MEMORANDUM OPINION
This Memorandum Opinion resolves Plaintiff Marc Goodman’s (“Plaintiff,” or “Goodman”) Motion for Holding of Spoliation Sanctions by Defendant and for Associated Relief (with Application to Motions for Summary Judgment), Paper No. 138, Defendant Praxair Services, Inc.’s (“Defendant,” or “Tracer/PSI”) Memorandum in Opposition to Plaintiffs Motion for Spoliation Holding and Request for Specific Inferences, Paper No. 139, and Plaintiffs Reply to Defendant’s Opposition to Motion for Holding of Spoliation and for Associated Relief, Paper No. 140. 1 Goodman, a pro se litigant, has filed suit for breach of contract against Tracer/PSI, who is the successor in interest to the Tracer Research Corporation (“Tracer”). Tracer purportedly hired Goodman to participate in a project to exempt Tracer’s products from the Environmental Protection Agency (“EPA”) fuel testing requirements; however, after the exemptions were obtained, Tracer refused to pay an additional $50,000 (“success fee”) to Goodman. See Pl.’s Compl. ¶¶ 4-22, Paper No. 2. Whereas Goodman argues his involvement in the project was critical to its success, Tracer/ PSI contends other third-party consultants were solely responsible for obtaining the exemptions; therefore, Tracer was not obligated to pay Goodman the success fee. See Def.’s Am. Answer ¶¶ 43-44, Paper No. 55. In Goodman’s Motion for Holding of Spoliation Sanctions, he argues the following: (1) Tracer reasonably should have anticipated litigation and preserved evidence relevant to the underlying dispute after April 1999, November 1999, March 2000, or December 2000; (2) Tracer’s chief executive officer Shannan Marty (“Marty”), Goodman’s main contact on the project, deleted all relevant documents from her computer “while selectively preserving hard copies”; (3) Tracer failed to issue a litigation hold to its “key players” and third-party consultants; (4) Tracer destroyed employees’ computers after the duty to preserve was triggered; (5) internal communications and emails of Tracer employees were not preserved; and (6) Tracer/PSI’s failure to search disaster recovery tapes and compact discs constitutes destruction of evidence. PL’s Mem. Supp. 2-24, Paper No. 138-2. Tracer/PSI contends: (1) Goodman’s Motion is untimely; (2) the duty to preserve did not arise until February 19, 2001; (3) Marty was the sole key player at Tracer, and she properly instituted a litigation hold once the duty to preserve arose; (4) there was no duty to preserve the computers of the Tracer employees or files of third-party consultants; and (5) Goodman failed to provide any authority to show Tracer/PSI’s failure to search the disaster recovery tapes and compact discs constituted spoliation. Def.’s Resp. 3-23.
In order to rule on the pending Motion, I requested that the parties provide certain additional information, which they did. See Paper Nos. 145 & 152. Accordingly, the matter is fully briefed and ripe for resolution, and a hearing is not necessary. See D. Md. Local Rule 105(6). For the reasons stated below, I make the following findings: (1) Goodman’s Motion was timely filed; (2) Tracer reasonаbly should have anticipated litigation on January 5, 2001, and its duty to preserve evidence relevant to Goodman’s claim commenced on that date; (3) the duty to preserve applied to Marty and other key players at Tracer; (4) Tracer was not obligated to issue a litigation hold to third-party consultants or preserve any documents or records prepared by third-party consultants; (5) Tracer/PSI’s failure to search backup tapes did not constitute spoliation of evidence; (6) Tracer/PSI did not act in bad faith in its destruction of evidence; (7) Tracer/PSI was negligent in its failure to issue a litigation hold to key players; (8) Tracer/PSI acted willfully in its destruction of Marty’s laptop, and knew of the relevance of the laptop to Goodman’s claim; (9) Marty acted willfully when she deleted emails in violation of the duty to preserve, and knew of the relevance of the emails; (10) Goodman’s request for summary judgment or a series of fact-specific adverse jury instructions must be denied; and (11) Goodman’s request for a general adverse jury instruction as to Tracer/PSI and Marty’s actions, as more fully explained below, is granted. Further, Goodman will be permitted to file with a Court a list of his reasonable expenses associated with the resolution of the issues in his favor that he incurred as a result of filing the instant Motion.
I. Background Facts
Tracer, a Tucson, Arizona company, developed technology and provided services for detecting and identifying leaks in containers that could store various chemicals, including fuel. Def.’s Mot. Summ. J., Ex. 1 ¶ 3, Paper No. 111^4. Specifically, through its patented “TracerTight” leak detection process, minute quantities of chemical “tracers” were injected into fuel storage containers in order to “facilitate the rapid detection and location of fuel leaks.”
Id.
¶ 5. In April 1997, Tracer discovered that several of its tracers, which had been registered as “fuel additives” with the EPA, could be subject to the Clean Air Act regulations’ “Tier 1” and “Tier 2” testing requirements. Def.’s Mem. Supp. 4, Paper No. 111-2;
see also
40 C.F.R. §§ 79.1
et seq.
Under the Clean Air Act regulations, companies that manufacture fuel additives are required to register the chemicals with the EPA before they are eventually sold in commerce.
Id.
§ 79.4. Further, to complete the registra
Goodman, a consultant with EA, voluntarily left the company to work with Tracer on securing the exemptions. Def.’s Mot. Summ. J., Ex. 2 at 56:10-15, Paper No. 111-12 [hereinafter PL’s Dep.]. After months of negotiations, Marty, the CEO of Tracer, and Goodman executed a contract, which provided:
[Goodman proposes] that for each of the six tracers for which [he] successfully negotiate^] with EPA not to have to perform Tier 2 testing for use with gasoline and/or diesel fuel, Tracer will pay a fee of $25,000. If [Goodman is] also successful in removing the tracers from Tier 1 coverage, another $5,000 per tracer would be paid.
Def.’s Mot. Summ. J., Ex. 7 at 2, Paper No. 111-17. Tracer also was obligated to pay $10,000 to Goodman when he performed a “package of services,” which included drafting a letter or petition outlining the justification for exempting the tracers, meeting with key EPA officials to discuss the submission, and participating in any follow-up meeting to respond to any queries of the regulators. Id. at 3. Finally, the success fee of $50,000 would be paid to Goodman if he was successful in “removing the tracers from the sec. 211(f) waiver requirements.” 3 Id. at 3-4.
In January 1999, Caldwell informed Goodman that Tracer would have to modify its original Tier 1 submission and perform a minimized, alternative form of Tier 2 testing. Id. at 224:4-9. However, Margo Oge (“Oge”), the Director of the EPA’s Office of Mobile Sources, disagreed with revising the testing requirements. Id. at 286:18-20. Consequently, Tracer and Goodman strategically revised their approach to the project. Rather than explain why the tracers were not fuel additives, Goodman hoped to show the tracer process was “critical” to preventing fuel from leaking into the environment, thereby justifying the exemption of the tracers from the testing requirements. Id. at 280:18-281:2. Further, any legal arguments in the original petition would be bolstered by additional reseаrch. Id. at 281:3-8. Goodman also suggested to Kortum that no meetings occur with Oge “until further consultations have determined [Tracer’s] next steps.” PL’s Mot., Ex. O at 10. Similarly, in April 1999, Marty informed Goodman that he was to have no further contact with the EPA unless he had refined a “complete strategy” on exempting the tracers. Marty Dep. 381:12-19.
■ In March 1999, Goodman worked with an attorney to develop a legal memorandum to submit to the EPA. Goodman ultimately was dissatisfied with the attorney’s final product and recommended that Tracer not submit it to the EPA. See PL’s Dep. 269:6-270:13, 305:20-308:9, 313:16-315:22. Goodman then recommended that Tracer retain the National Legal Research Group (“NLRG”) to revise the legal memorandum; however, Goodman disagreed with the assertions made in NLRG’s memorandum, and it was never submitted to the EPA. Id. at 365:7-372:22.
Tracer then retained Mary Gade (“Gade”), an attorney who formerly worked with the EPA. At Gade’s request, Tracer contacted Richard Wilson (“Wilson”) and Marc Himmelstein .(“Himmelstein”), consultants with National Environmental Strategies (“NES”) in Washington, D.C. Wilson previously had worked at the EPA from 1970 to 1998, and was Oge’s supervisor when she was appointed to be the Director of the EPA’s Office of Mobile Sources. PL’s Mot., Wilson Dep. 100:19-101:15 [hereinafter Wilson Dep.]. Based on Wilson’s previous relationship with Oge and his knowledge of the inner-workings of the EPA, Tracer retained him to work on the project in January 2000. See Wilson Dep. 39:3-7; see also Def.’s Mot. Summ. J., Ex. 1, -Attach. A, Paper No. 111-5.
As a result of the extended delays in obtaining the exemptions from the EPA, Goodman requested a $20,000 advance against the success fee. In a November 19, 1999 email, Marty noted that she “was amenable to modifying [Goodman’s] contract for some payments now.” Def.’s Resp., Ex. 9 at 3, Paper No. 139-10. Marty also informed Goodman of “the need to rework the contract if [Gade] [was] the one primarily responsible for achieving success
In a March 5, 2000 email, Goodman requested an update from Marty on the project. Pl.’s Mot., Ex. U at 2. In a March 6, 2000 email, Marty told Goodman that Wilson had met with Kortum, Caldwell, and Matthews. Id. On that same day, Goodman sent a response email, and inquired why he “was not included in the meeting [Wilson] had with [the EPA officials].” Id. at 1. Goodman stated that he had thought there were going to be “additional strategy sessions before further meetings "with EPA, as [he] had been holding off contacting them for the last year or so until [Tracer] had a strategy in place.” Id. Marty responded, stating, “I am comfortable with the direction we are going and how it is being pursued. I believe your knowledge and background will be critical when it comes to figuring out how to get us out of the regulatory web.” Id. Further, Marty reportedly believed that the meetings with the EPA that Goodman did not attend were “merely sowing the seed to create the desire within the upper levels of EPA [to exempt the tracers].” Id. Goodman sent a responsive email, and stated, “My problem is with meeting at the staff levels of EPA, which could conceivably prejudice any future effort I may have to make with them.” Id. Goodman also stated, “As you know, I have [a] considerable stake in the outcome of this and would be very distressed if things proceeded without my participation or concurrence and the result was unfavorable.” Id. Goodman said that he would assume there would not “be any problem regarding the contract if it [succeeded], even with me on the sidelines. But if it [was] out of my hands and [failed], that would create some real questions for us to resolve.” Id. Goodman added that if Wilson and Gade were to somehow “blow it, that would almost certainly make it impossible for me to straighten [it] out after the fact and I would have been deprived of the chance to perform under our contract....” Id.
Wilson and colleagues purportedly participated in meetings with Oge, Kortum, and officials from the EPA’s Office of Solid Waste and Emergency Response.
See
Def.’s Mot. Summ. J., Ex. 32, Paper No. 111-42. In October 2000, Wilson drafted a letter to the EPA’s Office of Research and Development (“ORD”) to address concerns regarding the health effects of the tracers. Def.’s Mot. Summ. J., Ex. 1, Attach. F at 3-4, Paper No. 111-11. After the ORD received the letter, the ORD “recommended[ed] to [Oge] that from [this] of-
In a December 19, 2000 letter, Oge informed Tracer that the “tracers [were] not fuel additives”; therefore, the tracers would not be required to undergo Tier 1 and Tier 2 testing. See Def.’s Mot. Summ. J., Ex. 34, Paper No. 111-44. During the last week of December 2000, Marty allegedly called Goodman and informed him that he was not ultimately responsible for the project’s success, and Tracer would not pay him any remaining portion of his success fee. See Pl.’s Mot., Goodman Decl. 2. Goodman further alleges that Marty offered to let him keep the $20,000 advance in exсhange for a full release of all claims, and that she would immediately send him a draft of the release. Id. Additionally, Goodman argues that Marty requested that he draft a letter outlining the payment estimates for the amount of work he had done. Id. In a January 5, 2001 letter, Goodman stated that he had consulted with two attorneys regarding the dispute, one of whom suggested he was entitled to “$230,000” under the law, and if he was “forced to litigate,” then he would be awarded “treble this amount based on a recent line of cases.” See Def.’s Resp., Ex. 10 at 9, Paper No. 139-11. Goodman also alluded to the supposed telephone call with Marty, stating, “I want to point out that some of the statements you made to me on the telephone last week are hard to see as representing good faith. These include ... tell[ing] me ‘accept $20,000 today or we won’t give you anything and you can sue us.’ I am sure that such statements will not be helpful to resolving this matter and will not further the interests of Tracer.” Id. at 10. In a January 10, 2001 faxed invoice, Goodman provided an itemized list of costs equal to $230,000. Def.’s Resp., Ex. 11 at 2, Paper No. 139-12. On the fax cover sheet, he stated, “Remember — ‘Fast pay makes fast friends.’ ” Id. at 1.
In a February 19, 2001 letter, Goodman markedly ratcheted up the dispute and claimed that Tracer had exempted “ten tracers” from the EPA testing requirements; therefore, he contended that his success rate, and requisite success fee, would need to be increased. Def.’s Resp., Ex. 12 at 1-2, Paper No. 139-13. Goodman further stated that “no good can come to Tracer from litigating this rather than paying off what it owes me. If I am forced to turn this over to attorneys, they will certainly demand a greater amount, starting with the use of [ten] tracers for calculating the success fee.” Id. at 2. Also, Goodman stated, “[0]nce I put the matter in the hands of attorneys, if I am forced to do that ... I am sure that you will regret it for a very long time. Don’t go down that road, Shannan. Pay my invoice, as you clearly owe me.... ” Id. at 3.
In light of Gоodman’s escalating letters demanding payment and threatening to retain counsel, Marty “sought legal counsel,” instituted a “litigation hold,” and no longer deleted any emails she had received. Def.’s Resp. 10, 15-16. Before the litigation hold was implemented, Marty would typically delete emails from her computer after she had read them. Contrastingly, if Marty wanted to keep a record of any “relevant” email, it was printed, and placed in a file cabinet.
See
Marty Dep. 387:8-19. However, “[a]fter Goodman’s February 19, 2001 letter, Marty no longer deleted documents related to the dispute, including emails, because she was not receiving additional emails relating to the ‘project.’ ” Def.’s Resp. 16. There is no evidence that has been brought to the Court’s attention to suggest that Tracer’s counsel instructed Marty to implement the litigation hold, or that any other Tracer employees or consultants were advised to implement a litiga
In a February 27, 2001 letter, Tamara Meyer (“Meyer”), an attorney at Sonnenschein Nath & Rosenthal LLP (“Sonnenschein”), and one of Tracer’s attorneys, wrote to Goodman and stated that there was “no [valid] claim against Tracer for ‘payment of $200,000 ... or a ... success fee’ or any other payment.” PL’s Mot., Ex. I at 1. Nevertheless, Meyer told Goodman that Tracer was willing to permit him to keep the $20,000 advance he had received in exchange for executing a mutual release of any future claim. Id. at 2. Meyer did not receive a response from Goodman and “Tracer did not hear from Goodman again until he filed suit, [nearly three years later].” Def.’s Resp. 10.
At this point, it is necessary to discuss Tracer’s electronic document retention policies. Tracer employed seven data servers, and the “i-drive” was designated as the server where employees could save work-related documents. Def.’s Resp. Ct. Order, Ex. 1 ¶ 8, Paper No. 155-2. Tracer also used the Microsoft Exchange 5.5 and Microsoft Outlook email systems. Both Tracer’s i-drive and email systems were backed up nightly on disaster recovery tapes.
Id.
¶¶ 9-10. In October 2002, Tracer was acquired by Praxair Services, Inc., a subsidiary of Praxair, Inc; therefore, Praxair became the successor in interest to Tracer. From October 2002 to December 2003, Tracer’s information technology infrastructure was transferred to the Praxair system. Included in this transition process was the replacement of forty-five Tracer computers with new Praxair computers. Once the new computers were installed, data saved on the old computers
On February 13, 2004, Goodman, then represented by counsel, filed a breach of contract claim against Tracer/PSI. Pl.’s Compl. ¶¶ 4-22. In an October 27, 2004 Order, Paper No. 32, summary judgment was granted in favor of Tracer/PSI, and Goodman’s claim was dismissed. Goodman successfully appealed,
see Goodman v. Praxair, Inc.,
As discovery progressed in spring 2008, Kathryn D. Blake, the Senior Legal Assistant at Tracer/PSI, received approximately 280 disaster recovery tapes and compact discs that had been stored in the Tracer/ PSI offices in Tucson, Arizona. The tapes and compact discs purportedly were “not labeled or marked in anyway,” and only a portion of the tapes were marked with dates, “ranging from 1996 to 1998.” Def.’s Resp., Ex. 7 ¶¶ 1-4, Paper No. 139-8. Nevertheless, Tracer/PSI continued to retain the tapes and discs. On March 10, 2008, Russell M. Shumway (“Shumway”), the Technical Director for e-Discovery and Forensics Services at Sonnenschein, traveled to Buffalo, New York, to meet with Rich Romaniak (“Romaniak”), an employee at Tracer/PSI. Romaniak was in possession of a hard drive acquired from Tracer/PSI that contained data from Tracer’s i-drive. Defense counsel provided Shumway with a list of search terms to run through the hard drive. After the initial search was performed, Shumway retrieved 35,485 documents that contained one or more of the search terms. Shumway then narrowed the search to any documents created between April 1, 1998, and April 1, 2001. This search resulted in 309 documents being produced. Upon .a review of the documents, Defense counsel
This case was then referred to me for the purpose of resolving all discovery disputes. In a June 4, 2008 Letter Order, Paper No. 106, the discovery deadline in this case was scheduled for August 15, 2008, and dispositive motions were to be filed by September 30, 2008. In an August 15, 2008 Joint Status Report, Paper No. 113, the parties stated:
Goodman intends to file a motion relating to spoliation of evidence and associated relief. Goodman believes that evidence was not preserved and that Praxair Services knew or should have known that there was potential for litigation with Goodman. Goodman believes that such evidence destroyed is relevant to the issues of this case and will impact on the disposition of the material issues.
Additionally, in a September 29, 2008 Memorandum in Support of the Motion for Summary Judgment, Goodman stated:
Goodman will shortly be filing a motion regarding spoliation, which will identify how Tracer should have known of a likelihood of litigation by 1999.... These issues will be further delineated in Goodman’s coming spoliation motion and as they come up in pleadings and proceedings. Goodman asks the Court to be mindful of this in considering the pending dispositive motions, as such inferences could remove any doubt as to whether summary judgment is warranted on some issues.
Pl.’s Mem. Supp. Mot. ¶¶ 1-2, Paper No. 117-2. On January 23, 2009, Goodman filed his Motion for Holding of Spoliation Sanctions. Tracer/PSI filed a Responsе, and Goodman filed a Reply.
II. Spoliation
As recognized in
Thompson v. U.S. Department of Housing & Urban Development,
Goodman has failed to identify any court order violated by Tracer/PSI in its alleged spoliation of evidence; accordingly, the Court’s ability to impose any sanction must derive from its inherent authority to regulate the litigation process, rather than from any sanction prescribed by the Federal Rules of Civil Procedure.
See, e.g., Sampson,
III. Timeliness of a Spoliation Motion
Preliminarily, Tracer/PSI asserts that Goodman’s Motion should be denied as untimely.
4
Citing
Media Communications, Inc. v. Multimedia, Sign Up, Inc.,
No. 99 C 5009,
Fed.R.Civ.P. 37 governs most motions for discovery sanctions, but it does not contain any specific reference to the timing of the filing of a motion seeking spoliation sanctions.
See McEachron v. Gians,
No. 98-CV-17(LEK/DRH),
The lesson to be learned from the cases that have sought to define when a spoliation motion should be filed in order to be timely is that there is a particular need for these motions to be filed as soon as reasonably possible after discovery of the facts that underlie the motion. This is because resolution of spoliation motions are fact intensive, requiring the court to assess when the duty to preserve commenced, whether the party accused of spoliation properly complied with its preservation duty, the degree of culpability involved, the relevance of the lost evidence to the case, and the concomitant prejudice to the party that was deprived of access to the evidence because it was not preserved.
See, e.g., Silvestri,
IV. Required Elements for Spoliation Sanctions
A party seeking sanctions for spoliation must prove the following elements:
(1) [T]he party having control over the evidence had an obligation to preserve it when it was destroyed or altered; (2) the destruction or loss was accompanied by a “culpable state of mind;” and (3) the evidence that was destroyed or altered was “relevant” to the claims or defenses of the party that sought the discovery of the spoliated evidence, to the extent that a reasonable factfinder could conclude that the lost evidence would have supported the claims or defenses of the party that sought it.
Thompson,
A. The Duty to Preserve — The Trigger Date
With respect to the first element, “[t]he duty to preserve material evidence arises not only during litigation but also extends to that period before the litigation when a party reasonably should know that the evidence may be relevant to anticipated litigation.”
7
Silvestri,
The mere existence of a dispute does not necessarily mean that parties should reasonably anticipate litigation or that the duty to preserve arises.
See Treppel v. Biovail Corp.,
[Goodman]: So, when you said I could more comfortably] live with our original agreement that was a response to my saying that we should not reduce the success fee?
[Marty]: That was if I felt like you had any role in achieving it, and after we got together with Mary Gade and Dick Wilson ... and they said they didn’t need you and you didn’t bring anything to the picture th[a]n [a] different ball game.
[Goodman]: Did you say that to me in this email?
[Marty]: No, because I hadn’t met ... Wilson ... at this point.
Tracer/PSI has characterized this exchange benignly, as merely “continuing the business relationship” between the parties. Def.’s Resp. 7. Goodman contends that it shows Tracer/PSI would only pay him the success fee “if he participated in the final meetings with [the] EPA, which was at [Marty’s] sole discretion based on whether Goodman’s ongoing participation would be needed[,] but did not communicate that caveat to Goodman in any way.” PL’s Mem. Supp. 7 (internal citations omitted). Thus, as Goodman sees it, preventing him from contacting the EPA would result in a “contract dispute from [November 1999] forward.” Id. This argument is tenuous at best, as it presupposes that Tracer/PSI had concluded that Goodman would never earn the right to resume contact with the EPA, and that it should therefore reasonably anticipate that Goodman would file suit regardless of whether the exemptions were ultimately obtained. Similarly, the March 2000 email exchange was insufficient to put Tracer/PSI on notice that a claim by Goodman was reasonably foreseeable. Goodman’s email said that he had “real questions,” which is vague, and would not, when objectively viewed, put Tracer/ PSI on notice of foreseeable litigation. In Goodman’s email, he complained that he could be “deprived of the chance to perform under [the] contract,” but this was in reference to Wilson failing to obtain the exemptions. Were this to happen, Goodman would still have been to able to argue that he was entitled to his success fee — if the exemptions were granted because of work that Goodman had done. Accordingly, the November 1999 email exchange was insufficient to trigger Tracer/PSI’s duty to preserve evidence.
Similarly, the December 2000 phone conversation between Goodman and Marty did not trigger the duty to preserve, as Marty testified she did not recall telling Goodman that Tracer/PSI would offer him $20,000 in exchange for a release of any
I do find, however, that the duty to preserve was triggered when Goodman sent his January 5, 2001 letter to Marty, because “[p]re-filing communications between the litigants can ... provide constructive notice that litigation is likely. Demand letters stating a claim may be sufficient to trigger an obligation to preserve.” Shira A. Scheindlin, Daniel J. Capra & The Sedona Conference,
Electronic Discovery and Digital Evidence: Cases and Materials
106 (2008). Relying on
Cache,
In
Cache,
plaintiffs counsel contacted the defense counsel, and stated that the defendant could possibly be infringing on one of the plaintiffs trademarks for its products. In a June 5, 2000 letter written to defense counsel, plaintiffs counsel stated that the defendant was engaging in a “very active marketing campaign [which could] present a situation that [might] become a very serious problem.”
B. The Duty to Preserve — The Key Players to the Litigation
Once a party reasonably anticipates litigation, it is obligated to suspend its routine document retention/destruction policy and implement a “litigation hold” to ensure the preservation of relevant documents.
Thompson,
[A]ny documents or tangible things (as defined by [Fed.R.Civ.P. 34(a)) ] made by individuals “likely to have discoverable information that the disclosing party may use to support its claims ordefenses.” The duty also includes documents prepared for those individuals, to the extent those documents can be readily identified (e.g., from the “to” field in e-mails). The duty also extends to information that is relevant to the claims or defenses of any party, or which is “relevant to the subject matter involved in the action.” Thus, the duty to preserve extends to those employees likely to have relevant information — the “key players” in the case.
Zubulake IV,
[Goodman]: Did you keep a hard copy file on the tracers project while you were working on it?
[Wilson]: I presumably did. My practice would be to have a working file with notes and documents and stuff like—
[Goodman]: Do you know what happened to the file?
[Wilson]: I don’t. I assume we disposed of it, you know, after a while, after the issue was resolved, eight years ago or whatever.
[Goodman]: How long after the project do you normally keep files?
[Wilson]: Whenever I get my drawers filled up and start — take the time to dispose of old stuff that I don’t need anymore. No particular practice.
[Goodman]: But is there any period of time during which you would refrain from disposing of it?
[Wilson]: No, not particular, no on, you know, an issue like this which — you know, some clients we have, we have sort of a continuing series of issues resolving, but this was a particular issue that we worked on and got resolved, so there was no particular reason to save the file.
[Goodman]: So, you don’t have any idea how long you might have had the file?
[Wilson]: I have no idea.
[Goodman]: Would your file have included your own notes relating to the project?
[Wilson]: Presumably, sure.
[Goodman]: Would you have better knowledge of the facts I have asked about if you had access to that file?
[Wilson]: Of course.
Wilson Dep. 95:13-97:2 (emphasis added). Because Tracer/PSI contends that Wilson and Gade were solely responsible for obtaining the exemptions, Wilson’s file clearly would contain highly relevant information:
[Def.’s counsel]: Okay. All right. Did Mr. Goodman’s work play any part in your obtaining relief for Tracer from the EPA?
[Wilson]: I can’t answer that. Without my file, I have no recollection one way or another as to the use we made of Mr. Goodman’s work. I don’t know to what extent we had been provided it.
[Def.’s counsel]: Did you consider Mr. Goodman’s work a key to your success with the EPA?
[Wilson]: I don’t recall.
[Def.’s counsel]: Do you believe that Mr. Goodman crafted the strategy that you had with the EPA?
[Wilson]: Again, I don’t recall. Obviously we feel like we created the strategy ourselves, but obviously we relied on a lot of resource material that was provided [to] us by Tracer. And without my file, I don’t know how much or what parts of that Mr. Goodman provided.
Id.
at 115:21-116:16 (emphasis added). The parties vehemently disagree over the exact nature of the business relationship between Tracer/PSI and Wilson. Good
What is meant by “control,” as used by
Silvestri
in the context of a spoliation claim, has yet to be fully defined. In
Silvestri,
a plaintiff suffered injuries after the airbags in his vehicle purportedly failed to deploy following an accident.
However, when considering Tracer/ PSI’s authority, vel non, over Wilson, helpful guidance is provided in the case of
In re NTL, Inc. Securities Litigation,
in
The concept of control as interpreted by
In re NTL, Inc. Securities Litigation
in the context of Rule 34 provides the closest analogy to control in connection with a spoliation issue, and applying it to this dispute, I conclude that Tracer/PSI did not have the sufficient legal authority or practical ability to ensure the preservation of documents prepared by Wilson. Apart from Goodman’s conclusory statements, no evidence has been presented to demonstrate that Tracer/PSI had any legal control over documents prepared or maintained by Wilsоn.
10
Further, Goodman has failed to show the existence of facts that would demonstrate a relationship between Tracer/PSI and Wilson comparable to the cooperative, file-sharing relationship between NTL Europe and New NTL from
I do find that the duty to preserve ap-plied to Marty, Golding, and Thompson, over whom Tracer/PSI undisputedly exercised control. First, Tracer/PSI acknowledges that Marty had an obligation to preserve relevant evidence. See Def.’s Resp. 11. Second, although their involvement in the project was somewhat limited, Thompson did have contact with Goodman when he started working on the project, and if Golding was responsible for answering technical questions for various individuals throughout the duration of the project, it could be relevant to know which individuals Golding had been contacting and what specific information he was providing.
With exception to any materials prepared by Wilson or Gade, Tracer/PSI had
C. Culpability
As for the second element, there are three possible states of mind that can satisfy the culpability requirement: bad faith/knowing destruction, gross negligence, and ordinary negligence.
Thompson,
[T]o justify the harsh sanction of dismissal, the district court must consider both the spoliator’s conduct and the prejudice caused and be able to conclude either (1) that the spoliator’s conduct was so egregious as to amount to a forfeiture of his claim, or (2) that the effect of the spoliator’s conduct was so prejudicial that it substantially denied the defendant the ability to defend the claim.
Sampson,
Goodman also has requested that the court issue an adverse jury instruction, or a series of fact-specific adverse jury instructions, at trial.
See
PL’s Mem. Supp. 25-28. In
Vodusek v. Bayliner Marine Corp.,
[T]he trial court has broad discretion to permit a jury to draw adverse inferences from a party’s failure to present evidence, the loss of evidence, or the destruction of evidence. While a finding of bad faith suffices to permit such an inference, it is not always necessary.... An adverse inference about a party’s consciousness of the weakness of his case, however, cannot be drawn merely from his negligent loss or destruction of evidence; the inference requires a showing that the party knew the evidence was relevant to some issue at trial and that his willful conduct resulted in its loss or destruction.
Id.
at 156 (emphasis added) (citations omitted). In
Vodusek,
the court found that the conduct of a plaintiffs expert in “ ‘employing] destructive methods which rendered many portions of the boat [at issue in the products liability case] useless for examination by the defendants and their experts’ ” was willful and required an adverse inference because the expert “ ‘ignored the possibility that others might have entertained different theories to which the destroyed portions might have been relevant.’ ”
Sampson,
Sampson
involved a plaintiff asserting a claim under Title VII of the Civil Rights Act of 1964, and alleging race discrimination and discrimination under the Americans with Disabilities Act based on defendant City of Cambridge’s failure to promote her to the position of Assistant Director of the Department of Public Works (“DPW”), and for retaliatory action.
The court stated that the “plaintiff did not present any evidence that would suggest that [the former Director] or anyone on behalf of defendant purposefully destroyed any documents on the hard drive.” Id. at 182. Further, there was no “evidence of a wiping utility being used or downloaded on to [the former Director’s] hard drive at any time or evidence that [a] program was used to delete or overwrite files.” Id. Thus, the plaintiff was unable to present any direct evidence that any of the defendant’s employees “intentionally or willfully deleted [the former Director’s] emails.” Id.
While Judge Gesner noted that the defendant’s efforts to retain relevant documents were not “exemplary,” she found there was no evidence of intentional destruction of evidence and an adverse jury instruction was unwarranted. Id.
In
Pandora,
the plaintiff filed suit against the defendant for alleged patent infringement of its jewelry design.
Based on the defendant’s failure to produce the list of email recipients during discovery, the plaintiff filed a motion for spoliation sanctions. Id. at *6. However, the court noted that the plaintiff offered no evidence, “other than [the defendant’s] failure to retain the emails, that [the defendant] deliberately deleted or destroyed evidence.” Id. at *9. Although the plaintiff could show the loss of the emails was a violation of the duty to preserve, this would not “necessitate a finding of willful or bad faith destruction.” Id. Accordingly, the court held that that the defendant was merely “grossly negligent in its failure to preserve evidence,” and because the plaintiff could not prove the relevancy of the lost evidence, an adverse jury instruction was not warranted. Id.
In contrast, the relevancy of Marty’s laptop is overwhelming, as Mary has stated, in the form of a signed affidavit, the following: “I
believed
that I retained
all
of the documents (emails, hard copy and electronic documents)
relevant
to the ‘project’ of
obtaining exemptions from the EPA for Tracer’s leak tracers and Mr. Goodman’s involvement in that ‘project’
in the file cabinet in my office.” Def.’s Resp. Ct. Order, Ex. 4 ¶ 13 (emphasis added). This is particularly troublesome. Marty had previously admitted that she mostly saved electronic documents onto her hard drive, rather than saving them to Tracer’s i-drive; therefore, by failing to preserve her computer, Tracer/PSI knew that the only relevant documents and emails produced by Marty detailing Goodman’s role in the project to obtain the EPA exemptions would be those she personally selected. I also find that Marty, acting on behalf of Tracer/PSI, willfully destroyed evidence that she knew to be relevant when she selectively deleted emails following Goodman’s January 5, 2001 letter.
16
Thus, taking into account Tracer/PSI’s destruction of Marty’s laptop and Marty’s deletion of emails, I hold that Tracer/PSI willfully destroyed evidence that it knew to be relevant. Accordingly, an adverse jury instruction against Tracer/PSI is warranted in this case as to the spoliation of Marty’s evidence.
17
Goodman’s request for a series of fact-specific adverse jury instructions
18
is denied, as Goodman fails to provide any authority to permit this Court to levy such a sanction against Tracer/PSI. Indeed, the specific “instructions” sought by Goodman would remove from the jury the ability to make any inferences at all and would be tantamount to instructing them to find in Goodman’s favor. Spoliation sanctions “should be molded to serve the prophylactic, punitive, and remedial rationales underlying the spoliation doctrine.”
Silvestri,
V. Costs and Attorney’s Fees
Goodman finally argues that the preservation and production of any relevant documents by Tracer/PSI would have “obviated the need for ... depositions.” Pl.’s Mem. Supp. 29. If Tracer/PSI had “preserved and produced Marty’s emails with Wilson, Goodman could have questioned Marty about them in her deposition, possibly obviating the need to depose Wilson.” Id. (emphasis added). Goodman also asserts that “[a]ll such discovery costs are compensable in cases of spoliation.... [He] is a non-lawyer with no previous experience in discovery, let alone spoliation issues, and has obviously needed to rely on legal advice from counsel in such matters. His discovery costs should be reimbursed by [Tracer/PSI], along with all costs related to this motion and the spoliation issue.” Id.
When ruling on a spoliation motion, courts will grant an award of costs or attorney’s fees in four situations. First, courts will award legal feеs in favor of the moving party as an alternative to dismissal or an adverse jury instruction.
See, e.g., Cache La Poudre Feeds, LLC,
The above-described third situation is most relevant to the instant matter;
19
however, Goodman’s Motion only has been granted in part and denied in part. Relying on Fed.R.Civ.P. 37(a)(5)(C) for guidance, the Court notes that if a motion is granted in part and denied in part, then a court
“may,
after giving an opportunity to be heard, apportion the reasonable expenses for the motion.”
Id.
(emphasis added). Accordingly, within ten days of issuance of this Memorandum Opinion, Goodman will file with this Court an itemized list of reasonable expenses associated with the filing of the instant Motion. In compiling this list, Goodman should take note that as a
pro se
litigant, he is not entitled to attorney’s fees.
See Arias-Zeballos v. Tan,
No. 06 Civ. 1268 GELKNF,
YI. Conclusion
In conclusion, Goodman’s Motion is granted in part and denied in part. Specifically, he is entitled to an adverse jury instruction fashioned by Judge Garbis with respect to Traeer/PSI’s failure to preserve Marty’s laptop and Marty’s failure to preserve her relevant emails and documents. The appropriate instruction would be a general adverse instruction that permits, but does not require, the jury to draw an adverse inference against Tracer/PSI as a result of its violation of the duty to preserve rеlevant evidence. All other requested relief is denied, with exception to Goodman being entitled to seek reimbursement for costs, exclusive of attorney’s fees, properly apportioned to the Motion filed and relief received. This Memorandum Opinion disposes of Paper Nos. 138-140.
Notes
. On April 10, 2008, this case originally was referred to me for resolution of discovery disputes. Paper No. 81. On March 31, 2009, this case was referred to me to conduct a settlement conference. Paper No. 151. In order to ensure that this Memorandum Opinion was based entirely on materials filed in court by the parties, it was prepared prior to reviewing the
ex parte
submissions of Goodman and Tracer/PSI. Accordingly, nothing in those submissions had any impact on the rulings in this Memorandum Opinion.
See Proa v. NRT Mid Atlantic Inc.,
. Any exhibits (including depositions, correspondence, and other materials) filed with the Court as part of Goodman's Motion were not submitted via the Court’s electronic CM/ECF filing system. As a result, all of the citations to Goodman's exhibits in this Memorandum Opinion will not have the accompanying Paper Numbers that are generated when exhibits are filed electronically. Further, in order to provide an accurate and thorough review of the facts of this case, I will frequently cite to pleadings, motions, exhibits, and attachments previously filed by the parties.
. Generally, under "section 211(f)” of the Clean Air Act, 42 U.S.C. § 7545(f)(1) (2009), a manufacturer of any fuel or fuel additive is prohibited from introducing into commerce, or from increasing the concentration in use of, any fuel or fuel additive manufactured after model year 1974 that is not “substantially similar to any fuel or fuel additive utilized in the certification of any model year 1975, or subsequent model year....” Section 7545(f)(4) notes such prohibitions may be waived if an applicant cаn establish “the emission products of such fuel or fuel additive ... will not cause or contribute to a failure of any emission control device or system....” Id.
. In addition, Tracer/PSI argues that the filing of Goodman's Motion constitutes a violation of D. Md. Local Rule 104.7, because Goodman failed to participate in a discovery conference with Tracer/PSI to potentially resolve the dispute and file a certificate with the Court attesting to their good faith efforts. It is not clear how a motion for spoliation sanctions could have been avoided in this case had Goodman sought to meet and confer with Tracer/PSI, given the frequency and magnitude of their disagreements over the instant issue.
. Some courts also have examined whether the spoliation motion “was made in accordance with Rule 37.”
McEachron,
.
See, e.g., Wilson v. Guardian Angel Nursing, Inc.,
No. 3:07-0069,
. In its Response, Tracer/PSI urges the Court to adopt the standard set forth in
Cache La Poudre Feeds, LLC v. Land O’Lakes, Inc.,
. In Goodman's Reply Memorandum, he asserts for the first time that the duty to preserve applied to Himmelstein, the NES consultant, Jim Bailey, Tracer's Vice-President of Sales and Marketing, and Tracer employees Karl Overmann and Pat Mumme. Goodman claims these employees were responsible for drafting "regulatory references and manuals,” and contacted Goodman to inform him of "status [sic] and logistics.” Pl.’s Reply 11. If this were true, then "[tjheir communications with the outside regulatory contacts, clients, etc.[,] would clearly be discoverable and likely relevant to this central issue."
Id.
Goodman also states "at least five Tracer staff commented on ... Goodman’s draft petition and his paper on Tracer’s environmental role,” yet he does not identify these individuals, nor does he explain how any of the drafts would providе information relevant to his claims.
See id.
at 12. Aside from Goodman's failure to identify the five Tracer employees, his attempt to expand the list of Tracer’s key players fails for a more fundamental reason' — • it may not be considered by the Court because it was first raised in Goodman's Reply Memorandum. Courts have broad discretion to decline to consider arguments or issues first raised in a reply brief.
See, e.g., Rasmussen v. Cal. DMV,
No. CV 08-1604-FMC (PLA),
.
See also In re WRT Energy Secs. Litig.,
. Tracer/PSI originally filed a copy of the "contract” with NES as an attachment to an exhibit in its Motion for Partial Summary Judgment, Ex. 1, Attach. A. In actuality, the , contract is a January 13, 2000 letter from Himmelstein to Marty, accepting Tracer’s offer to act as representatives throughout the duration of the project. The contract is silent as to whether Tracer/PSI would have possessory rights, access to, or control of any documents prepared and maintained by NES.
. In
Steele Software Sys., Corp.
v.
DataQuick Info. Sys., Inc.,
. In an attempt to underplay its violation of the duty to preserve, Tracer/PSI alleges that the "the dispute at issue involved a relative small universe of documents” and "there was no need for any company-wide formal litigation hold to preserve the evidence — because Marty preserved the evidence herself” by printing and saving “relevant” emails. See Def.’s Resp. 17. For example, Tracer/ PSI theorizes that very few relevant documents would exist because Tracer/PSI had already searched a retained server and only found "one responsive document," and nearly 2,530 pages of documents had already been produced to Goodman during the discovery phase. Id. at 17-18. This is wholly incorrect, as Tracer/PSI fails to recognize that the search results of the lone server, Marty's selective email printing process, or the previously produced documents could not encompass the entire universe of relevant documents that should have been preserved. The argument of an accused spoliator that it did not violate its duty to preserve evidence because it retained the "relevant” information and only deleted "irrelevant” information rings particularly hollow. The ultimate decision of what is relevant is not determined by a party’s subjective assessment filtered through its own perception of self-interest. In Tracer/PSI’s Response, it also states the following:
[I]t is relevant that Tracer was a small "mom and pop” company that did not have sophisticated information systems like those that may exist in companies today.... Moreover, e-Discovery protocols that exist routinely in cоmpanies today had yet to be developed. In fact, Zubulake, the leading case on this issue, was not decided until 2002 and 2003. In addition, the rules pertaining to electronically stored information were not incorporated into the Federal Rules of Civil Procedure until 2006.
Id.
at 25-26. As evidenced by this colloquy, Tracer/PSI ignores the fact that the "imposition of sanctions for spoliation has deep historic roots.”
Pastorello v. City of New York,
No. 95 Civ. 470(CSH),
. Goodman’s argument highlights an important difference between the duty to preserve and the duty to produce. Fed.R.Civ.P. 26(b)(2)(B) provides the following:
A party need not provide discoveiy of electronically stored information from sources that the party identifies as not reasonably accessible because of undue burden or cost. On motion to compel discoveiy or for a protective order, the party from whom discovery is sought must show that the information is not reasonably accessible because of undue burden or cost.
In accordance with the duty to preserve, Tracer/PSI retained 280 disaster recovery tapes and compact discs. If Goodman sought to have a key word search performed on the backup tapes, then he should have filed a motion to compel to search the backup tapes during discovery, rather than arguing that the "data ceasing to be reasonably accessible constitutes spoliation.”
See
Pl.’s Mem. Supp. 15;
see contra Treppel v. Biovail Corp.,
. In addition to
Silvestri,
Goodman argues the Court should draw parallels between the instant case and
Broccoli v. Echostar Commc’ns Corp., 229
F.R.D. 506.
See
Pl.’s Mem. Supp. 24 (“The destruction of the computers ... is comparable to the spoliation through lack of litigation hold in
Broccoli
(which resulted in adverse judgment)....”). This argument fails for two reasons. First, the facts of
Broccoli
are clearly distinguishable from the instant case. In
Broccoli,
a plaintiff alleged that an agent of the defendant company had sexually harassed him, then orchestrated his termination after he rebuffed her advances.
. In
Thompson,
this Court relied on the three-factor test from
Zubulake TV
as the standard for determining when a court should
. A party may be held responsible for the spoliation of relevant evidence done by its agents. See
New Jersey Mfrs. Ins. Co. v. Hearth & Home Techs., Inc.,
No. 3:06-CV-2234,
. The “precise contours” of the adverse jury instruction are best reserved for determination by Judge Garbis in making the jury charge for trial.
See Chan,
. Goodman's proposed fact-specific jury instructions range from "Tracer knew that it rightfully owed Goodman the success fee but refused to pay merely because it thought it could get away with it," to "Richard Wilson adopted Goodman’s arguments directly for his approaches to [the] EPA." PL's Mem. Specific Inferences 4, 9.
. The first situation is inapplicable to the instant matter, as the Court has granted an adverse jury instruction in Goodman’s favor; therefore, a punitive monetary award is not required. The second situation also bears no persuasive value; Goodman cannot recover any additional discovery costs because the Court has previously ruled that Goodman’s request to perform a keyword search on Tracer/PSI’s backup tapes must be denied. The fourth situation lacks relevancy because the Court cannot presume that Goodman, notwithstanding Tracer/PSI's spoliation, would not have chosen to depose Wilson.
