In this opinion, we resolve whether the district court erred in precluding the admission of evidence regarding damages as a sanction under Federal Rule of Civil Procedure (Rule) 37 for failure to disclose damage calculations under Rule 26(a). We conclude that the district court did not abuse its discretion and affirm on this issue. The remaining issues in this case are resolved in a contemporaneously filed memorandum disposition.
I.
BACKGROUND
Appellants Margaret Hoffman and Daniel Lopez were the .lead plaintiffs in an action brought against Appellee Construction Protective Services, Inc. (CPS), alleging a violation of the Fair Labor Standards Act (FLSA), and various provisions of the California Labor Code. An opt-in class was created under provisions of the FLSA, resulting in the Opt-in Plaintiffs joining the lawsuit.
Although the parties proceeded with conducting discovery, at no time prior to trial did Hoffman and Lopez disclose dam *1178 age calculations either for each individual Opt-In Plaintiff other than themselves or for the group as a whole. Prior to trial, CPS filed a motion in limine to exclude evidence not produced pursuant to Rule 26.
At the pre-trial conference, the court was expecting to proceed to trial on the claims of approximately sixty-six plaintiffs, including the Opt-In Plaintiffs. The number of plaintiffs concerned the court, a concern that grew as the court began to realize that Hoffman and Lopez’s counsel did not have a solid understanding of his clients’ damages.
Based on the confusion over damages and the court’s concerns, the court decided to take the motion in limine to exclude evidence under submission. The court was then presented with an oral motion to sever Hoffman’s and Lopez’s claims from those of the Opt-In Plaintiffs and allow the trial to proceed as scheduled on the severed claims. The court continued the pretrial conference to allow the parties to determine whether the case could be tried as scheduled.
Three days later, the court reconvened the pre-trial conference. The court began by noting its decision to exclude from trial all evidence of damages not relating to Hoffman and Lopez. The court then determined that it would be appropriate to sever Hoffman’s and Lopez’s claims from those of the Opt-In Plaintiffs due to potential factual differences relating to the claims brought under California law.
The court issued a written ruling on February 21, 2006. Its conclusions were consistent with the rulings made at the pre-trial conference, including the exclusion of damages evidence. The court made no mention of the severance or its potential effect on the upcoming trial. Trial began the same day, with the jury ultimately returning partial verdicts in favor of Hoffman and Lopez.
Hoffman, Lopez and the Opt-In Plaintiffs (collectively, Plaintiffs) appeal the exclusion of damages evidence and the award of attorney’s fees.
II.
STANDARDS OF REVIEW
Evidentiary rulings are reviewed for an abuse of discretion.
Engquist v. Oregon Dept. Of Agric.,
III.
DISCUSSION
A. Jurisdiction
We note at the outset that we have jurisdiction over this appeal. Prior to oral argument, our jurisdiction was not clear.
See McSherry v. Long Beach,
B. Due Process
Plaintiffs argue that the district court’s failure to enforce Local Rule 37-1 violated their due process rights by deny
*1179
ing them a meaningful opportunity to respond to CPS’s motion
in limine.
However, Plaintiffs were provided with a copy of the motion as well as an opportunity, which was taken, to file a brief in opposition and argue the motion before the district court. The basic requirements of due process were satisfied.
See generally, Schneider v. San Diego,
No pre-motion meeting was required in this instance. Local Rule 37-1 provides: “Prior to the filing of any motion relating to discovery pursuant to F.R.Civ.P. 26-37, counsel for the parties shall confer in a good faith effort to eliminate the necessity for hearing the motion or to eliminate as many of the disputes as possible.” To the extent that Local Rule 37-1 applies, it must “be consistent with — but not duplicate — federal statutes and rules.” Fed. R.Civ.P. 83(a)(1).
Rule 37(c)(1) provides that a party failing to provide information required by Rule 26(a) or (e) “is not allowed to use that information ... to supply evidence on a motion, at a hearing, or at a trial, unless the failure was substantially justified or is harmless.” As such, CPS’s motion in li-mine was not a motion “relating to discovery pursuant to[Rules] 26-37.” Local Rule 37-1. Rather, it was a motion relating to sanctions pursuant to Rule 37. Any local rule requiring a conference prior to the court’s imposition of sanctions under Rule 37(c) would be inconsistent with Rule 37(c) and, therefore, unenforceable.
C. Granting of Motion In Limine To Exclude Evidence of Undisclosed Damages
Rule 26(a)(l)(A)(iii) requires the disclosure of “a computation of each category of damages claimed by the disclosing party.” Rule 26(e)(1)(A) requires disclosing parties to supplement their prior disclosures “in a timely manner” when the prior response is “incomplete or incorrect.” “Rule 37(c)(1) gives teeth to these requirements by forbidding the use at trial of any information required to be disclosed by Rule 26(a) that is not properly disclosed.”
Yeti,
Under Rule 37, exclusion of evidence not disclosed is appropriate unless the failure to disclose was substantially justified or harmless.
Id.
at 1106. Plaintiffs assert that they were substantially justified in failing to disclose damage computations for each opt-in plaintiff because the law is unsettled as to the obligation to disclose such information on an individual basis in FLSA opt-in class actions. Although the district court accepted Plaintiffs’ argument that the right to individualized discovery in this context remains unsettled,
compare Adkins v. Mid-American Growers, Inc.,
Plaintiffs argue in the alternative that any failure to disclose was harmless because of the district court’s decision to sever the claims of the Optr-In Plaintiffs. We disagree. Later disclosure of damages would have most likely required the court to create a new briefing schedule and perhaps re-open discovery, rather than simply set a trial date. Such modifications to the court’s and the parties’ schedules supports a finding that the failure to disclose was not harmless.
See Wong v. Regents of the Univ. of Cal.,
Finally, we reject the notion that the district court was required to make a finding of willfulness or bad faith to exclude the damages evidence. To the contrary, the portion of Rule 37 relied on by the district court has been described as “a self-executing, automatic sanction to provide a strong inducement for disclosure of material.”
Yeti,
Affirmed.
