Bistline et al v. Jeffs et al
Filing
86
MEMORANDUM DECISION AND ORDER denying 79 Short Form Motion for Discovery; taking under advisement 81 Motion for Short Term Discovery/Phased Discovery; denying 82 Motion for Hearing. Signed by Magistrate Judge Dustin B. Pead on 7/31/20 (alt) Modified on 7/31/2020: corrected judge info (alt)
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IN THE UNITED STATES DISTRICT COURT
FOR THE DISTRICT OF UTAH, CENTRAL DIVISION
ALYSSA BISTLINE, et al.,
MEMORANDUM DECISION AND
ORDER
Plaintiffs,
v.
Case No. 2:16-cv-788 TS
SNOW CHRISTENSEN & MARTINEAU,
P.C., et al.,
Defendants.
District Judge Ted Stewart
Magistrate Judge Dustin B. Pead
This matter is referred to the undersigned from Judge Ted Stewart based upon 28 U.S.C.
§ 636(b)(1)(a). (ECF No. 57.) Pending before the court are Plaintiffs’ Short Form Discovery
Motion (ECF No. 79.), Defendants’ Motion seeking phased discovery (ECF No. 81.) and a
Motion for Hearing where all parties seek a hearing before the court regarding these discovery
motions. (ECF No. 82.) As set forth below the court will deny Plaintiffs’ Short Form Discovery
Motion, request additional briefing on Defendants’ Motion, and deny the Motion for Hearing
without prejudice. 1
DISCUSSION
Plaintiffs are former members of the Warren Jeffs’ Fundamentalist Church of Jesus
Christ of Latter-Day Saints (FLDS Church), beneficiaries of a trust known as the United Effort
Plan Trust (UEP Trust) and clients of Defendants. See Amend. Compl. p. 1, ECF No. 63. Briefly
Plaintiffs allege, inter alia, that Defendants engaged in an illegal scheme and plan to defraud
them, commit illegal activities against them and caused physical injuries and sicknesses.
1
Pursuant to DUCivR 7-1(f) the court elects to decide the matter on the basis of the written memoranda submitted
by the parties.
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The scope of this case and discovery is potentially very large. For example, Plaintiffs’
initial disclosures originally identified 520 witnesses that they intended to use in this case. The
court already weighed in on that issue establishing some order and direction for the parties. (ECF
No. 72.) As noted in that order, there are limits to discovery. Rule 26(b)(1) establishes the
general scope of permissible discovery:
Unless otherwise limited by court order, the scope of discovery is as follows:
Parties may obtain discovery regarding any nonprivileged matter that is relevant
to any party’s claim or defense and proportional to the needs of the case,
considering the importance of the issues at stake in the action, the amount in
controversy, the parties’ relative access to relevant information, the parties’
resources, the importance of the discovery in resolving the issues, and whether the
burden or expense of the proposed discovery outweighs its likely benefit.
Information within this scope of discovery need not be admissible in evidence to
be discoverable.
In analyzing Rule 26 and the scope of discovery, the Tenth Circuit has opined:
[W]hen a party objects that discovery goes beyond that relevant to the claims or
defenses, the court would become involved to determine whether the discovery is
relevant to the claims or defenses and, if not, whether good cause exists for
authorizing it so long as it is relevant to the subject matter of the action. This good
cause standard is intended to be flexible. When the district court does intervene in
discovery, it has discretion in determining what the scope of discovery should be.
[T]he actual scope of discovery should be determined according to the reasonable
needs of the action. The court may permit broader discovery in a particular case
depending on the circumstances of the case, the nature of the claims and defenses,
and the scope of the discovery requested.
In re Cooper Tire & Rubber Co., 568 F.3d 1180, 1188–89 (10th Cir. 2009) (citations omitted)
(internal quotation marks omitted).
Although the above standard appears relatively straightforward, the parties disagree as to
the scope of remaining discovery in this case, and how discovery should proceed, based on their
respective interpretations of the Tenth Circuit’s decision. In a detailed opinion the Tenth Circuit
reinstated this action on remand and circumscribed the confines of this case. In conclusion the
Tenth Circuit provided:
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In sum, the status of plaintiffs’ claims moving forward are as follows. For the
legal malpractice and breach of fiduciary duty claims, the following fifteen
plaintiffs pled facts sufficient to survive a motion to dismiss: Sarah Allred, Helen
Barlow, Lawrence Barlow, Nolan Barlow, Vergel Barlow, Holly Bistline, Jason
Black, Susan Broadbent, Marvin Cooke, Steven Dockstader, Thomas Jeffs, Carole
Jessop, May Musser, Amy Nielson, and Alicia Rohbuck. A factual question
remains for each of these plaintiffs regarding whether (and how long) equitable
tolling applies to their limitations periods, and whether individual implied
attorney-client relationships existed. On remand the district court will also have to
address the remaining elements of their claims. Furthermore, because these
underlying torts are no longer dismissed for failure to state a claim, the court on
remand must determine with respect to these fifteen plaintiffs whether the
elements for civil conspiracy have been sufficiently pled.
Twelve plaintiffs pled facts sufficient to survive dismissal of their fraudulent and
negligent misrepresentation claims: all of the aforementioned plaintiffs except
Lawrence Barlow, Nolan Barlow, and Jason Black. Once again, for the plaintiffs
whose claims survive there is a factual question regarding when they discovered
their claims, thereby starting the running of the statutory period, and whether an
implied attorney-client relationship existed. The remaining elements of their
claims must also be addressed on remand.
The civil RICO claims have been forfeited as inadequately presented in plaintiffs’
opening brief. With respect to the TVPRA claims, nine plaintiffs have pled facts
sufficient to pass muster under the plausibility standard and thus survive
dismissal: Susan Broadbent, Steven Dockstader, Thomas Jeffs, Carole Jessop,
Briell Decker, May Musser, Ruby Jessop, Janetta Jessop, and Gina Rohbock.
Bistline v. Parker, 918 F.3d 849, 889 (10th Cir. 2019).
With this backdrop the court turns to the motions.
I.
Plaintiffs’ Short-Form Motion to Compel Discovery and for Sanctions
In October 2019 Plaintiffs propounded their first set of written discovery requests.
Plaintiffs assert Defendants only responded in part. “Although the Requests contained 19
interrogatories, 21 requests for production of documents and 18 requests for admissions, the
Response provided no documents other than a certificate of insurance coverage. Other than in
response to interrogatory nos. 4, 5, 6, 10 and 11, request for production no. 19, and request for
admission no. 4, no information responsive to our requests was produced.” Mtn p. 2. Defendants
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later “supplied copies of files related to two legal matters involving named plaintiffs … and the
relevant policy of insurance.” Id.at p. 3. Such responses, according to Plaintiffs, are “grossly
insufficient”, including the fact that Defendants failed to serve a privilege log as required under
Federal Rule 26(b)(5)(A)(ii). Plaintiffs seek fees based on this noncompliance.
In response, Defendants argue Plaintiffs seek “reams of irrelevant—and clearly
privileged—information.” Defendants assert that Plaintiffs seek “every page of every legal file
ever created in connection with [Defendant’s] decades-long representation of the FLDS Church,
the UEP Trust, and individual FLDS members.”
The court has carefully reviewed Plaintiffs’ discovery requests and agrees that many of
them are overbroad and seek what appears to be privileged information. On the entirety of the
record, the court finds there are three general problems that undermine many of Plaintiffs’
discovery requests (1) an unspecified time frame; (2) seeking privileged information; and (3)
seeking irrelevant information.
(i)
The lack of a specific time frame
In its decision, the Tenth Circuit stated “Plaintiffs allege that the legal framework
defendants created to facilitate Mr. Jeffs’ crimes took shape through the 1998 amendment and
reinstatement of the United Effort Plan Trust (“Reinstated Trust”).” Bistline v. Parker, 918 F.3d
849, 855 (citing Snow, Christensen & Martineau v. Lindberg, 299 P.3d 1058, 1061 (Utah 2013)).
The complaint asserts that under Rulon Jeffs’ leadership the FLDS church did not practice the
atrocities defining Plaintiffs’ claims. In Rulon Jeffs’ declining years however, his son Warren
“began to assume the mantle of authority and control.” Compl. at 27. In early August 1998,
Rulon Jeffs suffered a massive stroke that “left him largely impaired and paved the way for
[Warren] Jeffs to eventually assume complete and absolute control of the FLDS.” Id. at 28.
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Although the Reinstated Trust was nominally executed by Rulon Jeffs, “[his] signature on the
Trust instrument ... was placed with physical assistance and guidance of others holding [his] pen
hand, at the direction of [Warren Jeffs].” Id. at 32–33. Plaintiffs’ Complaint focuses on this
change of leadership and how the Reinstated Trust enabled the alleged atrocities.
As a starting point, therefore, any discovery should be limited in time by Plaintiffs own
allegations surrounding the Reinstated Trust. Thus Interrogatory No. 1 that states “List each
matter, claim or file established or opened at SC&M in relation to any legal services relating to
the UEP, Jeffs or any FLDS entity, leader or member, ....” covers a time frame far too broad
based on Plaintiffs’ own allegations. Likewise, Interrogatory No. 10 states, “Identify each
instance of SC&M arguing to any court, or representing to any court, that it had undertaken to
act in any capacity to protect the rights of individual members of the FLDS Church or the UEP
Trust.” Both requests fail to define a time frame for the requested discovery. In contrast to the
foregoing, Interrogatory No. 4 adopts a time limitation as it provides “Describe the
organizational structure of SC&M from 1998 through the present, ….” Perhaps there is
discoverable information prior to 1998, but requests that seek “each matter” or “each instance”
without some time limitation are not appropriate. The court finds that many of Plaintiffs’
requests are lacking an appropriate time limitation and therefore must be redrafted in a narrower
manner.
(ii)
Seeking privileged information
The second category of problematic discovery requests cross the line, seeking privileged
information. For example, Interrogatory No. 2 requests “the amount of fees or services received
each year by SC&M for or in relation to work or legal services of any kind in connection with
any FLDS entity, leader or member.” Interrogatory No. 7 provides, “State whether SC&M has
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ever disclosed to any insurer, broker, insurance agency or risk retention group, prior to notice of
the potential filing of the instant litigation, the potential that SC&M may face civil liability for its
role, acts or omissions of any kind in relation to any legal services provided in connection with
any FLDS leader, member or entity.” And, Request for Production No. 1 seeks, “a complete
copy of each legal file in the possession, custody or control of defendants that pertains in any
way to legal action, advice or representation involving the UEP, the FLDSA, any FLDS member
or leader, any FLDS entity and/or the Plaintiffs herein or their legal interests.” Each of these
requests, in the court’s view, cross the line and enter into privileged territory. “Parties may obtain
discovery regarding any nonprivileged matter ….” Fed. R. Civ. P. 26(b)(1). The court fails to see
how a “complete copy of each legal file” or information about representation provided for
insurance coverage is not privileged.
Rule 26(b)(5)(A)(ii) instructs a party claiming privilege to “describe the nature of the
documents, communications, or tangible things not produced or disclosed—and do so in a
manner that, without revealing information itself privileged or protected, will enable other parties
to assess the claim.” The court will require Defendants to file a privilege log as to those items it
believes are privileged. Once the privilege log is provided to Plaintiffs, the parties are to meet
and confer, and seek to resolve any disagreements over privilege issues.
(iii)
Relevance
This case is still in the discovery phase so the relevance of discovery is broadly
construed. See Gomez v. Martin Marrietta Corp., 50 F.3d 1511, 1520 (10th Cir.1995) (agreeing
with the appellant that the “scope of discovery under the federal rules is broad”); Sanchez v.
Matta, 229 F.R.D. 649, 654 (D.N.M.2004) (“The federal courts have held that the scope of
discovery should be broadly and liberally construed to achieve the full disclosure of all
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potentially relevant information.”). Yet, discovery is not without limits. As set forth by Rule
26(b) discovery is available for “any nonprivilged matter that is relevant to any party’s claim or
defense and proportional to the needs of the case.” Fed. R. Civ. P. 26(b). Tellingly, over the
years, there has been a continual need to reduce the amount of discovery in litigation due to
problems with “over-discovery,” skyrocketing costs, and the explosion of information arising
from the advent of e-discovery. Fed. R. Civ. P. 26 advisory committee’s note to 2015
amendment. 2 In 2015 the Federal Rules were amended to help address this need, and
proportionality considerations were given a more prominent position, although such
considerations have been at the core of changes adopted as far back as 1983. See id. Chief Justice
Roberts' 2015 Year–End Report on the Federal Judiciary indicates that the addition of
proportionality to rule 26(b) “crystalizes the concept of reasonable limits on discovery through
increased reliance on the common-sense concept of proportionality.” Chief Justice John Roberts,
2015 Year–End Report available at http://www.supremecourt.gov/publicinfo/year-end/yearendreports.aspx. The Chief Justice states that the proportionality concept seeks to “eliminate
unnecessary or wasteful discovery,” and is designed to impose “careful and realistic assessment
of actual need.” Id. at 7. In practical terms, such assessments may, require “judges to be more
aggressive in identifying and discouraging discovery overuse by emphasizing the need to analyze
proportionality before ordering production of relevant information.” State Farm Mutal Auto. Ins.
Co. v. Fayda, 2015 WL 7871037 at *2 (S.D.N.Y. Dec. 3, 2015) (internal quotation marks
omitted).
The note further states, “The burden or expense of proposed discovery should be determined in a realistic way.
This includes the burden or expense of producing electronically stored information. Computer-based methods of
searching such information continue to develop, particularly for cases involving large volumes of electronically
stored information. Courts and parties should be willing to consider the opportunities for reducing the burden or
expense of discovery as reliable means of searching electronically stored information become available.”
2
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Applying these tenets here, to Plaintiffs’ discovery requests, leads to serious concerns.
The Tenth Circuit specifically set forth which causes of action apply to certain plaintiffs.
For the legal malpractice and breach of fiduciary duty claims, the following
fifteen plaintiffs pled facts sufficient to survive a motion to dismiss: Sarah Allred,
Helen Barlow, Lawrence Barlow, Nolan Barlow, Vergel Barlow, Holly Bistline,
Jason Black, Susan Broadbent, Marvin Cooke, Steven Dockstader, Thomas Jeffs,
Carole Jessop, May Musser, Amy Nielson, and Alicia Rohbuck.
Bistline, 918 F.2d at 889. The Tenth Circuit then set forth what remains.
A factual question remains for each of these plaintiffs regarding whether (and
how long) equitable tolling applies to their limitations periods, and whether
individual implied attorney-client relationships existed. On remand the district
court will also have to address the remaining elements of their claims.
Id. The Tenth Circuit followed this same procedure for other causes of action. For example,
“Twelve plaintiffs pled facts sufficient to survive dismissal of their fraudulent and negligent
misrepresentation claims: all of the aforementioned plaintiffs except Lawrence Barlow, Nolan
Barlow, and Jason Black.” Id. Accordingly, “[o]nce again, for the plaintiffs whose claims survive
there is a factual question regarding when they discovered their claims, thereby starting the
running of the statutory period, and whether an implied attorney-client relationship existed.” Id.
The Tenth Circuit’s decision created some boundaries in relation to relevance and
proportionality for the issues in this case. Thus discovery that seeks information for all
individuals ever represented by Defendant, is irrelevant and lacks a “careful and realistic
assessment of actual need.”
(iv)
The court will deny Plaintiffs’ motion
For the foregoing reasons, the court will deny Plaintiffs’ motion and order Plaintiffs to
redraft their discovery requests in harmony with the aforementioned principles, including
limiting the time frame and subject of such discovery. Once that is done Defendants will be
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required to file a privilege log for any items Defendants consider privileged. Then, the parties are
required to have a meaningful meet and confer regarding any outstanding discovery requests.
II.
Defendants’ Motion for Phased Discovery
Defendants seek phased discovery asserting the Tenth Circuit’s decision supports this
approach. On remand, the Tenth Circuit ruled that, this court “should determine whether
individual Plaintiffs (1) had implied attorney-client relationships with SCM, and (2) may invoke
equitable tolling to survive under the statues of limitations.” Mtn p. 1, ECF No. 81. According to
Defendants, these two issues determine whether 69 of the 78 total claims continue toward trial.
Defendants offer three arguments in support of their motion: (1) phased discovery will
“potentially eliminate the burden and expense of deposing hundreds of witnesses”; (2) phased
discovery will assist in resolving the parties’ discovery dispute; and (3) phased discovery is
unlikely to increase discovery costs. Essentially once phase I discovery is complete, Defendants
will move for summary judgment on a number of claims, and then the court, and the parties, can
turn their attention to any remaining claims including those that survive summary judgment.
Plaintiffs oppose bifurcation of discovery arguing it is “grossly inequitable”, prejudicial, and that
Utah federal courts generally disfavor bifurcation of discovery. Plaintiffs cite to Zachwieja v.
American Family Mut. Ins. Co., 2009 WL 819371 (D.Utah Mar. 27, 2009) and Gadd v. South
Jordan City, 2018 WL 6441763 (D.Utah Dec. 7, 2018).
While “[b]ifurcation under Rule 42 is not ‘the norm or even a common occurrence’” a
case such as this, may be appropriate for bifurcation of discovery given its scale and the
guidance already received from the Tenth Circuit. Gadd, 2018 WL 6441763, at *1 (quoting
Bonham v. GEICO Cas. Co., 2016 WL 26513, at *1 (D. Colo. Jan. 4, 2016)) (internal citation
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and quotations omitted). The court will therefore order further briefing on this issue to help
determine the utility of it in this particular case.
III.
The Motion for Hearing
Plaintiffs move the court for a telephonic hearing on discovery and Defendants support
this request. The court denies this motion as of now. Once Plaintiffs redraft their discovery
requests, ensuring they are more narrowly tailored as the court discussed above, and the parties
meet and confer regarding those requests, the court will consider holding a telephonic hearing to
address any remaining issues.
ORDER
For the reasons set forth above,
Plaintiffs’ Short-Form Motion to Compel is DENIED. Plaintiffs are to redraft their
discovery requests and may bring a motion, if necessary, to compel production of the narrowly
tailored requests once Defendants have an opportunity to respond. (ECF No. 79.)
Defendants are ordered to provide a privilege log responding to Plaintiffs’ revised
discovery requests. And then, the parties are to meet and confer regarding any issues of privilege
before any further discovery motions are filed.
Defendants’ Motion for Phased Discovery is taken under advisement pending further
briefing by the parties. (ECF No. 81.) Such briefing is to follow the length requirements set forth
in Local Rule 7-1(a)(3)(C), 7-1(b)(2)(C), and the filing times in 7-1(b)(3)(C).
The Motion for Hearing is DENIED at this time. (ECF No. 82.)
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IT IS SO ORDERED.
DATED this 31 July 2020.
Dustin B. Pead
United States Magistrate Judge
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