MEMORANDUM AND ORDER
This matter comes before the court on plaintiffs’ Motion for Sanctions Against the Government Defendants. Plaintiffs request that this court impose sanctions against certain government defendants in this case, the Executive Office of the President (“EOP”) and the Federal Bureau of Investigation (“FBI”), for the defendants’ failure to seek a formal extension of time beyond 30 days to produce both documents in answer to plaintiffs’ discovery requests and written responses by defendants to these requests. Upon consideration of the submissions of the parties and the relevant law, plaintiffs’ motion is denied.
I. Background
On October 9, 1997, plaintiffs served document requests on the government defendants
On December 3, 1997, plaintiffs filed a motion to compel government defendants and Craig Livingstone, Anthony Marceca, and Hillary Clinton to respond to document requests previously served on them. These requests included the October 9, 1997 doeu-ment request served on the FBI and EOP. The court conducted a status conference on December 19, 1997, at which various defendants moved to strike plaintiffs’ motion to compel on the ground that counsel for plaintiffs failed to comply with Local Rule 108(m) which imposes an obligation on the parties to meet and confer before the filing of a nondispositive motion. These motions to strike were granted. See Alexander v. Federal Bureau of Investigation,
On December 22, 1997, the court issued the order granting the motion to strike and addressing the government defendants’ statement that the EOP and the FBI would be responding to plaintiffs’ document requests on a rolling and ongoing basis. The court conveyed to the government defendants that such responses were considered improper and that the proper course of conduct would have been to move for an extension of time within which to respond to the requests.
The court’s rejection of the manner in which defendants sought to comply with plaintiffs’ Rule 34 request for documents was based on the court’s interpretation of the requirements of production pursuant to Rule 34 and a prior published opinion issued by this court. See Association of American Physicians and Surgeons, Inc. v. Clinton,
II. Analysis
Plaintiffs’ request for sanctions is premised upon “Rule 37 of the Federal Rules of Civil
A. Rule 37
The court turns first to plaintiffs’ argument that sanctions are warranted under Rule 37 of the Federal Rules of Civil Procedure. Although Rule 37 authorizes a court to award sanctions for discovery abuses, the requirements for the imposition of sanctions pursuant to this rule are not met in the instant case. While Rule 37(a) provides that a court may impose sanctions or require the payment of expenses incurred for a failure to respond to a request for inspection submitted under Rule 34, this action may be taken only after a party prevails on a motion to compel or if production is provided after such a motion has been filed. Rule 37(b)(2) provides for sanctions where a party fails to comply with a discovery order. As has been stated, “[a] production order is generally needed to trigger Rule 37(b).” Shepherd v. American Broadcasting Companies, Inc.,
The final provision under the rule pursuant to which sanctions are authorized is Rule 37(d). This rule states that:
If a party ... fails ... to serve a written response to a request for inspection submitted under Rule 34, after proper service of the request, the court in which the action is pending on motion may make such orders in regard to the failure as are just, and among others it may take any action authorized under subparagraphs (A), (B), and (C) of subdivision (b)(2) of this Rule.
Fed.R.Civ.P. 37(d). Unlike under Rule 37(b)(2), “a direct order by the court as provided in Rule 37(a) and (b) is not a prerequisite to imposition of sanctions under Rule 37(d). The rule permits immediate sanctions against parties for willful failure to comply with discovery rules.” Capitol Chem. Indus., Inc. v. Community Management Corp.,
In interpreting this rule, other courts within this circuit have imposed sanctions in the absence of willfulness under Rule 37(d). In Long v. District of Columbia,
B. 28 U.S.C. § 1927 and the Court’s Inherent Authority
Plaintiffs also allege that this court may impose sanctions pursuant to both the
The imposition of sanctions pursuant to section 1927 is also permissible. Section 1927 provides that:
Any attorney or other person admitted to conduct cases in any court of the United States ... who so multiplies the proceedings in any case unreasonably and vexatiously may be required by the court to satisfy personally the excess costs, expenses, and attorneys’ fees reasonably incurred because of such conduct.
28 U.S.C. § 1927. In contrast to the imposition of sanctions pursuant to the court’s inherent authority, “[t]he law in this circuit ... is unsettled over whether a court must find an attorney’s actions to be in bad faith before imposing sanctions under section 1927.” United States v. Wallace,
A consideration of the rationale underlying the imposition of sanctions under both section 1927 and the court’s inherent authority demonstrates that the actions of the EOP and FBI do not necessitate the imposition of sanctions in this case. “[A]n award under § 1927 is proper when the attorney’s actions are so completely without merit as to require the conclusion that they must have been undertaken for some improper purpose such as delay.” Oliveri v. Thompson,
In the instant case, it cannot be disputed that the conduct of the EOP and the FBI was improper. Defendants go to great lengths in their effort to convey to this court that the EOP and FBI engaged in “diligent” efforts to respond to the plaintiffs’ requests and make much of the fact that over 12,000 pages of responsive documents were produced. In this regard, the government defendants simply miss the point of this court’s December 22, 1997 order. When the EOP and the FBI determined that complete compliance with plaintiffs’ requests was not feasible, the proper course of conduct would have been to move for an extension of time within which to respond and to supply the court with an estimate of the time required to fully comply. The breadth of plaintiffs’ requests or defendants’ response is simply not at issue.
The government defendants also suggest that they were unaware of this court’s interpretation of the parties’ obligations under the rules of discovery and were acting in good faith when it was decided to supply responsive documents on a “rolling basis.” The court finds this argument to be somewhat
Notwithstanding the court’s disapproval of the manner in which the government defendants handled the responses to plaintiffs’ request in this case, the impropriety of defendants’ conduct does not rise to a level warranting sanctions. Plaintiffs have not made any showing that they were prejudiced by these actions and in the absence of a greater showing that the EOP or FBI exhibited recklessness or some bad faith, the court must withhold the imposition of sanctions.
III. Conclusion
For the reasons set forth herein, plaintiffs’ Motion for Sanctions Against the Government Defendants is DENIED.
SO ORDERED.
Notes
. In response to the court’s suggestion during the status conference on December 19, 1997, the government defendants filed a Motion for Leave to File Out of Time and Motion and Memorandum for Extension of Time on December 22, 1997. The government defendants sought an extension of time up to and including January 30, 1998, to produce all documents responsive to plaintiffs' pending requests for documents. The government defendants also addressed the previous failure of these parties to seek a formal extension of time to which to respond to the requests and stated "[ijn the flurry of activity between the filing of plaintiffs’ motion to compel and the December 19 status conference before the Court, government counsel neglected to seek a formal extension of time for its document production.” Mot. for Ext. of Time at 3. The only proper time for seeking such an extension, however, was within 30 days of service of the October 9, 1997, request, not after the plaintiffs’ motion to compel was filed.
