Bush Ranch, Inc. v. E.I. DuPont De Nemours & Co. , 99 F.3d 363 ( 1996 )


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  •                  United States Court of Appeals,
    Eleventh Circuit.
    No. 95-9059.
    In re E.I. DuPONT DE NEMOURS & COMPANY-BENLATE LITIGATION.
    The BUSH RANCH, INC., William R. Lawson, individually, Yellow
    River Growers, C. Raker & Sons, Inc., a Michigan corporation,
    Petitioners-Counter-Defendants-Appellees,
    C. Neal Pope, a Georgia resident, Pope, McGlamry, Kilpatrick &
    Morrison, a Georgia partnership, Counter-Defendants,
    v.
    E.I. DuPONT DE NEMOURS & COMPANY, a Delaware corporation,
    Respondent-Counterclaimant, Appellant.
    Oct. 17, 1996.
    Appeal from the United States District Court for the Middle
    District of Georgia. (No. 4:95-CV-36(JRE), J. Robert Elliott,
    Judge.
    Before DUBINA, and CARNES, Circuit Judges, and FARRIS*, Senior
    Circuit Judge.
    DUBINA, Circuit Judge:
    This case involves an appeal from a contempt order entered by
    the district court against the Defendant-Appellant E.I. Du Pont de
    Nemours & Company ("DuPont").      For the reasons that follow, we
    reverse the district court's order and remand the case for further
    proceedings.
    I. Background
    This appeal has its origins in four consolidated cases, known
    collectively as the Bush Ranch litigation, that were tried before
    the district court in 1993.    The primary issue at trial was whether
    Benlate 50 DF—a fungicide manufactured by DuPont and sold to the
    *
    Honorable Jerome Farris, Senior U.S. Circuit Judge for the
    Ninth Circuit, sitting by designation
    plaintiffs for use at their nurseries—was contaminated with highly
    toxic herbicides known as sulfonylureas ("SUs").              After the case
    was submitted to the jury, the plaintiffs in the Bush Ranch
    litigation offered to settle their claims, and DuPont agreed.
    Accordingly, on August 16, 1993, the plaintiffs in the Bush Ranch
    litigation voluntarily dismissed their claims with prejudice.
    After the settlement, the plaintiffs in a Hawaii Benlate case
    requested documents related to testing of Benlate 50 DF from the
    Bush Ranch litigation. DuPont resisted, but it eventually produced
    the documents pursuant to a court order.          Among the test documents
    produced in the Hawaii Benlate case were certain raw test data (the
    "Alta data") that DuPont had not produced during the course of the
    Bush Ranch litigation.      The Alta data included analytical findings
    which some experts would construe as evidence that Benlate 50 DF
    was contaminated with SUs.
    As a result of the production of the Alta data in the Hawaii
    Benlate case, the Appellees1 returned to the district court—more
    than a year and a half after the settlement of the Bush Ranch
    litigation—with a petition seeking sanctions against DuPont.                The
    Appellees charged that DuPont had intentionally withheld evidence
    of SU contamination which was in its possession and which the
    district   court   had   ordered   it    to   produce.     Furthermore,     the
    petition   charged   that   DuPont      had   falsely    represented   to   the
    district court and to the Appellees that the Alta data it withheld
    1
    The Appellees are the plaintiffs from three of the four
    cases consolidated in the original Bush Ranch litigation.
    Specifically, the Appellees consist of The Bush Ranch, Inc.,
    William R. Lawson, Yellow River Growers, Roy Phillip Barber,
    Carol H. Barber, and C. Raker & Sons, Inc.
    contained no evidence of SU contamination.                   In response to the
    petition, the district court set a hearing date and ordered DuPont
    to appear and show cause why it should not be sanctioned.
    DuPont filed a motion to recuse under 
    28 U.S.C. §§ 144
     and
    455, a motion to vacate the show cause order, and a motion to
    dismiss the Appellees' petition. The district court denied each of
    these motions and also dismissed DuPont's counterclaims against the
    Appellees.    Following the district court's denial of the motion to
    recuse, DuPont filed a motion to stay the proceedings to enable it
    to seek writs of prohibition and mandamus from this court.                       The
    district court denied the motion to stay the proceedings, and this
    court subsequently denied DuPont's emergency motion for a stay and
    its petitions for writs of prohibition and mandamus.
    The show cause hearing began on May 2, 1995, and continued
    through May 12, 1995.         On the basis of the evidence presented at
    the hearing, the district court issued an order finding that
    DuPont's    failure    to    produce    the    Alta   data      had   violated   its
    discovery orders in the Bush Ranch litigation.                  The district court
    specifically found that "DuPont deprived [the Appellees], the
    [district    court],   and    the   jury      of   data   and    documents   highly
    relevant to the issue which DuPont itself described as the most
    critical issue in the case."           In re E.I. du Pont de Nemours & Co.,
    
    918 F.Supp. 1524
    , 1556 (M.D.Ga.1995).                 The district court also
    found that DuPont's conduct was "willful, deliberate, conscious,
    purposeful, deceitful, and in bad faith;"                  that this deceitful
    conduct "affected the rulings and the orders of [the district
    court] and interfered with the administration of justice;"                       and
    that this discovery abuse rendered the trial, which had lasted
    approximately six weeks, "a farce."   
    Id.
    Accordingly, the district court entered a sanctions order
    against DuPont consisting of the following four components:
    (1) The district court directed DuPont to send copies of the
    sanctions order and the withheld documents to the Appellees
    and the rest of the plaintiffs in the Bush Ranch litigation.
    (2) The district court found that the plaintiffs in the Bush Ranch
    litigation had together expended $6,843,837.53 in preparation
    for the trial and assessed a sanction in that amount against
    DuPont. The district court assessed another sanction for the
    same amount against DuPont to pay for the "wasted time,
    inconvenience, and waste of judicial resources inflicted upon
    [the district court] and the jury for the pretrial and trial
    of the consolidated cases." 
    Id. at 1557
    . The district court
    ordered that the total sum—$13,687,675.06—be paid into the
    registry of the court.
    (3) The district court partially vacated the order entered upon
    settlement of the Bush Ranch litigation, thereby reinstating
    several orders finding discovery abuses by DuPont during the
    course of the trial.       The district court specifically
    reinstated a conditional $1 million sanction it had imposed
    upon DuPont during the trial.       The district court also
    assessed a sanction of $100 million against DuPont for its
    conduct during the previous litigation and during the show
    cause hearing. The district court announced that it would
    permit DuPont to purge itself of the $1 million and $100
    million sanctions by complying with all other sanctions orders
    and by publishing a full page advertisement in the Wall Street
    Journal and in the most widely circulated newspapers in
    Alabama, Georgia, and Michigan acknowledging its wrongdoing
    and giving notice of the district court's orders and
    sanctions. The form of the advertisement was to be submitted
    to the district court for its approval.
    (4) The district court ordered DuPont to file, within 25 days, a
    certificate of compliance signed by DuPont's chief executive
    officer confirming that DuPont was in full compliance with the
    terms of the sanctions order.      The district court warned
    DuPont that it would impose additional sanctions of $30,000 a
    day for each day after the termination of the 25-day grace
    period during which DuPont had not both fully complied with
    the sanctions order and filed the requisite certificate of
    compliance.
    DuPont requested a stay of the sanctions order to enable it to
    appeal to this court.   The district court granted the stay, and
    this appeal followed.
    II. Issues Presented
    In its effort to defeat the contempt order, DuPont presents
    three issues which we must discuss in order to decide this appeal.2
    First, DuPont argues that the district court lacked jurisdiction to
    entertain the proceedings which culminated in the issuance of the
    contempt order.      Second, DuPont contends that the district court
    erred     in   imposing   criminal   contempt   sanctions   in   a   civil
    proceeding.3     Third, DuPont claims that its failure to produce the
    Alta data violated no order of the district court.
    III. Standards of Review
    We review the district court's assertion of jurisdiction de
    novo.     See Mutual Assurance, Inc. v. United States, 
    56 F.3d 1353
    ,
    1355 (11th Cir.1995).       We also review de novo the district court's
    characterization of these proceedings as civil, and not criminal,
    in nature. See International Union, United Mine Workers of America
    v. Bagwell, --- U.S. ----, ----, 
    114 S.Ct. 2552
    , 2561-63, 
    129 L.Ed.2d 642
     (1994);        Martin v. Guillot, 
    875 F.2d 839
    , 845 (11th
    2
    We do not address the remaining issues raised by the
    parties, because our resolution of these first three issues is
    dispositive of this appeal.
    3
    The district court invoked several sources of authority for
    imposing sanctions on DuPont. See In re E.I. du Pont de Nemours
    & Co., 
    918 F.Supp. at 1540-41
    . However, we are persuaded that
    none of these sources of authority could support the sanctions
    order without the assistance of the district court's inherent
    contempt power—a fact that the Appellees themselves recognize.
    See Appellees' Br. at 24 ("Having jurisdiction, and because no
    single rule was up to the task, the [district court] properly
    relied on its inherent powers to sanction DuPont.") (emphasis
    added). Thus, we need examine only the constitutionality of the
    district court's exercise of its inherent contempt power to
    determine whether the sanctions order can stand.
    Cir.1989).    As will be discussed infra, DuPont's challenge to the
    existence    of   an   order    requiring    production   of   the   Alta   data
    presents a question of evidence sufficiency which we review de
    novo.    See United States v. Keller,             
    916 F.2d 628
    , 632 (11th
    Cir.1990), cert. denied, 
    499 U.S. 978
    , 
    111 S.Ct. 1628
    , 
    113 L.Ed.2d 724
     (1991).
    IV. Discussion
    A. Jurisdiction.
    DuPont argues that the district court "lacked jurisdiction to
    entertain an independent civil action for sanctions based on
    alleged misconduct in the long-dismissed Bush Ranch litigation."
    DuPont's Br. at 17.       We disagree.       Every district court "has the
    power to conduct an independent investigation in order to determine
    whether it has been the victim of fraud."          Chambers v. NASCO, Inc.,
    
    501 U.S. 32
    , 44, 
    111 S.Ct. 2123
    , 2132, 
    115 L.Ed.2d 27
     (1991)
    (citing Universal Oil Prods. Co. v. Root Ref. Co., 
    328 U.S. 575
    , 
    66 S.Ct. 1176
    , 
    90 L.Ed. 1447
     (1946)). In addition, the district court
    was free to vacate its earlier judgment, in whole or in part, and
    to resume proceedings on the same jurisdictional basis as it
    possessed in the underlying case.            See Chambers, 
    501 U.S. at 44
    ,
    
    111 S.Ct. at 2132
     ("Of particular relevance here, the inherent
    power also allows a federal court to vacate its own judgment upon
    proof that a fraud has been perpetrated upon the court.") (citing
    Hazel-Atlas Glass Co. v. Hartford-Empire Co., 
    322 U.S. 238
    , 
    64 S.Ct. 997
    , 
    88 L.Ed. 1250
     (1994);            Universal Oil, 328 U.S. at 580,
    66 S.Ct. at 1179).             For this reason, the Supreme Court has
    specifically held that "[a] court may make an adjudication of
    contempt and impose a contempt sanction even after the action in
    which the contempt arose has been terminated."    Cooter & Gell v.
    Hartmarx Corp., 
    496 U.S. 384
    , 396, 
    110 S.Ct. 2447
    , 2456, 
    110 L.Ed.2d 359
     (1990) (citations omitted). Thus, we conclude that the
    district court possessed jurisdiction to conduct the challenged
    proceedings.
    B. Nature of the Sanctions.
    DuPont contends that the district court committed reversible
    error in imposing criminal sanctions in a civil proceeding.    It is
    indisputable that the district court did not afford DuPont the
    procedural protections the Constitution requires for the imposition
    of criminal contempt sanctions.4   Thus, the proceedings were civil
    in nature, and DuPont's entitlement to relief on appeal turns on
    our characterization of the contempt order as being either civil or
    criminal in nature.   See Blalock v. United States, 
    844 F.2d 1546
    ,
    1560 n. 20 (11th Cir.1988) (per curiam) (Tjoflat, J., specially
    4
    The Supreme Court summarized these requirements in the
    following passage:
    [T]his Court has found that defendants in criminal
    contempt proceedings must be presumed innocent, proved
    guilty beyond a reasonable doubt, and accorded the
    right to refuse to testify against themselves; must be
    advised of charges, have a reasonable opportunity to
    respond to them, and be permitted the assistance of
    counsel and the right to call witnesses; must be given
    a public trial before an unbiased judge; and must be
    afforded a jury trial for serious contempts.
    Young v. United States ex rel. Vuitton et Fils S.A., 
    481 U.S. 787
    , 798-99, 
    107 S.Ct. 2124
    , 2133, 
    95 L.Ed.2d 740
    (1987) (citing Gompers v. Buck's Stove & Range Co., 
    221 U.S. 418
    , 
    31 S.Ct. 492
    , 
    55 L.Ed. 797
     (1911); Cooke v. United
    States, 
    267 U.S. 517
    , 
    45 S.Ct. 390
    , 
    69 L.Ed. 767
     (1925); In
    re Oliver, 
    333 U.S. 257
    , 
    68 S.Ct. 499
    , 
    92 L.Ed. 682
     (1948);
    and Bloom v. Illinois, 
    391 U.S. 194
    , 
    88 S.Ct. 1477
    , 
    20 L.Ed.2d 522
     (1968)).
    concurring) ("It requires no citation of authority to say that a
    district court may not, even unwittingly, employ a civil contempt
    proceeding to impose what, in law, amounts to a criminal contempt
    sanction....         When   a   district    court   employs   civil   contempt
    procedures to punish a contemner, it necessarily deprives the
    contemner of his constitutional rights and renders his contempt
    citation a nullity.").
    The Supreme Court has instructed that "conclusions about the
    civil or criminal nature of a contempt sanction are properly drawn,
    not   from    the    subjective    intent    of   [the   court   imposing   the
    sanction], but from an examination of the character of the relief
    itself."     International Union, United Mine Workers of America v.
    Bagwell, --- U.S. ----, ----, 
    114 S.Ct. 2552
    , 2557, 
    129 L.Ed.2d 642
    (1994) (citation and internal quotation marks omitted).                If the
    relief is designed to compensate a complainant for losses or to
    coerce a party into complying with a court order, the contempt
    sanction is civil in nature.           See 
    id.,
     --- U.S. at ----, 
    114 S.Ct. at 2558
    ;     Martin v. Guillot, 
    875 F.2d 839
    , 845 (11th Cir.1989).            By
    contrast, "if a court seeks to vindicate its authority by punishing
    a contemnor, then [the] contempt is criminal in nature."               Martin,
    875 F.2d at 845 (citations omitted).                Thus, we must determine
    whether the specific sanctions ordered by the district court were
    compensatory and coercive in nature, or instead were punitive in
    nature.
    We have little trouble concluding that the sanctions the
    district     court    imposed   were    overwhelmingly    punitive—and      thus
    criminal—in nature. First, there was no compensatory aspect to the
    contempt order.        The only provision even arguably geared toward
    compensation of the parties was the first command that DuPont pay
    a sum of $6,843,837.53.         Although the district court chose this
    figure    because   it   represented    the   cost   to   the    plaintiffs    in
    preparing for and conducting the underlying trial, the district
    court did not order that this sum be paid to the Appellees or to
    any of the other plaintiffs in the original Bush Ranch litigation.
    Instead, the district court ordered the sum to be paid into the
    registry    of   the   court.    The   Supreme    Court    has   provided     few
    "straightforward       rules"   for   distinguishing      between   civil     and
    criminal contempts, Hicks ex rel. Feiock v. Feiock, 
    485 U.S. 624
    ,
    631-32, 
    108 S.Ct. 1423
    , 1429, 
    99 L.Ed.2d 721
     (1988), but it has
    held that "[i]f the relief provided is a fine, it is remedial [and
    thus civil in nature] when it is paid to the complainant, and
    punitive when it is paid to the court...."            
    Id.,
     
    485 U.S. at 632
    ,
    
    108 S.Ct. at 1429
    .         Thus, under        Hicks, this portion of the
    sanctions order must be characterized as punitive in nature.
    Second, there was no coercive aspect to the district court's
    contempt order.5         At the time the district court entered the
    contempt order, DuPont could no longer comply with the discovery
    orders because the Bush Ranch litigation had terminated.              Although
    5
    The final section of the contempt order was clearly
    intended to coerce DuPont into complying with the order's three
    other sections. Thus, when considered in isolation, this part of
    the order could be characterized as a coercive civil sanction.
    However, because it was intended to coerce compliance with the
    other sanctions, which were punitive in nature, it must fall with
    the rest of the contempt order. See Hicks, 
    485 U.S. at
    638 n.
    10, 
    108 S.Ct. at
    1433 n. 10 ("[I]f both civil and criminal relief
    are imposed in the same proceeding, then the criminal feature of
    the order is dominant and fixes its character for purposes of
    review.") (citations and internal quotation marks omitted).
    the district court did have the power to set aside the settlement
    agreement and re-open the discovery portion of the earlier case,
    see Chambers v. NASCO, Inc., 
    501 U.S. 32
    , 44, 
    111 S.Ct. 2123
    , 2132,
    
    115 L.Ed.2d 97
     (1991), it chose not to do so.   Where "the contemnor
    [can] not avoid the sanction by agreeing to comply with the
    original order to produce the documents," the sanctions order is
    determinate and therefore criminal in nature.6    Hicks, 
    485 U.S. at
    634 n. 6, 
    108 S.Ct. at
    1431 n. 6.
    We are persuaded that the sanctions imposed by the district
    court were neither compensatory nor coercive in nature, but instead
    were designed to punish DuPont for flouting the authority of the
    district court.     Accordingly, even though DuPont and its counsel
    may very well have engaged in criminal acts, 7 we must reverse the
    contempt order because the district court did not afford DuPont the
    procedural protections the Constitution requires for the imposition
    of criminal contempt sanctions.
    6
    There is an exception to the general rule that determinacy
    of sanctions renders them criminal rather than civil in nature,
    and the Appellees argue that the exception applies in this case.
    In Hicks, the Court stated that "[i]f the relief imposed ... is
    in fact a determinate sentence with a purge clause, then it is
    civil in nature." Hicks, 
    485 U.S. at 640
    , 
    108 S.Ct. at 1433
    (citations omitted). The Appellees claim that the $1 million and
    $100 million sanctions contained in the third part of the
    contempt order are civil in nature because, even though
    determinate, DuPont was free to purge them by taking out ads in
    several newspapers confessing wrongdoing. But this publication
    option was itself neither compensatory nor coercive, but instead
    was punitive in nature. When a party must choose between two
    sanctions that are both punitive in nature, the character of the
    ultimate relief will necessarily be punitive.
    7
    In light of the serious nature of the allegations against
    DuPont and its counsel, we assume that the appropriate United
    States Attorney will shortly begin an investigation of this
    matter (if he or she has not already done so).
    C. Violation of an Order.
    DuPont claims that it "cannot be held in contempt for failing
    to produce the Alta [data] for the simple reason that there was no
    order requiring [their] production."              DuPont's Br. at 17.         If
    DuPont is correct in its assertion that it was never ordered to
    produce the Alta data, then it cannot be held in contempt for
    failing to produce the Alta data during the Bush Ranch litigation.
    Since   a    ruling   on   this   issue   will   either   confirm   or   remove
    permanently a risk of the imposition of serious criminal contempt
    sanctions against DuPont, we now turn to a discussion of whether
    the evidence that DuPont was ever ordered to produce the Alta data
    is sufficient to allow this case to proceed further.
    As    previously    explained,    the    sanctions   imposed     by   the
    district court were criminal in nature. In the context of criminal
    contempt, the existence vel non of an order is a question for the
    finder of fact.       See United States v. Turner, 
    812 F.2d 1552
    , 1563
    (11th Cir.1987) (listing, as one of the essential elements of
    criminal contempt, a finding that the district court "entered a
    lawful order of reasonable specificity"); see also In re McDonald,
    
    819 F.2d 1020
    , 1024 (11th Cir.1987) (holding that whether an order
    is reasonably specific is a question of fact which must be proven
    beyond a reasonable doubt to sustain a conviction for criminal
    contempt).      Thus, in order to grant DuPont's request that we
    declare at this stage of the proceedings that no order requiring
    production of the Alta data existed, we would have to find that the
    record contains insufficient evidence to enable a reasonable finder
    of fact to conclude beyond a reasonable doubt that the district
    court entered a lawful order of reasonable specificity requiring
    DuPont to produce the Alta data.   An order meets the "reasonable
    specificity" requirement only if it is a "clear, definite, and
    unambiguous" order requiring the action in question.    See, United
    States v. Koblitz, 
    803 F.2d 1523
    , 1527 (11th Cir.1986);    Jordan v.
    Wilson, 
    851 F.2d 1290
    , 1292 n. 2 (11th Cir.1988);   see also Int'l
    Longshoremen's Ass'n v. Philadelphia Marine Trade Ass'n, 
    389 U.S. 64
    , 76, 
    88 S.Ct. 201
    , 208, 
    19 L.Ed.2d 236
     (1967) (union could not
    be held in contempt for violating order which did not clearly apply
    to union).
    Mindful of this standard, and having undertaken a thorough
    review of the record, we cannot agree with DuPont that there is
    insufficient evidence from which a reasonable finder of fact could
    conclude that there was a reasonably specific order requiring
    DuPont to produce the Alta data.   In reaching this conclusion, we
    have applied the familiar doctrine that the evidence is to be
    viewed, and all credibility issues to be decided, in the light most
    favorable to the charge, and all reasonable inferences drawn in
    support of a guilty verdict.   See, e.g., Jackson v. Virginia, 
    443 U.S. 307
    , 319, 
    99 S.Ct. 2781
    , 2788, 
    61 L.Ed.2d 560
     (1979);    United
    States v. Starrett, 
    55 F.3d 1525
    , 1541 (11th Cir.1995);       United
    States v. Perez, 
    956 F.2d 1098
    , 1101 (11th Cir.1992).     Of course,
    we do not mean, by our ruling on this issue, to predetermine the
    outcome of the criminal contempt proceeding. More specifically, we
    do not mean to intimate that no reasonable finder of fact could
    have a reasonable doubt about the existence of a sufficiently
    specific order.   Rather, we merely hold that the record contains
    sufficient evidence from which a reasonable finder of fact could
    find beyond a reasonable doubt that DuPont was ordered to produce
    the Alta data.     We turn now to a discussion of that evidence.
    The plaintiffs' first request for document production was very
    broad.   In it, DuPont was asked to produce, inter alia:
    All documents reflecting, referencing, and/or relating to any
    analytical findings (including identification of peaks) from
    mass spectrometry [and] high performance liquid chromatography
    ... in any way relating to the use and/or administration of
    Benlate 50 DF;
    *    *   *      *     *   *
    all documents reflecting, referencing, and/or relating to any
    assays ... conducted, in whole or in part, for the purpose of
    determining the presence, if any, of any sulfonylurea compound
    in Benlate 50 DF; [and]
    *    *   *      *     *   *
    all documents relating to and/or referencing any report or
    finding from any person, or entity, whether or not employed by
    the defendant, of other pesticidal compounds, including, but
    not limited to, herbicides, in Benlate 50 DF.
    Plaintiffs' First Request for Production of Documents to Defendant
    E.I. du Pont de Nemours & Company WW 18, 55, and 65.           The Alta data
    consist of documentation of the results of liquid chromatography
    testing which was done to detect the possible presence of Benlate
    50 DF in soils taken from the plaintiffs' nurseries.              Thus, the
    request for production of documents would appear to cover the Alta
    data. Nevertheless, DuPont argues that this request for production
    of documents could not include the Alta data, both because the
    district   court   treated   materials       generated   by   non-testifying
    experts differently from materials generated by testifying experts
    and non-experts, and because the Alta data were generated long
    after the first request for production of documents was prepared.
    These    arguments    are   not   strong    enough   to   establish    DuPont's
    position as a matter of law;        a reasonable factfinder could reject
    them.
    There is no phrase in the request for document production
    suggesting that the plaintiffs intended or desired for the request
    to be limited to documents produced by testifying experts or by
    non-experts.     In addition, there is no phrase in the request
    suggesting that the plaintiffs intended or desired the request to
    be limited to documents in existence on or before the date DuPont
    received the document request.8           Thus, a reasonable finder of fact
    could conclude beyond a reasonable doubt that this request, on its
    face, covered the Alta data.
    DuPont raised a number of objections to this request for
    production,    each   of    which   was    subsequently    overruled    by   the
    district court.       In particular, DuPont claimed that it was not
    8
    Although one might intuitively think that the request for
    production contains an implicit limitation to documents produced
    on or before the date the request for production was issued,
    there is the following language in Rule 26:
    A party who has ... responded to a request for
    discovery with a disclosure or response is under a duty
    to supplement or correct the disclosure or response to
    include information thereafter acquired if ordered by
    the court or in the following circumstances:
    (1) ... if the party learns that in some material
    respect the information disclosed is incomplete or
    incorrect and if the additional or corrective
    information has not otherwise been made known to
    the other parties during the discovery process or
    in writing.
    Fed.R.Civ.P. 26(e) (emphasis added). Thus, when a party
    generates responsive documents which render incomplete or
    incorrect earlier disclosures, it has an obligation to
    inform the opposing party of the new material.
    required to turn over the requested documents because the discovery
    request sought "information or materials which have been gathered
    or prepared in anticipation of or in the course of litigation, or
    which    otherwise      is    subject    to   [the]    work-product        doctrine."
    Memorandum Opinion and Order on Plaintiffs' Motion to Compel
    Discovery Dated June 24, 1992, at 3.            The district court noted that
    DuPont had failed to make timely and specific claims of privilege
    and   specifically       overruled      DuPont's      "objections    to    producing
    documents involving Benlate claims and lawsuits and tests that
    Defendant has conducted since March, 1991."                 
    Id. at 17
     (emphasis
    added).      Nevertheless, the district court reserved ruling on
    DuPont's claims of work product protection to give DuPont yet
    another opportunity to present adequately its claims of privilege
    on or before June 30, 1992.                In addition, the district court
    specifically ordered DuPont to go back and review the plaintiffs'
    first request for production of documents and to answer each
    request fully within 15 days from the date of the district court's
    order.     See 
    id. at 18
    .
    On June 30, 1992, DuPont filed a 498-page privilege log with
    the district court listing documents that it wanted to withhold on
    grounds    of    attorney-client        privilege     and/or   the   work    product
    doctrine.       See Supplemental Order Dated September 25, 1992, at 3.
    DuPont also noted its intention to withhold four categories of
    documents       that   were   not   individually       logged.       One    of   these
    categories of non-individually logged documents was described as
    "documents generated during ongoing testing conducted in 1992 by
    defendant with outside experts retained to evaluate crop damage
    claims and to determine the causes of damage."       
    Id.
       The district
    court then made the following statement:
    This Court concludes that defendant's expressed intent to
    raise additional claims of such privileges and protections,
    long after its responses to plaintiffs' first interrogatories
    and plaintiffs' first request for production were due and long
    after the June 30, 1992, date upon which this Court directed
    defendant to file a detailed log specifically setting forth
    any and all claims of attorney-client privilege and
    work-product protection, is contrary to applicable law as set
    forth above and in violation of this Court's directives.
    
    Id. at 21
    .   The district court further stated:
    [T]he Court has determined that management of these cases,
    consolidated for the purpose of discovery, must not be further
    delayed by the non-production of documents by this defendant,
    nor by a continued delayed filing of claims of attorney-client
    privilege and work-product protection. The consequences to
    this defendant, if any, resulting from the rulings herein
    made, will result solely from the failure of this defendant to
    respond timely to the plaintiffs' discovery requests.
    
    Id. at 26
     (emphasis added).
    As a result of DuPont's refusal to review its documents and
    make adequate claims of work product protection, the district court
    issued an order to apply throughout the Bush Ranch litigation that
    no further claims of work product protection asserted by DuPont
    would be entertained unless DuPont made a showing of extraordinary
    need. 
    Id. at 27-28
     ("The matter here considered will be limited to
    the question of the plaintiffs' first discovery requests directed
    to the defendant and the question of whether the defendant, by its
    acts and conduct, has waived the right to file any further claims
    of attorney-client privilege or work-product protection as to
    individual documents responsive to those discovery requests....
    Only an assertion of privilege by defendant upon a showing of
    extraordinary   need   will   be   hereafter   considered.")   (emphasis
    added).   Thus, a reasonable finder of fact could conclude beyond a
    reasonable doubt that the district court, by order, specifically
    altered the general process contained in Rule 26 for addressing
    claims of work product protection relating to documents prepared by
    DuPont in anticipation of litigation.9
    As a result of DuPont's abuse of the discovery process, the
    district court set up a special procedure for reviewing future work
    product claims by DuPont.       A reasonable finder of fact could well
    conclude that DuPont's attorneys were clever enough to figure out
    the   import   of   the   district   court's   enunciated     procedure    for
    reviewing all future claims of work product protection in the case.
    Indeed,   after     the   district   court   adopted   this   procedure,    it
    specifically ordered DuPont to go back and review its responses to
    the plaintiffs' first request for document production and to fill
    in immediately "all gaps in documents responsive to Plaintiffs'
    9
    The procedure adopted by the district court—viz., requiring
    the non-producing party to identify documents withheld under a
    claim of work product protection before forcing the party seeking
    production to make a showing of substantial need for the
    documents—is substantially in line with an amendment to Rule 26
    adopted shortly after the termination of the Bush Ranch
    litigation. See Fed.R.Civ.P. 26(b)(5) ("When a party withholds
    information otherwise discoverable under these rules by claiming
    that it is privileged or subject to protection as trial
    preparation material, the party shall make the claim expressly
    and shall describe the nature of the documents, communications,
    or things not produced or disclosed in a manner that, without
    revealing information itself privileged or protected, will enable
    other parties to assess the applicability of the privilege or
    protection."). Arguably, the content of subdivision (b)(5) was
    already implicit in the scheme of Rule 26 at the time of the Bush
    Ranch litigation. At any rate, the question before this court is
    not what the Federal Rules of Civil Procedure required DuPont to
    produce, but instead what a reasonable finder of fact could
    conclude that the district court ordered DuPont to produce. If
    the district court's order to produce the documents sought in the
    first request for document production was clear, then DuPont was
    not entitled to decide unilaterally to disregard the order simply
    because it did not track precisely the procedure set up in Rule
    26.
    original discovery requests." Order Imposing Sanctions Dated March
    15, 1993, at 4 (emphasis added). Significantly, the Alta data were
    generated only a couple months after the district court issued its
    gap-filling order.
    We do recognize that there is evidence in the record which
    could cause a factfinder to have a reasonable doubt about the
    existence of a clear, definite, and unambiguous order requiring
    DuPont to produce the Alta data.          For example, DuPont points to a
    joint motion, signed by plaintiffs' lead counsel and submitted to
    the district court upon settlement of the case which states that
    "Plaintiffs have agreed that, during the course of the case, DuPont
    did come in compliance with the Court's Orders and its discovery
    obligations." Joint Motion and Supporting Memorandum of Plaintiffs
    and Defendant for an Order Vacating Prior Discovery Orders and
    Sanctions Dated August 16, 1993, at 3.         As noted by DuPont, it is
    undisputed that Neal Pope, the lead counsel for the plaintiffs,
    signed that joint motion at a time when he knew that the Alta data
    had not been turned over during the course of discovery.            We agree
    with DuPont that Mr. Pope's written representation, as an officer
    of   the   court,   that   DuPont   had    complied   with   its   discovery
    obligations is evidence in its favor.           But it is not conclusive
    evidence.
    A factfinder is entitled to make credibility determinations,
    and we are not prepared to rule out the possibility that a
    reasonable    factfinder    might    find    that,    notwithstanding    his
    obligations as an officer of the court, Mr. Pope's representations
    were less than literally true and were made as a matter of
    expedience to ensure the success of the settlement.             We hope that
    expedience and deliberate misrepresentation is not the explanation;
    if, however, that turns out to be the case, the district court
    should take appropriate action.            It may be that there is a
    satisfactory, innocent explanation for the inconsistency between
    Mr. Pope's representations to the district court on behalf of the
    plaintiffs in the settlement agreement, and the position plaintiffs
    have taken in this proceeding, but we leave that matter to further
    development upon remand.    The district court should insist upon an
    explanation, and the factfinder can make the necessary credibility
    determinations about any explanation that is offered.
    For   present   purposes,   it   is   enough   to   view   all   of   the
    evidence, make all of the credibility decisions, and draw all of
    the reasonable inferences in favor of the contempt charge.             Doing
    that, we conclude that a reasonable finder of fact could conclude
    beyond a reasonable doubt that the plaintiffs' first request for
    production of documents covered the Alta data.             In addition, a
    reasonable finder of fact could conclude beyond a reasonable doubt
    that the district court overruled DuPont's objections to that
    request and ordered DuPont to produce the Alta data.             In sum, we
    hold that a reasonable finder of fact could conclude beyond a
    reasonable doubt that the district court entered a lawful order of
    sufficient specificity commanding DuPont to produce the Alta data
    and that it willfully failed to obey that order.
    V. Conclusion
    For the foregoing reasons, we reverse the contempt order and
    remand this case to the district court for further proceedings
    consistent with this opinion.
    REVERSED and REMANDED.