding a low risk of prejudice where at least one of the party’s seven experts
had “a background and experience similar to” the excluded expert). Thus, Mr. Domeny’s ability
to review SawStop’s confidential information is an important part of Grizzly’s defense.
For these reasons, the Court concludes that denying Mr. Domeny access to SawStop’s
confidential information will unreasonably limit and impair Grizzly’s ability to defend itself at
trial.
CONCLUSION
Balancing the risks, the Court finds that the risk of unfair prejudice to Grizzly’s ability to
defend against Plaintiffs’ claims outweighs the potential of inadvertent disclosure of SawStop’s
confidential information. Accordingly, Grizzly’s Amended Motion to Compel (Doc. 4) is
GRANTED in further part as follows: upon Mr. Domeny’s execution of Exhibit A to the
protective order (Doc. 16), Mr. Domeny may be given access to SawStop’s confidential
Page 16 – FINDINGS OF FACT AND CONCLUSIONS OF LAW
documents received in discovery by Grizzly, including SawStop’s documents marked
“Attorneys’ Eyes Only.”
IT IS SO ORDERD.
Dated this 5th day of November, 2012.
/s/ Michael H. Simon
Michael H. Simon
United States District Judge
Page 17 – FINDINGS OF FACT AND CONCLUSIONS OF LAW
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