Aрpellant attorney, Berney L. Strauss, was sanctioned under Federal Rule of Civil Procedure 11 by the district court on its own initiative for filing a lawsuit on behalf of Donna Thornton against General Motors, Inc. for punitive damages without first having made a reasonable inquiry into the facts underlying Thornton’s claim. In imposing the sanсtions, the district court suspended Strauss from the practice of law before the Western District of Louisiana for two years and ordered him to reimburse General Motors, Inc. its reasonable attorney’s fees incurred in defending the suit. This appeal concerns only the propriety of the impositiоn of sanctions upon Strauss, Thornton having failed to file a timely appeal from the district court’s summary judgment dismissing her complaint. We reverse and vacate the district court’s sanctions order.
Federal Rule of Civil Procedure 11(c)(1)(B) requires that, when the district court itself initiates sanctions proceedings, it shаll enter an order describing the specific conduct that appears to violate Rule 11(b) and directing the attorney to show cause why he has not committed a violation with respect to that specific conduct. In the present case, the district court entered a show cause оrder that did not describe the specific conduct for which it subsequently sanctioned Strauss. Accordingly, the district court did not, prior to imposing sanctions, afford Strauss adequate notice to afford him an opportunity to *452 respond to charges of specifically described conduct as presсribed by Rule 11(c)(1)(B).
Facts and Proceedings Below
Donna Thornton, was employed by General Motors Corporation (“GMC”) at its headlamp manufacturing plant in Monroe, Louisiana. Thornton worked in an area called the “BAT Room” (Base Coat/Aluminize/Top Coat Room) where headlamp housings are cleaned and painted. In this process the chemical n-Butyl Acetate is used as a solvent for the paint and as a wash to clean the housings. On April 8, 1994, Thornton was hospitalized and received treatment after reporting to the GMC infirmary complaining of dizziness, nausea, vomiting, and exhibiting a skin rash. Another GMC employee, Arlene Young, who wоrked near Thornton, was also hospitalized after she too broke out in a rash. Subsequently, GMC discovered that in the area in which Thornton and Young worked a filter canister containing n-Butyl Acetate had developed a crack and was emitting fumes into the BAT room.
On February 17, 1995, Thornton met with an attorney, Bemey Strauss, in New Orleans and sought legal representation in connection with her April 8, 1994 accident and resulting injuries. Strauss discussed with Thornton the evénts surrounding her hospitalization and reviewed documents provided by her relating to both GMC’s reaction to the leak and the properties of n-Butyl Acetate. A GMC service report verified that two employees had been admitted to the hospital for chemical exposure on April 8, and a “Material Safety Data Sheet” (“MSDS”) revealed the hazardous nature of n-Butyl Acetate. In addition, the GMC document confirmed other key components of Thornton’s story — that а crack had developed in a “solvent wash” canister and that it had resulted in the release of n-Butyl Acetate. The report, signed by Brace DeBruhl, GMC’s senior manufacturing engineer, referred to the leak as a “safety problem.” Thornton also told Strauss that, following the accident, DeBruhl disclosed to her that her supervisors “should have” detected the leak hours before they did.
On March 20, 1995, Strauss filed a complaint on Thornton’s behalf in United States District Court for the Western District of Louisiana seeking punitive damages from GMC under Louisiana Civil Code article 2315.3 in connection with her accident. Article 2315.3 allowed for an award of exemplary (or punitive) damages in cases of wanton or reckless disregard for the public safety in the storage, handling, or transportation of hazardous or toxic substances. The complaint alleged that Thornton’s injuries were the result of the defendant “failing to .maintain” machinery, “failing to take proper precautions” to prevent toxic emissions, “failing to rectify a known hazard,” and, lastly, requiring Thornton to work in an area known to be dangerous by GMC. These acts and omissions, Thornton claimed, constituted a “wanton or reckless disregard for the public safety.”
Following discоvery, GMC moved for summary judgment on March 14, 1996. GMC asserted that Thornton had not presented a genuine issue of material fact that her injury was based on the “wanton or reckless” conduct of the company as required by La.Civ.Code art. 2315.3 under its interpretation by the Louisiana state supreme court in
Billiot v. B.P. Oil Co.,
Previously, on April 4, 1996, the district court, on its own initiative, had ordered Ber-ney L. Strauss to show cause why he had not violated Federal Rule of Civil Procedure 11(b). The district court’s order and reasons stated:
The court, pursuant to F.R.C.P. Rule 11(c)(1)(B), hereby ORDERS Berney L. Strauss to show causе why he has not violated subsections (b)(2) and (3) of this rule.
Berney L. Strauss is ORDERED to produce evidence that supports a claim pursu *453 ant to La. Civ. code art 2315.3 and which meets the standards set forth in Billiot v. B.P. Oil Co.,645 So.2d 604 (La.1994), for seeking punitive damages under Article 2315.3. Mere argument by Mr. Strauss will not be sufficient. Rule 11(b)(2) and (3) require that Mr. Strauss have a reasonable basis in fact to support a claim under Article 2315.3. To this point, Mr. Strauss has not produced any evidence which supports making a claim for $10,000,000 in punitive damages under 2315.3. Thus, Mr. Strauss is ORDERED to produce evidence to show cause why he should not be sanctioned under Rule 11(b).
After reviewing Strauss’ written response, the district court, on Junе 21,1996, issued an order sanctioning Strauss by suspending him from the practice of law in the Western District of Louisiana for two years and by ordering him to reimburse GMC its reasonable attorney’s fees incurred in defending this- suit. The district court, however, did not quantify the amount of attorney’s fees. Subsequently, and prior to a final determinatiоn as to the amount of attorney’s fees owed, Strauss filed a timely appeal from the district court’s order sanctioning his conduct.
Jurisdiction
While neither party contests this court’s jurisdiction to entertain this matter, we are obligated to satisfy ourselves that appellate jurisdiction is proper.
See Silver Star Enterprises, Inc. v. M/V Saramacca,
We believe that the two sanctions ordered by the district court are severable with respect to the issue of finality.
See John v. Barron,
Considering the finality of at least one aspect of the district court’s sanction order, both parties urge this сourt to exert pendant appellate jurisdiction over the normally unappealable attorney’s fees liability order.
See Gilda Marx, Inc. v. Wildwood Exercise, Inc.,
Analysis
The district court’s sаnctions ruling stated that it had initiated the sanctions proceeding “[d]ue to the complete absence of evidence produced by Thornton in response to GM’s motion [for summary judgment].” Consistent with this reasoning, the district court’s show cause order had directed Strauss “to produce evidence that supports” Thornton’s claim, because “Rule 11(b)(2) and (3) require that Mr. Strauss have a reasonable basis in fact to support” the claim, and “[t]o this point, Mr. Strauss has not produced any evidence which supports making” the claim.
The district court’s show cause order did not allege that Strauss failed to make a reasonable inquiry prior to filing suit or that' this was the sрecific conduct that appeared to have been a violation of Rule 11(b). Instead, the district court’s show cause order cited Strauss for his general conduct in failing to produce evidence in support of Thornton’s claim prior to the district court’s ruling on GMC’s motion for summary judgment. Strauss argues, with merit, that he reasonably read the court’s show cause order to call upon him to produce evidence supporting Thornton’s claim as of the time he opposed GMC’s motion for summary judgment, not to show that he had made a reasonable inquiry before filing the initial complaint, the lack of which the court’s order ultimately found was Strauss’ only omission that called for sanctions.
Given the timing of the court’s ruling and the lack of precision in the show cause order, we do not believe that Strauss was adequately placed on notice as to the “specific conduct” that the court ultimately fоund to be sanctionable. Four days before granting GMC’s motion for summary judgment, the district court issued the show cause order demanding “evidence” of GMC’s liability and lamented the lack of evidence that had been produced “[t]o this point.” Although the court invoked subsection (b)(2) and (3) of Rule 11 and indicated that it found Thorntоn’s claim lacked a reasonable basis in fact, these references do not sufficiently clarify what conduct Strauss needed to explain and justify in his response to the court.
As a consequence of the court’s action, Strauss was misled and hampered in presenting his defense. The district court’s sаnctions order evaluated his pre-filing conduct according to the factors elucidated by the
en banc
court in
Thomas v. Capital Sec. Serv., Inc.,
Despite the show cause order’s failure to notify Strauss adequately that he might be sanctioned for a pre-complaint failure to investigate rather than a failure to produce evidence in response to a motion for summary judgment, the court found that Strauss had violated Rule 11(b) by not conducting a reasonable investigation of the evidence supporting the claim prior to initially filing suit. Thus, the show cause order did not comply
*455
with Rule 11(c)(1)(B) which provides- that, when a trial court itself initiates the proceedings for sanctions, it shall “enter an order describing the specific conduct that appears to violate subdivision (b)[the substantive subdivision of the Rule] and directing an attorney, law firm, or party to show cause why it has not violated subdivision (b) with respect thereto.”
See Larsen v. City of Beloit
We review the imposition of Rule 11 sanctions for an abuse of discretion. Cooter & Gell v. Hartmarx Corp.,
Moreover, wherе sanctions are imposed under Rule 11(c)(1)(B) by a district court on its own initiative, neither the award of attorney’s fees nor the suspension from practice before the court constitute a valid sanction. Specifically, an award of attorney’s fees is authorized only “if imposed on motion and wаrranted for effective deterrence.” Fed.R.Civ.P. 11(c)(2);
see Johnson,
Therefore, it is hereby ordered that the district court’s order imposing sanctions on Appellant-movant Strauss is REVERSED and VACATED.
