Jose Hernandez v. Results Staffing, Incorporated , 907 F.3d 354 ( 2018 )


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  •     Case: 17-11201    Document: 00514695327     Page: 1   Date Filed: 10/24/2018
    IN THE UNITED STATES COURT OF APPEALS
    FOR THE FIFTH CIRCUIT
    No. 17-11201
    United States Court of Appeals
    Fifth Circuit
    FILED
    October 24, 2018
    Lyle W. Cayce
    Clerk
    JOSE LUIS HERNANDEZ,
    Plaintiff–Appellant,
    versus
    RESULTS STAFFING, INCORPORATED,
    Defendant–Appellee.
    Appeal from the United States District Court
    for the Northern District of Texas
    Before SMITH, CLEMENT, and COSTA, Circuit Judges.
    JERRY E. SMITH, Circuit Judge:
    “If this case is an example, the term ‘civil procedure’ is an oxymoron.”
    Green v. GTE Cal., Inc., 
    34 Cal. Rptr. 2d 517
    , 518 (Cal. Ct. App. 1994). It comes
    before us for a second time, more than five years after Results Staffing,
    Incorporated (“RSI”), fired Jose Hernandez for failing to report to work. Her-
    nandez appeals the interlocutory order granting RSI’s Federal Rule of Civil
    Procedure 60(b) motion for relief from our prior judgment. See Hernandez v.
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    No. 17-11201
    Results Staffing, Inc., 677 F. App’x 902 (5th Cir. 2017). We affirm.
    I.
    RSI, which provides unskilled day laborers to third parties, employed
    Hernandez, an Army reservist, beginning in early 2013. After attending a
    weekend military training session July 12–14, 2013, Hernandez failed to
    appear for work on Monday, July 15, and instead visited a local emergency
    room complaining of a headache and lower back pain. RSI fired Hernandez for
    violating the company’s “no call/no show” policy, which “requires employees to
    call in four hours before a scheduled start time if they are unable to report to
    work.” Hernandez sued in 2014, alleging that RSI had violated his rights
    under the Uniformed Services Employment and Reemployment Rights Act of
    1994 (“USERRA”).
    RSI served Hernandez with two requests for production concerning med-
    ical records from his July 15 visit to the emergency room. The first request
    (“No. 12”) sought “[a]ll documents related to any visits [Hernandez] had with
    civilian medical personnel in July 2013, including all documents related to
    [Hernandez’s] visit to the hospital on July 15, 2013, as alleged in [his] [p]eti-
    tion.” The second request (“No. 19”) sought “[a]ll documents relating to any
    medical treatment that [Hernandez] underwent for the injury alleged in [his]
    [p]etition.”
    Hernandez objected to these requests but nonetheless produced a one-
    page doctor’s note in which the attending physician wrote that Hernandez was
    under his care on July 15, 2013, and would be able to work the next day. Nei-
    ther Hernandez nor his counsel gave any indication that additional medical
    records existed.   RSI later provided Hernandez with an authorization for
    release of protected health information, which Hernandez signed on March 12,
    2015. RSI did not make use of the signed authorization to obtain the relevant
    2
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    medical records.
    Hernandez’s counsel received copies of Hernandez’s medical records
    from July 15 on (in his words) “either Friday, May 15th or Monday, May 18th
    [2015],” shortly before trial. 1 Hernandez’s lawyer claims that he then “at-
    tempted to fax them to [RSI’s] counsel, even though [RSI’s] counsel already
    had an authorization to obtain the records from the hospital.” The fax allegedly
    failed to transmit. 2
    Following a non-jury trial in May 2015, the district court denied Hernan-
    dez any relief. We reversed, rendering “judgment in favor of Hernandez” and
    remanding “the case to the district court to determine [his] damages.” Id.
    at 908.
    On remand, RSI discovered that “[Hernandez] and his wife had given
    false testimony at trial concerning [his] service-related back condition and his
    reason for going to the emergency room.” Additionally, as the district court
    explained, RSI also found that “[Hernandez] and his counsel had in their
    possession in advance of the trial hospital records, which should have been,
    but were not, disclosed to [RSI] before the trial that showed the true reason for
    [Hernandez’s] trip to the emergency room [on] the morning of July 15, 2013.”
    After that discovery, RSI filed a Rule 60(b) motion for relief from
    judgment, attaching Hernandez’s July 15 emergency room records, which
    1As the district court highlighted in its order granting RSI’s Rule 60(b) motion, “[Her-
    nandez] generally represented in his response document that ‘documents responsive to this
    request in the possession, custody and control of the Plaintiff are attached as Exhibits in
    response to the Defendant’s written discovery requests . . . .’”
    2 At the hearing on the Rule 60(b) motion, the district court examined Hernandez’s
    attorney, Ryan Ray, concerning his claim of a failed fax transmission. The court noted that
    the failed fax containing the medical records was allegedly sent at 11:24 pm, well outside of
    normal business hours, and that Ray discovered the failed fax attempt just days before the
    Rule 60(b) motion hearing (in 2017).
    3
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    demonstrated that the primary reason for Hernandez’s visit was a headache
    (not a back injury, aggravated by his weekend military service, as he had
    claimed). 3 In opposition, Hernandez contended that, inter alia, the district
    court lacked jurisdiction to consider the motion for relief from judgment, the
    records “confirm that [Hernandez] was treated for a back injury,” RSI had
    failed to exercise diligence in obtaining the records, and counsel’s “failure to
    disclose was inadvertent.”
    The district court granted the Rule 60(b) motion, finding that
    [Hernandez’s] visit to the emergency room [on] the morning of July
    15, 2013, was not for care or treatment of an aggravation of a back
    condition he suffered while on military duty over the preceding
    weekend but, instead, was for treatment of a severe headache,
    probably a migraine in character, that had its onset after he ar-
    rived home the morning of July 15, 2013, and that the low back
    pain he mentioned upon his hospital admission as an associated
    symptom was not the cause of his visit to the hospital but was a
    non-disabling chronic back pain that [Hernandez] had been suf-
    fering for years.
    The court also determined that Hernandez and his wife gave intentionally false
    testimony “in order to disadvantage and mislead [RSI] in its trial preparation
    and presentation, and that [this testimony] ultimately misled [the Fifth Cir-
    cuit] in [Hernandez’s initial] appeal.” Furthermore, the district court found
    that Hernandez’s lawyer failed to “take appropriate steps to supplement an
    incomplete and misleading response [Hernandez] had made to [RSI’s] previ-
    ously served discovery request . . . seeking production of all documents related
    to [Hernandez’s] visit to the emergency room.” The court determined that
    Hernandez’s purpose in doing so was to “mislead[] [RSI] and its counsel into
    believing that [Hernandez’s] July 15, 2013 visit to the emergency room was for
    3  At trial, Hernandez had testified to the following: “I woke up, and I was in severe
    pain. My left leg was locked at a 90-degree angle. I had a stabbing sensation in the lower
    left side of my back. I was crying. I was wincing. At times, it was difficult to breathe.”
    4
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    care and treatment of an aggravation of a back condition that he suffered over
    the weekend [of July 12–14, 2013] while performing military duties.”
    In granting the Rule 60(b) motion, the district court ultimately con-
    cluded, inter alia, that Hernandez’s actions placed “[RSI] at an unfair disad-
    vantage in defending itself at the trial” and “put the Fifth Circuit at an unfair
    disadvantage in evaluating . . . the true facts [of this case].” The court also
    determined, however, that there was “substantial ground for difference of opin-
    ion” concerning whether providing a signed authorization for release of pro-
    tected health information is sufficient to satisfy the signing party’s ongoing
    discovery obligations under Federal Rules of Civil Procedure 34, 26(b), and
    26(e). Consequently, the court certified that question for interlocutory review
    under 
    28 U.S.C. § 1292
    (b). We granted Hernandez’s unopposed motion for
    leave to appeal the interlocutory order.
    II.
    Hernandez contends that the district court lacked jurisdiction to grant
    relief per Rule 60(b)(3) because it effectively set aside the judgment of this
    court. Under the facts and circumstances of this case, we disagree. 4
    Federal Rule of Civil Procedure 60(b) provides grounds by which a “court
    may relieve a party or its legal representative from a final judgment, order, or
    proceeding,” including in cases involving fraud, misconduct, or misrepresen-
    tation by an adverse party. 5 In Standard Oil Co. of California v. United States,
    4 This court reviews de novo an interpretation of a federal rule of civil procedure. See
    Lowry Dev., L.L.C. v. Groves & Assocs. Ins., Inc., 
    690 F.3d 382
    , 385 (5th Cir. 2012). Accord-
    ingly, this jurisdictional question is reviewed de novo. See id.; see also Frazar v. Ladd,
    
    457 F.3d 432
    , 435 (5th Cir. 2006) (“We review de novo . . . any questions of law underlying
    the district court’s decision.”).
    5  FED. R. CIV. P. 60(b)(3). The rules also contain a “catch-all” provision that allows for
    relief from a judgment, order, or proceeding for “any other reason that justifies relief.” FED.
    5
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    429 U.S. 17
    , 17 (1976) (per curiam), the Court held that a district court may
    entertain a Rule 60(b) motion without first obtaining leave of the appellate
    court. 6 The Court found “the arguments in favor of requiring appellate leave
    . . . unpersuasive,” noting that such a requirement “adds to the delay and
    expense of litigation and . . . burdens the increasingly scarce time of the federal
    appellate courts.” 
    Id. at 18
    .
    Because Standard Oil did not explicitly state whether its ruling was lim-
    ited to cases in which the court of appeals affirms, Hernandez asserts that
    where the appellate court reverses, the district court is not permitted to enter-
    tain a Rule 60(b) motion unless “the court of appeals recalls its mandate.”
    Hernandez cites a previous line of precedent in which the Supreme Court
    appeared to require the moving party to obtain leave of the higher court before
    a lower court could disturb its judgment. 7
    Hernandez’s theory fails for two reasons. First, Standard Oil overruled
    Hazel-Atlas. See McClure v. F.D.I.C, No. 93-8216, 
    1994 WL 14096
    , at *2 n.5
    (5th Cir. Jan. 4, 1994). Second, this court has not—at least since Standard
    Oil—required a party to obtain its leave before a district court may entertain
    a Rule 60(b) motion. In United States v. Warden, for example, we declined to
    hear a Rule 60(b) motion for relief, noting that “[a]pplication for relief under
    R. CIV. P. 60(b)(6).
    6 Before Standard Oil, the Supreme Court and numerous courts of appeals had
    “required appellate leave before the District Court could reopen a case which had been
    reviewed on appeal.” Standard Oil, 
    429 U.S. at 18
    .
    7  In Hazel-Atlas Glass Co. v. Hartford-Empire Co., 
    322 U.S. 238
    , 248 (1944), the Court
    noted that a judgment that had been reviewed on appeal “was not subject to impeachment
    . . . because a trial court lacks the power to deviate from the mandate of an appellate court.”
    See also In re Potts, 
    166 U.S. 263
    , 267 (1897) (contending that a once a higher court has
    decided a case on appeal, the lower court “has no authority, without express leave of [the
    higher] court, to grant a new trial, a rehearing, or a review, or to permit new defenses on the
    merits to be introduced by amendment of the answer”).
    6
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    such rule is to be made . . . to the district court which rendered the judgment.” 8
    At least one other circuit has squarely addressed this question. In De-
    Weerth v. Baldinger, 
    38 F.3d 1266
    , 1270−71 (2d Cir. 1994), the court held that
    a district court retains jurisdiction to review a Rule 60(b) motion for relief even
    after a reversal. 9 The court also found, 
    id.,
     that its refusal to recall a mandate
    had no bearing on the district court’s jurisdiction over a Rule 60(b) motion.
    Accordingly, under Standard Oil the district court had jurisdiction to
    consider RSI’s motion for relief under Rule 60. “[T]he appellate mandate
    relates to the record and issues then before the court, and does not purport to
    8  Nos. 94-20438, 94-20641, 
    1995 WL 413034
    , at *3 (5th Cir. June 22, 1995) (per cur-
    iam); see also Lindy Invs. III v. Shakertown 1992 Inc., 360 F. App’x 510, 512 (5th Cir. 2010)
    (per curiam) (remarking that “in light of changed circumstances” the lower court “did not
    ‘flout[] the mandate by acting on the motion’” (quoting Lindy Invs. III v. Shakertown 1992
    Inc., 
    631 F. Supp. 2d 815
    , 819 n.6 (E.D. La. 2008))); Logan v. Burgers Ozark Country Cured
    Hams Inc., No. 02-30325, 
    2003 WL 1524574
    , at *3 (5th Cir. Mar. 12, 2003) (per curiam) (high-
    lighting that “the appellate mandate relates [only] to the record and issues then before the
    court, and does not purport to deal with possible later events” (quoting Standard Oil, 
    429 U.S. at 18
    )); LSLJ P’ship v. Frito-Lay, Inc., 
    920 F.2d 476
    , 478 (7th Cir. 1990) (“[A] district court
    may reopen a case which had been reviewed on appeal without leave from the court of
    appeals.”).
    9 DeWeerth involved a suit between two parties over a painting by French impression-
    ist Claude Monet that was allegedly stolen from a castle in southern Germany during the
    waning days of the Second World War. See DeWeerth v. Baldinger, 
    658 F. Supp. 688
    , 690
    (S.D.N.Y. 1987). After a bench trial, the court awarded the painting to DeWeerth based, at
    least in part, on a finding that the applicable New York statute of limitations had not yet
    run. 
    Id.
     at 693–96. The Second Circuit reversed, contending that the applicable New York
    statute of limitations had, in fact, run. See DeWeerth v. Baldinger, 
    836 F.2d 103
    , 109–10 (2d
    Cir. 1987). In 1991, the New York Court of Appeals interpreted the state’s statute of limita-
    tions in a manner consistent with the district court’s original ruling. See Solomon R. Gug-
    genheim Found. v. Lubell, 
    569 N.E.2d 426
    , 430–31 (N.Y. 1991). Noting that the state court’s
    ruling was sufficient to constitute a “material change in circumstances,” the district court
    granted the plaintiff’s Rule 60 motion. DeWeerth v. Baldinger, 
    804 F. Supp. 539
    , 541
    (S.D.N.Y. 1992). In doing so, the district court noted that the Second Circuit had declined to
    alter its mandate in the wake of Guggenheim, which it suggested “may have been because
    the district court rather than the appellate court is the appropriate initial forum for seeking
    redress due to post-decisional changes in law or facts.” 
    Id.
     The Second Circuit reversed the
    ruling on the Rule 60(b) motion but noted that the district court did have jurisdiction to
    review the motion for relief. See DeWeerth 
    38 F.3d at
    1270–71.
    7
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    deal with possible later events.” Standard Oil, 
    429 U.S. at 18
    . The district
    court determined that Hernandez and his counsel had made numerous mis-
    representations to both this court and the district court that were discovered
    after we ruled. Those misrepresentations were “possible later events,” refer-
    enced in Standard Oil, sufficient to warrant action by the district court. 
    Id.
    That the Rule 60(b) motion came on the heels of a reversal, rather than an
    affirmance, of the initial ruling is an insufficient basis for stripping a district
    court of its jurisdiction to hear Rule 60(b) motions without leave. Such a stan-
    dard would be inconsistent with the rationale behind Standard Oil. See 
    id.
    at 18–19.
    III.
    Hernandez asserts that a party who signs an authorization for release of
    protected health information is completely discharged from the obligation of
    producing records controlled by healthcare providers. Again, we disagree.
    The production of documents, including medical records, is governed by
    Federal Rule of Civil Procedure 34(a): “A party may serve on any other party
    a request within the scope of Rule 26(b) . . . to produce and permit the request-
    ing party or its representative to inspect, copy, test, or sample [any designated
    documents] in the responding party’s possession, custody, or control.”           A
    request within the scope of Rule 26(b) includes “any nonprivileged matter that
    is relevant to any party’s claim or defense and proportional to the needs of the
    case.” FED. R. CIV. P. 26(b). In addition, a party making a disclosure under,
    inter alia, a request for production, “must supplement or correct its disclosure
    or response . . . in a timely manner if the party learns that in some way the
    disclosure or response is incomplete or incorrect, and if the additional or cor-
    rective information has not otherwise been made known to the other parties
    during the discovery process or in writing.” FED. R. CIV. P. 26(e).
    8
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    Hernandez maintains that, once signed, the records authorization re-
    lieved him from any further discovery obligation with respect to the medical
    records. He cites Jackson v. United Artists Theatre Circuit, Inc., 
    278 F.R.D. 586
    , 593 (D. Nev. 2011), holding that the plaintiff did not violate the discovery
    rules by voluntarily providing a signed medical authorization for a defendant
    to “obtain the plaintiff’s medical records . . . directly from the providers.” 10 Her-
    nandez cites additional caselaw, including Clark v. Vega Wholesale, Inc. 11 and
    Neal v. Boulder, 12 for the proposition that a party’s medical records are not in
    his possession, custody, or control. 13 Under Hernandez’s theory, he had no
    further obligation to produce or permit inspection of his medical records
    because they were in the hands of a third party.
    RSI responds that “providing a medical records authorization does not
    relieve Hernandez of the duty to produce documents in his actual possession,
    particularly where . . . such documents contradicted key elements of his prior
    testimony.” RSI relies on Frieman v. USAir Group, Inc., for the proposition
    that a defendant’s “ability to obtain the documents from alternate sources does
    not excuse the plaintiffs from their obligation to produce the documents.” 14
    10The Jackson court further asserted that “Rule 34 does not require the responding
    party to provide copies of documents” but only permits “inspection and copying by the
    requesting party.” 278 F.R.D. at 593.
    11   
    181 F.R.D. 470
    , 472 (D. Nev. 1998).
    12   
    142 F.R.D. 325
    , 327 (D. Colo. 1992).
    13 Clark and Neal were cases in which the requesting party was seeking a court order
    to compel a responding party to provide a signed medical release form. See 181 F.R.D. at
    471; 142 F.R.D. at 326. Here, the requested medical authorization form was provided volun-
    tarily. Additionally, it is undisputed that Hernandez’s counsel had Hernandez’s relevant
    medical records in his physical possession on or about May 15, 2015, more than a week and
    a half before trial began.
    14  Civ. A. No. 93-3142, 
    1994 WL 675221
    , at *4 (E.D. Pa. Nov. 23, 1994); see also Doe v.
    District of Columbia, 
    231 F.R.D. 27
    , 35 (D.D.C. 2005) (finding that medical records are in a
    plaintiff’s control and requiring either an authorization for their release or production of the
    records “if [the plaintiff] has a copy”); Orleman v. Jumpking, Inc., No. CIV. A. 99-2522-CM,
    9
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    We do not need to reach the more difficult question whether the signing
    of an authorization for release of protected health information is sufficiently
    responsive to a Rule 34 request for production, because once Hernandez’s coun-
    sel obtained physical possession of the records, he had a continuing obligation
    under Rule 26(e) to disclose them to RSI. By declining to do that, Hernandez
    failed to meet his obligations under the federal rules, which include a duty to
    supplement prior disclosures “in a timely manner” if they are incomplete and
    “if the additional . . . information has not otherwise been made known to the
    other parties during the discovery process or in writing.” FED. R. CIV. P. 26(e).
    Hernandez’s disclosure of the initial one-page letter was an incomplete
    response to at least two of RSI’s requests for production of the July 15 records.
    Neither Hernandez nor his counsel gave any further indication that additional
    medical records from that day existed.             Additionally, Hernandez failed to
    provide RSI with an authorization for release of protected health information
    as part of his discovery response. RSI got that authorization only when it
    approached Hernandez to sign a release. As the district court highlighted,
    Hernandez’s “discovery response, in effect, told defense counsel that the doc-
    tor’s letter constituted the only emergency record [Hernandez] had the ability
    to obtain from the hospital.” “Our system of discovery was designed to increase
    the likelihood that justice will be served in each case, not to promote principles
    of gamesmanship and deception in which the person who hides the ball most
    effectively wins the case.” Abrahamsen v. Trans-State Express, Inc., 
    92 F.3d 2000
     WL 1114849, at *5 (D. Kan. July 11, 2000) (“[W]here responsive information is in [the
    defendant’s] possession, [the defendant] is obligated to produce the information, whether or
    not [the] plaintiff has obtained the information from an alternate source. The rules of dis-
    covery do not permit parties to withhold material because the opponent . . . could discover it
    on their own.”); Bowman v. Consol. Rail Corp., 
    110 F.R.D. 525
    , 527 (N.D. Ind. 1986) (deter-
    mining that a party with a legal right to obtain information related to his unemployment
    benefits was required to provide that information on a Rule 34(a) discovery request).
    10
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    425, 428−29 (6th Cir. 1996).
    IV.
    Hernandez posits that RSI was not prevented from fully and fairly pre-
    senting its case, as contemplated by Rule 60. Additionally, in his reply brief,
    he contends that “review of discretionary decisions,” such as the district court’s
    decision to grant RSI relief from this court’s judgment, “is unavailable on an
    interlocutory appeal pursuant to 
    28 U.S.C. § 1292
    (b).” 15
    A.
    Section 1292(b) provides, in relevant part, as follows:
    When a district judge, in making in a civil action an order not oth-
    erwise appealable under this section, shall be of the opinion that
    such order involves a controlling question of law as to which there
    is substantial ground for difference of opinion and that an imme-
    diate appeal from the order may materially advance the ultimate
    termination of the litigation, he shall so state in writing in such
    order.
    Although “the Court of Appeals’ jurisdiction is not confined to the precise ques-
    tion certified by the lower court (because the statute brings the ‘order,’ [and]
    not the question, before the court),” our jurisdiction is nonetheless “confined to
    the particular order appealed from.” United States v. Stanley, 
    483 U.S. 669
    ,
    677 (1987).     “[W]hile we may not reach beyond the [district court’s] order to
    address other orders in the case, we are free to address ‘questions that are
    material to the lower court’s certified order’” as part of an interlocutory
    15 Hernandez cites Simon v. G.D. Searle & Co., 
    816 F.2d 397
     (8th Cir. 1987), which
    addressed the appropriate standard of review for the interlocutory appeal and found that
    although “the questions of law certified by the district court” are reviewed de novo, the courts
    of appeals “remain free to consider ‘such questions as are basic to and underlie’ the questions
    certified by the district court.” 
    Id. at 400
     (quoting Helene Curtis Indus., Inc. v. Church &
    Dwight Co., 
    560 F.2d 1325
    , 1335 (7th Cir. 1977)).
    11
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    appeal. 16
    Accordingly, we have discretion to reach the third issue briefed by the
    parties if it is material to the certified order. 17 We review for abuse of discre-
    tion the district court’s decision to grant Rule 60(b) relief. 18
    The district court based its decision on a finding that RSI was prevented
    from fully and fairly litigating its case. That finding was material to the certi-
    fied order because the order itself pertained exclusively to the motion for relief
    from judgment. The district court premised its grant of the motion on a belief
    that Hernandez had violated the federal discovery rules by failing to turn over
    relevant medical records and that that failure constituted misconduct as con-
    templated by Rule 60(b). 19 Accordingly, we next review, for abuse of discretion,
    the grant of the Rule 60(b) motion.
    B.
    Rule 60(b)(3) permits a court to grant relief from a final judgment or
    16Spong v. Fid. Nat’l Prop. & Cas. Ins. Co., 
    787 F.3d 296
    , 304 (5th Cir. 2015) (quoting
    Castellanos-Contreras v. Decatur Hotels, LLC, 
    622 F.3d 393
    , 398 (5th Cir. 2010)).
    17 See, e.g., Moorman v. UnumProvident Corp., 
    464 F.3d 1260
    , 1264 (11th Cir. 2006)
    (reviewing for abuse of discretion, as part of an interlocutory appeal, the denial of a discovery
    order). “[R]eview by appellate courts of noncertified questions is also discretionary,” so long
    as the noncertified question is materially related to the order. 
    Id. at 1272
    .
    18   See, e.g., United States v. Sealed Juvenile 1, 151 F. App’x 336, 336 (5th Cir. 2005)
    (per curiam) (“Before the court is an interlocutory appeal of an order . . . transferring appel-
    lant . . . for prosecution as an adult. Appellant argues that the district court abused its dis-
    cretion in granting the Government’s motion to transfer proceedings . . . to an adult criminal
    prosecution. We have reviewed the record . . . and find no abuse of discretion.”); see also
    United States v. NCR Corp., 
    688 F.3d 833
    , 837 (7th Cir. 2012) (stating that a preliminary
    injunction is reviewed using an abuse-of-discretion standard); Mercantile Tr. Co. Nat’l Ass’n
    v. Inland Marine Prods. Corp., 
    542 F.2d 1010
    , 1012 (8th Cir. 1976) (finding, on an interlocu-
    tory appeal, that “[t]he proper test in reviewing an order denying leave to amend under [Fed-
    eral Rule of Civil Procedure] 15(a) is whether the District Court has abused its discretion.”).
    19 Judicial efficiency weighs in favor of deciding all three issues presented here as part
    of this interlocutory appeal instead of waiting for an appeal of the third issue after judgment.
    Cf. Moorman, 
    464 F.3d at 1272
    .
    12
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    order for “fraud . . . , misrepresentation, or misconduct by an opposing party.”
    To prevail on a Rule 60(b)(3) motion, a party must establish, by clear and con-
    vincing evidence, see Rozier v. Ford Motor Co., 
    573 F.2d 1332
    , 1339 (5th Cir.
    1978), “(1) that the adverse party engaged in fraud or other misconduct, and
    (2) that this misconduct prevented the moving party from fully and fairly pre-
    senting his case.” 20
    1.
    The district court made extensive findings that “[Hernandez], often
    through his attorney, engaged in fraud, misrepresentation, and misconduct in
    [his] presentations, verbally and in writing, to the court in pretrial matters,
    during the trial, and in his presentations to the Fifth Circuit in support of his
    appeal from [the district] court’s dismissal of his claims,” sufficient to satisfy
    Rozier’s first requirement. Following an exhaustive review of the record, the
    district court concluded that Hernandez’s written submissions “were designed
    to lead the reader to think that [Hernandez’s] sole reason for going to the
    emergency room on the morning of July 15, 2013, was to obtain care and treat-
    ment for a back injury he aggravated while serving a military tour of duty the
    preceding weekend.” The written representations were supported by Her-
    nandez’s and his wife’s in-court testimony, and at no point did Hernandez “dis-
    close that his reason for going to the emergency room [on] the morning of
    July 15, 2013, was for treatment of a headache he developed that morning
    while at home.”
    In addition to the falsifications made to the district court, Hernandez
    20Hesling v. CSX Transp., Inc., 
    396 F.3d 632
    , 641 (5th Cir. 2005) (citing Gov’t Fin.
    Servs. One Ltd. P’ship v. Peyton Place, 
    62 F.3d 767
    , 772 (5th Cir. 1995)). Ultimately, “[t]he
    purpose of [Rule 60(b)(3)] is to afford parties relief from judgments which are unfairly
    obtained, not those which may be factually incorrect.” Diaz v. Methodist Hosp., 
    46 F.3d 492
    ,
    496 (5th Cir. 1995).
    13
    Case: 17-11201    Document: 00514695327       Page: 14   Date Filed: 10/24/2018
    No. 17-11201
    made similar misrepresentations to this court and failed to tender, as part of
    RSI’s request for production, all medical records related to his visit to the emer-
    gency room. The district court found that the “record was false in that it failed
    to disclose [Hernandez’s] true reasons for his visit to the hospital emergency
    room,” which affected both the trial and appellate proceedings.
    2.
    The district court also found, by clear and convincing evidence, that the
    misconduct prevented RSI from having a full and fair opportunity to present
    its case. The court posited that had “the truth concerning [Hernandez’s] reason
    for admission to the hospital . . . been disclosed during or before the trial, [RSI]
    would have been in a position to effectively argue,” inter alia, “that [Hernan-
    dez’s] failure to be at work [on] the morning of July 15, 2013, was not the result
    of any military-related injury, or aggravation of an injury, and that during the
    day of July 15, 2013, [Hernandez] was not convalescing from such an injury or
    aggravation.”
    The court also found that the misrepresentations to it, as well as the
    failure to disclose Hernandez’s medical records, affected RSI’s initial appeal to
    this court. Specifically, the district court highlighted an exchange at this
    court’s oral argument between one of the judges and counsel for RSI in which
    the judge asked counsel whether there was any evidence that rebutted Hernan-
    dez’s assertion that an aggravation of a preexisting back injury was the basis
    for his visit to the emergency room. Ultimately, the district court’s findings in
    its order are sufficient to satisfy Rozier’s second requirement that the alleged
    misconduct must have prevented RSI from fully and fairly litigating its case.
    3.
    In Anderson v. Cryovac, Inc., 
    862 F.2d 910
    , 925 (1st Cir. 1988), the court
    14
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    No. 17-11201
    maintained that “where discovery material is deliberately suppressed, its
    absence can be presumed to have inhibited the unearthing of further admissi-
    ble evidence adverse to the withholder, that is, to have substantially interfered
    with the aggrieved party’s trial preparation.” Although Anderson is not bind-
    ing on this court, its holding is instructive. Here, the misrepresentations by
    Hernandez, his wife, and his counsel, as well as the failure to disclose medical
    records responsive to RSI’s discovery requests, presumably “inhibited the
    unearthing” of evidence adverse to Hernandez and “substantially interfered”
    with defense counsel’s preparation.
    In this sense, the grant of RSI’s motion for relief from our prior judgment
    was not an abuse of discretion because it was not based on a “clearly erroneous
    assessment of the evidence.” Cooter & Gell v. Hartmarx, 
    496 U.S. 384
    , 405
    (1990).   The district court correctly applied our two-pronged test for Rule
    60(b)(3) motions, finding, by clear and convincing evidence, that Hernandez
    engaged in fraud or other misconduct that prevented RSI from fully and fairly
    litigating its case.
    Hernandez contends that Diaz bars relief. There, we affirmed the denial
    of a plaintiff’s Rule 60(b)(3) motion for relief that was based on a post-trial
    allegation of perjury. Diaz, 
    46 F.3d at
    496–97. Finding that the plaintiff failed
    to show by clear and convincing evidence that perjury had occurred and “that
    any perjured testimony prevented her from fully and fairly presenting her
    case,” we declined to reverse. 
    Id. at 497
    .
    Diaz is distinguishable on its facts. “If unequivocal evidence establishes
    that a party willfully perjured himself, and thereby prevented the opposition
    from fully and fairly presenting its case, use of Rule 60(b)(3) to grant the inno-
    cent party a new trial would be a proper response.” 
    Id.
     (emphasis added). The
    Diaz plaintiff’s failure to establish by clear and convincing evidence that the
    15
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    No. 17-11201
    defendant’s actions prevented her from fully and fairly litigating her case did
    not change our Rozier standard with respect to Rule 60(b)(3) motions.
    In sum, the district court found that RSI established, by clear and con-
    vincing evidence, that Hernandez’s misconduct prevented it from a full and fair
    hearing of its case. Thus, the court did not abuse its discretion when it granted
    relief from judgment. 21
    The order granting relief under Rule 60(b)(3) is AFFIRMED.
    21  In the alternative, the district court asserted that RSI “would be entitled to the
    relief it seeks pursuant to the authority of Rule 60(b)(6)” if not Rule 60(b)(3). Rule 60(b)(6)
    permits a court to grant relief from a judgment or order for “any other reason that justifies
    relief.” Because RSI was entitled to relief under Rule 60(b)(3) and because the district court
    did not abuse its discretion in granting such relief, we do not reach the question whether Rule
    60(b)(6) provides alternative grounds.
    16
    

Document Info

Docket Number: 17-11201

Citation Numbers: 907 F.3d 354

Filed Date: 10/24/2018

Precedential Status: Precedential

Modified Date: 1/12/2023

Authorities (21)

Anne Anderson v. Cryovac, Inc., Anne Anderson v. Beatrice ... , 862 F.2d 910 ( 1988 )

Ross Glenn Moorman, Jr. v. UnumProvident , 464 F.3d 1260 ( 2006 )

Diaz v. Methodist Hospital , 46 F.3d 492 ( 1995 )

monica-bauer-hesling-guardian-and-next-friend-of-minors-hannah-buck-and , 396 F.3d 632 ( 2005 )

gerda-dorothea-deweerth-v-edith-marks-baldinger , 836 F.2d 103 ( 1987 )

Gerda Dorothea Deweerth v. Edith Marks Baldinger, Defendant-... , 38 F.3d 1266 ( 1994 )

Martha Ann Brundage Rozier v. Ford Motor Company , 573 F.2d 1332 ( 1978 )

Government Financial Services One Ltd. Partnership v. ... , 62 F.3d 767 ( 1995 )

Castellanos-Contreras v. Decatur Hotels, LLC , 622 F.3d 393 ( 2010 )

Debra A. And George Simon v. G.D. Searle & Co. , 816 F.2d 397 ( 1987 )

Green v. GTE California, Inc. , 34 Cal. Rptr. 2d 517 ( 1994 )

helene-curtis-industries-inc-v-church-dwight-co-inc-and-allied , 560 F.2d 1325 ( 1977 )

Mercantile Trust Company National Association v. Inland ... , 542 F.2d 1010 ( 1976 )

Lindy Investments, III, L.P. v. Shakertown Corp. , 631 F. Supp. 2d 815 ( 2008 )

In Re Potts , 17 S. Ct. 520 ( 1897 )

Hazel-Atlas Glass Co. v. Hartford-Empire Co. , 64 S. Ct. 997 ( 1944 )

Standard Oil Co. of Cal. v. United States , 97 S. Ct. 31 ( 1976 )

United States v. Stanley , 107 S. Ct. 3054 ( 1987 )

DeWeerth v. Baldinger , 804 F. Supp. 539 ( 1992 )

DeWeerth v. Baldinger , 658 F. Supp. 688 ( 1987 )

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