Montanez v. York City, Pennsylvania et al
Filing
60
MEMORANDUM OPINION (Order to follow as separate docket entry) re 55 MOTION for Reconsideration of Courts Order Denying Defendants Motion for Reconsideration filed by The York City Police Department, York City, Pennsylvania. Signed by Magistrate Judge Martin C. Carlson on July 16, 2014. (kjn)
IN THE UNITED STATES DISTRICT COURT
FOR THE MIDDLE DISTRICT OF PENNSYLVANIA
ALFREDO MONTANEZ,
:
:
Plaintiff
:
:
v.
:
:
YORK CITY, PENNSYLVANIA, :
et al.,
:
:
Defendants
:
Civil No. 1:12-CV-1530
(Magistrate Judge Carlson)
MEMORANDUM OPINION
I.
Statement of Facts and of the Case
This matter comes before the Court on a motion to reconsider the Court’s prior
order denying a motion for reconsideration of an order authorizing the plaintiff to file
an amended complaint which identified a previously unidentified defendant, Sergeant
Nestor, and related back to the date of the plaintiff’s initial filing. For the reasons set
forth below, we will deny this second motion for reconsideration because, despite
Sergeant Nestor’s attestation that he lacked actual personal notice of this litigation
prior to 2014, the record contains sufficient indicia to support a finding that Sergeant
Nestor had constructive notice of this litigation, through shared representation by
counsel who entered an appearance on behalf of all counsel, and the fact that the
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defendants’ case management plan submitted by the city approximately 70 days after
the litigation commenced appeared to adopt the sergeant’s personal perspective on
the alleged incident.
In addition, plaintiff’s counsel has submitted email
communication that he shared with opposing counsel within the 120-day period after
this litigation commenced in which counsel for York City and the York City Police
Department affirmatively agreed to provide Sergeant Nestor’s identity, yet apparently
did not do so until much later, after receiving a formal request through discovery.
By way of background, the plaintiff initiated this action by filing a complaint
that was docketed by the Court on August 7, 2012, but which the plaintiff maintains
was actually filed on August 6, 2012. (Doc. 1.) In the complaint, plaintiff, a resident
of the City of York, claimed that he was arrested by unidentified York City Police
Officers on August 6, 2010. (Id. at ¶ 14.) Plaintiff alleged that after he was
handcuffed, he was struck in the chest by an unnamed individual officer. (Id. at ¶ 16.)
Plaintiff claimed that when he was struck by the officer, he was not resisting arrest,
or otherwise failing to comply with the officer’s instructions. (Id. at ¶ 17.) Plaintiff
alleged that the assaulting officer was an officer with the York City Police
Department, and that this officer had “received extensive training in the proper arrest
of an individual who appears to have committed a crime.” (Id. at ¶ 13.) In addition
to these allegations, plaintiff claimed that the York City Police Department is the
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police department for the City of York, and that the department employed the officer
alleged to have assaulted plaintiff during the course of his arrest. (Id. at ¶¶ 9-11.)
Plaintiff claimed that following his assault and arrest, he was charged with a number
of crimes, including multiple firearms and drug offenses, and receiving stolen
property. Plaintiff alleged that he has experienced physical and psychological injuries
as a direct and proximate cause of the assault – an assault that plaintiff claims was
“video recorded by a citizen of York City, Pennsylvania and placed on You-Tube.”
(Id. at ¶¶ 22-25.)
The plaintiff initially brought claims against an unnamed police officer, the
City of York, and the York City Police Department under 42 U.S.C. § 1983 for
alleged violations of the United States Constitution; a claim for money damages for
unspecified violations of the Pennsylvania Constitution, and a claim for assault and
battery under Pennsylvania common law.
Following the filing of this complaint, counsel entered appearances for the
defendants. While Attorney Gonzales limited his notice of appearance to the City of
York, and the York Police Department, (Doc. 5.), Attorney Hoyt, the York City
solicitor, entered an appearance on behalf of all defendants, including the unnamed
police officer described in Montanez’s complaint. (Doc. 3.)
3
On October 19, 2012, approximately 70 days after the filing of the complaint,
the parties submitted a join case management plan in this case. (Doc. 6.) For the
defendants, that case management plan clearly suggested that counsel had
communicated with the officers who participated in Montanez’s arrest, since the
report described the arrest from the perspective of these unnamed officers, stating:
On August 6, 2010, officers from the York City Police Department were
dispatched to the 700 block of East Market St. for a report of a man with
a gun. Officers observed the plaintiff who matched the description of
the suspect, exited their unmarked vehicle and ordered plaintiff to the
ground. Plaintiff ignored these commands, and ran away. Plaintiff
tripped and fell on the curb where he was tackled by one of the officers.
At that time, a gun fell from plaintiff's pants. Plaintiff attempted to
escape the grasp of the officer and began to actively resist. Another
officer drive-stunned plaintiff with his tazer to gain control of plaintiff
and to stop him from fighting with the officers. It took several officers
to gain control of plaintiff and place him in handcuffs. As officers were
walking plaintiff to a waiting vehicle for transportation back to
headquarters, plaintiff stepped into the right side of an officer and wiped
his bloody forehead onto the officer's uniform. That officer pushed
plaintiff away from him using his elbow and forearm in a rapid
movement and in reaction to plaintiff's attempt to wipe blood and bodily
fluids onto the officer.
(Doc. 6, p. 3.)
On November 2, 2012, the City of York and the York City Police Department
moved to dismiss the complaint pursuant to Rule 12(b)(6) of the Federal Rules of
Civil Procedure. (Doc. 10.) We granted this motion, dismissing the complaint with
respect to the City of York, without prejudice to the filing of an amended complaint
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by the plaintiff. (Docs. 18, 24.) On June 11, 2013, we also clarified this ruling on a
motion for reconsideration, stating that the plaintiff was still permitted to pursue
claims against the still unidentified York police officers who allegedly assaulted him.
(Doc. 24.)
In the meanwhile plaintiff’s counsel made what he described as “numerous
request[s]” for the identity of this police officer from defense counsel, requests which
were unavailing, as defense counsel declined to provide the name of this officer.
(Doc. 25.) Indeed, defense counsel acknowledged that plaintiff’s counsel had sought
this information regarding the identity of the police officer involved in this incident
in late 2012, while a motion to dismiss was pending in this case, and again requested
this information informally in April, 2013.
(Doc. 39.)
Notably, in these
communications defense counsel did not claim confusion regarding the identity of the
unnamed officer; instead counsel indicated that they knew the identity of the officer
but simply declined to disclose this information to plaintiff’s counsel. Despite
receiving these repeated informal requests from the plaintiff’s attorney, defense
counsel had concluded as a tactical matter that they would not comply with these
requests until they receive a formal discovery demand from the plaintiff. (Id.) It is
uncertain if this position was clearly communicated and understood by plaintiff’s
counsel; indeed, the plaintiff recently submitted correspondence from late 2012 –
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within the 120-day period after the complaint was filed – in which defense counsel
affirmatively agreed to provide the name of the John Doe defendant, but apparently
did not follow through.1
After several months of stalemate on this issue, in order to resolve the simple
issue of identifying this defendant the Court then convened a conference with
counsel. (Doc. 27.) At this conference it appeared to the Court that defense counsel
knew the identity of the officer but had made a tactical decision not to provide that
information, except in response to a specific discovery demand compelling this
disclosure. Accordingly, on September 11, 2013, we issued an order directed the
plaintiff to propound discovery demands identifying the officer allegedly involved
in this incident, and further instructing defense counsel to promptly identify this
unnamed officer for the plaintiff.2 (Doc. 28.)
Specifically, in an email dated November 20, 2012, defense counsel
affirmatively represented that he would “get the name” of the officer and provide
it to plaintiff’s counsel. (Doc. 58-3, email dated November 20, 2012 from John P.
Gonzales, Esq. to Clarence Allen, Esq.) It appears that despite having made this
affirmative representation, defense counsel did not follow through and furnish the
identifying information to plaintiff’s counsel until much later and after plaintiff’s
counsel made a formal request through discovery.
1
At the time of this order, the Court was not aware the defendants’ counsel
had assured plaintiff’s counsel in November 2012 that he would “get the name” of
Sergeant Nestor and provide it to plaintiff’s counsel.
2
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Following this exchange of discovery the plaintiff filed a motion to amend his
complaint to specifically identify the police officer that he alleged assaulted him,
Sergeant Roger Nestor. We granted this motion, (Doc. 42.), finding that the criteria
established by Rule 15(c)(1) for amendment of pleadings that relate back to the date
of the plaintiff’s initial filing were satisfied. In particular, we found at the outset that
the first requisite of Rule 15(c) was met here since the amendment asserted a claim
against Sergeant Nestor that arose out of the conduct, transaction, or occurrence set
out – or attempted to be set out – in the original pleading, as required by Rule 15(c).
We noted that there were two other conditions which also must be met under
Rule 15(c) before an amended complaint can relate-back to the date of the initial
filing. First, the newly named party must have “received such notice of the institution
of the action [within the 120 day period prescribed for service of the original
complaint] that the party will not be prejudiced in maintaining a defense on the
merits.” Fed. R. Civ. P., Rule15(c)(1)(C)(I). In addition there is yet another
condition prescribed by Rule 15(c), that the newly named party must have known, or
should have known, that “but for a mistake” made by the plaintiff concerning the
newly named party’s identity, “the action would have been brought against” the
newly named party in the first place. Fed. R. Civ. P. Rule 15(c)(1)(C)(ii).
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Turning to Rule 15(c)(1)(C)(ii)’s requirement that the newly named party must
have known, or should have known, that “but for a mistake” made by the plaintiff
concerning the newly named party’s identity, “the action would have been brought
against” the newly named party in the first place, we found that it was clear that
Sergeant Nestor would have been named in the plaintiff’s original complaint but for
persistent and profound confusion on the part of the plaintiff regarding the true
identity of the officer that he alleged assaulted him. Therefore, this element of the
relation-back doctrine was satisfied here. See Singletary v. Pennsylvania Dep't of
Corr., 266 F.3d 186, 200–01 (3d Cir.2001) (noting that a “mistake” can be when a
plaintiff lacked knowledge of the identity of a John Doe defendant when the original
complaint was filed); Moreno v. City of Pittsburgh, CIV.A. 12-615, 2013 WL
3816666 (W.D. Pa. July 22, 2013).
We also concluded that the newly named party, Sergeant Nestor, “received
such notice of the institution of the action [within the 120 day period prescribed for
service of the original complaint] that the party will not be prejudiced in maintaining
a defense on the merits,” as required by Rule15(c)(1)(C)(I). We found that Sergeant
Nestor could be imputed to have had notice of this lawsuit through his shared
counsel, City Solicitor Hoyt, who entered his appearance on behalf of both the City
of York, and the unnamed police officer identified in the plaintiff’s initial complaint,
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on August 15, 2013, eight days after the filing of the complaint. This imputed notice
through shared counsel is further bolstered by the detailed factual narrative of this
incident, written from the perspective of Sergeant Nestor, and provided by defense
counsel in the case management plan submitted to the Court on October 17, 2012,
some 70 days after the complaint was filed. That factual narrative, which described
from the police officers’ perspective both what Sergeant Nestor did, and his
subjective impressions of the plaintiff’s conduct, (“That officer pushed plaintiff away
from him using his elbow and forearm in a rapid movement and in reaction to
plaintiff's attempt to wipe blood and bodily fluids onto the officer”), in our view
“gives rise to the inference that the attorney, within the 120 day period, had some
communication or relationship with, and thus gave notice of the action to, the newly
named defendant.” Id. Indeed, in a case such as this it has been held that notice may
be imputed where shared counsel files pleadings which make factual averments that
reflected matters known by the previously unnamed defendant; counsel’s
representations relating to factual matters that are peculiarly within the knowledge of
the unnamed party permit an inference of communications between counsel and the
previously unnamed party. See Moreno v. City of Pittsburgh, CIV.A. 12-615, 2013
WL 3816666 (W.D. Pa. July 22, 2013). Our findings regarding the reasonableness
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of this inference is unchanged by the fact that Sergeant Nestor has submitted an
affidavit in which he attests that he did not have actual notice of this litigation.
We also concluded on the unique facts of this case that notice can be imputed
to Sergeant Nestor through the “identity of interest” method, in this context:
“‘Identity of interest generally means that the parties are so closely related in their
business operations or other activities that the institution of an action against one
serves to provide notice of the litigation to the other.’ Id. at 197 (quoting 6A Charles
Alan Wright et al., Federal Practice & Procedure § 1499, at 146 (2d ed.1990)).”
Garvin v. City of Philadelphia, 354 F.3d 215, 222-23 (3d Cir. 2003). While it has
been held that “absent other circumstances that permit the inference that notice was
actually received, a non-management employee . . . does not share a sufficient nexus
of interests with his or her employer so that notice given to the employer can be
imputed to the employee for Rule [15(c)(1)(C)] purposes.”
Singletary v.
Pennsylvania Dep't of Corr., 266 F.3d at 200, in this case we continue to find that
other circumstances existed which permit an inference that notice was actually
received. As we explained previously, these other circumstances include: (1) the
shared legal representation through Attorney Hoyt’s entry of an appearance on behalf
of both the City and the unnamed officer; (2) Sergeant Nestor’s supervisory status as
a police sergeant, a supervisory position which suggests a closer identity of interests
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between the parties than a mere employer-employee relationship; and (3) the fact that
the case management plan submitted by the city appeared to adopt the sergeant’s
personal perspective on this incident, signifying a commonality of interests in this
litigation. This finding is now bolstered by correspondence shared between counsel
in November 2012 in which defendants’ counsel assured plaintiff’s counsel that he
would “get the name” of the officer and provide it to the plaintiff.
We also previously noted that the parties’ shared interest in this litigation is,
in our view, reflected in the tactical choices of counsel for the city to refuse repeated
informal requests by plaintiff’s counsel to voluntarily identify the unnamed officer.
While defense counsel may have been entitled to make this tactical choice, the
litigative choice suggested that defense counsel were acting in the common interests
of both the city, and the unnamed defendant, and underscore the identity of interests
held by these parties. Moreover, it now appears that counsel made this tactical
decision after having told plaintiff’s counsel in November 2012 – less than 120 days
after this litigation commenced – that he would provide the name in response to an
informal request.
Finally, we noted that “Rule 15(c)(1)(C)(I) also requires the Court to determine
whether the newly named defendants have been prejudiced. Brever v. Federated
Equity Mgmt. Co. of Pa., 233 F.R.D. 429, 435 (W.D. Pa.2005) (Cercone, J.) (‘the
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notice inquiry is designed to eliminate prejudice that would result from having to
assemble evidence and construct a defense after a claim has become stale’).” Moreno
v. City of Pittsburgh, CIV.A. 12-615, 2013 WL 3816666 (W.D. Pa. July 22, 2013).
When we considered this bedrock animating principle under Rule 15(c), we found
that Sergeant Nestor would not be unfairly prejudiced by being identified as the
previously unnamed police officer in this action. In this regard, we note what is
apparently an undisputed fact in this litigation: This police encounter was videotaped
and publicly displayed on You Tube. (Doc. 1, ¶25.) In this setting, where the
disputed events are captured on video and can be revealed through a cursory Internet
search, the prejudice that could result from having to assemble evidence and construct
a defense after a claim has become stale, Brever v. Federated Equity Mgmt. Co. of Pa.
, 233 F.R.D. 429, 435 (W.D.Pa.2005), seemed minimal.
The defendant then filed a motion asking us to reconsider this ruling. (Doc.
45.) This motion suggested that this ruling was erroneous because we had erred as
a factual matter in imputing notice of this lawsuit to Sergeant Nestor. While the
defendant advanced this argument, there was a notable omission in this pleading. The
central issue was whether we erred in our order by imputing notice of this lawsuit to
Sergeant Nestor. However, the motion to reconsider was not accompanied by any
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affidavit or declaration from Sergeant Nestor attesting that he had not, in fact,
received notice of this lawsuit.
During our March 14, 2014, case management conference with counsel we
noted that the motion to reconsider was not accompanied by any declaration from
Sergeant Nestor that he had not received timely notice of this lawsuit, and invited the
defendant to supplement the record on this pivotal issue, if it was possible to do so.
The time for filing a reply brief which could have supplemented the record in this
fashion subsequently passed without the Court having received any further
submission on the question we deem crucial to this motion–Sergeant Nestor’s actual
notice of this lawsuit. As a result, in a written memorandum and accompanying
order, we denied the defendants’ motion for reconsideration.
The defendants have now filed a second motion for reconsideration, this time
supported by an affidavit from Sergeant Nestor in which he affirmatively represents
that he “had no knowledge of a pending lawsuit and had not been contacted by any
lawyers for the City of York regarding this lawsuit prior to this year.” (Doc. 57, Ex.
A, Affidavit of Sgt. Nestor.) The defendants thus maintain that Sergeant Nestor did
not actually receive notice of this action within 120 days of its institution, and did not
know that this action would have been brought against him but for a mistake
concerning his identity. Defendants further state that Sergeant Nestor did not know
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about or have notice of this lawsuit until sometime in 2014, approximately one and
one-half years after the case commenced, and well past the 120-day period following
the initiation of the action. Nothing in the declaration, however, affects our judgment
that the defendant had constructive notice of this lawsuit through his shared counsel
and identity of interest in this litigation.
The plaintiff has filed a brief in opposition to the motion in which he argues,
in part, that counsel for the City of York and the Police Department affirmatively
agreed in November 2012 to provide plaintiff’s counsel with Sergeant Nestor’s
identity in response to counsel’s request. (Doc. 58, at 2-3 and Doc. 58-3, email dated
November 20, 2012 from Defense counsel to Plaintiff’s counsel.) Notwithstanding
this pledge, the plaintiff maintains that defendants’ counsel did not follow through,
and instead steadfastly refused to provide the name of the officer until the Court
ordered them to do so months later.
II.
Discussion
As we have previously noted, the legal standards that govern motions to
reconsider are both clear, and clearly compelling. “The purpose of a motion for
reconsideration is to correct manifest errors of law or fact or to present newly
discovered evidence." Harsco Corp. v. Zlotnicki, 779 F.2d 906, 909 (3d Cir. 1985).
Typically such a motion should only be granted in three, narrowly defined
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circumstances, where there is either: "(1) [an] intervening change in controlling law,
(2) availability of new evidence not previously available, or (3) need to correct a clear
error of law or prevent manifest injustice". Dodge v. Susquehanna Univ., 796
F.Supp. 829, 830 (M.D. Pa. 1992 ). As the United States Court of Appeals for the
Third Circuit has aptly observed:
“The purpose of a motion for reconsideration ... is to correct manifest
errors of law or fact or to present newly discovered evidence.” Max's
Seafood Café, 176 F.3d at 677 (quoting Harsco Corp. v. Zlotnicki, 779
F.2d 906, 909 (3d Cir.1985)). “Accordingly, a judgment may be altered
or amended if the party seeking reconsideration shows at least one of the
following grounds: (1) an intervening change in the controlling law; (2)
the availability of new evidence that was not available when the court
granted the motion for summary judgment; or (3) the need to correct a
clear error of law or fact or to prevent manifest injustice.” Id. (citation
omitted).
Howard Hess Dental Laboratories Inc. v. Dentsply Intern., Inc., 602 F.3d
237, 251 (3d Cir. 2010).
Thus, it is well-settled that a mere disagreement with the court does not
translate into the type of clear error of law which justifies reconsideration of a ruling.
Dodge, 796 F.Supp. at 830. Furthermore, "[b]ecause federal courts have a strong
interest in the finality of judgments, motions for reconsideration should be granted
sparingly." Continental Casualty Co. v. Diversified Indus., Inc., 884 F.Supp. 937,
943 (E.D. Pa. 1995). Moreover, it is evident that a motion for reconsideration is not
a tool to re-litigate and reargue issues which have already been considered and
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disposed of by the court. Dodge, 796 F.Supp. at 830. Rather, such a motion is
appropriate only where the court has misunderstood a party or where there has been
a significant change in law or facts since the court originally ruled on that issue. See
Above the Belt, Inc. v. Mel Bohannon Roofing, Inc., 99 F.R.D. 99, 101 (E.D. Va.
1983).
Here the gist of this motion to reconsider is the defendant’s argument, which
is now supported by a declaration from Sergeant Nestor, that the sergeant did not
have actual notice of this litigation within the time period prescribed by Rule 15(c).
While we accept this representation, we note that within the 120 day period
prescribed by the rule, counsel took a series of actions which, in our view, fairly
imputed constructive notice to this defendant. Indeed, no less than four factors in our
judgment allow for notice to be imputed in this case.
First, we note that this defendant and the City of York shared legal
representation through Attorney Hoyt’s entry of an appearance on behalf of both the
City and the previously unnamed officer. Second, in our view Sergeant Nestor’s
supervisory status as a police sergeant, a supervisory position, suggests a closer
identity of interests between the parties than a mere employer-employee relationship,
and would justify imputing notice. See Smith v. City of Philadelphia, 363 F. Supp.
2d 795 (E.D. Pa. 2005). Third, the case management plan submitted by the city
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within the 120 day period prescribed by the rule appeared to adopt the sergeant’s
personal perspective on this incident, signifying a commonality of interests in this
litigation. Finally, and significantly, it now appears that in November 2012, with the
120-day time frame set by rule, plaintiff’s counsel actually requested the identity of
the unnamed officer, and was informed that defendants’ counsel would “get the
name” of the officer and provide it to the plaintiff.
In consideration of this background, upon the unique set of facts presented in
this case, for the reasons we have previously explained to the parties, and because it
now appears that defendants’ counsel affirmatively promised to provide Sergeant
Nestor’s identity to plaintiff’s counsel within the 120-day period after the filing of the
complaint but failed to do so, we find it would be inherently unfair to penalize the
plaintiff for the litigation strategies of defendants’ counsel, and we otherwise find no
basis to reconsider our prior ruling. Accordingly, we will deny this second motion
to reconsider.
An appropriate order will issue.
/S/ Martin C. Carlson
Martin C. Carlson
United States Magistrate Judge
Date: July 16, 2014
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