Brown v. Commonwealth of Pennsylvania, Department of Corrections
Filing
140
MEMORANDUM AND ORDER re 117 MOTION in Limine - IT IS ORDERED that the motion is GRANTED in part as follows: Absent the express approval of the trial judge, following a proffer of relevance by the pltf and a full consideration of the positions o f the parties, the pltf shall be precluded from referring to the claims in her prior, dismissed, lawsuit, Brown v. Dept of Corrections, Civil No. 1:14-CV-201, in the trial of this case. Signed by Magistrate Judge Martin C. Carlson on January 27, 2021. (kjn)
Case 1:15-cv-00918-CCC Document 140 Filed 01/27/21 Page 1 of 13
IN THE UNITED STATES DISTRICT COURT
FOR THE MIDDLE DISTRICT OF PENNSYLVANIA
DAWN L. BROWN,
Plaintiff,
v.
COMMONWEALTH OF
PENNSYLVANIA, DEPT. OF
CORRECTIONS, et al.,
Defendants.
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Civil No. 1:15-CV-918
(Judge Conner)
(Magistrate Judge Carlson)
MEMORANDUM AND ORDER
I.
Factual Background
The plaintiff, Dawn Brown, is a former employee of the Pennsylvania
Department of Corrections. In 2015, Brown brought a series of sweeping workplace
discrimination claims against her former employers. The instant case was not
Brown’s first lawsuit against the Department of Corrections. Previously in 2014,
Brown had filed a sexual harassment lawsuit against her employer relating to alleged
acts of sexual harassment and retaliation which took place beginning in 2009. Brown
v. Dep’t of Corrections, Civil No. 1:14-CV-201. In 2017, the court granted summary
judgment in favor of all of the defendants, except one defendant who had not been
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served by Brown. Brown then voluntarily dismissed her lawsuit as to this remaining
defendant.
In the meanwhile, Brown filed this second workplace discrimination lawsuit
in 2015. This case has been pending for nearly six years. Over the span of this
longstanding litigation, the remaining claims in Brown’s lawsuit have been
narrowed considerably. At this juncture, Brown’s sole remaining legal claim is an
allegation that she was discharged in July of 2015 in retaliation for the exercise of
her First Amendment rights. With extant claims in this case framed in this fashion,
the defendants have filed a motion in limine, (Doc. 117), which seeks to preclude
Brown, who is now proceeding pro se, from referring to or presenting evidence
relating to her prior sexual harassment lawsuit at the trial of this case.
This motion is fully briefed by the parties, (Docs. 118, 120, 121), and is,
therefore, ripe for resolution. For her part, Brown has filed voluminous responses to
this motion which demand a great deal of the reader but seem to suggest that some
of the matters that were the subject of Brown’s First Amendment protected activities
in July of 2015 related to sexual misconduct by prison staff. (Docs. 120, 121). While
this much seems clear, what is far less clear is whether there is any connection
between the sexual harassment allegations made by Brown in Brown v. Dep’t of
Corrections, Civil No. 1:14-CV-201 and the allegations that she claims formed the
basis of the First Amendment retaliation claim in this case. Rather, these allegations
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seem to involve disparate acts, by distinct actors at different places and times. For
example, the central claims in Brown v. Dep’t of Corrections, Civil No. 1:14-CV201 appeared to involve alleged sexual harassment which targeted Brown in 2009
and 2010. In contrast, Brown’s First Amendment retaliation claims in this lawsuit
appear to involve other matters entirely. For example, in this case, Brown contends
that she was subject to retaliation after she made reports to the FBI and the Governor
in December of 2014 about matters of public concern, including correctional officerinmate relationships and the use of cell phones by 22 inmates at SCI Camp Hill.
Specifically, on December 3, 2014, she reported that a correctional officer was
married to an inmate who was incarcerated at SCI Camp Hill. (Doc. 53-24, at 67).
Thus, we are unable to discern the legal, logical, topical, and temporal relationship
between the allegations in Brown’s 2014 lawsuit and the matters she claims led to
her discharge in July of 2015. Accordingly, upon consideration of this motion, for
the reasons set forth below, the motion is GRANTED in part as follows: Absent the
express approval of the trial judge, following a proffer of relevance by the plaintiff
and a full consideration of the positions of the parties, the plaintiff shall be precluded
from referring to the claims in her prior dismissed lawsuit, in the trial of this case.
II.
Discussion
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A. Motions in Limine—Guiding Principles
The Court is vested with broad inherent authority to manage its cases, which
carries with it the discretion and authority to rule on motions in limine prior to trial.
See Luce v. United States, 469 U.S. 38, 41 n.4 (1984); In re Japanese Elec. Prods.
Antitrust Litig., 723 F.2d 238, 260 (3d Cir. 1983), rev’d on other grounds sub nom.,
Matsushita Elec. Indus. Co. v. Zenith Radio Corp., 475 U.S. 574 (1986) (the court
exercises its discretion to rule in limine on evidentiary issues “in appropriate cases”).
Courts may exercise this discretion in order to ensure that juries are not exposed to
unfairly prejudicial, confusing or irrelevant evidence. United States v. Romano, 849
F.2d 812, 815 (3d Cir. 1988). Courts may also do so in order to “narrow the
evidentiary issues for trial and to eliminate unnecessary trial interruptions.” Bradley
v. Pittsburgh Bd. of Educ., 913 F.2d 1064, 1069 (3d Cir. 1990) (citation omitted).
However, courts should be careful before doing so.
In considering motions in limine that call upon the Court to engage in
preliminary evidentiary rulings under Rule 403 of the Federal Rules of Evidence, we
begin by recognizing that these “evidentiary rulings [on motions in limine] are
subject to the trial judge’s discretion and are therefore reviewed only for abuse of
discretion . . . . Additionally, application of the balancing test under Federal Rule of
Evidence 403 will not be disturbed unless it is ‘arbitrary and irrational.’ ” Abrams v.
Lightolier Inc., 50 F.3d 1204, 1213 (3d Cir. 1995) (citations omitted); see
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Bernardsville Bd. of Educ. v. J.H., 42 F.3d 149, 161 (3d Cir. 1994) (reviewing in
limine rulings for abuse of discretion). One of the key guiding principles governing
the exercise of this discretion is reflected in the philosophy that shapes the rules of
evidence. The Federal Rules of Evidence can aptly be characterized as evidentiary
rules of inclusion, which are designed to broadly permit fact-finders to consider
pertinent factual information while searching for the truth. Adopting this broad view
of relevance, it has been held that
Under [Rule] 401, evidence is relevant if it has “any tendency to make
the existence of any fact that is of consequence to the determination of
the action more probable or less probable than it would be without the
evidence.” [Therefore] “[i]t follows that evidence is irrelevant only
when it has no tendency to prove the fact. Thus the rule, while giving
judges great freedom to admit evidence, diminishes substantially their
authority to exclude evidence as irrelevant.”
Frank v. County of Hudson, 924 F. Supp. 620, 626 (D.N.J. Jan 16, 1996) (citing
Spain v. Gallegos, 26 F.3d 439, 452 (3d Cir. 1994) (quotations omitted)). Rule 402
of the Federal Rules of Evidence, in turn, provides that all “[r]elevant evidence will
be admissible unless the rules of evidence provide to the contrary.” United States v.
Sriyuth, 98 F.3d 739, 745 (3d Cir. 1996) (citations omitted).
Rule 403 of the Federal Rules of Evidence then sets legal grounds for
exclusion of some evidence, stating that:
Although relevant, evidence may be excluded if its probative value is
substantially outweighed by the danger of unfair prejudice, confusion
of the issues, or misleading the jury, or by considerations of undue
delay, waste of time, or needless presentation of cumulative evidence.
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Fed. R. Evid. 403.
These broad principles also shape and define the scope of this Court’s
discretion in addressing motions in limine like those filed by the parties here, which
seek a pre-trial ruling excluding evidence on relevance and prejudice grounds. In the
past, the United States Court of Appeals for the Third Circuit has cautioned against
the preliminary, wholesale exclusion of evidence, noting that it has “made clear that
rulings excluding evidence on Rule 403 grounds should rarely be made in limine.”
Walden v. Georgia–Pacific Corp., 126 F.3d 506, 518 n. 10 (3d Cir. 1997). The reason
for this caution is evident: oftentimes a court “cannot fairly ascertain the potential
relevance of evidence for Rule 403 purposes until it has a full record relevant to the
putatively objectionable evidence.” Id.; see also In re Diet Drugs Products Liability
Litigation, 369 F.3d 293, 314 (3d Cir. 2004). As the Court of Appeals has observed
when advising against excessive reliance on motions in limine to exclude evidence
under Rule 403:
[M]otions in limine often present issues for which final decision is best
reserved for a specific trial situation. American Home, 753 F.2d at 324;
cf. Luce v. United States, 469 U.S. 38, 41–42, 105 S. Ct. 460, 463–64,
83 L.Ed.2d 443 (1984) (holding that criminal defendant must testify to
preserve claim of improper impeachment with prior conviction) (“The
[in limine] ruling is subject to change when the case unfolds,
particularly if the actual testimony differs from what was contained in
the defendant’s proffer. Indeed even if nothing unexpected happens at
trial, the district judge is free, in the exercise of sound judicial
discretion, to alter a previous in limine ruling.”). This is particularly
true when the evidence is challenged as irrelevant or prejudicial; the
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considerations weighed by the court will likely change as the trial
progresses. See Rosenfeld v. Basquiat, 78 F.3d 84, 91 (2d Cir. 1996)
(“Unlike rulings that involve balancing potential prejudice against
probative value, the ruling in the present case was not fact-bound and
no real purpose other than form would have been served by a later
objection.”). We have also made clear that rulings excluding evidence
on Rule 403 grounds should rarely be made in limine. “[A] court cannot
fairly ascertain the potential relevance of evidence for Rule 403
purposes until it has a full record relevant to the putatively
objectionable evidence. We believe that Rule 403 is a trial-oriented
rule. Precipitous Rule 403 determinations, before the challenging party
has had an opportunity to develop the record, are therefore unfair and
improper.” Paoli I, 916 F.2d at 859; see also In re Paoli R.R. Yard PCB
Litig., 35 F.3d 717, 747 (3d Cir. 1994) (“Paoli II”). Under these and
similar circumstances, if a district court makes a tentative pre-trial
ruling, it has the opportunity to “reconsider [its] in limine ruling with
the benefit of having been witness to the unfolding events at trial.”
United States v. Graves, 5 F.3d 1546, 1552 (5th Cir. 1993).
Walden, 126 F.3d at 518 n. 10.
There is, however, a caveat to these legal tenets that urge caution in
considering motions in limine. Courts are frequently called upon to consider such
motions in cases like the instant case where it is alleged that a plaintiff is endeavoring
to introduce evidence relating to claims that have been dismissed. Reasoning that
evidence regarding dismissed claims that have failed as a matter of law typically has
little relevance, courts have often excluded evidence of dismissed claims from trial.
See, e.g., Branch v. Brennan, No. 2:17-CV-00777, 2019 WL 3892850, at *2 (W.D.
Pa. Aug. 19, 2019); Brown v. Johnson & Johnson, No. CV 12-4929, 2015 WL
12834346, at *2 (E.D. Pa. Aug. 28, 2015); Moore v. Univ. of Pittsburgh of
Commonwealth Sys. of Higher Educ., No. CV 02-1734, 2005 WL 8165154, at *4
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(W.D. Pa. Mar. 11, 2005); Devine v. Pittsburgh Bd. of Pub. Educ., No. 2:13-CV220, 2015 WL 7301149, at *4 (W.D. Pa. Nov. 18, 2015). However, those courts that
have excluded this evidence often have done so without prejudice to the plaintiff
presenting some specific and narrowly-tailored offer of proof as to the relevance and
admissibility of particular evidence. Id.
Likewise courts have been reluctant to turn a trial into a forum for the relitigation of prior lawsuits. Therefore courts have frequently granted motions in
limine which preclude parties from referring to prior lawsuits at trial in the absence
of some very specific and particularized showing of relevance. See, e.g., Palmer v.
Nassan, 454 F. App'x 123, 125 (3d Cir. 2011) ( affirming exclusion of evidence of
prior excessive force lawsuits); Boyer v. City of Philadelphia, No. CV 13-6495, 2018
WL 4252378, at *5 (E.D. Pa. Sept. 6, 2018); Martsolf v. United Airlines, Inc., No.
CV 13-1581, 2015 WL 8207435, at *3 (W.D. Pa. Dec. 7, 2015); Luck v. Mount Airy
No. 1, LLC, No. 3:12CV887, 2014 WL 4792590, at *3 (M.D. Pa. Sept. 23, 2014);
Dienno v. RevSpring, Inc., No. CV 13-1919, 2014 WL 12607851, at *3 (E.D. Pa.
Mar. 27, 2014). This principle applies with particular force in a case such as this,
where the factual connection between Brown’s prior lawsuit and the instant claims
is unclear and her prior lawsuit was dismissed. Yet, while courts often decline
invitations to allow parties to discuss past litigation at the trial of new legal claims,
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these rulings are typically made without prejudice to the plaintiff attempting to make
a more narrowly focused showing of relevance. Boyer, 2018 WL 4252378, at *5.
Guided by these principles, we turn to consideration of the instant motion in
limine.
B. The Motion in limine will be Granted in Part.
In this case, the defendants’ motion in limine asks this court to avoid turning
the trial of the instant case into a forum for the airing of grievances by Brown
concerning past lawsuits. This request seems entirely appropriate since consideration
of relevance, prejudice, confusion and undue delay all caution against the wholesale
introduction of this evidence. First, the factual relevance of Brown’s claims in her
2014 lawsuit that she was subjected to sexual harassment in 2009 to her current
claims that she was fired in July of 2015 after reporting unrelated sexual misconduct
by other staff is unclear. In addition, whatever marginal relevance this prior lawsuit
may have is outweighed by the potential for prejudice and confusion that may arise
if a jury is asked to consider allegations of sexual harassment in 2009 in the course
of adjudicating a 2015 First Amendment retaliation claim. These prospects for
prejudice and confusion are heightened by the fact that Brown’s 2014 lawsuit was
ultimately dismissed by the court. Thus, Brown seems to invite us to allow her to
present evidence concerning temporally remote, and meritless, legal claims in the
trial of this case. Further, given the fact that Brown’s 2014 lawsuit was dismissed,
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factors of undue delay also caution against admission of evidence relating to this
prior case at trial. If the court allowed Brown to allude to this prior litigation, it would
likely also have to permit the defense to show that the 2014 lawsuit was dismissed.
As a result, the trial of these claims could transmogrify into the re-litigation of a case
that was dismissed in 2017, a result which should be avoided.
Accordingly, consistent with caselaw governing the exercise of discretion in
this field, this motion in limine will be granted in part as follows: Absent the express
approval of the trial judge, following a proffer of relevance by the plaintiff and a full
consideration of the positions of the parties, the plaintiff shall not argue or present
evidence relating to Brown v. Dep’t of Corrections, Civil No. 1:14-CV-201, a prior
lawsuit brought by the plaintiff which was dismissed by this court.
By adopting this course, we provide clear guidance to Ms. Brown that she
may not refer to prior lawsuits at trial without first explaining to the trial judge why
specific evidence is relevant and obtaining the trial judge’s approval. Following this
path avoids the concerns that justify motions in limine, ensuring that juries are not
exposed to unfairly prejudicial, confusing, or irrelevant evidence pursuant to
Romano, 849 F.2d at 815, and “narrow[ing] the evidentiary issues for trial and to
eliminate unnecessary trial interruptions,” Bradley, 913 F.2d at 1069, without
prejudice to the plaintiff attempting to make a more narrowly focused showing of
relevance. Yet following this course does not absolutely preclude Brown from
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presenting specific evidence if she can first demonstrate its relevance through a
narrowly tailored offer of proof. Boyer, 2018 WL 4252378, at *5.
An appropriate order follows.
S/Martin C. Carlson
Martin C. Carlson
United States Magistrate Judge
DATED: January 27, 2021
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IN THE UNITED STATES DISTRICT COURT
FOR THE MIDDLE DISTRICT OF PENNSYLVANIA
DAWN L. BROWN,
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Plaintiff,
v.
COMMONWEALTH OF
PENNSYLVANIA, DEPT. OF
CORRECTIONS, et al.,
Defendants.
Civil No. 1:15-CV-918
(Judge Conner)
(Magistrate Judge Carlson)
ORDER
AND NOW, this 27th day of January 2021, in accordance with the
accompanying Memorandum, upon consideration of the defense motion in limine
(Doc. 117), which seeks to preclude Brown, who is now proceeding pro se, from
arguing or presenting evidence relating to Brown v. Dep’t of Corrections, Civil No.
1:14-CV-201, a prior lawsuit brought by the plaintiff which was dismissed by this
court, IT IS ORDERED that the motion is GRANTED in part as follows: Absent the
express approval of the trial judge, following a proffer of relevance by the plaintiff
and a full consideration of the positions of the parties, the plaintiff shall be precluded
from referring to the claims in her prior, dismissed, lawsuit, Brown v. Dep’t of
Corrections, Civil No. 1:14-CV-201, in the trial of this case.
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S/Martin C. Carlson
Martin C. Carlson
United States Magistrate Judge
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