MEMORANDUM
Plaintiff, Roger Zaczek, a Virginia State prisoner proceeding pro se, submitted this complaint under 42 U.S.C. § 1983. Plaintiff alleged, inter alia, that he was falsely arrested, falsely imprisoned, and maliciously prosecuted for an incident that occurred on May 31, 1988. Jurisdiction is appropriate pursuant to 28 U.S.C. § 1343(a)(3).
By Order entered March 14, 1991, the Court ruled on at least ten (10) motions filed by the plaintiff.
1
Eight days later, on March 22, 1991, plaintiff filed a document entitled “Motion to amend or alter judgment”. It challenges the validity of the March 14 Order and was served within ten (10) days of it. Accordingly, the Court construes it as a Rule 59(e) motion.
See Dove v. CODESCO,
In addition, the plaintiff also filed the following documents:
1. Plaintiffs third motion for summary judgment against Deputy Moshier filed on March 28, 1991;
2. Plaintiffs opposition to defendant Moshier’s motion for sanctions and plaintiffs motion for sanctions against Deputy Moshier filed April 1, 1991; and
3.Application for interlocutory appeal or notice of interlocutory appeal filed April 3, 1991.
Also pending is a motion for summary judgment filed by defendant Hunsaker to which the plaintiff responded on April 8, 1991. 2 Finally, on May 6, 1991, plaintiff filed a document entitled “Rule 78 Motion ...” in which he demands an immediate decision on his Rule 59(e) motion. The motions are ripe for disposition.
The first issue which must be addressed is plaintiff’s application for or notice of an interlocutory appeal. Plaintiff seeks to appeal an Order entered March 22, 1991 in which the Court declined to consider certain motions filed by him.
3
A notice of appeal filed prior to the disposition of a Rule 59(e) motion is void and has no effect.
See Griggs v. Provident Consumer Discount Co.,
Next, plaintiff seeks to alter or amend the March 14, 1991 Order. He alleges that
The third issue which must be addressed is yet another motion filed by the plaintiff. On March 28, 1991, plaintiff filed a document entitled “Plaintiffs third motion for summary judgment as to defendant Deputy Moshier_”. This motion clearly violates the specific terms of the Orders entered January 4, 1991 and March 14, 1991.
6
It is also but one example of plaintiffs abusive litigation practices. The Court will, therefore, sanction the plaintiff for his “contumacious conduct”.
See Reizakis v. Loy,
Statement of Facts
The instant complaint was filed by Order entered September 5, 1990. Since that date, the plaintiff has flooded the Court with unnecessary motions. In less than four months, plaintiff filed thirty-seven (37) motions, supplements, objections and replies. 7 On January 4, 1991, the Court ruled on all pending motions. It also instructed and cautioned the plaintiff, as well as the defendants, to comply with the Local Rules and the Federal Rules of Civil Procedure. See Memorandum entered January 4, 1991 at p. 50-53. 8 Additionally, the plaintiff was warned that the Court would not tolerate his constant barrage of unnecessary and repetitive motions. Id. at 52-53.
Thereafter, despite the Court’s admonition, the plaintiff filed approximately ten more motions. 9 By Order entered March 14, 1991, the Court ruled on all pending motions including a demand for summary judgment against defendant Moshier filed by the plaintiff on January 22, 1991. The plaintiff was also warned, for the second time, that his successive motions would not be tolerated. The pertinent portion of that Order stated:
The Court recognizes that the plaintiff is a pro se litigant. As a result, the Court will presume that he did not deliberately ignore, but misunderstood the January 4, 1991 admonition against unnecessary, supplemental motions. However, plaintiff is again ADVISED that the Court will not tolerate successive or supplemental motions. 10 Should plaintiff continue to file such documents, appropriate sanctions will be imposed. Further, plaintiff is ADVISED that should he again disregard or violate this Court’s specific orders, the action may be dismissed. Fed.R.Civ.P. 41(b).
Memorandum entered March 14, 1991 at p. 16-17.
Shortly before the March 14 Order was issued, plaintiff filed two more motions for summary judgment against defendant Mo-shier. The first was submitted on March 8, 1991. 11 The second was filed on March 11, 1991. 12 By Order entered March 22, 1991, the Court refused to entertain these motions for two reasons. First, they did not comply with the Local Rules of this Court. More importantly, however, the motions were successive and clearly violated the specific terms of the January 4, 1991 Order. Thus, plaintiff was notified for the third time that his persistent motions were improper.
Nevertheless, six days later, on March 28, 1991 the plaintiff disregarded the clear and specific Orders of this Court by filing another motion for summary judgment against defendant Moshier. 13 This last motion is but one example of a pattern of abusive litigation which began the moment the plaintiff filed this action. A lengthy discussion to further detail his abuses is not necessary. The docket speaks for itself. 14 In recognition of plaintiffs pro se status, the Court repeatedly advised, warned and admonished him to refrain from filing repetitious and successive motions. In response, the plaintiff ignored and disobeyed the Court.
A review of the history of this case and relevant precedent reveals that it is now appropriate to sanction the plaintiff. To reach this conclusion, the Court has considered four issues and answered each affirmatively. First, the Court will review whether or not federal courts possess the authority to dismiss cases with prejudice sua sponte. Next, it will discuss whether pro se litigants are subject to such sanctions. The Court will then analyze the circumstances which must exist before the dismissal sanction may be imposed. Finally, the Court will determine whether or not dismissal is appropriate in this case.
I.
There is no doubt that federal courts possess the inherent authority to dismiss cases with prejudice
sua sponte. See Link v. Wabash Railroad Co.,
However, the dismissal sanction is not limited to those cases in which a plaintiff fails to promptly prosecute his complaint. A variety of sanctions, including dismissal, may be imposed upon a party or an attorney who fails or refuses to obey a court order. The United States Supreme Court examined this authority more recently in
Roadway Express, Inc. v. Piper,
The Supreme Court affirmed the dismissal.
18
It held that federal courts possess the inherent authority to “levy sanctions in
Further, there are strong policies which support the dismissal sanction which are directly applicable to this case. First, the sanction provides the control necessary to achieve the orderly and expeditious disposition of cases.
Link,
Increasingly, however, the dismissal sanction has been invoked to protect other litigants before a court. In
Eash v. Riggins Trucking, Inc.,
the Third Circuit observed that federal courts can no longer indulge misconduct because of the dramatic rise in litigation.
II.
The second issue requires only brief discussion.
Pro se
litigants are not immune from any sanction by virtue of their status alone.
See e.g. Ballard v. Carlson,
Likewise, in
White v. Raymark Industries, Inc.
the Fourth Circuit held that “[tjhere is no distinction between attorney and litigant abuses of the judicial process when applying the inherent power of the federal courts to penalize those responsible for the wrongful conduct”.
III.
The next question is what factors must be present before a federal court may invoke its inherent authority to sanction a
pro se
plaintiff by dismissing a complaint with prejudice
sua sponte.
The Court initially notes that there is no standard which is directly applicable to the facts of this case. However, the Fourth Circuit has approved a four factor test for those cases in which a complaint is involuntarily dismissed for failure to prosecute under Fed. R.Cjv.P. 41(b). These cases routinely call for review of (i) the degree of personal responsibility of the plaintiff; (ii) the amount of prejudice caused the defendant; (iii) the existence of a history of deliberately proceeding in a dilatory fashion, and (iv) the existence of a sanction less drastic than dismissal.
Chandler,
Those cases and one of the criteria are clearly distinguishable from the unique circumstances of this case. Here, a sanction is necessary because the plaintiff re-peatédly failed to comply with the Orders of this Court; and because he abused the litigation process. As a result, it is necessary to employ a new standard of review.
See e.g. White,
The Court preliminarily notes that dismissal is a severe sanction which must be exercised with restraint, caution and discretion.
Roadway,
Further, in general,
pro se
litigants are unfamiliar with the litigation process.
22
As a result, their pleadings are liberally construed.
See Cruz v. Beto,
In some cases, therefore, a court should advise a
pro se
plaintiff of the consequences of his misconduct before a sanction is imposed. In
Ballard v. Carlson,
the United States District Court for the District of Maryland warned the plaintiff before it ultimately dismissed a
pro se
complaint with prejudice under Fed.R.Civ.P. 41(b). The sanction was imposed because the plaintiff failed to comply with a court order.
23
The Fourth Circuit affirmed the dismissal.
Similarly, the Court finds that a warning is a second factor which must be present before a
pro se
complaint may be dismissed for failure to comply with a court order. This prerequisite is not only appropriate but necessary in view of the severity of the sanction and the limited experience that most
pro se
litigants have with the judicial process. Additionally, this criteria comports with the fundamental requirements of due process in that a litigant will have fair notice of the consequences of his actions.
See Link,
Third, courts must examine the amount of prejudice which the plaintiff’s actions have caused. This element may be reviewed from two different vantages. First, a court may assess the amount of prejudice which a defendant has sustained as a result of delay or the costs associated with defending frivolous pleadings and motions. Alternatively, in view of the dramatic increase in litigation, courts may also review the amount of prejudice which the other litigants before the court may face if the plaintiff’s misconduct continues.
See Eash,
Finally, federal courts must consider the existence of an effective sanction which is less drastic than dismissal. However, courts must do more than decide that a less severe sanction exists, for there is no doubt that such will always be the case. The relevant inquiry is whether or not a lesser sanction is feasible and appropriate in view of the history of each case and the plaintiff’s conduct.
To summarize, the Court will analyze four factors to determine whether or not it is appropriate to invoke the Court’s inherent authority to dismiss the instant com
IV.
The plaintiff in this case has clearly abused the judicial process and is personally responsible for his misconduct. As noted, in eight months, he filed over fifty motions. Each time the Court issued a decision, the plaintiff filed another stream of repetitive motions and objections. Zaczek filed approximately ten motions against one defendant alone including several motions for summary judgment. Simply stated, the plaintiff conducted this litigation in bad faith.
More importantly, Zaczek willfully disregarded the authority of this Court and ignored several ’admonitions. By Order entered January 4, 1991, the plaintiff was warned that he would not be permitted to file successive or supplemental motions. See Memorandum entered January 4, 1991 at p. 50-53. The plaintiff responded to that Order by filing ten more motions. By Order entered March 14, 1991, the plaintiff was again warned that the Court would not tolerate unnecessary, successive and repetitive motions. See Memorandum entered March 14, 1991 at p. 10-17. Shortly before that Order was issued, plaintiff filed two more motions. The Court refused to entertain those motions because they were successive. See March 22, 1991 Order. Thus, plaintiff was also warned, by example, of the type of motions which violated the January 4 Order. Nevertheless, six days later, Zaczek filed yet another motion for summary judgment. And, he has continued to file additional motions since that date. 24 The docket alone is sufficient to demonstrate that the plaintiff has conducted this litigation in bad faith. Moreover, there is no doubt that his conduct was deliberate and that he voluntarily chose to ignore the Orders of this Court. As a pro se litigant, plaintiff bears complete personal responsibility for his actions in contrast to a client who might be unaware of the actions of his attorney. Zaczek is also familiar with legal research and the litigation process. 25 In addition, the plaintiff was repeatedly admonished and had, therefore, ample notice of the consequences of his continued misconduct.
There is no doubt that the defendants in this case have been prejudiced by the plaintiffs misconduct. Their attorneys were required to review, research and respond to an incessant barrage of repetitive motions. This obviously caused unnecessary expenses for costs and attorneys fees. 26 Further, the manner in which the, plaintiff prosecuted his claims frequently confused the issues before the Court making it very difficult for the defendants to properly defend the action. See Defendant’s motion for enlargement of time of November 19, 1990. In addition, although the issues are not complicated, this case has required an inordinate amount of time and judicial resources. More so than any other pro se action. Should the plaintiff be permitted to continue to unnecessarily consume limited judicial resources, the other litigants before this Court, including those proceeding pro se, will be severely prejudiced. 27
Finally, under the circumstances of this case, there is no other sanction which
The Court has considered dismissing only those claims against defendant Moshier because this defendant has been the object of the plaintiff's most flagrant abuses. However, the history of this case demonstrates that the plaintiff has no regard for the authority of this Court and would not, therefore, comply with a lesser sanction. His most recent submissions reveal that he clearly does not intend to discontinue his abusive motion practice. See Plaintiff’s motion for interlocutory appeal; see also plaintiffs Rule 78 motion. Finally, the plaintiff was warned that the complaint could be dismissed if he did not obey the Orders of this Court. It is, therefore, appropriate to apply that sanction. Accordingly, for all of the reasons stated above, the complaint will be DISMISSED WITH PREJUDICE. All pending motions are DENIED as MOOT.
An appropriate Order shall issue.
ORDER
In accordance with the accompanying Memorandum, it is ORDERED that:
1. Plaintiffs application for an interlocutory appeal is DENIED;
2. Plaintiffs Rule 59(e) motion to amend or alter the March 14, 1991 Order is DENIED;
3. Plaintiffs “Rule 78 motion” is DENIED as MOOT;
4. The complaint is DISMISSED WITH PREJUDICE;
5. All other pending motions are DENIED as MOOT; and
6. This case stands CLOSED.
Should plaintiff desire to appeal, written notice of appeal must be filed with the Clerk of the Court within thirty (30) days of the date of entry hereof.
Let the Clerk of the Court send a copy of this Order and the Memorandum filed herewith to the plaintiff and counsel for the defendants.
And it is so ORDERED.
Notes
. By Order entered January 4, 1991, the plaintiff was initially advised that his motion practice was improper. See Memorandum p. 50-53. Zaczek was warned, for the second time, that he would be sanctioned if he continued to file repetitive, successive or supplemental motions. See Memorandum entered March 14, 1991 at p. 16-17.
. The Court did not advise the plaintiff of his right to respond to defendant Hunsaker’s motion. However, in view of plaintiff’s prompt response and his familiarity with legal procedures such Order is not now necessary.
.On March 8 and March 11, 1991, the plaintiff filed two additional motions for summary judgment against Defendant Moshier. By Order entered March 22, 1991, the Court declined to entertain them because they were successive and in violation of the January 4, 1991 Order.
. Plaintiffs amended claim is, essentially, that Deputy Moshier violated his right to be free from successive prosecution for the same offense when the plaintiff was tried and convicted for abduction.
. Defendant Moshier is a police officer. He did not have the authority to prosecute the plaintiff for abduction or any other crime. Moreover, the abduction charges resulted from a grand jury hearing. Moshier's only involvement with those charges was as a witness. It should also be noted that plaintiffs convictions for abduction have never been overturned.
. Moreover, by Order entered March 22, 1991, the Court specifically advised plaintiff that his motions against Defendant Moshier were successive and improper. The plaintiff, therefore, deliberately disregarded that Order when he filed the March 28 motion.
. This figure does not include the plaintiff’s oppositions to the dispositive motions filed by the defendants.
. The Court also recited the pertinent portion of Fed.R.Civ.P. 11.
. The second series of motions contained at least three Rule 59(e) motions, four motions to amend, two motions under Rule 11, a motion for summary judgment against defendant Mo-shier and á motion to reply to Moshier’s opposition to the plaintiff’s motion.
. Since January 14, 1991, plaintiff has filed five (5) motions to amend, clarify or particularize his claims. Additionally, prior to that date, plaintiff filed several similar motions, (footnote contained in original).
. This motion was so voluminous that it was filed by the plaintiff in a red, hard cover binder.
. In this motion, the plaintiff sought summary judgment against defendant Moshier for claims raised in plaintiff's motion to amend. This motion was filed even though the Court had not yet ruled on plaintiff's motion to amend.
. The plaintiff filed approximately ten motions against or involving defendant Moshier between September 5, 1990 and April 8, 1991.
.In just eight (8) months, the plaintiff has filed approximately fifty (50) motions. This figure does not include his responses to the dispos-itive motions filed by the defendants. The vast majority of the motions were repetitive and unnecessary. For example, the plaintiff has attempted to amend or particularize his claims at least seven times. He filed numerous Rule 59(e) motions. And, ironically, the plaintiff has moved for Rule 11 sanctions against various defendants and their counsel four times. In stark contrast to the plaintiff’s conduct, the seventeen defendants to this action have together filed only twelve (12) motions.
. The District Court had scheduled a pretrial conference. On the morning of the conference, plaintiff’s counsel telephoned chambers to say that he would not be present because he was writing a brief for the Indiana Supreme Court. He did not receive permission for an adjournment and the complaint was dismissed. The failure to appear was but one example of a history of delay.
Link,
. In fact, the Federal Rules of Civil Procedure provide further support for the court’s authority to dismiss a complaint for failure to obey a court order. The relevant portion of Rule 41(b) states:
For failure of the plaintiff to prosecute or comply with these rules, or any order of the court, a defendant may move for dismissal of the action or any claim against the defendant.
Fed.R.Civ.P. 41(b) (1991) (emphasis added). The
Link
Court specifically noted that the permissive language of the Rule does not abrogate a court’s authority to act on its own initiative.
In addition, the sanctions contained in Rule 16(f) have been used to punish lawyers and parties who unreasonably delay or interfere with the expeditious management of a case.
Goforth v. Owens,
If a party or party’s attorney fails to obey a scheduling or pretrial order, or if no appearance is made on behalf of a party at a scheduling or pretrial conference, or if a party or party's attorney is substantially unprepared to participate in the conference, or if a party or party’s attorney fails to participate in good faith, the judge, upon motion or the judge’s own initiative, may make such orders with regard thereto as are just, and among others any of the orders provided in Rule 37(b)(2)(B), (C), (D).
Fed.R.Civ.P. 16(f) (1991).
. The' Order resulted in part from a motion filed by the defendant under Fed.R.Civ.P. 37(b).
. The fee award was remanded for further proceedings. Specifically, the District Court was instructed to determine whether or not the plaintiff’s attorneys acted in bad faith. The Court held that a finding of conduct constituting or tantamount to bad faith must precede any sanction under the court’s inherent powers.
Roadway,
. The United States Court of Appeals for the Fourth Circuit has also defined the inherent authority to dismiss in terms of its practical necessity.
See White v. Raymark Industries, Inc.,
. The
Eash
Court also quoted the pertinent observations of Chief Justice Burger. He warned that "a small handful [of litigants] must not be permitted to abuse the system and preempt its time and machinery for purposes not intended, thus delaying and denying access to courts to others in need of the courts limited resources".
Eash
. It is also well settled that federal courts may enjoin
pro se
litigants from filing frivolous or repetitious complaints under 28 U.S.C. § 1915(a).
Graham v. Riddle,
. The instant plaintiff is an obvious exception to this general rule. He has advised the Court on several occasions, that he was employed as a paralegal for a private firm. Moreover, the motions filed in this case clearly demonstrate his proclivity for legal research and experience with the litigation process. Finally, he has competently prosecuted several other actions in this Court.
. The plaintiff was directed to amend and particularize his complaint within thirty days. He was warned that failure to comply with the order might result in dismissal of the action. The defendant filed a motion to dismiss when the plaintiff failed to comply with the order. Thereafter, plaintiff filed a request for an extension of time. The Court found that plaintiff's stated reasons did not justify an extension and dismissed the case with prejudice.
. Ironically on May 6, 1991, the plaintiff filed a motion in which he demands an immediate decision on a pending Rule 59(e) motion.
. See n. 22 supra.
. It should be noted that there were many motions filed by the plaintiff against the Milliken defendants. The documents submitted by the plaintiff indicate that he has also sued these defendants in state court for similar claims. These defendants were, therefore, not only the victims of the plaintiff's crime, but also victims of his vexatious civil litigation.
.In 1990, this Court received and initially processed approximately 135 pro se prisoner cases each month. From those cases, approximately 30 per month were assigned to this Division.
