Case Information
*1 Before STEWART, Chief Judge, and OWEN and COSTA, Circuit Judges.
PER CURIAM:*
Plaintiff-Appellant Donald Holmes brought this qui tam action as relator for the Government under the False Claims Act. He appeals the district court’s order disqualifying him from serving as a relator in the suit and dismissing the case without prejudice to the Government. Because Holmes fails to raise any arguments warranting reversal, we AFFIRM.
I. FACTUAL AND PROCEDURAL BACKGROUND This dispute involves two underlying proceedings and a tangled array of related actions. And, like so many cases that have appeared in our court recently, Hurricane Katrina was the catalyst for the chain of events leading to this appeal.
Northrop Grumman Corporation (“NGC”) is a large government contractor that, amongst other things, operates shipyards in Mississippi and Louisiana. Northrop Grumman Risk Management, Inc., insured its parent company, NGC, for certain losses related to those shipyards. A separate company, Munich Re, then provided reinsurance for NGC’s covered losses. In late 2005, NGC presented a claim under its policy with Munich Re for alleged damages to several of its shipyards as a result of Hurricane Katrina. During the adjustment process, Munich Re and NGC entered into a confidentiality agreement that prohibited Munich Re and its agents from disclosing documents and information that they received from NGC. Munich Re ultimately initiated arbitration proceedings in London, England, to resolve coverage disputes under the Munich Re/NGC reinsurance policy (the “London Arbitration”). Holmes and another lawyer, Gerald Fisher, represented Munich Re in the London Arbitration.
While the London Arbitration was pending, Munich Re submitted a request with the United States Navy for documents relating to NGC. The Navy agreed to release the requested documents if an enforceable protective order was put in place. As a result, on April 6, 2010, Munich Re—represented by Holmes and Fisher—filed a complaint in the U.S. District Court for the District of Columbia against NGC and several of its subsidiaries seeking a protective order (the “Protective Order Litigation”). In the complaint, Holmes and Fisher stated that they sought the relevant documents “in aid of private foreign arbitration only” and that they were “in no way . . . attempt[ing] to usurp the power of the arbitration tribunal” for other purposes. The complaint included a proposed protective order, which prohibited the use of the requested documents for any purpose outside of the London Arbitration.
On June 2, 2010, while the Protective Order Litigation was still pending, Holmes and Fisher filed a qui tam lawsuit against NGC and others under the False Claims Act (“FCA”). They alleged that NGC had defrauded the Navy by using government funds allocated for expenses related to Hurricane Katrina to cover cost overruns that had occurred before the storm. Amongst other things, the complaint alleged that a review of the documents that they anticipated receiving from the Navy would help prove their claim. This complaint was filed under seal pursuant to the FCA, and the suit was later transferred from the District of Columbia to the Southern District of Mississippi.
On June 18, 2010, the parties in the Protective Order Litigation stipulated to a protective order, and on June 24, 2010, the district court entered the proposed protective order (the “Protective Order” or “Order”). The Protective Order stated that any produced documents designated “Court Protected Material” would “be used or disclosed solely in the [London] Arbitration” and would “not be used in any other proceeding or for any other purpose without further order of this Court.” The Protective Order further required the parties to return or destroy all protected materials at the conclusion of the London Arbitration. Despite the express terms of the Protective Order, Holmes submitted documents he received from the Navy to the Department of Justice’s Civil Fraud Division and to the district court presiding over the qui tam action.
On November 11, 2011, NGC and Munich Re settled the London Arbitration.
On December 8, 2011, the United States officially declined to intervene in the qui tam suit. In previous filings, the Government explained that it had investigated the claims, and that, amongst other things, its decision not to participate “stem[med] from serious ethical and professional responsibility concerns arising from the particular circumstances of [the] action.” On August 18, 2012, Fisher also withdrew from the case when Holmes filed the operative First Amended Complaint.
In October 2013, Appellees filed a motion to disqualify Holmes from representing the United States as a qui tam relator, citing his unethical conduct in pursuing the claim. On June 3, 2015, the district court granted the motion and issued an order (1) disqualifying Holmes as a relator and (2) dismissing the case with prejudice as to Holmes, but without prejudice as to any rights of the United States. Holmes timely appealed.
II. STANDARD OF REVIEW We review rulings on motions to disqualify for abuse of discretion.
F.D.I.C. v. U.S. Fire Ins. Co.
,
III. DISCUSSION In a thorough and detailed opinion, the district court outlined Holmes’ numerous ethical violations committed in pursuit of this qui tam action. Citing the District of Columbia Rules of Professional Conduct, the Mississippi Rules of Professional Conduct, and the American Bar Association’s Model Rules, [2] the district court persuasively explained that Holmes violated no less than four ethical duties.
The court first explained that Holmes violated his duty of loyalty by taking a position in the qui tam suit that was contrary to the interests of his client, Munich Re, in the London Arbitration. See ABA Model Rule 1.7(a) (“[A] lawyer shall not represent a client if the representation involves a concurrent conflict of interest.”). The analysis is straightforward: in the London Arbitration, Munich Re argued that it did not owe NGC compensation for certain losses related to Hurricane Katrina in part because the Government had previously paid NGC compensation for those losses; Holmes then argued in the qui tam action that the Government should not have paid all of NGC’s claimed losses from Hurricane Katrina. [3] These two positions are clearly in direct conflict.
Perhaps most troubling of the violations was Holmes’ blatant disregard for the Protective Order and his related violation of his duty of candor to the court. There is no dispute that Holmes violated the express terms of the Protective Order by relaying the documents he received in the Protective Order Litigation to the Department of Justice and the district court in the qui tam action; indeed, Holmes has conceded the point. [4] He also concedes on appeal that he was obligated to follow the Protective Order in pursuing his qui tam claim. [5]
The district court also concluded that Holmes violated his duty of candor during the course of the Protective Order Litigation. Holmes and Fisher told the court in the Protective Order Litigation on April 6, 2010, that Munich Re was seeking documents for use solely in the London Arbitration. On June 2, 2010, Holmes filed the qui tam suit, and told the court there that he expected that the documents he received from the Navy would prove NGC’s alleged fraud. Holmes stipulated to the Protective Order on June 18, 2010, and the order was entered on June 24. He then promptly disclosed the documents he potential conflict between [Holmes’] claims in this qui tam action and those of [his] insurance company client[, Munich Re,] in its arbitration with NGC.” The Government further stated that its communications with Munich Re did not assuage these concerns. The other evidence that Holmes cites for this claim is limited, and indicates that he represented to Munich Re that he was legally required to bring his qui tam suit (which he was not) and that there is no attorney-client privilege issue (which the district court did not raise). In fact, Holmes filed a motion with the U.S. District Court for the District of
Columbia to correct his violation of the Protective Order. In particular, he asked the court
for a modification of the Order to allow him to use the protected documents in the qui tam
suit and to sanction him in the amount of $1,000 for his violation. The district court denied
the motion, finding “no reason—let alone good cause—to change the terms of the original
protective order.”
Munchener Ruckversicherungs-Gesellschaft Aktiengesellschaft in Munchen
v. Northrop Grumman Risk Mgmt. Inc.
, No. 10-551 (JEB),
confidential information—obtained during the course of his representation—in violation of his duty of confidentiality. ABA Model Rule 1.6(a) (“A lawyer shall not reveal information relating to the representation of a client unless the client gives informed consent . . . .”). received pursuant to the Protective Order to third parties in direct contravention of the terms of the Order and his representations to the court in the Protective Order Litigation. Later, in the operative First Amended Complaint, Holmes stated that he had “gained access to documents and information showing that the U.S. Government has been defrauded,” including “documentation submitted by Northrop Grumman to the Navy.” Based on this timeline, the district court did not clearly err in finding that Holmes violated his duty of candor in his representations to the court in the Protective Order Litigation. ABA Model Rule 3.3(a) (“A lawyer shall not knowingly . . . make a false statement of fact or law to a tribunal or fail to correct a false statement of material fact or law previously made to the tribunal by the lawyer.”); see also ABA Model Rules 4.1(a), 8.4(c). This timeline also supports the court’s finding that Holmes knowingly violated the Protective Order.
The district court concluded that (1) “based on the totality of the ethical
violations committed by Holmes surrounding this qui tam case, Holmes should
be disqualified from serving as relator in this case,” and (2) “merely
disqualifying Holmes from serving as relator without dismissing the case
would greatly prejudice Northrop Grumman because the case would be tried
on a record developed primarily through the fruits of Holmes’ unethical
conduct.” Citing
Quest Diagnostics
,
District courts are afforded discretion in penalizing ethical violations,
including disqualifying a relator and dismissing his suit in a qui tam action,
see id.
at 165–69 (affirming the disqualification of relator and the dismissal of
the complaint in qui tam suit for ethical violations);
Salmeron
,
In addition to conceding these points of law, his brief on appeal fails to
muster a cognizable argument to bolster his position, as it lacks any
meaningful citation to legal authority,
[8]
and contains only sparse reference to
the record on appeal.
[9]
This failure is inexcusable given that Holmes is an
experienced attorney and has already been warned by the district court in this
litigation about his failure to properly brief matters.
[10]
We therefore decline
the invitation to dig through Holmes’ bald assertions and marshal an
argument on his behalf; as we have previously stated, “[j]udges are not like
pigs, hunting for truffles buried in briefs.”
de la O v. Hous. Auth. of City of El
Paso
,
Holmes’ remaining argument on appeal is that the district court did not
afford him an evidentiary hearing on NGC’s disqualification motion; however,
Holmes did not raise any evidentiary issues before the district court and there
is no indication that he ever requested an evidentiary hearing on the
disqualification motion. And, sure enough, he fails to cite any legal authority
on appeal supporting the position that he is entitled to a hearing. We therefore
find no reason to conclude that the district court abused its discretion in not
holding an evidentiary hearing on NGC’s motion to disqualify.
See In re
Eckstein Marine Serv. L.L.C.
,
IV. CONCLUSION Given Holmes’ failure to challenge the district court’s careful and well- reasoned opinion in any meaningful way, we AFFIRM.
Notes
[*] Pursuant to 5 TH C IR . R. 47.5, the court has determined that this opinion should not be published and is not precedent except under the limited circumstances set forth in 5 TH C IR . R. 47.5.4.
[1] For simplicity purposes, we will refer to NGC and its subsidiaries as “NGC” with the exception of one NGC’s subsidiaries, Northrop Grunman Risk Management, Inc.
[2] The district court explained that these rules apply because: (1) much of Holmes’
conduct occurred while the case was pending in the U.S. District Court for the District of
Columbia, (2) the Mississippi Rules of Professional Conduct apply to litigants practicing in
federal court in Mississippi, and (3) the Fifth Circuit recognizes the ABA Model Rules as the
national standard for professional conduct.
U.S. ex rel. Holmes v. Northrop Grumman
Corp.
, No. 1:13CV85-HSO-RHW,
[3] Holmes argues that the qui tam action was a litigation tactic to force settlement in the London Arbitration and that he received informed consent from Munich Re to pursue his claim. Oddly, in support of the proposition that he disclosed conflicts issues with his client, Holmes cites to a filing by the Government in which the Government expressed serious “ethical and professional responsibility concerns” with Holmes’ conduct, including “a
[6] Holmes claims that he was “extremely candid” with the court “about documents, where they came from, and the fact that he needed further guidance from the District Court as to how to deal with them.” In support he cites filings made with the district court in the qui tam suit. This argument is, at best, misguided: he violated his duty of candor to the court in the Protective Order Litigation in an apparent effort to gain access to the relevant documents—his disclosures in the qui tam suit are therefore irrelevant.
[7]
Quest Diagnostics Inc.
,
[8] In his brief, Holmes’ legal citations are limited to the following: one case (in the
standard of review section); Rule 12(b)(6) (in the standard of review section); the FCA (twice,
in the jurisdiction section); and 18 U.S.C. § 4 (in the facts section). He also includes cross-
references to portions of motions that he filed in district court; however, we have previously
held that “an appellant may not incorporate by reference arguments made in the district
court.”
Ctr. for Biological Diversity, Inc. v. BP Am. Prod. Co.
,
[9] Holmes’ only meaningful citations to the record are discussed in footnotes 3 & 6, supra .
[10] Holmes is an experienced lawyer, having spent over forty-seven years as a
practicing attorney, including as a partner in one of this country’s largest law firms. The
district court therefore warned Holmes that, although he is appearing
pro se
, he “is not
automatically subject to the very liberal standards afforded to a non-attorney
pro se
plaintiff
because an attorney is presumed to have a knowledge of the legal system and need less
protections from the court.”
Richards v. Duke Univ.
,
[11]
See also United States v. Scroggins
,
