OPINION
Claimant-Appellant Juan A. Acevedo appeals from the final order of forfeiture *454 and from the order denying Claimant’s motion to set aside judgment under Rule 60(b). We AFFIRM.
I. Background
This case arises out of a criminal forfeiture action under 21 U.S.C. § 853. On December 15,1998, Juan Reyes pled guilty to conspiring to possess with intent to distribute and to distribute marijuana. Pursuant to his plea agreement, Reyes agreed to forfeit his interest in property used to commit the offense, including real property located at 712 Eleanor, Houston, Texas. On June 22, 1999, the district court entered a preliminary order of forfeiture regarding the property. The Government gave notice of the contemplated forfeiture to all known potentially interested parties, including Reyes’s wife, Rosalinda Reyes, and to Juan Acevedo, father of Rosalinda Reyes.
On August 9, 1999, Juan Acevedo filed a petition and claim as a warranty deed holder to the real property. On January 31, 2000, the United States served a request for production of documents upon Acevedo. Specifically, the United States sought discovery related to Acevedo’s claim that he was the true owner of the property. The requested documents were to be produced within thirty days, by March 1, 2000. On May 5, 2000, the United States sent a letter to counsel advising that if the Government did not receive the required response by May 22, 2000, the United States would move for dismissal of his claim. On May 24, 2000, Claimant’s attorney faxed a letter to government counsel indicating that he would provide the documents on or before May 26, 2000. In the letter, Claimant’s attorney stated that he had “received a package of documents approximately one inch thick from my client,” and that he needed to review them. Nothing was forthcoming, however.
On June 6, 2000, the United States filed a motion to compel discovery. The United States requested copies of Claimant’s federal income tax returns and documents showing all payments made on the property at 712 Eleanor. The United States also sought all periodic statements for all bank accounts, or alternatively, a release. On June 9, 2000; the United States received some of the requested documents. On June 13, 2000, during a telephonic status conference, Claimant indicated that he had no additional documents relevant to the discovery request.
On June 15, 2000, the district court entered a scheduling order pursuant to Fed. R.Civ.P. 26(f). The order required that all discovery, including responses to discovery requests, be completed by September 15, 2000. Also on June 15, 2000, the United States made a second request for production of documents. The Government sought copies of all documents showing the source of various cash payments made for the property and requested that Claimant sign bank authorization forms so that the United States could obtain bank records on its own to verify the source of the funds. On July 17, 2000, two days after the response was due, Claimant requested a few more days to respond. On July 21, 2000, government counsel called Claimant’s attorney, but received no response. On July 26, 2000, the Government filed a motion to strike claim or for other appropriate sanctions.
On August 10, 2000, the district court set a hearing for September 27, 2000, on the Government’s motion to strike. Claimant failed to file a response, and on August 30, 2000, the district court’s case manager called Claimant’s counsel to notify him that he had missed the response due date, and instructed him that he could file a motion for-leave to file a late response, accompanied by the response, no later than Sep *455 tember 8, 2000. Claimant still did not comply. On September 13, 2000, the district court granted the United States’s motion to strike claim and canceled the scheduled hearing. On September 25, 2000, the district court entered a final order of forfeiture. The court noted that during discovery the United States requested that Claimant produce documents showing the source of cash used to purchase the property, and after Claimant refused to produce any such documents, the United States moved to strike his claim. The court further noted that, even after the court contacted his attorney to give him additional time, Claimant did nothing. The district court did not indicate which procedural rule it based the dismissal on. 1
On October 5, 2000, Claimant filed a motion to set aside judgment, for rehearing, or for stay of execution under Fed. R.Civ.P. 60(b)(1) and (6). In that motion Claimant alleged that he had attempted to comply “with the repeated and burdensome requests for discovery pro-pounded by the attorneys for the Government” but had difficulties producing the documents because Claimant is elderly, his English is poor, and he lives a great distance from his attorney and the court. Claimant added that he did not keep detailed and organized records, and needed his children’s assistance in locating them, and finally he stated that he was caring for his terminally ill mother. On October 6, 2000, Claimant served the United States with the requested bank authorizations. On December 20, 2000, the district court denied the motion. The district court ruled that Claimant failed to show excusa^ ble neglect or any other reason that justified relief. On January 19, 2001, Claimant filed a notice of appeal.
II. Analysis
We review the district court’s denial of a Rule 60(b) motion for abuse of discretion.
Blue Diamond Coal Co. v. Trustees of the UMWA Combined Benefit Fund,
On appeal, Claimant seeks relief under Rule 60(b)(1), which allows a district court to vacate a final judgment because of “mistake, inadvertence, surprise, or excusable neglect.”
2
This Court has stated that a Rule 60(b)(1) motion is intended to provide relief in only two situations: (1) when a party has made an excusable mistake or an attorney has acted without authority, or (2) when the judge has made a substantive mistake of law or fact in the final judgment or order.
Cacevic v. City of Hazel Park,
Claimant makes several arguments. Claimant asserts that his conduct was due to excusable neglect. He also contends that the lower court made a substantive mistake of law because it lacked the authority to dismiss his suit. That is, Claimant contends that, because he did not violate any order compelling discovery, the district court was not authorized to dismiss the action. He challenges the underlying dismissal on this legal ground as well.
Claimant did not argue mistake of law in his Rule 60(b) motion, thus failing
*456
to preserve the issue on appeal. As a general rule, appeal from the denial of a Rule 60(b) motion does not encompass review of the underlying judgment.
Hood v. Hood,
A. Excusable Neglect
Claimant maintains that his neglect was excusable because he did not violate any court order. Thus, he equates excusable neglect to consideration of the culpability factor of “whether the party’s failure to cooperate in discovery is due to willfulness, bad faith or fault.”
Harmon v. CSX Transp.,
As this Court has held, “a determination of ‘excusable neglect’ does not turn solely on whether the
client
has done all that he reasonably could do to ensure compliance with a deadline; the performance of the Ghent’s
attorney
must also be taken into account.”
Allen v. Murph,
Furthermore, Claimant ignored several amicable requests from the United States. The government’s requests were not onerous, and counsel at one point indicated that he had only “an inch” of documents to review. Most importantly, the district court took the unusual step of calling Claimant’s counsel to notify him that he had missed a filing deadline by several weeks, and then allowing him to file a late response by September 8, 2000. Counsel still did not respond. Such disregard of the graciousness of the district court can be considered contumacious.
See Harmon v. CSX Transp., Inc.,
B. Mistake of Law
Claimant contends that the district court abused its discretion in dismissing his suit for failing to cooperate in discovery because he did not violate any order compelling discovery. He cites Rule 37(b)(2), which he claims allows a district court to dismiss an action only if a party violates an order compelling discovery. See Fed.R.Civ.P. 37(b)(2) (providing for sanctions, 'Speaking in terms of orders). See also 8A Wright & Miller, Federal Practice & Procedure, § 2289 (1994) (“Except where new Rule 37(e)[], adopted in 1993, applies, Rule 37(b) usually has no application if there has not been a court order”). 3
Rule 37(b)(2) notwithstanding, the district court had authority under Rule 37(d), which incorporates the sanctions allowed under Rule 37(b). Rule 37(d)(3) provides in pertinent part:
If a party ... fails ... (3) to serve a written response to a request for inspection submitted under Rule 34, after proper service of the request, the court in which the action is pending on motion may make such orders in regard to the failure as are just, and among others it may take any action authorized under subparagraphs ... (C) of subdivision (b)(2) of this rule. Any motion specifying a failure under clause (2) or (3) of this subdivision shall include a certification that the movant has in good faith conferred or attempted to confer with *458 the party failing to answer or respond in an effort to obtain such answer or response without court action....
Fed.R.Civ.P. 37(d). Rule 37(b)(2)(C) authorizes the district court to dismiss the action. Fed.R.Civ.P. 37(b)(2)(C).
Here, the United States made two requests to produce documents. After Claimant failed to respond to the second request, the government filed the motion to strike. In that motion the United States represented that it attempted to contact Claimant on two occasions; on July 17, 2000, and again on July 21, 2000. Thus, under Rule 37(d) and (b)(2)(C), the district court had authority to dismiss the case.
Alternatively, the United States argues that the district court had authority to dismiss under Rule 37(b) or Rule 41(b) and its inherent authority. In reviewing a district court’s dismissal under either Rule 37(b)(2) or Rule 41(b), we consider four factors: “(1) whether the party’s failure is due to willfulness, bad faith, or fault; (2) whether the adversary was prejudiced by the dismissed party’s conduct; (3) whether the dismissed party was warned that failure to cooperate could lead to dismissal; and (4) whether less drastic sanctions were imposed or considered before dismissal was ordered.”
Knoll v. Am. Tel. & Telegraph Co.,
Acevedo has the burden of showing that his failure to comply was due to inability, not willfulness or bad faith.
Regional Refuse Sys., Inc. v. Inland Reclamation Co.,
Nor do the other factors change the result. The United States suffered prejudice in that it could not comply with the district court’s September 15, 2000 discovery deadline. Without answers to document requests, the Government could not schedule depositions or other discovery. Although Claimant did not have a prior warning, the United States’s motion to strike provided some notice.
Cf. Harmon,
III. Conclusion
For the foregoing reasons, the judgment of the district court is AFFIRMED.
Notes
. The Government did not provide any authority to the district court in its motion to strike claim or for other appropriate sanctions.
. Claimant has abandoned on appeal his claim for relief under Rule 60(b)(6), which allows relief "for any other reasons justifying relief from the operation of the judgment.” Fed.R.Civ.P. 60(b).
. In support of this argument, Claimant cites
Societe Internationale Pour Participations Industrielles Et. Commerciales,
S.A. v.
Rogers,
The district court entered a scheduling order pursuant to Fed.R.Civ.P. 26(f), which stated in pertinent part that the deadline for completing discovery was September 15, 2000.
