SHELTON v. CHAUDHRY et al
Filing
14
MEMORANDUM; ETC.. SIGNED BY DISTRICT JUDGE GERALD A. MCHUGH ON 1/27/25. 1/27/25 ENTERED AND E-MAILED.(JL)
IN THE UNITED STATES DISTRICT COURT
FOR THE EASTERN DISTRICT OF PENNSYLVANIA
ANDRE SHELTON
:
:
:
:
:
v.
WALI CHAUDHRY, et al.
McHUGH, J.
CIVIL ACTION
No. 24-5657
January 27, 2025
MEMORANDUM
As the Third Circuit has described Rule 11, it “imposes an obligation on counsel and client
analogous to the railroad crossing sign, ‘Stop, Look and Listen.’ It may be rephrased, ‘Stop, Think,
Investigate and Research’ before filing papers either to initiate a suit or to conduct the litigation.
These obligations conform to those practices which responsible lawyers have always employed in
vigorously representing their clients while recognizing the court’s duty to serve the public
efficiently.” Gaiardo v. Ethyl Corp., 835 F.2d 479, 482 (3d Cir. 1987). Here, an experienced
attorney who holds himself out as a leader of the plaintiff’s tort bar filed a complaint rooted in
diversity jurisdiction, while simultaneously pleading facts demonstrating that such jurisdiction did
not exist. Following a dismissal of the case but no accompanying sanctions, counsel returned with
a second action arising out of the same accident, mispresenting the existence of venue in this
district, and in the process flatly contradicting representations he previously made to this Court in
seeking to avoid sanctions. Two blatant violations of Rule 11 arising out of the same matter is a
situation that calls out for sanctions.
Regrettably, this cavalier disregard of professional
obligations is not an isolated occurrence, so the sanctions imposed must be meaningful.
I.
Relevant Background
As detailed below, this case spans two dockets arising out of the same automobile accident
in which the plaintiffs are represented by attorney Marc I. Simon. The first, 24-cv-5307, was
dismissed for a lack of subject matter jurisdiction. Subsequently, Mr. Simon refiled a Second
Complaint in 24-cv-5657, now subject to transfer because of a lack of proper venue.
First Complaint
On October 2, 2024, attorney Marc I. Simon filed a personal injury action in this court on
behalf of his client, Andre Shelton. First Compl., Shelton v. Chaudhry et al., 24-cv-5307, ECF 1.
This Complaint, signed and verified by Mr. Simon, asserted diversity jurisdiction as the basis for
the court’s subject matter jurisdiction. First Compl. ¶ 9; id. at Civil Cover Sheet. However, the
Complaint pled a lack of diversity.
According to the Complaint, Plaintiff is a citizen of
Pennsylvania. First Compl. ¶¶ 1, 9. Although some defendants are identified as citizens of
Virginia, the Complaint explicitly pled that Defendants Keith Cannarella and Robert Fox are also
citizens of Pennsylvania, and further pled that Defendants Fox Transportation, Inc., RWF Leasing,
LTD., and RWF Management Corp. are corporate entities with their principal place of business in
Pennsylvania. First Compl. ¶ 9. I dismissed the action without prejudice on October 15 for a lack
of jurisdiction. ECF 4, 24-cv-5307
Concerned by this totally unfounded assertion of jurisdiction, I issued a Rule to Show
Cause on October 15, requesting that Mr. Simon explain why he should not be sanctioned under
Rule 11 for asserting diversity while pleading facts that explicitly demonstrated the absence of
diversity jurisdiction, requiring the Court to devote time and attention to addressing a frivolous
pleading. See First Order to Show Cause, ECF 5, 24-cv-5307.
2
Mr. Simon responded on October 23 and acknowledged his mistake. First Resp., ECF 6,
24-cv-5307. He explained that:
this case involved two separate vehicle collisions. Initially, a Virginia Defendant
driver, driving a Virginia Defendant’s tractor trailer, as evidenced by the police
report attached hereto as Exhibit 1, drifted out of its lane, and struck another tractor
trailer and then jackknifed in the road. The police report clearly indicates that the
Virginia driver and Virginia owner caused the collision. Shortly thereafter, my
client, a Pennsylvania resident, drove into the Virginia driver and Virginia owner’s
tractor trailer. This was captured in a subsequent police report, attached as Exhibit
2.
Id. at 1-2. The pleading error apparently arose when Mr. Simon told his team to file suit in the
Eastern District of Pennsylvania but failed to tell them to only include the Virginia citizens as
defendants. Id. at 2. Simon’s employees therefore included the Pennsylvania Defendants from
the second tractor trailer, and Simon “simply missed the fact that both Defendant drivers and
owners were sued” when he “reviewed the Complaint and signed off on it.” Id. at 2. Notably, the
five non-diverse Defendants’ Pennsylvania addresses are clearly included in the Complaint caption
and their Pennsylvania citizenship is referenced throughout the Complaint. First Compl. ¶¶ 3-9,
13, 16, 18. There are also numerous counts brought solely against the non-diverse Defendants.
Id. ¶¶ 42-93. Even a cursory review would reveal the contradictions. Notwithstanding the
egregious nature of the error, no sanctions were imposed.
Second Complaint
On the same day that Mr. Simon responded to my First Order to Show Cause, he filed a
new Complaint solely against the two Virginia Defendants – the Virginia citizen who drove one
of the tractor trailers and the Virginia corporation that employed the driver – thereby meeting the
requirements for diversity jurisdiction. See Second Compl., ECF 1, 24-cv-5657. But the Second
Complaint presented new problems.
3
First, it incongruously represented that the motor vehicle accident at issue in this case
occurred in “Alexandra,” Virginia 1 while simultaneously asserting venue within the Eastern
District of Pennsylvania on the ground that “a substantial portion of the events or omissions giving
rise to the claims” occurred here. Second Compl. ¶¶ 5-6. Neither of these representations are
accurate. The accident indisputably occurred in the Middle District of Pennsylvania, as already
established by the two police reports and the First Complaint. See First Resp. Exs. 1&2 (the police
reports); First Compl. ¶ 11 (“Plaintiff was the operator of a motor vehicle traveling southbound on
I-81, at/near mile marker 93” 2).
In addition, the Second Complaint’s description of the accident directly contradicted
Simon’s prior representations to the Court. In explaining how the First Complaint was botched,
Simon attached police reports representing that there were two separate vehicle collisions. First,
two tractor trailers crashed; one came to rest partially on the road. First Resp. at 1; id. at Ex. 1.
Subsequently, Plaintiff Sheldon “drove into” the tractor trailer that was partially on the road. Id.
at 1; id. at Ex. 2. But in the Second Complaint, Simon revises that narrative and pleads that the
Virginia driver was “driving . . . behind Plaintiff’s vehicle when he/she suddenly, and without
warning, crashed into the rear-end of the Plaintiff’s vehicle.” Second Compl. ¶ 9.
Dismayed by Simon’s continued factual and legal misrepresentations to the Court, I
ordered him to show cause why he should not be subject to Rule 11 sanctions for filing a factually
1
To the Court’s knowledge, there is no municipality of “Alexandra” in Virginia. However, the address
listed in the Complaint as the location of the accident corresponds to a location in Alexandria, Virginia.
See Second Compl. ¶ 6.
2
This statement in the First Complaint, which appears to be accurate according to the police reports, was
revised in the Second Complaint to plead erroneously that: “Plaintiff was the operator of a motor vehicle
traveling on 2707 Arlington Drive Alexandra VA 22306.” Second Compl. ¶ 6 (emphasis added).
4
inaccurate Complaint with unfounded venue assertions. Second Order to Show Cause, ECF 9, 24cv-5657.
On December 5, Mr. Simon responded and again apologized for his “sloppiness.” Second
Resp. at 1, ECF 10, 24-cv-5657. Simon acknowledged that his Second Complaint inaccurately
described where the accident happened and what occurred. Id. Simon recognized that these were
“silly and stupid mistakes that demonstrate poor draftsmanship,” and claimed that the errors “were
neither intentional nor malicious.” Id. at 2.
Mr. Simon now acknowledges the correct location of the accident and has stipulated to
transfer the matter to the Middle District. But he styles this as a favor to the Court and the
Defendants, contending post-hoc that venue is proper in the Eastern District under a sufficient
contacts theory. Id. at 3. This concession, he submits, “begins to atone for my earlier conduct”
by saving the Court and Defendants time. Id.
On December 11, I provided Simon with notice that the Court was considering both
monetary and non-monetary sanctions. Order Granting Leave, ECF 12, 24-cv-5657. I granted
Simon leave to submit any supplemental materials and to request a sanctions hearing. Id. Mr.
Simon responded on December 20, declining to supplement the record and agreeing that a hearing
was not necessary. ECF 13, 24-cv-5657.
II.
Legal Standard: Federal Rule of Civil Procedure 11
Long before Federal Rule of Civil Procedure 11, this Court has recognized a lawyer’s
general duty of investigation. See Nieman v. Long, 31 F.Supp. 30, 31 (E.D. Pa. 1939). Rule 11
codified these responsibilities and formalized a sanctions process. Now, Rule 11(b) imposes
obligations on any attorney who signs and files a pleading in court. Fed. R. Civ. P. 11(b). Relevant
here, Rule 11(b) imposes a duty to make sure that “legal contentions are warranted by existing law
5
or by a nonfrivolous argument,” 11(b)(2), and a duty to ensure that “factual contentions have
evidentiary support,” 11(b)(3).
“To satisfy the affirmative duty imposed by Rule 11, an attorney must inquire into both the
facts and the law before filing papers with the court.” Napier v. Thirty or More Unidentified Fed.
Agents, Emps. or Officers, 855 F.2d 1080, 1091 (3d Cir. 1988). “The legal standard to be applied
when evaluating conduct allegedly violative of Rule 11 is reasonableness under the
circumstances.” Ford Motor Co. v. Summit Motor Products, Inc., 930 F.2d 277, 289 (3d Cir.
1991). This is a “fact specific” standard, and courts “must consider all the circumstances.” CTC
Imports & Exports v. Nigerian Petroleum Corp., 951 F.2d 573, 578 (3d Cir. 1991). Central to this
analysis is whether the filer had “an objective knowledge or belief at the time of the filing of a
challenged paper that the claim was well-grounded in law and fact.” Ford Motor Co., 930 F.2d at
289. Critically, the “objective standard of reasonable inquiry [] does not mandate a finding of bad
faith.” Chambers v. NASCO, Inc., 501 U.S. 32, 47 (1991). Instead, “Rule 11 requires only
negligence.” Wharton v. Superintendent Graterford SCI, 95 F.4th 140, 147 (3d Cir. 2024).
If a “court determines that Rule 11(b) has been violated, the court may impose an
appropriate sanction on any attorney . . . that violated the rule.” Fed. R. Civ. P. 11(c)(1). Courts
may impose sanctions sua sponte, but should “first enter an order describing the specific conduct
that it believes will warrant sanctions and direct the person it seeks to sanction to show cause why
particular sanctions should not be imposed.” Martin v. Brown, 63 F.3d 1252, 1264 (3d Cir. 1995).
Bad faith is not required. Wharton, 95 F.4th at 148.
III.
Discussion
“As officers of the court, lawyers must not mislead courts. So before they state facts, they
must investigate reasonably.” Wharton, 95 F.4th at 151. As part of this duty, “Federal Rule of
6
Civil Procedure 11 requires attorneys to be careful and scrupulously honest in their filings and
representations to the court.” Young v. Smith, 905 F.3d 229, 234 (3d Cir. 2018). Mr. Simon has
failed to reasonably investigate the facts and law of this case and has been duplicitous in his
representations to the Court. In doing so, Simon has violated Rule 11, warranting the imposition
of three sanctions to deter future violations.
Simon Violated Rule 11
1. 11(b)(3): Inquiry into the Facts
Pursuant to Rule 11, by signing the two Complaints, Simon “certifie[d] that to the best of
[his] knowledge, information and belief, formed after an inquiry reasonable under the
circumstances: . . . (3) the factual contentions have evidentiary support.” Fed. R. Civ. P. 11(b).
“[A] court may sanction attorneys under Rule 11(b)(3) for factual assertions they know – or after
reasonable inquiry should have known – are false or wholly unsupported.” Wharton, 95 F.4th at
148 (citations omitted) (emphasis in original).
Simon’s Second Complaint contains two factual assertions that he knew – or should have
known – were false.
First, Simon claimed both that the accident in question occurred in
“Alexandra,” Virginia 3 while also asserting that “a substantial portion of the events or omissions
giving rise to this claim” occurred in the Eastern District of Pennsylvania. Second Compl. ¶¶ 5-6.
Not only do these two allegations contradict each other, but they are both inaccurate. The accident
indisputably happened in the Middle District of Pennsylvania, as evidenced by the two police
reports – which Mr. Simon had in his possession and filed as exhibits in his First Response – that
3
Simon acknowledges his error in saying the accident occurred in Virginia, saying “I cut and pasted the
defendant driver’s address . . . as the location of the collision.” Second Resp. at 1.
7
repeatedly assert that the accident occurred in Lebanon County, located in the Middle District.
First Resp., ECF 6-1 at 2, 11, 12, 13, 15, 22, 23, 24. And in his First Complaint, Simon represented
that the accident occurred “southbound on I-81, at/near mile marker 93,” First Compl. ¶ 11, which
minimal research would readily establish falls within the Middle District.
Not only is the location of the accident incorrectly pled, but Mr. Simon’s description of the
accident is questionable. The Second Complaint alleges that the individual Defendant was
“driving . . . behind Plaintiff’s vehicle when he/she suddenly, and without warning, crashed into
the rear-end of the Plaintiff’s vehicle.” Second Compl. ¶ 9. This is demonstrably wrong according
to the police reports. It also contradicts Simon’s explicit representation to this Court that
Defendant was involved in a tractor trailer crash in front of Plaintiff, and that Plaintiff ran into
Defendant as part of the aftermath of the initial tractor trailer crash. See First Resp. at 1. Simon
now acknowledges that his Second Complaint falsely represented the accident, and that he
introduced these misrepresentations after I issued the First Order to Show Cause. Second Resp. at
1-2.
“Lawyers cannot avoid sanctions by unreasonably failing to investigate whether their
factual contentions have support. (That is doubly true if they are aware of facts that could
undermine their contentions.)” Wharton, 95 F.4th at 148 (citing Scott v. Vantage Corp., 64 F.4th
462, 471 (3d Cir. 2023)). Here, Mr. Simon was aware of numerous facts that undermined his
pleadings as to where the accident occurred and how it happened. The record shows that he not
only had access to these facts, but had already made representations to the Court as to the correct
location of the accident and sequence of events that led to the crash. And Simon’s falsities were
not de minimis: the misrepresentations go to the core of what transpired and where the case can be
brought.
8
The reasonableness of counsel’s conduct depends on several factors, including “the amount
of time available to conduct the factual and legal investigation; the necessity for reliance on a client
for the underlying factual information;” and “the complexity of the legal and factual issues
implicated.” Wolfington v. Reconstructive Orthopaedic Assocs. II PC, 935 F.3d 187, 207 (3d Cir.
2019) (cleaned up). Here, there are no mitigating circumstances that make Simon’s errors
reasonable under the circumstances.
All the relevant information was already in Simon’s
possession, and the falsities do not originate from his client. There was no impending statute of
limitations deadline that would excuse a hasty filing. 4 And the factual matters at issue are not
complex.
Altogether, the circumstances make Simon’s conduct objectively unreasonable. That
Simon was already on notice that his pleadings contained overt errors makes these violations even
more egregious. Rather than adjusting course after being reminded of his Rule 11 obligations,
Simon continued to submit filings that contained false and unfounded factual and legal assertions,
establishing a pattern of deficient lawyering.
Though Simon claims that his “mistakes were neither intentional nor malicious,” Second
Resp. at 2, Rule 11 does not have a “pure heart and empty head defense.” Gaiardo, 835 F.2d at
482 (internal citations omitted). “Rule 11 requires only negligence, not bad faith.” Wharton, 95
F.4th at 147. It is undisputable that Simon was at the very least negligent in pleading assertions
that he knew were false. 5 However, I find that his misrepresentations made after my first order to
4
The accident occurred on January 16, 2024. See Police Reports, ECF 6-1.
5
Simon himself acknowledges that these were “silly and stupid mistakes” caused by “sloppiness and haste,”
and admits that “I certainly should have known better.” Second Resp. at 1-2.
9
show cause, in direct contradiction to the record and his prior representations, go beyond
negligence and are willful. Simon violated Rule 11(b)(3).
2. 11(b)(2): Inquiry into the Law
Under Rule 11, attorneys certify that any “legal contentions” they make “are warranted by
existing law or by a nonfrivolous argument.” Fed. R. Civ. P. 11(b)(2). Rule 11’s “target is abuse
– the Rule must not be used as an automatic penalty against an attorney or a party advocating the
losing side of a dispute.” Gaiardo, 835 F.2d at 482 (emphasis added). However, sanctions under
Rule 11 are warranted “in the exceptional circumstance where a claim or motion is patently
unmeritorious or frivolous.” Ario v. Underwriting Members of Syndicate 53 at Lloyds for 1998
Year of Account, 618 F.3d 277, 297 (3d Cir. 2010) (citation omitted).
In both the First and Second Complaint, Mr. Simon advanced legal positions flatly
inconsistent with settled law given the facts of the case, first as to jurisdiction, then as to venue.
In his Second Response, Simon now asserts that he might have a viable theory of venue in this
district, but that is wholly irrelevant when it comes to his prior misrepresentations. 6
6
Remarkably, counsel’s new, alternative theory of venue shows a similar lack of legal analysis. Mr.
Simon’s “sufficient contacts” venue theory could be interpreted as invoking either 28 U.S.C. § 1391(b)(1)
or (b)(3).
Under (b)(1), venue is proper in “a judicial district in which any defendant resides, if all defendants are
residents of the State in which the district is located.” Id. To establish residency for these purposes, Plaintiff
would need to establish that this court has personal jurisdiction over Quality Freight. See 28 U.S.C. §
1391(c)(2). Since there would be no credible basis on which to assert specific jurisdiction over Quality
Freight, Plaintiff would need to meet the test for general jurisdiction. That is a daunting proposition given
the degree that the Supreme Court has narrowed the standard. See, e.g., Goodyear Dunlop Tires Ops., S.A.
v. Brown, 564 U.S. 915 (2011); Daimler AG v. Bauman, 571 U.S. 117 (2014). Freight shipments through
the Eastern District of Pennsylvania, however frequent, would hardly suffice to make it “at home” here.
Then, even if Plaintiff carried that heavy burden, venue would still not be proper because (b)(1) requires
that all defendants reside here, and co-defendant Chaudhry is a resident of Virginia. Second Compl. ¶ 3.
Alternatively, Mr. Simon may intend to invoke 28 U.S.C. § 1391(b)(3). That too would require Plaintiff to
establish general jurisdiction over Quality Freight. Once again, even if Plaintiff overcame that obstacle,
10
Courts should exercise particular caution in evaluating potential Rule 11(b)(2) violations
to avoid deterring thoughtful and novel legal arguments or legitimate challenges to settled doctrine.
See Gaiardo, 835 F.2d at 483 (“advocating new or novel legal theories” “does not trigger a sanction
award”); Fed. R. Civ. P. 11, 1993 advisory committee note (“the extent to which a litigant has
researched the issues and found some support for its theories even in minority opinions, in law
review articles, or through consultation with other attorneys should certainly be taken into account
in determining whether paragraph (2) has been violated”). Here, the issues of jurisdiction and
venue in this case are not cutting edge, but rather involve well-established foundational doctrines
set forth in easily understood statutory provisions that Mr. Simon cited in his Complaints. Any
attorney should be able to determine whether jurisdiction and venue are proper in a straightforward
case such as this. An attorney like Mr. Simon, with 19 years of experience including hundreds of
diversity cases in federal court, should be particularly well-versed in jurisdiction and venue and be
able to make nonfrivolous jurisdiction and venue assertions. See Second Resp. at 3. And his posthoc offer to save the Court time by not pursuing an equally meritless theory of venue lends nothing
to his cause.
It is evident that Simon has failed to analyze the law before submitting both Complaints as
well as his Second Response to this court. Overall, Mr. Simon’s behavior is patently unreasonable,
violating Rule 11(b)(2).
venue would not exist under subsection (b)(3) as it can only be invoked “[i]f there is no district in which an
action may otherwise be brought as provided in this section…” That requirement cannot be met here
because venue indisputably exists in the Middle District under (b)(2).
It does not weigh in Mr. Simon’s favor that his third swing of the bat is also a miss. See Fed. R. Civ. P.
11(b); BP P.L.C. v. Mayor & City Council of Baltimore, 593 U.S. 230, 246 (2021) (“the Federal Rules of
Civil Procedure allow courts to sanction frivolous arguments made in virtually any context”).
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Appropriate Sanctions
Having found that Mr. Simon violated Rule 11(b)(2) and (3), I must now determine what
sanctions are appropriate. Rule 11 provides that “[a] sanction imposed under this rule must be
limited to what suffices to deter repetition of the conduct or comparable conduct by others similarly
situated.” Fed. R. Civ. P. 11(d)(4). Thus, the main purpose of Rule 11 is to deter. DiPaolo v.
Moran, 407 F.3d 140, 146 (3d Cir. 2005). But in deciding what sanctions are necessary, “District
courts have broad discretion to impose proportional sanctions.” United States v. Brace, 1 F.4th
137, 144 (3d Cir. 2021).
Relevant factors Courts should consider in determining which sanctions are appropriate
include whether the violation is part of a pattern; whether it infected the entire pleading; whether
the attorney has engaged in similar conduct in other litigation; the effect on litigation; what
sanction will deter the attorney from similar behavior; what sanction will deter other attorneys
from similar behavior; and whether the behavior was willful, negligent, or intended to injure. See
Fed. R. Civ. P. 11, 1993 advisory committee note. I must also consider Mr. Simon’s history of
filing frivolous pleadings, the degree of frivolousness, whether there is a risk that sanctions will
discourage valid litigation, and the impact of the violation on Defendants. See Doering v. Union
Cnty. Bd. of Chosen Freeholders, 857 F.2d 191, 197 n.6 (3d Cir. 1988) (listing possible mitigating
factors).
As detailed above, the unfounded factual and legal contentions in this case are inexcusable
and weigh towards imposing significant sanctions, particularly when Mr. Simon was shown
leniency after the first frivolous filing. The errors infected the entire pleading and had substantial
impact in that they went to the very power of the court to hear the case. And in the Second
Complaint, the errors forced the Defendants to expend resources engaging in unnecessary motion
12
practice. Imposing sanctions for these completely unfounded contentions will hardly deter valid
litigation. 7 Rather, sanctions are necessary to deter such facially deficient pleadings from both
Simon and other attorneys. Weighty sanctions are therefore justified.
I also consider whether the Rule 11 violation at issue is an isolated occurrence or part of a
broader pattern. See Doering, 857 F.2d at 197 n.6. Here, there is a clear pattern of litigation abuse
in both Complaints, and within Mr. Simon’s response to the Second Rule to Show Cause. Looking
more broadly at Simon’s recent cases in the Eastern District of Pennsylvania, I am struck by a
clear pattern of facially deficient pleadings – particularly with respect to jurisdiction and venue –
that similarly appear to violate Rule 11 and consume court time and resources. 8 It seems almost
7
See Carlino v. Gloucester City High Sch., 57 F.Supp.2d 1 (D.N.J. 1999) aff’d in part, 44 Fed.Appx. 599,
601 (3d Cir. 2002) (affirming monetary sanctions against counsel who “flagrant[ly] fail[ed] to conduct any
legal research”).
8
See, e.g., McFadden v. Connors et al., 24-cv-410 (Judge Kearney dismissing the case sua sponte, ECF 5,
after Simon failed to respond to the Court’s Order to Show Cause, ECF 2, because the complaint invoked
diversity jurisdiction but did not plea the citizenship of the corporate defendants); Sanithsone v. Walmart
Stores East, LP et al., 24-cv-5832 (Chief Judge Goldberg dismissing the case sua sponte, ECF 4, because
Simon asserted diversity jurisdiction but insufficiently pled the corporate defendants’ citizenship while
indicating that they might be non-diverse); Johnson v. Target Corp. et al., 24-cv-3816 (dismissing one
defendant sua sponte, ECF 20, after plaintiff failed to comply with the Court’s Order to Amend, ECF 16,
because the complaint failed to assert a defendant’s citizenship in a diversity matter); Young v. Holman,
Inc. et al., 23-cv-4257 (dismissing the case sua sponte, ECF 5, after Simon failed to respond to an Order to
Amend the Complaint or Show Cause, ECF 3, because “Mr. Young’s inartful pleading does not allow us
to verify the parties’ diversity. Mr. Young does not plead his own citizenship. Mr. Young does not plead
Holman, Inc.’s place of incorporation or principal place of business. He does not plead the citizenship of
Ally US, LLC’s members. We cannot exercise subject matter diversity jurisdiction if we are unaware of
each parties’ citizenship”); Serrano v. Upperman et al., 23-cv-4482 (Judge Wolson issuing a sua sponte
Order to Show Cause why the court should not dismiss for a lack of subject matter jurisdiction, ECF 10,
after the Court had already ordered Plaintiff to amend the complaint to address subject matter jurisdiction,
ECF 6, upon finding that Plaintiff’s “First Amended Complaint does not cure the deficiency in subject
matter jurisdiction that I identified”); see also Walker v. Essentia Insurance Co., 24-cv-317 (Plaintiff
voluntarily dismissing the case, ECF 7, after Defendant filed a Motion to Dismiss, ECF 5, claiming that
“none of the alleged ‘events or omissions giving rise to the claims asserted’ in the Complaint occurred in
the Eastern District of PA. Specifically, per the Complaint, the subject accident occurred in New Jersey” .
. . and “As such, venue in the Eastern District of PA is wholly improper per 28 U.S.C 1391(a)(1) and (2)
and dismissal of the Complaint or in the alternative transfer to the Middle District of PA is appropriate.”).
13
as if the Simon firm prepares pleadings on a mass production basis without investing time and
attention in understanding the basic facts of the case. I cannot therefore credit Simon’s contention
that his errors in this case are “not consistent with how [he] typically practice[s] law.” Second
Resp. at 2. Though I would issue sanctions irrespective of this broader pattern, the number of
improperly pled claims indicate that more severe sanctions are necessary for deterrence.
These Rule 11 violations are particularly troublesome considering Mr. Simon’s
professional experience and leadership positions. Simon has been a trial attorney for 19 years,
regularly practicing in federal and state court. 9 See Second Resp. at 3. He is the founding and
managing partner at Simon & Simon, PC, where he oversees over 30 attorneys. 10 He cites his
membership on the Boards of Directors of both the Philadelphia Trial Lawyers and the
Pennsylvania Association for Justice as credentials weighing in his favor. Second Resp. at 3. In
my view, such leadership positions make these violations worse. Those who hold themselves out
as leaders of the bar must set the standard for professionalism. This is not a view adopted from
this side of the bench. It represents the same message I delivered to members of the plaintiffs’
trial bar as president of the Philadelphia Trial Lawyers Association nearly 25 years ago. In
addressing the importance of the civil justice system in providing redress for injuries, I observed
that “there is a profound difference between legitimately seeking to expand the boundaries of the
law, and asserting a patently ridiculous position . . . Irresponsible lawyering does not just abuse
In two other cases on my docket, lawyers from Simon & Simon failed to appear at scheduled conferences,
claiming errors on the part of support staff.
9
A review of the Eastern District of Pennsylvania’s Case Management/Electronic Case Files program
reveals that Mr. Simon has been an attorney in over 850 cases in the Eastern District of Pennsylvania.
10
See Simon & Simon, PC, Our Attorneys, available at https://www.gosimon.com/about/attorneys/.
14
the legal system in one particular case, but plays into the hands of those who would use anecdotes
about groundless cases as the basis for reshaping our entire legal system.” Gerald McHugh,
Preserving the Tradition, Philadelphia Trial Lawyers Association Verdict, Vol. XVI, Issue 5, at 3
(May 1998). To the extent that Mr. Simon seeks to lead, he should lead by example, and his
conduct here is hardly the example to set.
Mr. Simon has acknowledged and accepted responsibility for some – though not all – of
the Rule 11 violations identified in his Complaints. Simon admits the factual errors within the
Second Complaint and recognizes that his pleading was self-contradictory and “different than what
was contained in the police report.” Second Resp. at 1. He also recognizes that his assertion that
diversity jurisdiction existed in the First Complaint was a “mistake.” First Resp. at 1. I do not
give Simon’s admission much weight because it would have been foolhardy to defend such blatant
inaccuracies after they were identified by the Court. I also find that Mr. Simon’s repeated
misconduct after he was put on notice by the original order to show cause transcends mere
negligence and can only be considered reckless or willful.
Mr. Simon requests that this Court consider his firm’s investment into the case, contending
that “my firm has worked with him to get the best medical care for his injuries.” Second Resp. at
2. Not exactly. In this case, as in virtually every case involving Mr. Simon’s firm, the plaintiff
was examined by a physician after which a life care plan was prepared. 11 Invariably, intensive and
costly medical treatment is recommended. But I have yet to see a single case involving the Simon
11
It should be noted that lawyers are often required to pursue forensic exams because many treating
physicians are unwilling to assist with litigation. And in cases of serious and permanent injury, life care
plans play an important role in assessing future needs. When, however, a firm persistently uses the same
forensic examiners, and in every case, without fail, monumental future costs are projected, it becomes
difficult to read the reports in question as credibly addressing actual patient needs.
15
office where any plaintiff actually pursued the recommended care. I therefore view these reports
as litigation documents, bearing little relationship to real world medical care. The expenses
associated with such expert reports are part of the standard costs of plaintiffs’ litigation, for which
counsel is routinely reimbursed. I am at a loss to see how the advancement of such costs is a
mitigating factor under Rule 11.
Mr. Simon also asks the Court to consider his personal and his firm’s “good reputation in
the legal community and in this Federal Court and the Pennsylvania State Court system.” Id. To
the extent that this is an invitation for the Court to take judicial notice, based upon my experience
in this case and other cases involving the Simon firm, together with the cases set forth in footnote
8 above, I must decline. Beyond that, Mr. Simon presents no evidence of reputation, and thus his
subjective characterization of his standing in the legal community does not mitigate the need for
sanctions.
Looking at the totality of the circumstances, three sanctions will be imposed, which I
consider to be the most lenient sanctions necessary to deter future violations.
1. Reprimand
First, I find it necessary to formally reprimand Mr. Simon. Practicing law is a privilege
that comes with significant responsibilities to clients, other parties, the Court, taxpayers, and
society at large. Failing to comply with the duties of an attorney by filing pleadings containing
false representations and legally unsupportable contentions is a violation of Rule 11 that wastes
resources.
2. Monetary Sanctions
I am also persuaded that monetary sanctions are necessary to deter future violations.
Before imposing monetary damages, courts should consider an attorney’s ability to pay. DiPaolo,
16
407 F.3d at 146 (“courts considering monetary sanctions should take into account the party’s
financial resources”). When attorneys are solo practitioners with limited financial assets and
numerous dependents, a large monetary sanction may not be warranted. Id. at 146. Here, Simon
has not introduced any evidence as to limited financial resources, and he is a founder of a thirtylawyer firm. See Young v. Smith, 905 F.3d 229, 237 (3d Cir. 2018) (“in Doering, the sanctioned
attorney specifically asked the District Court to reduce the award and submitted evidence attesting
to his limited financial resources. Here, Pollick did not request a reduction of the sanction, nor did
she submit anything to substantiate her claimed inability to pay.”).
The monetary sanction must be set at an amount that is adequate to deter future conduct,
while simultaneously taking into consideration the cost that has been imposed on taxpayers.
Numerous other courts imposing sanctions have considered the judicial resources expended as a
result of the Rule 11 violations when considering what monetary sanctions are appropriate. I will
follow suit. 12
12
See In re Engle Cases, 283 F.Supp.3d 1174, 1253-54 (M.D. Fla. 2017) (using the Rand Study’s estimate
and the Bureau of Labor Statistics inflation-adjustment calculator to determine sanctions); Nogess v.
Poydras Ctr., LLC, No. 16-15227, 2017 WL 396307, at *14-15 (E.D. La. Jan. 30, 2017) (same, and
collecting cases using the Rand Study); Thiel v. First Federal Savings & Loan Ass’n of Marion, 646 F.Supp.
592, 598 (N.D. Ind. 1986), aff’d in part dis’d in part, 828 F.2d 21 (7th Cir. 1987) (imposing a sanction of
$3,600 based upon $600 per hour); Dyson v. Sposeep, 637 F.Supp. 616, 624 (N.D. Ind. 1986) (using the
$600/hour formula and stating it would also be used in the future); Advo Sys., Inc. v. Walters, 110 F.R.D.
426, 433 (E.D. Mich. 1986) (noting that the court cannot tolerate an unnecessary drain on judicial resources
caused by actions without merit and that in future cases the $600 per hour formula would be used to impose
sanctions). In more recent years, Courts have continued to use this formula adjusting the hourly rate for
inflation. See, e.g., Enright v. Auto-Owners Ins. Co., 2 F.Supp.2d 1072, 1076 n. 2 (N.D. Ind. 1998)
(adjusting the rate to $900 per hour); International Union of Electronic, Electrical, Salaried, Machine &
Furniture Workers (AFL–CIO), Local 84907 v. Visteon Systems, LLC, No. 6-275, 2007 WL 647499, at *9
(S.D. Ind. 2007) (same); In re Kentwood Pharmacy, L.L.C., 475 B.R. 602 (Bkrtcy. W.D. Mich. 2012) (citing
the Bureau of Labor Statistics CPI Inflation calculator).
17
Though judicial resources are hard to quantify, Kakalik and Robyn’s 1982 Costs of the
Civil Justice System: Court Expenditures for Processing Tort Cases (the “Rand Study”) is widely
considered the most authoritative estimate on the public cost of litigation. J. Kakalik & A. Robyn,
COSTS OF THE CIVIL JUSTICE SYSTEM: COURT EXPENDITURES FOR PROCESSING
TORT CASES at 49 (Rand Institute for Civil Justice 1982). 13 According to the Rand Study, a
single hour spent by a federal judge in a tort case cost the government $600 in 1982. 14 Levin &
Colliers, Containing the Cost of Litigation, 37 Rutgers L. Rev. 219, 227 19-22 (1985) (using the
Rand source data to calculate an hourly cost). Adjusted for inflation using U.S. Bureau of Labor
Statistics CPI inflation calculator, 15 this equates to $2,000 per hour in November, 2024 dollars.
I have spent several hours on this case as a direct result of Simon’s violations of Rule 11.
Some of my staff have spent far more. I conservatively estimate that between $6,000 and $12,000
of judicial resources, funded by the taxpayers, have been expended.
I believe that $7,500 is an appropriate and conservative sanction. I do not believe that nonmonetary sanctions alone, or a smaller monetary sanction, would adequately deter Mr. Simon from
13
Many courts and academics consider this study to be the most authoritative source on the public cost of
litigation. E.g., In re Engle Cases, 283 F.Supp.3d at 1253-54; J. Resnik, Managerial Judges, 96 Harv. L.
Rev. 374, 423 n.188 (1982); A. Levin & D. Colliers, Containing the Cost of Litigation, 37 Rutgers L. Rev.
219, 219-22 (1985); Nogess, 2017 WL 396307, at *14 (collecting cases using figures from the Rand Study
to calculate sanctions).
14
This figure incorporates the costs of supporting staffing, such as law clerks and the Clerk’s Office
personnel.
15
The Court takes judicial notice of the Bureau of Labor Statistics inflation-adjustment calculator, a widelyused tool for calculating the present-day value of dollars.
CPI Inflation Calculator at
https://www.bls.gov/data/inflation_calculator.htm. See Allen v. Bowen, 821 F.2d 963, 968 (3d Cir. 1987)
(“The application of the Consumer Price Index to the rate and hours here, which are undisputed, is merely
a matter of calculation.”). Other courts have used this methodology to calculate sanctions based on the
Rand Study. See Nogess, 2017 WL 396307, at *15; In re Engle Cases, 283 F.Supp.3d at 1253-54.
18
future Rule 11 violations. Such a sum will hardly represent an undue financial burden for Mr.
Simon. And I find it to be sufficiently meaningful to deter him from violating Rule 11 again and
to compensate for some (though not all) of the judicial and taxpayer resources that have been spent
addressing his false and frivolous pleadings.
One can reasonably question whether a judge’s time should be valued in this way. If a
judge is not working on one case, then they are working on another. But time spent dealing with
frivolous arguments is time wasted, and the docket of every federal judge has no shortage of cases
where the issues are profound and the consequences immense. Assigning an economic value to a
judge’s time is an objective measure by which to quantify the immense opportunity cost when a
judge must police bad lawyering.
3. Distribution of This Memorandum to Firm
Another nonmonetary sanction deployed by courts is the mandatory distribution of a
sanctions memorandum to every attorney at a law firm. This is not typically an appropriate
sanction for new and inexperienced attorneys, whose reputation is still developing whose career
could be significantly impacted. But courts have found this to be an appropriate sanction for Rule
11 violations committed by a law firm partner who “appear[s] regularly and frequently” in the
Court and claims “expertise and experience.” Huettig & Schromm, Inc. v. Landscape Contractors
Council of N. California, 582 F.Supp. 1519, 1522-23 (N.D. Cal. 1984), aff’d, 790 F.2d 1421 (9th
Cir. 1986) (requiring sanctioned attorney to pay attorney’s fees and “that a copy of this
memorandum of opinion and order has been given to every partner and associate of the firm”).
Partners at law firms – particularly founding and managing partners – set the professional
standards for the entire firm. Less experienced attorneys emulate the experienced litigators around
them. In addition, Mr. Simon has specifically told this court that it was his team – not himself
19
personally – who drafted the Complaint. First Resp. at 2, ECF 6, 24-cv-5307. According to Simon,
when he subsequently reviewed the Complaint and signed off on it, he “missed” the errors it
contained. Id. As the person signing the complaints, Mr. Simon’s Rule 11 responsibilities are
nondelegable. Fed. R. Civ. P., 1993 advisory committee note (“The person signing, filing,
submitting, or advocating a document has a nondelegable responsibility to the court, and in most
situations is the person to be sanctioned for a violation”). But, based on the many Simon & Simon,
PC cases that have come before me and my colleagues, I am persuaded that the facially obvious
errors found in this case reflect a cultural norm at Simon & Simon to prioritize volume at the
expense of accuracy.
Although this is a serious sanction, I conclude that it is necessary to deter the types of errors
present in this case and other cases cited above.
4. Alternative Sanctions I Decline to Impose
Other more serious sanctions have been considered but not imposed. These include
dismissing claims, requiring remedial legal education, referral to disciplinary authorities, and
suspension from practicing before this Court. I reject such sanctions as too severe, considering
that the conduct in question did not cause lasting harm to the client or other parties in this case.
Mr. Simon requested that the Court consider volunteer service or a contribution to a legal
service agency as alternative sanctions. Third Response at 1, ECF 13, 24-cv-5657. I decline to
issue such sanctions. It is not within the Court’s power to order Simon to make a financial
contribution to a legal service agency as a Rule 11 sanction. Fed. R. Civ. P. 11, 1993 advisory
committee note (“a monetary sanction imposed after a court-initiated show cause order [is] limited
to a penalty payable to the court”); Wolfington, 935 F.3d at 208. As to pro bono legal services, it
would not be appropriate. Preliminarily, I note that neither Mr. Simon nor his firm has any
20
discernible presence in Philadelphia’s pro bono and public interest community, so this new-found
interest is puzzling. More importantly, pro bono clients deserve quality representation, and on the
record before me I lack confidence that it would be rendered.
IV.
Conclusion
For the reasons set forth above, I conclude that Mr. Simon has violated Rule 11 multiple
times and shall be sanctioned accordingly. An appropriate order follows.
/s/ Gerald Austin McHugh
United States District Judge
21
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