This appeal from the Circuit Court for
Background
Appellant is currently married to Alyson Bond (Mrs. Bond), who was formerly married to Mr. Slavin. Mrs. Bond and Mr. Slavin have two minor children from their previous marriage and have been involved in support, custody, and other litigation for several years. 2 The case at bar stems from Mr. Slavin’s petition for change of custody and child support. A hearing on that petition was scheduled to be held on February 18, 2003.
On January 24, 2003, Mr. Slavin’s attorneys issued a subpoena duces tecum to the Bank, requiring that a custodian of records or a corporate designee appear at the February 18th hearing and produce certain of Mrs. Bond’s financial records—including Mr. and Mrs. Bond’s joint accounts. 3 A copy of the subpoena was mailed to Mrs. Bond’s counsel. On or about January 27, 2003, Mr. Slavin’s attorneys filed a Certificate of Service certifying that the lawyer for the account holder had been notified that the subpoena had been issued. 4
On March 11, 2003, appellant filed Motions For a Protective Order and a Restraining Order,
7
requesting that (1) Mr. Slavin’s counsel be ordered to place in the custody of the court all original copies and other copies of appellant’s records obtained from the Bank, and make no direct or indirect use of those records or the information contained therein for any purpose unrelated to the litigation;
8
and (2) the Bank be ordered to cease any further production of appellant’s banking records.
9
Appellees responded by arguing that appellant’s motions were incorrectly filed, frivolous, and without merit.
10
In addition,
On April 2, 2003, after mistakenly entering an оrder granting appellant’s motions and thereafter “striking” that order, the circuit court entered orders that (1) denied appellant’s motions and (2) provided that counsel for Mr. Slavin “may submit a petition for expenses, including attorney’s fees pursuant to Md. Rule 1-341.” The April 2, 2003 orders were docketed in the domestic violence case on April 7, 2003. On April 17, 2003, appellant filed a Notice of Appeal, 11 but did not pay the required filing fee until June 16, 2003. 12 The circuit court clerk did not docket the notice until June 11, 2003. 13
On May 5, 2003, Mr. Slavin filed a Petition for Expenses. On June 12, 2003, the circuit court entered an order requiring appellant’s lawyers to pay $6,024.94 in attorney’s fees to Mr. Slavin’s counsel. On June 19, 2003, appellant filed a Motion to Alter or Amend the sanction award and a request for a hеaring on that motion.
Appellant also filed Motions for Protective Order and for Restraining Order (renamed Motion for Injunctive Relief) in the child custody case. 14 On June 23, 2003, the circuit court denied those motions, declaring them moot, and instructed appellees to submit additional petitions for attorney’s fees. Through an order entered June 26, 2003, the circuit court denied appellant’s Motion to Alter or Amend the June 12, 2003 order.
On July 29, 2003, the circuit court entered an order that (1) memorialized its June 23rd rulings, and (2) awarded additional attorney’s fees to Mr. Slavin, in the amount of $1,714.04, and to the Bank, in the amount of $956.25. On July 30, 2003, appellant filed a third Notice of Appeal, 15 this one in the child custody case. Appellant’s first Notice of Appeal has resulted in the case at bar, No. 208, September Term 2003. His third Notice of Appeal has resulted in Case No. 1042, September Term, 2003, in which we address issues involving orders entered subsequent to the date on which appellant filed his first appeal. 16
I. The Filing Fee Issue
The Orders at issue were signed on April 2, 2003 and entered on April 7, 2003. Appellant’s Notice of Appeal was received by the Clerk of the Circuit Court on April 17, 2003, and was date-stamped at 12:29 p.m. Although the Notice was filed that day, 17 the Clerk did not docket the Notice until June 11, 2003. According to appellees, because appellant did not pay the filing fee until June 16, 2003, Md. Rule 8-201 requires that his appeal be dismissed. 18 We reject the argument that an appeal is not actually filed until the filing fee is paid. 19
According to Md.Code, Cts. & Jm Pkoc. § 2-201(b) (2003), the clerk has no duty “to record any paper
filed
with him [or her]” until costs are paid.
20
We are persuaded that to “record” means to “docket,” rather than to “file.” If an appellant fails to pay the filing fee, the clerk is not required to
docket
the Notice, but the clerk is required to
fils
it.
21
“The only authority that a clerk has to refuse to accept and file a paper presented for filing is that contained in Md. Rule 1-323.”
Director of Fin. v. Harris,
“The date that a pleading or paper is ‘filed’ is the date that the clerk receives it....” Paul V. Niemeyer & Linda M. Schuett, Maryland Rules Commentary 47 (3d.ed.2003). “A pleading or paper is filed by
actual delivery
to the clerk.... ”
Id.
In the case at bar, (1) the circuit court did not strike the Notice, and (2) appellees did not move to have it stricken. Those actions are permitted under Rule 8-203(a)(3). Furthermore, the clerk actually filed the Notice before receiving the fee. There is no evidence whatsoever that (1) appellees were prejudiced by the late payment of the fee, or that (2) the course of the appeal was delayed in any way. 23 While we recognize that it is generally within our power to dismiss an appeal if the appeal was not properly taken pursuant to Rule 8-201, 24 it is the practice of this Court to decide appeals on the merits rather than on technicalities. We hold that appellant’s Notice of Appeal satisfied the requirements of Rule 8-201, and therefore deny appellees’ motion to dismiss the appeal on the ground of appellant’s tardy payment of the filing fee.
II. Jurisdiction and Mootness Issues
Mr. Slavin argues that this Court does not have jurisdiction over the circuit court’s denial of appellant’s Motion for a Temporary Restraining Order. We disagree. Under C.J. § 12—303(3)(iii), a party may appeal from an order refusing to grant an injunction. Maryland Rule 15-501 (c) defines a “temporary restraining order” as an “injunction granted without opportunity for a full adversary hearing on the propriety of its issuance.” (emphasis added). The circuit court’s refusal to grant appellant’s temporary restraining order is an appealable order, and this Court has jurisdiction to address it.
The Bank argues that the issues presented in this case are moot because (1) the Bank has already disclosed appellant’s financial records to Mr. Slavin’s counsel, and (2) it is too late to provide a remedy. In
Appellees also argue that, because Mr. Slavin and Mrs. Bond hаve settled the custody and child support issues that prompted the request for financial records, this case has become moot.
25
Appellate courts generally do not decide
academic or moot questions. There are, however, “ ‘rare instances,’ ” in which “ ‘the urgency of establishing a rule of future conduct in matters of important public concern is imperative and manifest [and requires] a departure from the general rule and practice of not deciding academic questions.’ ”
Mercy Hosp. v. Jackson,
The Necessity for a Remand
I. Appellant’s Right to a Hearing
Appellant argues that the orders of April 2, 2003 should be vacated and this case remanded because the circuit court was required to hold a hearing on the motions. This argument is based upon Rule 2—311(f), which, in pertinent part, states:
Hearing—Other motions. A party desiring a hearing on a motion, other than a motion filed pursuant to Rule 2-532, 2-533, or 2-534, shall request the hearing in the motion or response under the heading “Request for Hearing.” Excеpt when a rule expressly provides for a hearing, the court shall determine in each case whether a hearing will be held, but the court may not render a decision that is dispositive of a claim or defense without a hearing if one was requested as provided in this section.
(Emphasis added). Appellees argue that a hearing is not required unless the court’s ruling would be “dispositive of a claim or defense.” Md. Rule 2—311(f). In the case at bar, however, the denial of appellant’s motions was “dispositive” of his request for relief.
Appellees also argue that the circuit court did not abuse its discretion in denying appellant’s motions because appellant filed them in the “wrong case.” We do not know why the circuit court denied these motions, but we refuse to infer that the circuit court would impose such an extreme sanction simply because the wrong case number appears on the motions. It is for the circuit court to (1) hold the hearing to which the parties are entitled, and (2) provide an explanation for its rulings so that any aggrieved party will have an opportunity for meaningful appellate review. 27
II. Appellant’s Right to Protection of His Financial Records
Appellant argues that his financial records were wrongfully disclosed when his wife’s financial records were subpoenaed in the custody/support case. According to appellant, because his wife’s records included their joint accounts, his financial records were also disclosed. Appellees argue that (1) the Bank did not violate the Maryland Confidential Financial Records Act when it disclosed appellant’s financial records prior to thе hearing date indicated on the subpoena, and (2) appellant, as a non-party, lacked standing to obtain any redress for alleged noncompliance with the subpoena. Whatever merit there might be in those arguments, the circuit court should not have addressed any of them without holding the hearing to which appellant is entitled, and at which the circuit court shall be guided by the following principles.
No party has an absolute right to examine confidential records that have been subpoenaed to the courtroom. A bank depositor has a right to expect that the bank will, to the extent permitted by law, treat as confidential all information regarding the depositor’s account and related transactions.
Suburban Trust Company v. Waller,
Except as otherwise expressly provided in this subtitle, a fiduciary institution, its officers, employees, agents, and directors:
(1) May not disclose to any person any financial record relating to a customer of the institution unless:
(i) The customer has authorized the disclosure to that person....
Fin. Inst. § 1-302. Section l-304(b) describes the procedure by which a bank may disclose customer records when served with a subpoena.
(b) Disclosure or production permitted.—A fiduciary institution may disclose or produce financial records or information derived from financial records in compliance with a subpoena served on the fiduciary institution, if:
(1) The subpoena contains a certification that a copy of the subpoena has been served on the person whose records are sought by the party seeking the disclosure or production of the records; or
(2) Contains a certification that service has been waived by the court for good cause.
Absent compulsion by law, a bank may not make any disclosure concerning a depositor’s account without express or implied consent of the depositor.
Suburban Trust,
The subpoena at issue was served on Bank of America and commanded a custodian of records to “[pjersonally appear and produce documents or objects: at Circuit Court for Baltimore City, Courthouse East, Family Division, Room 3, 1st Floor, 111 North Calvert Street, Balt., MD 21202 on Tuesday the 18th day of February, 2003 at 9:30 a.m.” Instead, the Bank delivered the joint bank records of Mr. and Mrs. Bond to counsel for Mr. Slavin at a time prior tо and place
other than that specified in the subpoena. The Bank had no right to do so. When a court issues a subpoena duces tecum requiring a custodian of financial records to “personally appear and produce [financial records]” at a certain place on a certain date and time, the custodian cannot—without obtaining the permission of the person(s) whose financial records have been subpoenaed—produce those records at a different place on a different date. Such a subpoena “does not ... signify a delivery of the papers into the hands of the party calling for their production or of his counsel, or a submission of them to his examination.... ”
Banks v. Connecticut Railway & Lighting Co., 79 Conn.
116, 118-19,
The Maryland Rules of Procedure, like the Federal Rules of Civil Procedure,
30
provide the courts with “a grant of
power to impose conditions on discovery in order to prevent injury, harassment, or abuse of the court’s processes.”
Bridge C.A.T. Scan Associates v. Technicare Corp.,
Rule Md. 2-510(e), in pertinent part, provides:
Objections to subpoena for court proceedings. On motion of a person served with a subpoena to attend a court proceeding ... at or before the time specified in the subpoena for compliance, the court may enter any order that justice requires to protect the person from annoyance, embarrassment, oppression, or undue burden or expense, including one or more of the following:
(4) that documents or other tangible things designated in the subpoena be delivered to the court at or before the proceeding or before the time whey they are to offered in evidence, subject to further order of court to permit inspection of them.
This rule does not prohibit appellant from requesting appropriate relief. Under federal law, a motion to quash or modify a subpoena duces tecum may be made by a party who was not served with the subpoena, if that party has a personal right or privilege with respect to the material requested in the subpoena.
Smith v. Midland Brake, Inc.,
“[A] trial court is duty-bound, where it orders production of documents in which there are strong policy reasons against public disclosure, to limit the availability and use of those documents and their contents by carefully drawn protective provisions.”
Carr v. Monroe Mfg. Co.,
Plaintiffs counsel shall not disclose the contents to any other person or entity other than the agents of his client and the information contained shall be used solely for purposes of this law suit and the disclosure, if any, of the documents or any part thereof by plaintiffs counsel and his agents and employees or by the agents or employee of the plaintiff corporation for any other purpose is expressly forbidden.
Id. at 1364.
When documents that should be presented to the court on a particular date have been presented in advance of that date to the party who issued the subpoena, the fact that harm resulting from the premature production
may
be irreversible does not render the court powerless to fashion some form of meaningful relief. See
Church of Scientology v.
United States,
The Bank argues that appellant lacked standing to obtain protection of his financial documents. There is, however, ample Maryland precedent for the proposition that non-parties have standing to obtain judicial relief from the unauthorized disclosure of statutorily protected records. In
Ashton v. Cherne Contracting Corporation,
III. Proceedings on Remand
We remand this case to the circuit court for an evidentiary hearing, 34 and direct that the hearing required by this opinion be held as promptly as is reasonably practicable. 35 The hearing will be held pursuant to thе maxim that the (Equity) court should consider to have been done that which should have been done. The circuit court shall therefore (1) require that appellees’ counsel, in their roles as officers of the court, deliver to the court each and every item that the Bank turned over to Mr. Slavin’s counsel, 36 (2) identify which of those financial records involve Mr. Bond, (3) determine whether any of the financial records involving Mr. Bond, and/or the information derived from those records, have been disclosed to persons or organizations who are not parties to the case that was scheduled to be heard on February 18, 2003, and (4) resolve the issue of whether, and/or to what extent, Mr. Bond is entitled to an appropriate order protecting him agаinst the improper (direct and derivative) use of his financial records.
JUDGMENT VACATED; CASE REMANDED FOR FURTHER PROCEEDINGS NOT INCONSISTENT WITH THIS OPINION; EACH PARTY TO PAY HIS/ITS OWN COSTS.
Notes
. Appellant presents the following questions for our review:
I. SHOULD THE ORDERS OF APRIL 2, 2003 BE VACATED AND THIS CASE REMANDED SO THAT THE CIRCUIT COURT MAY HOLD A HEARING IN ACCORDANCE WITH MARYLAND RULE 2—311 (f) ?
II. MAY A FINANCIAL INSTITUTION DISCLOSE EX PARTE ITS CUSTOMER'S BANKING RECORDS TO A THIRD PARTY WITHOUT PRIOR PERSONAL NOTICE TO ALL ACCOUNT HOLDERS AND IN ADVANCE OF A HEARING TO WHICH THE RECORDS WERE SUBPOENAED TO OPEN COURT?
III. DID THE CIRCUIT COURT ERR IN AWARDING ATTORNEY’S FEES PURSUANT TO MARYLAND RULE 1-341?
Because we answer "yes” to question I, we remand for further proceedings not inconsistent with this opinion.
. See Alyson (Slavin) Bond v. William H. Slavin, Case No. 24-D-95-249006 (Cir. Ct. Baltimore City) (hereinafter referred to as the “child custody case”). In September of 2001, Mrs. Bond filed a Petition for Relief from Abuse in which she requested that a Protective Order be entered against Mr. Slavin. See Bond v. Slavin, Civil Action No. 24—D-01-003359 (Cir. Ct. Baltimore City) (hereinafter referred to as the "domestic violence case”). Neither the appellant nor Bank of America were parties to this case. That case concluded in Mr. Slavin’s favor on January 3, 2002, when the Circuit Court for Baltimore City voided a Protective Order that had bеen entered at an earlier point in time.
. Although the subpoena was supposed to have been issued in the child custody case, the case number on the subpoena is 952490061/CE 201677. This number is close to the number of the child custody case, but the format is different. This mistake was the first of many that have resulted in the needless waste of time, energy, and judicial resources.
. This certification was filed pursuant to § 1-304 of Maryland's Financial Institutions Article. See MdCode, Fin. Inst. § 1-304 (2003). Mrs. Bond claims that she was not notified by her attorney that a subpoena had been issued for her bank records.
. Immediately prior to the June 23, 2003 hearing, Mrs. Bond and Mr. Slavin resolved their custody and support dispute. During the hearing, the parties put on no evidence other than that of the settlement agreement. The records at issue were not marked for identification or used in any way.
. According to appellant, on Saturday February 15, 2003, Mrs. Bond received a letter from the Bank, postmarked February 13, 2003, advising her that a subpoena had been issued, and instructing her to notify the Bank immediately if she intended to file a motion objecting to the disclosure of her records. According to the Bonds, this was the first notice they received of the existence of this subpoena. By faxes and letters dated Sunday, February 16 and Monday, February 17, and by voice mail messages from appellant’s counsel on February 20, the Bonds notified the Bank that they would not grant permission for disclosure, and that they intended to file motions to prevent the disclosure of their financial records.
February 17, 2003 was President's Day and the weekend of a severe snowstorm that paralyzed the area. As a result, the courts were closed on February 18 and 19. Bank of America was also closed on February 18.
On February 21, 2003, a representative of the Bank wrote to appellant’s counsel, advising that the records had been produced within two business days prior to the scheduled hearing, and that the Bank intended to continue production of any additional records, absent a court order. That same day, the Bank sent Mrs. Bond a letter, advising her of the particular account information that had been provided to Mr. Slavin's counsel.
On February 21, 2003, appellant’s attorney requested that no further production or release of banking records be made to Mr. Slavin’s cоunsel. On February 24, February 27, and March 4, 2003, appellant’s counsel wrote to Mr. Slavin’s counsel, requesting that the records be returned either to the Bank or to appellant and/or that Mr. Slavin and his counsel agree not to make any direct or indirect use of the records or the information contained therein.
On February 25, Mr. Slavin’s counsel wrote to the Bank, requesting that the Bank continue its production of documents. On February 27, appellant’s counsel demanded that the Bank obtain the return of the records. By letter dated March 3, 2003, Mr. Slavin’s counsel declined to return the records and threatened to seek sanctions against appellant’s counsel. By letter dated March 6, 2003, the Bank advised that it would continue to produce records to Mr. Slavin’s сounsel until it received an order quashing the subpoena.
. Unfortunately, these motions were erroneously filed in the domestic violence case.
. Although Mr. Slavin subpoenaed only Mrs. Bond’s bank records, appellant sought to prevent the production of the records in which he was identified as a joint account holder.
. The motions also requested that the court order the Bank to pay appellant $2000 in attorney's fees, and order such other relief justice may require.
. Appellant filed these motions in the domestic violence case, á case that had already been concluded and to which the motions had no relevance, instead of the child custody case in which the subpoena arguably had been issued. Appеllees filed their papers in both the domestic violence case and the child custody case out of an. abundance of caution.
. This Notice of Appeal, filed in the domestic violence case, resulted in the instant appeal.
. Appellant also filed—in the circuit court and in this Court—Motions to Stay the Orders denying his motions pending appeal. Appellant erroneously filed the Motion to Stay in the domestic violence case rather than the child custody case. On May 1, 2003, this Court denied appellant’s Motion to Stay “without prejudice to again seek appropriate relief from this Court upon a showing that (1) appellant requested a protective order or other appropriate relief from the circuit court, and (2) the circuit court erred or abused its discretion in denying appellant’s request.”
. The court file includes a photocopy of the Notice of Appeal filed on April 17, 2003, and a cashier’s date stamp indicating that the filing fee was paid on June 16, 2003.
. Those motions were filed on May 16, 2003.
. On June 30, 2003, appellant filed a second Notice of Appeal, apparently from the June 23rd and June 26th orders denying all three motions and authorizing Mr. Slavin and the bank to submit fee peti tions. Although docketed in the domestic violence case, there is no other record of this appeal.
. Appellant was entitled to note an appeal from the April 2, 2003 order, because that order constituted a final and dispositive judgment that denied all of appellаnt's requests for relief. While it is true that the April 2nd order included a provision that authorized counsel for Mr. Slavin to "submit a petition ... pursuant to Md. Rule 1-341,” if appellant had no right to appeal until a Rule 1-341 order was actually entered, counsel for Mr. Slavin would be able to prevent appellate review by simply not filing the petition authorized by the order at issue.
. The Notice was filed in the domestic violence case.
. Maryland Rule 8-201 provides:
(a) By notice of appeal. Except as provided in Rule 8-204, the only method of securing review by the Court of Special Appeals is by the filing of a notice of appeal within the time prescribed in Rule 8-202. The notice shall be filed with the clerk of the lower court.... The clerk ... shall enter the notice on the docket.
(b) Filing fees. At the time of filing a notice of appeal in a civil case ..., an appellant shall deposit the fee prescribed pursuant to [CJ] § 7-102 with the clerk of the lower court....
(c) Transmittal of record. After all required fees have been deposited, the clerk shall transmit the record as provided in Rules 8-412 and 8-413. The fee shall be forwarded with the record to the Clerk of the Court of Special Appeals.
. Maryland Rule l-322(a) states that "[t]he filing of pleadings and other papers with the court as required by these rules shall be made by filing them with the clerk of the court, except that a judge of that court may accept the filing....” This Court has stated that Rule 1—322(a) "(1) ‘effectually makes the court always open for the filing of papers,' and (2) provides that 'the filing date' is 'the day the judge accepts the paper.’”
In re Vy N.,
. C.J. § 7-201 requires that filing fees be paid prior to docketing a case for consideration by the circuit court, allowing for a waiver of those fees in cases of indigency. However, this case was docketed for consideration by the Court of Special Appeals, not the circuit court.
. "Record (n.)—The official report of the proceedings in a case, including the filed papers, a verbatim transcript of the trial or hearing (if any), and tangible exhibits. See DOCKET.” Black's Law Dictionary 1279 (7th ed.1999). "Docket (n.)—A formal recоrd in which a judge or court clerk briefly notes all the proceedings and filings in a court case.”
Id.
at 495,
. Rule 1-323 provides:
The clerk shall not accept for filing any pleading or other paper requiring service, other than an original pleading, unless it is accompanied by an admission or waiver of service or a signed certificate showing the date and manner of making service. A certificate of service is prima facie proof of service.
. This Court is expressly required to dismiss an appeal under certain circumstances. For example, in
Steiner v. Harding,
The late payment of this filing fee did not interfere with the timely transmission of the record to this Court. Rule 8-412(a) states that "the clerk of the lower court shall transmit the record to the Court of Special Appeals within sixty days after: (1) the date of an order entered pursuant to Rule 8-206(a)(l) that the appeal proceed without a prehearing conference....” Although the Notice was filed on April 17, 2003, on May 8, 2003, the Court of Special Appeals issued an order, pursuant to Maryland Rule 8-206(a)(l), directing that the case proceed without a Prehearing Conference. In accordance with Rule 8-412(a), the record was transmitted to this Court on June 30, 2003, within sixty days of the May 8, 2003 Ordеr.
. See Rule 8--602(a)(2).
. A question is moot if, at the time it is before the court, there is no longer any existing controversy between the parties, so that there is no
longer any effective remedy which the court can provide.
Attorney General v. A.A. Co. School Bus,
. A case should not be dismissed as moot if the case “presents 'unresolved issues in matters of important public concern that, if decided, will establish a rule for future conduct,' or the issue presented is ‘capable of repetition, yet evading review.’ ”
Committee for Responsible Dev. on 25th St. v. Mayor & City Council,
. The grant or denial of an injunction lies within the sound discretion of the circuit court and the court's decision will not be disturbed on appeal absent a showing of an abuse of discretion.
Maryland Comm’n on Human Relations v. Downey Communications, Inc.,
110 Md.App.
493, 521,
. The primary function of a civil subpoena is to compel the attendance of witnesses and the production of documents to formal court proceedings during the pretrial state of the civil case or at trial. "The subpoena power allows the parties to bring before the court all the available information for the determination of controversies before it."
United States
v.
Santiago-Lugo,
. "The power of the court to enter a protective order relating to discovery is broad." Niemeyer & Schuett, at 282. Maryland Rule 2-403 permits the circuit court to
enter any order that justice requires to protect a party or person from annoyance, embarrassment, oppression, or undue burden or expense, including one or more of the following:
(1) that the discovery not be had ..., (3) that the discovery may be had only on specified terms and conditions
(5) that certain matters not be inquired into or that the scope of the discovery be limited to certain matters
(8) that a trade secret or other confidential research, development, or commercial information not be disclosed or be disclosed only in a designated way....
. Md. Rule 2-403 is based in large part on F.R.Civ.P. 26(c).
Tanis v. Crocker,
. If the party against whom discovery is sought makes a timely
motion
for a protective order, the court can examine the relevant documents or information in camera before determining whether a restraining order should issue.
See Kerr v. United States District Court,
. The District Court ordered a state-court Clerk to comply with a summons issued by the Internal Revenue Service (IRS) for the production of two tapes in the Clerk’s custody recording conversations between officials of petitioner Church of Scientology (Church) and their attorneys. Although the Church filed a timely notice of appeal, its request for a stay of the summons enforcement order was unsuccessful and copies of the tapes were delivered to the IRS while the appeal was pending.
. Md. Rule 2 -402 sets forth the scope of discovery, providing: Unless otherwise limited by order of the court in accordance with these rules ... fa] party may obtain discovery regarding any matter, not privileged, ... if the matter sought is relevant to the subject matter involved in the action...."
. Our holding that appellant is entitled to a hearing should not be interpreted as an indication that we have come to the conclusion that appellant is entitled to some form of relief. Nor should our decision in No. 1042 be interpreted as an indication that we have come to the conclusion that appellees are not entitled to the sums of money that they were awarded pursuant to Md. Rule 1-341.
. At the conclusion of that hearing, an aggrieved party will have a right to appellate review of whatever appealable order is entered by the circuit court.
. The records marked for identification at the hearing will also be protected by the Maryland Public Information Act, Md.Code (1984, 1999 Repl.Vol., 2003 Supp.) § 10-611, et seq., of the State Government Article. Pursuant to S.G. 10-617(f), when an exhibit that contains confidential financial information has been introduced into evidence (or has been "marked for identification” and is thereby included in the court record), that exhibit is filed under seal in an envelope furnished to the clerks by the Administrative Office of the Courts, and on which the following information is printed:
CONFIDENTIAL INFORMATION THE DOCUMENTS CONTAINED IN THIS ENVELOPE ARE NOT PUBLIC INFORMATION. THIS ENVELOPE SHALL NOT BE OPENED, AND THE CONTENTS SHALL NOT BE ACCESSED, BY ANY PERSONS OTHER THAN THE COURT, EMPLOYEES OF THE COURT, THE PARTIES TO THIS CASE, OR COUNSEL FOR THE PARTIES TO THIS CASE. SEE ANNOTATED CODE OF MARYLAND, STATE GOVERNMENT ARTICLE, SECTION 10-617(f). ANY PERSON VIOLATING THE PROVISIONS OF THIS SECTION ARE [sic] SUBJECT TO CRIMINAL PENALTIES AS PROVIDED BY LAW.
