MEMORANDUM OPINION
Presently pending and ready for review in this copyright case are: (1) the motion of Defendant Alan Artino for summary judgment (Paper 32); (2) the cross-motion of Plaintiff John F. Thomas for summary judgment (Paper 33); (3) Defendant’s motion for leave to file a surreply (Paper 36); and (4) the motion to withdraw as attorney by counsel for Defendant Alan Artino (Paper 42). The issues are fully briefed and the court now rules, no hearing being deemed necessary. Local Rule 105.6. For the following reasons, Defendant’s motion for summary judgment will be denied as to Plaintiffs copyright infringement claim and will be granted as to Plaintiffs unjust enrichment and conversion claims, the parties will have an opportunity to brief the issue of vicarious liability for copyright infringement, Defendant’s motion for leave to file a surreply will be denied, and Defendant’s counsel’s motion to withdraw as attorney for Defendant will be reserved.
I. Background
Except where noted, the following facts are undisputed. Plaintiff John F. Thomas (“Thomas”) is a resident of Maryland. (Paper 1 ¶ 2). Defendant Alan Artino (“Artino”) is a resident of Maryland. (Id. at ¶ 3).
In early 2003, Defendant initiated contact with Plaintiff to provide architectural services for repair and remodeling of Defendant’s home, located at 411 Valley Brook Drive, Silver Spring, Maryland (the “Home”).
(Id.
at ¶ 9). On or about March 18, 2003, Plaintiff attended an initial meet
On March 28, 2003, Plaintiff met with McConkey and McLane and presented them with the contract and Drawings. (Paper 32, Attach. 1 at ¶ 6). McConkey informed Plaintiff that McConkey would sign and execute the contract for Plaintiffs services. McConkey and Plaintiff signed two contracts for Plaintiffs services, one for the remodel of the house and one for a site plan for outdoor features, including a patio, deck, and fence. (Paper 32, Attachs. 4 and 5). Defendant did not sign either contract. (Paper 32, Attach. 3, at 27-28). Plaintiff and Defendant did not have a written agreement concerning the scope or performance of the Home’s remodeling. On May 23, 2003, Plaintiff, Defendant, Mrs. Artino, McConkey, and McLane met at the Home. During the meeting, Mrs. Artino shared changes that she wanted made to Plaintiffs design. (Id. at 46).
On or about October 23, 2003, McConkey requested Plaintiffs help in getting a building permit for the Home. Plaintiff obtained Building Permit No. 315022 from the Montgomery County Department of Permitting Services (the “Department”) on October 29, 2003. Plaintiff asserts that he was required by law to submit the Drawings to the Department to obtain the permit. (Paper 33, at 3, ¶ 6; Paper 1 ¶ 19). In early November 2003, McConkey told Plaintiff that Defendant was going through a divorce, had decided to abandon the project, and refused to pay Plaintiff for his work. (Paper 32, Attach. 1 ¶ 20) (citing Paper 1 ¶ 20). Plaintiff asserts that he did not deliver the Drawings or the permit to Defendant because Defendant had not paid for them. (Paper 1 ¶¶ 22-23).
Plaintiff first filed suit against Defendant in a Maryland circuit court, seeking a mechanic’s lien. Thomas v. Artino, Case. No. 248356V (Md.Cir.Ct.2004). Plaintiff states that the suit was dismissed because a mechanic’s lien is not available for architectural works. (Paper 33, at 3, n. 1).
Plaintiff filed a second suit against Defendant in the Circuit Court for Montgomery County on June 24, 2004. Thomas v. Artino, Case. No. 252875V (Md.Cir.Ct.2004). Plaintiffs complaint alleged breach of contract for Plaintiffs base fee of $25,000 and for compensation for Plaintiffs work on Mrs. Artino’s requested changes to the Drawings, other changes to the Drawings, obtaining the building permit, and for other miscellaneous expenses. (Paper 32, Attach. 6 ¶¶ 10-29). The case was dismissed October 5, 2005. (Paper 32, Attach. 7).
On February 22, 2006, Plaintiff filed a third suit against Defendant in the Circuit Court for Montgomery County, Maryland. Thomas v. Artino, Case No. 269398V (Md.Cir.Ct.2006). The court entered an order granting Defendant’s motion for summary judgment and dismissing Plaintiffs complaint on December 20, 2006. (Paper 32, Attach. 9). Plaintiff asserts that this case was “dismissed without prejudice when Plaintiffs prior attorney failed to answer Defendant’s summary judgment motion.” (Paper 33 at ¶ 8, n. 1).
On January 2, 2008, Plaintiff sued Defendant in this court alleging copyright infringement, breach of contract, conver
On August 18, 2008, Plaintiff filed another complaint in this court against Defen-, dant and Clark Associates Architects alleging copyright infringement, breach of contract, conversion, tortious interference with contract, and unjust enrichment. 1 (Paper 1). Plaintiffs complaint alleged that, during 2007, Defendant remodeled the Home with the Drawings. (Paper 1 ¶ 25).
Defendant filed an answer to the complaint in which he asserted a counterclaim for attorney’s fees arising from the prior litigation under the remedies provision of the Copyright Act, 17 U.S.C. § 505. On Plaintiffs motion, the counterclaim was dismissed. (Papers 21 and 22).
Documents produced during this litigation yielded the following facts: Department records show that on May 4, 2005 an applicant with the name “Alan Artino” made a public information request for a copy of the building plans associated with building permit 315022. (Paper 33, Attach. 3). Department records show that the copy was paid for by check number 6931 drawn on the account of Alan Artino, LLC. (Paper 33, Attach. 4). Defendant produced a check from the account of Alan Artino, LLC, which is addressed to Montgomery County Maryland and bears the check number 6931. (Paper 33, Attach. 5). On June 29, 2005, the Department issued building permit 384606, which granted Francisco Delgado permission for “alteration and 200 sq. ft. & addition” work on the Home. (Paper 33, Attach. 6). Defendant produced a copy of the Drawings to Plaintiff, which bears the number 315022 on the lower left-hand corner on each page and the number 384606 on the right side of each page. (Paper 33, Attach. 7).
II. Motions for Summary Judgment
A. Standard of Review
It is well established that a motion for summary judgment will be granted only if there exists no genuine issue as to any material fact and the moving party is entitled to judgment as a matter of law.
See
Fed.R.Civ.P 56(f);
Celotex Corp. v. Catrett,
When ruling on a motion for summary judgment, the court must construe the facts alleged in the light most favorable to the party opposing the motion.
See Scott v. Harris,
When faced with cross-motions for summary judgment, as in this case, the court must consider “each motion separately on its own merits to determine whether either of the parties deserves judgment as a matter of law.”
Rossignol v. Voorhaar,
B. Analysis
1. Count I (Copyright Infringement)
Copyright protection extends to “original works of authorship fixed in any tangible medium of expression.” 17 U.S.C. § 102. A copyright holder has certain exclusive rights to the work, including the right to reproduce all or any part of the copyrighted work.
Id.
§ 106. One infringes a copyright when he or she violates one of the exclusive rights to a work held by a copyright owner, and the owner has the right to sue for infringement.
See
17 U.S.C. § 501. To establish a prima facie case of copyright infringement, a plaintiff must demonstrate that (1) “he owned the copyright to the work that was allegedly copied,” and (2) “the defendant copied protected elements of the work.”
Bouchat v. Baltimore Ravens, Inc.,
Defendant argues that he should be granted summary judgment on Plaintiffs copyright infringement claim, arguing that Plaintiff has not proven that he owns a copyright of the Drawings because Plaintiff did not produce a copy of the application, file, or deposit that was filed in the Copyright Office. (Paper 34, at 2-3). Secondly, Defendant denies that he or anyone acted with his authorization to copy whatever work Plaintiff may have registered. Additionally, Defendant maintains that that the court must undertake side-by-side comparison of the copyrighted material and the alleged copy. (Paper 34, at 3). Defendant also argues that Plaintiff needed to provide photographs of the finished Home to the Copyright Office to register the architectural work. (Id. at 4). Plaintiff counters that, not only is Defendant not entitled to summary judgment on his copyright infringement claim, but that he is.
Plaintiff contends that his registration certifícate establishes that he owns a valid copyright to the Drawings. (Paper 33, at 7). Until 1990, architectural works could be registered only as “technical drawings” under the category of “pictorial, graphic, and sculptural works.” 17 U.S.C. § 102(a)(5). In 1990, Congress enacted the Architectural Works Copyright Protection Act, which extended copyright protection to “architectural works” as a new category of authorship. 17 U.S.C. 102(a)(8); 3
Nimmer, supra,
§ 2.20. An “architectural work” is defined as “the design of a building as embodied in any tangible medium of expression, including a building, architectural plans, or drawings” taking into consideration “the overall form as well as the arrangement and composition of spaces and elements in the design.” 17 U.S.C. § 101. It is well-settled that architectural drawings receive copyright protection under both 17 U.S.C. § 102(a)(5) and § 102(a)(8).
See Leicester v. Warner Bros.,
The first element requires an analysis of whether the plaintiff has a registration certificate and whether the copyrighted work is sufficiently original to warrant copyright protection.
Feist Publ’ns, Inc. v. Rural Tel. Serv. Co.,
Plaintiff provided his certificate of registration for an “architectural work,” which was assigned the registration number VAu 964-802. (Paper 1, Attach. 3). Plaintiff also identified the technical drawings produced in discovery bearing Bates numbers T1000-23 as the work that he registered with the Copyright Office. (Paper 35, at 2; Paper 1, Attach. 1 ¶¶ 3, 5). Plaintiff has established a presumption of the validity of his copyright for the Drawings by presenting his registration certificate. Defendant’s attempts to rebut this presumption fail. Defendant has not cited any cases that state that Plaintiff must provide the application, file, deposit, or a “certified copy” of the registered work to prove that he holds the copyright. Thus, there is uncontradicted evidence that Plaintiff owns the copyright to the Drawings.
b. Copying
A plaintiff may prove the second element — -that the protected elements of
To prove access, the copyright holder need not show that the allegedly infringed work was actually accessed.
Robert R. Jones Assocs., Inc. v. Nino Homes,
A court’s evaluation of substantial similarity “should be based on the ordinary and reasonable layperson’s overall impression of the two works, not on a detailed comparison of the two works, focusing on the individual differences.”
Richmond Homes Mgmt., Inc. v. Raintree, Inc.,
In the context of architectural design, substantial similarity has been understood to require the plaintiff to show only that a substantial part of the allegedly infringed design was copied, not that every element of the plaintiffs design was copied.
Richmond Homes,
In this regard as well, the evidence is uncontradicted and establishes that protected elements of Plaintiffs copyrighted work were copied. First, Defendant or someone working for Defendant had access to Plaintiffs Drawings. Department records show that a copy of the Drawings was applied for by a person named Alan Artino and that the copy was paid for by a check drawn on the account of Alan Artino, LLC. Defendant produced the check from his business files, which matches up with the Department’s records. Defendant also produced a copy of the Drawings. The first page of the copy of the Drawings produced by Defendant bears a Department stamp and signature that states, “Copy provided by the Department of Permitting Services” in the amount of twenty-three, pages on May 3, 2005. (Paper 33, Attach. 7, at 1).
Second, the copy of the Drawings that Defendant produced is substantially similar to Plaintiffs copyrighted work. Defendant’s copy of the plans has two building permit numbers written on each page: the number of the original building permit which Plaintiff obtained on behalf
Therefore, Plaintiff has established that protected elements of Plaintiffs copyrighted work were copied.
c. Defendant’s Liability
The only truly disputed element of the copyright claim is whether Defendant can be held liable for the unauthorized copying. Defendant denies under oath that he or anyone authorized by him copied Plaintiffs Drawings. Defendant also denies that he has any knowledge of whether Plaintiffs copies were used to remodel the Home. Plaintiff argues that he has established that Defendant is responsible for the copying based on the following evidence: the May 2005 application for the building plans bore Defendant’s name as the applicant, the county’s receipt for the plans recorded payment by check 6931, and the check written to Montgomery County and numbered 6931 was drawn on the account of Alan Artino, LLC. (Paper 33, at 7). In regard to Defendant’s agency argument, Plaintiff asserts that, assuming Defendant did not copy the drawings, Defendant ratified the actions of any general contractor who copied the Drawings and used them to remodel the Home. (Paper 35, at 5).
In response to Plaintiffs requests for admissions, Defendant denied obtaining a copy of the Drawings, paying for the copy of the Drawings, and using the Drawings to remodel his property. (Paper 33, Attach. 12 ¶¶ 1-3). Defendant’s reply brief addresses the check that bore Defendant’s name that was used to pay the Department for a copy of the Drawings, noting:
The only ‘physical evidence’ that on its face even arguably ties Mr. Artino to the alleged copyright infringement is Exhibit T4, ‘check No. 6931 drawn on the account of Alan Artino LLC.’ But there is no nexus. The signature on the check is not that of Alan Artino. (Artino Declaration, ¶ 5). Furthermore, as it is readily apparent, the check was altered and not by Mr. Artino. In any event, Alan Artino LLC is not the defendant in this action, and the house is owned by Alan Artino individually, not Alan Artino, LLC. Id. at ¶ 6.
(Paper 34, at 6). Defendant also argues that if an independent contractor copied the Drawings, Plaintiff cannot prove agency to hold Defendant liable.
2
(Paper 34, at
d. Resolution of Cross-motions
From the foregoing discussion, it follows that Defendant’s motion for summary judgment on Plaintiffs copyright claim will be denied. On this record, Defendant has not established, as a matter of law, that Plaintiff is not entitled to relief. On the other hand, Plaintiff has established as a matter of law that he owned the copyrighted work and that it was copied. There appear to be disputed facts concerning whether Defendant is personally responsible for the copying directly or through an agent. There is another theory of liability recognized in copyright jurisprudence that has not been discussed by the parties, vicarious liability. Under that theory, if the defendant possessed the right and ability to supervise the infringing conduct and had an “obvious and direct financial interest in the exploitation of copyrighted materials,” he may be liable. Lack of knowledge is not a defense.
See
3
Nimmer on Copyright
§ 12.04 (2010);
Nelson-Salabes, Inc. v. Morningside Development, LLC,
2. Counts III (Conversion) and VI (Unjust Enrichment)
Defendant argues that Plaintiffs conversion and unjust enrichment claims are preempted by the Federal Copyright Act (“FCA”). (Paper 32, Attach. 1, at 27). Defendant contends that Plaintiffs conversion claim is based on rights conferred by the FCA, specifically the right to reproduce work.
Id.
(citing 17 U.S.C. § 106). Defendant maintains that when a plaintiffs claim is for the reproduction of his copyrighted work, the conversion claim is preempted by the FCA.
Id.
at 28 (citing
Yost v. Early,
Plaintiff counters that his conversion claim is not preempted by the FCA. Plaintiff states that conversion is defined as “any unjustified exercise of dominion over property by one who is not the owner of the property and who is not entitled to possession of the property which interferes with the right to possession of another who is lawfully entitled to such possession.” (Paper 33 at 10) (citing
Citizens Nat. Bank v. Osetek,
The FCA incorporates an explicit preemption provision, which states:
On and after January 1, 1978, all legal or equitable rights that are equivalent to any of the exclusive rights within the general scope of copyright as specified by section 106 in works of authorship that are fixed in a tangible medium of expression and come within the subject matter of copyright as specified by sections 102 and 103, whether created before or after that date and whether published or unpublished, are governed exclusively by this title. Thereafter, no person is entitled to any such right or equivalent right in any such work under the common law or statutes of any State.
17 U.S.C. § 301(a). The breadth of this provision is circumscribed by section 301(b), which provides in pertinent part:
Nothing in this title annuls or limits any rights or remedies under the common law or statutes of any state with respect to ... activities violating legal or equitable rights that are not equivalent to any of the exclusive rights within the general scope of copyright as specified in section 106.
To complete the statutory framework, section 106 sets forth the exclusive rights that an owner enjoys in copyrighted works as: (1) the right to reproduce the copyrighted work; (2) the right to prepare derivative works; (3) the right to distribute, by sale or otherwise, copies of the copyright work; (4) with respect to particular types of artistic works, the right to publicly perform them; and (5) the right to publicly display the copyrighted works. 17 U.S.C. 106(1)-(5).
The test for preemption under the FCA is a two-part analysis: “first, the work must be ‘within the scope of the “subject-matter of copyright” as specified in 17 U.S.C. §§ 102, 103,’ and second, ‘the rights granted under state law’ must be ‘equivalent to any exclusive rights within the scope of federal copyright as set out in 17 U.S.C. § 106.’”
U.S. ex rel. Berge v. Board of Trustees of the University of Alabama,
As stated above, Plaintiffs Drawings are copyrightable as architectural works under 17 U.S.C. § 102(a)(8). The parties disagree on whether the rights granted under Maryland law for conversion and unjust enrichment claims are equivalent to any exclusive rights within the scope of federal copyright under 17 U.S.C. § 106.
A conversion claim under Maryland law “requires not merely temporary interference with property rights, but the exercise of unauthorized dominion and control to the complete exclusion of the rightful possessor.”
Yost,
The second prong of the preemption test is satisfied unless there is an “extra element” that changes the nature of the state law action so that it is “qualitatively different from a copyright infringement claim.” Rosciszewski [v. Arete Associates, Inc.,] 1 F.3d [225,] 229-30 [ (4th Cir.1993) ] (emphasis in original) (internal quotation marks and citation omitted); see also Trandes Corp. v. Guy F. Atkinson Co.,996 F.2d 655 , 659-60 (4th Cir.), cert. denied,510 U.S. 965 ,114 S.Ct. 443 ,126 L.Ed.2d 377 (1993). It is hornbook law that a “state law action for conversion will not be preempted if theplaintiff can prove the extra element that the defendant unlawfully retained the physical object embodying plaintiffs work.” Paul Goldstein, Copyright, Patent, Trademark and Related State Doctrines 777 (3d ed. 1993) (quoting Paul Goldstein, Copyright (1989)); see also Melville B. Nimmer & David Nimmer, Nimmer on Copyright § 1.01[B] (l)(i) (1995) (“The torts of conversion and trespass relate to interference with tangible rather than intangible property ....”).
Berge,
To determine whether “a particular cause of action involves rights equivalent to those set forth in § 106” and is thus preempted, or whether an “extra element” is present such that preemption does not occur, “the elements of the causes of actions should be compared, not the facts pled to prove them.”
Trandes Corp.,
Plaintiffs allegations regarding the Drawings focus on their alleged misuse by Defendant, which involved copying the plans and then using them to obtain a building permit from the Department. The rights to reproduce a copyrighted work, to distribute the work, and to prepare derivative works are guaranteed by the FCA. Plaintiff does not seek relief for the actual physical deprivation of the Drawings, but for the subsequent actions taken with a copy of the Drawings. Plaintiffs conversion claim alleges only the unlawful retention of Plaintiffs intellectual property rights and is therefore preempted by the FCA.
Under Maryland law, to sustain a claim of unjust enrichment, three elements must be established:
1. A benefit conferred upon the defendant by the plaintiff;
2. An appreciation or knowledge by the defendant of the benefit; and
3. The acceptance or retention by the defendant of the benefit under such circumstances as to make it inequitable for the defendant to retain the benefit without payment of its value.
Yost,
An “infringer” always accepts the benefits of the copyrighted work without properly compensating the creator which makes it unjust for the “infringer” to retain the benefits. Therefore, a cause of action for unjust enrichment is an “equivalent right” to those protected under the Federal Copyright Act and is preempted. See 1 Nimmer on Copyrights § 1.01[B] at 1-22 (1990).
Yost,
Plaintiff does not contend that Defendant was enriched by anything other than his unauthorized reproduction and creation of derivative works from Plaintiffs Drawings. Plaintiffs unjust enrichment claim is not qualitatively different from a copyright infringement claim and consequently is preempted by Section 301. 3
III. Motion to Withdraw as Attorney
Two of Defendant’s counsel, David S. Taylor and Matthew Stavish, ask the court to allow them to withdraw from their representation of Defendant because of irreconcilable differences and because Defendant has ceased communicating with and responding to communications from counsel. (Paper 42, at 1). Plaintiff opposes unconditional withdrawal of Defendant’s counsel and asks the court to require counsel to correct Defendant’s responses to certain requests for admissions and interrogatories before allowing counsel to withdraw. (Paper 43, at 1-3). Defendant’s counsel reject Plaintiffs request for corrections, noting that discovery has closed, Plaintiff did not file a motion to compel, and that Defendant has ceased communications with counsel so any corrections and Defendant’s signature are unobtainable. (Paper 44, at 1).
Local Rule 101.2(a) states:
In the case of an individual, appearance of counsel may be withdrawn only with leave of Court and if (1) appearance of other counsel has been entered, or (2) withdrawing counsel files a certificate stating (a) the name and last known address of the client, and (b) that a written notice has been mailed to or otherwise served upon the client at least seven (7) days previously advising the client of counsel’s proposed withdrawal and notifying the client either to have new counsel enter an appearance or to advise the Clerk that the client will be proceeding without counsel. If the withdrawal of counsel’s appearance is permitted, the Clerk shall notify the party that the party will be deemed to be proceeding pro se unless and until new counsel enters an appearance on behalf of the party.
Although Defendant’s counsel have fulfilled the requirements of Local Rule 101.2(a) and (b), as they has certified Defendant’s name and last known address and provided Defendant with at least seven days notice of their intent to move for withdrawal and that Defendant would have to find other counsel or notify the clerk that he is proceeding pro se. (Paper 42, at 1-2), resolution of this motion will be deferred. As Defendant’s counsel have noted, they cannot correct the record without their client’s approval, which is not possible because their client has stopped communicating with counsel. On the other hand, the court is requiring additional briefing on the vicarious liability issue and Mr. Kaminow’s continuing role in the case is unclear. Accordingly, it would be prudent to defer ruling until those issues are clarified.
IV. Conclusion
For the foregoing reasons, Defendant’s motion for summary judgment will be de
Notes
. Plaintiff filed a motion to dismiss Defendant Clark Associates Architects from this case, which was granted on March 10, 2009. (Paper 19).
. Defendant filed a motion for leave to file a surreply. (Paper 36). Surreply memoranda are not permitted unless otherwise ordered by the court, pursuant to Local Rule 105.2(a). "Surreplies may be permitted when the moving party would be unable to contest matters presented to the court for the first time in the opposing party’s reply.”
Khoury v. Meserve,
. Plaintiff argues that the court should adopt the approach of
Schuchart & Associates, Professional Engineers, Inc. v. Solo Serve Corp.,
