IN THE COURT OF CHANCERY OF THE STATE OF DELAWARE
)
OPTIMISCORP, a Delaware )
corporation, ALAN MORELLI, and )
ANALOG VENTURES, LLC, )
)
Plaintiffs, ) C.A. No. 8773-VCP
)
v. )
)
JOHN WAITE, WILLIAM ATKINS, )
GREGORY SMITH, and WILLIAM )
HORNE, )
)
Defendants. )
)
MEMORANDUM OPINION
Submitted: October 22, 2014
Decided: January 28, 2015
Anthony W. Clark, Esq., Douglas D. Herrmann, Esq., Amy C. Huffman, Esq.,
SKADDEN, ARPS, SLATE, MEAGHER & FLOM LLP, Wilmington, Delaware;
Attorneys for Plaintiffs OptimisCorp, Alan Morelli, and Analog Ventures, LLC.
Stephen P. Brauerman, Esq., Vanessa R. Tiradentes, Esq., Sara E. Bussiere, Esq.,
BAYARD, P.A., Wilmington, Delaware; Attorneys for Defendants John Waite, William
Atkins, and Gregory Smith.
Bruce E. Jameson, Esq., Eric J. Juray, Esq., PRICKETT, JONES & ELLIOTT, P.A.,
Wilmington, Delaware; Attorneys for William Horne.
PARSONS, Vice Chancellor.
Before the Court are the plaintiffs‟ motion to amend the complaint and the
defendants‟ related motion in limine to exclude allegedly undisclosed causes of action. In
short, the defendants moved for summary judgment, and the plaintiffs responded with
evidence that the defendants do not believe fairly was pled or disclosed during discovery.
Following argument on the motions for summary judgment, the plaintiffs moved to
amend their complaint and the defendants sought to exclude the purportedly new
allegations and claims. For the reasons that follow, the plaintiffs‟ motion to amend is
denied and the defendants‟ motion in limine is granted in part and denied in part.
I. BACKGROUND
Plaintiff OptimisCorp (“Optimis” or the “Company”) is a healthcare technology
and service provider. Plaintiff Alan Morelli founded Optimis in 2006 and has been the
CEO and chairman of the board ever since. Morelli also is the managing member of
Plaintiff Analog Ventures, LLC (“Analog,” and together with Optimis and Morelli,
“Plaintiffs”), a company that owns a significant percentage of Optimis‟s stock. Overall,
Morelli directly or indirectly controls almost 7.4 million Optimis shares.1
Defendants John Waite, William Atkins, and Gregory Smith (the “Director
Defendants”) served on the Optimis board from June 2007 until their resignations on
June 25, 2013. Waite also served as the Company‟s Chief Operating Officer from 2009
until June 25, 2013. The Director Defendants became associated with Optimis after they
1
There is no apparent indication in the record as to what percentage ownership
these 7.4 million shares represent.
1
had sold their company, Rancho Physical Therapy, Inc. (“Rancho”), to Optimis. As a
result of that sale, the Director Defendants acquired nearly eight million shares of
Optimis stock.
Defendant William Horne (together with the Director Defendants, “Defendants”)
started as a consultant to Optimis in 2006. From January 2008 until May 2013, he served
as the company‟s Chief Financial Officer. Horne owns slightly less than 170,000 shares
of Optimis stock.
On August 5, 2013, Plaintiffs filed their Verified Complaint (the “Complaint”)
alleging that Defendants: (1) breached their fiduciary duties; (2) violated a stockholder
agreement to which they were, and are, parties; (3) tortiously interfered with the
Company‟s contracts and business relations; and (4) generally attempted an unlawful
takeover of Optimis by, among other things, using the pretext of purportedly false sexual
harassment allegations made by Tina Geller, an Optimis physical therapist. Roughly a
year later, after substantial discovery, the Director Defendants and Horne separately
moved for summary judgment. The briefing on those motions exceeded 280 pages. I
heard argument on the motions for summary judgment on September 8, 2014, and by
Order entered on the same day as this Memorandum Opinion, I deny both motions.
The crux of the current dispute relates to arguments made during the briefing on
summary judgment. In connection with their opposition briefs, on August 24, 2014,
Plaintiffs filed three affidavits, one each from Stephen Levine, Helene Fearon, and
Catherine Gentry. The Fearon and Levine affidavits, which are almost identical, aver
facts that Plaintiffs rely on to support their allegations that Defendants were involved in a
2
conspiracy along with Joe Godges, George Rohlinger, Jeanine Gunn, Fearon, Levine, and
others to undermine Morelli. Those affidavits also allegedly support Plaintiffs‟ tortious
interference claims by detailing the circumstances of what the parties have called the
“Fearon Rescission.”2 Of particular note, Plaintiffs entered into Confidential Cooperation
and Release Agreements with Fearon and Levine on May 2 and May 11, 2014,
respectively, but the affidavits first appeared as exhibits to Plaintiffs‟ opposition briefs in
late August. The Gentry affidavit purports to support Plaintiffs‟ allegations of continued
interference with Rancho.
Intimately intertwined with resolution of the summary judgment motions are
Plaintiffs‟ motion to amend the complaint (the “Motion to Amend”) and Defendants‟
joint motion in limine to exclude undisclosed causes of action (“Defendants‟ Motion in
Limine”). Plaintiffs moved to amend on September 10, 2014, primarily to allege the
existence of additional co-conspirators, and Defendants filed their Motion in Limine on
September 26. The Motion in Limine represents, in effect, a further opposition to the
Motion to Amend and both parties relied, in part, on arguments made in their respective
summary judgment briefs regarding the motions to amend and in limine. After full
briefing on the latter two motions, the Court heard oral argument on October 22.
2
Tim Fearon, Helene‟s husband, owned FearonPT, a physical therapy company.
He sold that company to Optimis in September 2010 in a stock purchase
agreement (“SPA”). Under the terms of the SPA, Tim Fearon could rescind the
transaction anytime before midnight on December 21, 2012. He ultimately did so,
allegedly at the urging and encouragement of Defendants. Plaintiffs allege that
Defendants‟ actions regarding the Fearon Rescission constituted tortious
interference.
3
Because of the close relationship between the summary judgment motions and the
related motions to amend and to exclude undisclosed causes of action, I considered it
most efficient to resolve the latter motions first. This Memorandum Opinion, therefore,
constitutes my ruling on Plaintiffs‟ Motion to Amend and Defendants‟ Motion in
Limine.3 In considering the motions at issue, the Court extensively reviewed the items in
the discovery record to which the parties cited in their briefs. All told, this required
review of over a thousand pages of material in addition to the already substantial briefing
on the several pending motions in this case.
II. STANDARDS OF REVIEW
Because Plaintiffs filed their Motion to Amend after the scheduled date for
completion of fact discovery and after briefing and argument on comprehensive motions
for summary judgment, the pending motions require me to consider the intersection of the
principles of notice pleading and the rules governing discovery. Considerations of that
nature were important in deciding whether to allow the requested amendment of the
Complaint.
3
In a separate Order being entered this same date, I deny Defendants‟ motions for
summary judgment. I also note that Defendants argued that the Motion to Amend
should be denied as futile because none of the claims would survive a Rule
12(b)(6) motion to dismiss. Defendants raised similar arguments in their summary
judgment briefing. I do not consider those arguments persuasive, and that
contributed to my decision to deny the motions for summary judgment. This
Memorandum Opinion focuses almost entirely on Plaintiffs‟ timeliness, the
prejudice to Defendants, and Plaintiffs‟ actions during discovery.
4
A. Notice Pleading
A complaint must contain sufficient facts to place the opposing party on notice of
the claims asserted and the basis for relief.4 This pleading standard is “minimal.”5 The
Court must “accept even vague allegations in the Complaint as „well-pleaded‟ if they
provide the defendant notice of the claim.”6
B. Amendment of Pleadings
Court of Chancery Rule 15 governs motions for leave to amend. After a
responsive pleading has been filed, as it was long ago in this case, a party may amend its
pleading “only by leave of Court or by written consent of the adverse party; and leave
shall be freely given when justice so requires.”7 Courts have interpreted this provision to
allow for liberal amendment in the interest of resolving cases on the merits.8 “A motion
to amend may be denied, however, if the amendment would be futile, in the sense that the
4
Ct. Ch. R. 8(a) (“A pleading . . . shall contain (1) a short and plain statement of the
claim showing that the pleader is entitled to relief and (2) a demand for judgment
for the relief to which the party deems itself entitled.”).
5
Cent. Mortg. Co. v. Morgan Stanley Mortg. Capital Hldgs. LLC, 27 A.3d 531, 536
(Del. 2011).
6
Id.
7
Ct. Ch. R. 15(a).
8
See, e.g., Those Certain Underwriters at Lloyd’s, London v. Nat’l Installment Ins.
Servs., Inc., 2008 WL 2133417, at *7 (Del. Ch. May 21), aff’d, 962 A.2d 916 (Del.
2008); Franklin Balance Sheet Inv. Fund v. Crowley, 2006 WL 3095952, at *3
(Del. Ch. Oct. 19, 2006).
5
legal insufficiency of the amendment is obvious on its face.” 9 That is, the motion may be
denied if the proposed amendment immediately would fall to a Rule 12(b)(6) motion to
dismiss.10 Leave to amend also may be denied if there is a showing of substantial
prejudice, bad faith, dilatory motive, or repeated failures to cure by prior amendment.11
Ultimately, a motion for leave to amend is left to the sound discretion of the trial court.12
In the specific circumstances of this case, I also consider Court of Chancery Rule
15(aaa) relevant by analogy. Plaintiffs filed their motion to amend after conclusion of the
briefing and argument on Defendants‟ motions for summary judgment. While this
procedural posture technically falls outside the scope of Rule 15(aaa),13 I consider the
theory underlying the rule instructive. “The purpose of the rule is to minimize situations
9
NACCO Indus., Inc. v. Applica Inc., 2008 WL 2082145, at *1 (Del. Ch. May 7,
2008).
10
See St. James Recreation, LLC v. Rieger Opportunity P’rs, LLC, 2003 WL
22659875, at *5 (Del. Ch. Nov. 5, 2003).
11
See, e.g., Nat’l Installment Ins. Servs., Inc., 2008 WL 2133417, at *7; NACCO
Indus., Inc, 2008 WL 2082145, at *1; Crowley, 2006 WL 3095952, at *3.
12
See, e.g., Nat’l Installment Ins. Servs., Inc., 2008 WL 2133417, at *7 (citing Bokat
v. Getty Oil Co., 262 A.2d 246, 251 (Del. 1970)); NACCO Indus., Inc., 2008 WL
2082145, at *1.
13
Cf. Stern v. LF Capital P’rs, LLC, 820 A.2d 1143, 1147 (Del. 2003) (construing
Rule 15(aaa) to preclude a plaintiff, after responding to a motion to dismiss, from
dismissing the case pursuant to Rule 41(a) and re-filing the case, despite the fact
that Rule 15(aaa) did not mention Rule 41(a) at the time, nor did Rule 41(a) then
reference Rule 15(aaa)). Rule 15(aaa) later was amended in conformance with the
reasoning of the Stern decision.
6
where this Court must adjudicate multiple motions to dismiss in the same action.”14
Here, granting the motion to amend would expand the scope of the issues the parties and
the Court would have to face at trial, not to mention the difficulties it may have created
for Defendants in the final stages of discovery. The trial in this action will begin on
February 6, 2015. Accordingly, I am reluctant to afford Plaintiffs, who delayed moving
to amend until after the conclusion of briefing and argument on motions for summary
judgment, the full benefit of the liberal standards generally governing amendment of
pleadings, especially when the amendments they seek relate directly to the issues
addressed in the summary judgment motions and pose problems in terms of fair notice.
C. Discovery
The “purpose of discovery is to advance issue formation, to assist in fact
revelation, and to reduce the element of surprise at trial.” 15 Interrogatories are one
method of discovery, and parties served with interrogatories must answer them fully and
truthfully.16 Additionally, Court of Chancery Rule 26(e) requires supplementation of
discovery responses in certain instances. As relevant here, Rule 26(e) provides that:
(1) A party is under a duty seasonably to supplement the
response with respect to any question directly addressed to
14
Crowley, 2006 WL 3095952, at *3.
15
Levy v. Stern, 687 A.2d 573 (Table), 1996 WL 118160, at *2 (Del. 1996) (citing
Buchanan Serv., Inc. v. Crew, 122 A.2d 914 (Del. Super. 1956)).
16
Ct. Ch. R. 33(b)(1) (“Each interrogatory . . . shall be answered separately and fully
in writing under oath, unless it is objected to, in which event the objecting party
shall state the reasons for objection and shall answer to the extent the interrogatory
is not objectionable.”).
7
(A) the identity and location of persons having knowledge of
discoverable matters . . . .
(2) A party is under a duty seasonably to amend a prior
response if the party obtains information upon the basis of
which (A) the party knows that the response was incorrect
when made, or (B) the party knows that the response though
correct when made is no longer true and the circumstances
are such that a failure to amend the response is in substance a
knowing concealment.
With these concepts in mind, I turn to the merits of Plaintiffs‟ Motion to Amend and
Defendants‟ Motion in Limine.
III. ANALYSIS
At the outset, I note some of the procedural backdrop in this case. Plaintiffs filed
their Complaint on August 5, 2013. Along with the Complaint, Plaintiffs moved for a
preliminary injunction and for expedited treatment. Although I denied the motion to
expedite, I made clear to the parties that I intended this action to proceed relatively
promptly,17 and, to that end, that I expected “strict adherence to the requirements of the
Court of Chancery rules.”18 The initial scheduling order established October 15, 2013 as
the deadline for Plaintiffs to amend their Complaint, with trial scheduled for June 17-20,
2014. A second scheduling order, granted on March 19, 2014, moved the trial date to
August 25-28, 2014. A third scheduling order granted on June 5, 2014, again postponed
the trial date, this time to October 20-23, 2014. On October 9, being confronted with a
17
Mot. to Expedite Arg. Tr. 72 (Aug. 16, 2013).
18
Id. at 71. During argument on the motion to expedite, I also observed as to
Plaintiffs‟ Complaint that the “claims, to my mind, are fairly nebulous.” Id. at 67.
8
flurry of pre-trial motions, including the two motions currently before me, I rescheduled
the trial yet again, to February 6-13, 2015. Thus, after Plaintiffs originally moved to
expedite this matter, after repeatedly rescheduling the trial date, and nearly eleven months
after the relevant deadline for amending the Complaint expired, this Court was faced in
September and October 2014 with a motion to amend the Complaint and a related motion
to exclude undisclosed causes of action.19
Plaintiffs‟ proposed Amended Complaint, in addition to making several changes in
the substantive allegations, sets forth new independent counts for civil conspiracy and
aiding and abetting, and adds to each of the breach of contract counts an allegation of
breach of the implied covenant of good faith and fair dealing. In moving to amend,
Plaintiffs also maintained, essentially in the alternative, that an amendment is
unnecessary here because the claims set forth in the proposed Amended Complaint
adequately were pled in the initial Complaint.20 Defendants argue that the proposed
amendments are futile because they cannot survive a motion to dismiss and also that the
Court should deny the amendments in the exercise of its discretion for reasons such as
untimeliness. Defendants‟ Motion in Limine to exclude undisclosed causes of action
redoubles their efforts to defeat the Motion to Amend and also seeks to exclude certain
19
I heard argument on these two motions, among others, on October 22, 2014.
20
Pls.‟ Mot. to Am. 4 (“Plaintiffs‟ proposed amendments simply clarify the claims
which plaintiffs have pursued and continue to pursue in connection with this
litigation.”).
9
evidence, including documents that Defendants assert were produced too late to be
considered at trial.21
A. The Discovery Record
The Complaint alleges three categories of wrongs by Defendants: (1) undermining
Morelli‟s authority and frustrating the Company‟s strategic plans; (2) seizing control of
Rancho; and (3) blocking the Company‟s efforts to obtain financing.22 The Complaint
explicitly uses the term “conspiracy” only once.23 The overall tenor of the Complaint,
however, evinces an overarching theory of a conspiracy by Defendants to oust Morelli
and take control of Optimis.24 Paragraph 16, which mentions a conspiracy, illustrates this
point:
Thus, starting in 2010, just two years into the partnership with
Morelli to which they freely agreed—and after opting not to
exercise their rescission rights to unwind the transaction—and
despite their contractual promise that Morelli would have
complete control for seven years, the Rancho Defendants
decided that, rather than forthrightly raise their concerns with
the Board, they would secretly prepare to mount a hostile
takeover of the Company. The Rancho Defendants began a
campaign to undermine Morelli and his software development
strategy, recruited Joseph Godges—a director and employee
21
Aside from the specific holdings in this Memorandum Opinion, I reject
Defendants‟ arguments about untimely document production. The most recent
rescheduling of the trial has provided Defendants sufficient time to review the
disputed categories of documents.
22
Compl. ¶ 3.
23
Id. ¶ 16.
24
The Complaint repeatedly uses phrases such as “secret plan,” “secret plot,” and
“coup attempt.” Id. ¶¶ 16, 17, 23-25, 27, 30, 32.
10
of the Company who Morelli had learned was moonlighting
in violation of his employment agreement with the Company
and was holding Godges accountable to the Company for his
breaches—to their cause, and entered into a secret plot to
seize control of OptimisCorp, in breach of their contract with
Morelli (and the other stockholders) and in breach of their
fiduciary duties to the Company and all of its stockholders.
In February 2012, the Rancho Defendants also enlisted
defendant Horne—who had been involved in a clandestine
romantic affair with Morelli‟s ex-wife for several years—to
join their unlawful conspiracy.25
Thus, a good argument can be made that Defendants were on notice from the early stages
of this litigation that Plaintiffs were alleging a conspiracy of some sort. 26 Counsel for
Plaintiffs directly stated as much in June 2014 at the argument on Horne‟s motion to
compel.27 Furthermore, to the extent that the Complaint alleged a conspiracy, it also
alleged aiding and abetting. If the two concepts are not conterminous in the corporate
context,28 then aiding and abetting is the narrower of the two and fairly is encompassed
within the overarching conspiratorial allegations in the Complaint.
25
Id. ¶ 16.
26
As discussed below, Horne‟s interrogatories show that he understood the
Complaint to be alleging some form of conspiracy. Because Defendants
coordinated their discovery, I find that all Defendants were on notice.
27
Defs.‟ Mot. to Compel Arg. Tr. 49 (Plaintiffs‟ counsel: “You don‟t have to be an
actor in every element of the conspiracy to be liable for all of the harm of the
conspiracy. And that‟s exactly the situation which we‟re alleging here.”).
28
See, e.g., Malpiede v. Townson, 780 A.2d 1075, 1089 n.82 (Del. 2001) (noting
overlap between the two theories and collecting cases); Allied Capital Corp. v.
GC-Sun Hldgs., L.P., 910 A.2d 1020, 1038-39 (Del. Ch. 2006).
11
The controversy over whether to allow Plaintiffs‟ proposed amendments to the
Complaint relates closely to how the parties conducted discovery in this case. The real
source of contention appears to involve the following questions: (1) Who were the
members of the conspiracy? (2) What were the predicate bad acts of the conspiracy? and
(3) When did the conspiracy terminate, if ever? The relevant standard in Delaware is
notice pleading. Plaintiffs need not plead every fact supporting their case, nor must they
plead a legal theory per se. In the context of conspiracy, however, answers to the
foregoing questions become vitally important. “The benefit to a plaintiff of establishing a
civil conspiracy claim is that all conspirators will be vicariously liable for the acts of co-
conspirators in furtherance of the conspiracy.”29 Consequently, both the number and
identity of the actors and the duration of the conspiracy dramatically will affect the scope
of this case and the potential liability of Defendants. I therefore address next each of the
three questions identified above.
1. Who are the members of the alleged conspiracy?
The proposed Amended Complaint does not seek to add any additional defendants.
It does identify, however, several potential co-conspirators who were not fairly disclosed
in the original Complaint or discovery. Beyond the four named Defendants, the original
Complaint identified only Joe Godges as another co-conspirator. Thus, Defendants
received adequate notice that Godges was an alleged co-conspirator. The only other
individuals identified in the original Complaint are Tina Geller and Terry Doherty. The
29
Allied Capital Corp., 910 A.2d at 1036.
12
language of the Complaint is broad enough to suggest that Geller may have been a
member of the conspiracy,30 but Plaintiffs have not pressed that position. Beyond these
specifics, the Complaint includes only vague additional language suggesting that others
were, or may have been, involved in some unspecified manner.31
Discovery enables the parties to uncover the factual bases for the allegations in a
complaint. Contention interrogatories usefully advance this purpose. In this case, both
sets of Defendants served such interrogatories on Plaintiffs.32 Plaintiffs responded to the
Director Defendants‟ Interrogatories and Horne‟s Interrogatories on January 14, 2014,
and February 1, 2014, respectively.
Horne specifically asked that Plaintiffs: “Identify every fact you contend supports
your allegations in paragraph 16 of the Verified Complaint,” with specific reference to
the conspiracy. Plaintiffs responded by identifying George Rohlinger as an additional co-
conspirator. Without specifically naming anyone else not mentioned in the Complaint,
30
E.g., Compl. ¶ 20 (“[T]he Rancho Defendants, Horne and others acting at their
direction . . . bribed Geller into cooperating in an investigation against Morelli by
offering her a raise and other perquisites.”).
31
E.g., id. ¶ 17 (“[D]efendants solicited and indoctrinated key employees—including
several officers who directly reported to Morelli—and consultants of the Company
to oppose Morelli and his initiatives by telling them that the Rancho Defendants
were working on a plan to oust him from the Company.”); id. ¶ 20 (“ . . . the
Rancho Defendants, Horne and others . . . ”); id. ¶ 22 (“Waite and others contacted
certain of the other directors and stockholders . . . and offered them lucrative
employment contracts, stock options and other valuable inducements . . . .”).
32
Plaintiffs‟ responses to the Director Defendants‟ Interrogatories and Horne‟s
Interrogatories will be cited as “DD.I. Resp. [#]” and “H.I. Resp. [#],”
respectively.
13
Plaintiffs‟ response three times used the phrase: “Defendants, individually and working
with other employees, consultants, stockholders, business partners, and third parties
. . . .”33 In defending against a claim for conspiracy, few facts are more important than
the identity of the members of the conspiracy. Yet, Plaintiffs‟ response to Horne‟s
Interrogatory 5 fails to mention anyone new except Rohlinger. Based on the position
Plaintiffs took in opposing Defendants‟ motion for summary judgment—namely, their
contention that the conspiracy involved at least three other individuals—it is difficult to
see how Plaintiffs‟ answer “fully”34 responded to the interrogatory, which asked for
“every fact.”
Through their proposed Amended Complaint, Plaintiffs seek to include Helene
Fearon, Stephen Levine, George Rohlinger, and Jeanine Gunn as co-conspirators, in
addition to the individuals listed in the original Complaint. Fearon, Levine, and Gunn are
all new additions, not fairly indentified as co-conspirators during discovery. I conclude,
therefore, that Plaintiffs should not be permitted to amend their Complaint to allege, or to
assert at trial on the basis of the original Complaint, that these individuals are co-
conspirators.
In that regard, I find unpersuasive Plaintiffs‟ argument that Fearon, Levine, and
Gunn were fairly disclosed as co-conspirators because their names were mentioned
elsewhere in the discovery record. For instance, Fearon and Gunn were identified, along
33
H.I. Resp. 5; see also DD.I. Resp. 1.
34
Ct. Ch. R. 33(b)(1).
14
with fifty-two other people or entities, as individuals with knowledge of the allegations in
the Complaint.35 But, someone having knowledge of those allegations is not necessarily
a co-conspirator. Morelli, for example, is identified as a knowledgeable individual; yet,
no one would contend that he was a member of the alleged conspiracy. Levine was not
included in the list of persons with relevant knowledge, but he was listed as one of
twenty-four or more employees who were “solicited and indoctrinated” by Defendants.36
There is no basis in the existing record for inferring that everyone identified as an
employee who was “solicited and indoctrinated” was a member of the conspiracy.
A plaintiff claiming a conspiracy must prove: “(1) the existence of a confederation
or combination of two or more persons; (2) that an unlawful act was done in furtherance
of the conspiracy; and (3) that the conspirators caused actual damage to the plaintiff.”37
It does not follow, as a matter of fact or logic, that an employee who was “solicited and
indoctrinated” necessarily agreed, for example, to be part of a conspiracy to achieve an
unlawful purpose. Plaintiffs knew how to name different sets of individuals in response
to different interrogatories; they cannot pick and choose among those lists at this late
stage in the proceeding to expand the scope of their claim for conspiracy by adding new
35
DD.I. Resp. 14; H.I. Resp. 36.
36
H.I. Resp. 6. Plaintiffs‟ answer to Horne‟s Interrogatory 6 also cross-references
their response to Horne‟s Interrogatory 5.
37
Allied Capital Corp., 910 A.2d at 1036.
15
co-conspirators.38 This is especially true where nothing in the discovery indicates that a
new co-conspirator engaged in an allegedly wrongful act beyond the acts in which one or
more of the co-conspirators named in the original Complaint allegedly engaged.
2. What bad acts allegedly were committed as part of the conspiracy?
Identifying the bad acts that were committed as part of the conspiracy remains
difficult. The record is murky as to exactly what purported wrongs underlie several of
Plaintiffs‟ theories. The Complaint identified the three categories of wrongs already
mentioned. Plaintiffs‟ responses to Defendants‟ interrogatories further fleshed out some
of the allegations in the Complaint. Both sets of Defendants asked specifically for an
identification of the contracts or business relationships with which Defendants allegedly
interfered. Plaintiffs listed, “among other things,” eleven contracts or business
relationships, and stated that “[o]ther instances of interference may be identified as
discovery progresses.”39 In the circumstances of this case, Defendants contend that they
did not receive fair notice in discovery of certain acts recently identified in Plaintiffs‟
opposition to summary judgment.
38
Compare H.I. Resp. 6 (name every key employee Defendants solicited and
indoctrinated: “employees include” twenty-four people), with H.I. Resp. 13 (name
everyone comprising the “others” referenced in ¶ 20 of the Complaint as “acting at
the[] direction [of the Director Defendants]” in connection with Geller‟s claim:
listing seven people), with H.I. Resp. 18 (name everyone comprising the “others”
referenced in ¶ 22 of the Complaint as having acted with Defendant Waite in
connection with the alleged vote buying scheme: listing “at least” six people).
39
DD.I. Resp. 2; H.I. Resp. 20.
16
In their effort to defeat summary judgment as to the tortious interference claims,
Plaintiffs pointed to the following items or entities of relevance here40: (1) the Fearon
Rescission; (2) Bank of the Internet (“BofI”); (3) Physical Therapy Provider Network
(“PTPN”); (4) the Distance Swim Challenge; (5) solicitation of Rancho‟s referral
contracts by the Director Defendants, as employees of All-Star Physical Therapy; and (6)
improper use of Rancho‟s confidential information. I find that Plaintiffs adequately
identified the alleged tortious interference with BofI, PTPN, and the Distance Swim
Challenge in their discovery responses. Therefore, I need not discuss those matters
further. Any issues relating to continued interference with Rancho are addressed in
Section III.A.3 infra.
The Fearon Rescission41 was not identified in the original Complaint or in the
interrogatories as a contract or business relationship with which Defendants interfered.
The Fearon Rescission was identified, however, by Morelli during the first day of his
deposition on April 29, 2014, as one of three rescissions for which Defendants allegedly
are responsible.42 It is a close call whether the relevant excerpt from Morelli‟s deposition
placed Defendants on notice that Plaintiffs would be pursuing tortious interference claims
40
This list excludes events relating to the alleged “coup,” such as the Geller sexual
harassment investigation, the contested renewal of the employment agreements by
the Directors Defendants, and the Stockholders Agreement. Those matters have
been in this case from the beginning.
41
See supra note 2.
42
The other rescissions were the Sovereign rescission and the Schreir PT rescission.
Morelli Dep. 162-73, 249-50.
17
relating to the Fearon Rescission. Plaintiffs cited no other portion of the record as
disclosing the Fearon Rescission.
The Company‟s other deponents appear not to have alluded to the Fearon
Rescission at all. Indeed, the depositions of Laurent O‟Shea undermine Plaintiffs‟
position. O‟Shea was the Company‟s 30(b)(6) witness and a member of Optimis‟s
board‟s independent committee. Defendants deposed him on two days: May 1 and July
30, 2014. On the second day, O‟Shea was asked whether, other than the items identified
in the Company‟s response to the Director Defendants‟ Interrogatory 2, he was “aware of
any business or contractual relationship with which [the Director Defendants] have
interfered.”43 O‟Shea could not recall anything beyond what was listed in the
interrogatories, with the exception of a company called WorkWell, and O‟Shea knew
almost nothing about what happened with WorkWell.44 This answer by Optimis‟s
30(b)(6) witness is telling in at least two respects. First, the Company settled with Fearon
and Levine on May 2 and May 11, 2014, respectively. Accordingly, the Company must
have been aware of the Fearon Rescission by the second day of O‟Shea‟s deposition.
Second, on the first day of his deposition, O‟Shea was asked whether he had come into
possession of any information that would “alter or change the answers given in” response
43
O‟Shea Dep. 346-47.
44
Id. at 349-50, 355-56.
18
to Horne‟s Interrogatories, and he stated that the Company had received a lot of
information that “would add to” but not change the Company‟s answers.45
When asked about the various instances of tortious interference, O‟Shea stated that
most of the interference occurred before he joined the Optimis board and that the most
knowledgeable person would be Morelli. The tortious interference claims are a
significant part of this case. Despite admitting a general lack of knowledge about the
instances of alleged tortious interference and despite identifying Morelli as the person
who would know the most about the tortious interference claims, O‟Shea did not discuss
these items with Morelli before being deposed or, apparently, otherwise seek to inform
himself as to those matters.46 Having designated O‟Shea as its 30(b)(6) witness, Optimis
had a duty to prepare him appropriately.47 To the extent O‟Shea or Optimis failed to do
so, Optimis is responsible for the consequences of his testimony and apparent lack of
preparation.48
45
Id. at 75.
46
Id. at 349.
47
See generally DONALD J. WOLFE, JR. & MICHAEL A. PITTENGER, CORPORATE AND
COMMERCIAL PRACTICE IN THE DELAWARE COURT OF CHANCERY § 6.06[c]
(2008) (describing process, procedure, and responsibilities involved in Rule
30(b)(6) depositions). See also Fitzgerald v. Cantor, 1999 WL 252748, at *3
(Del. Ch. Apr. 5, 1999) (“In the course of preparation . . . the organization must
ensure that before testifying the witness [is] aware of the organization‟s full
knowledge of the matters on which [he] will testify and any relevant information
reasonably available to the organization.”).
48
Ct. Ch. R. 30(b)(6). See generally Highland Select Equity Fund, L.P. v. Motient
Corp., 906 A.2d 156, 166 & nn.47-48 (Del. Ch. 2006) (describing the expectations
19
Brian Wing also is an Optimis Director and was deposed on July 21, 2014. He
serves on both the board‟s independent committee and its special committee.49 Although
not entirely clear from the depositions, the special committee apparently was responsible
for dealing with the earlier action filed under 8 Del. C. § 225, which involved a number
of the same parties to this action.50 The independent committee, on the other hand, deals
with subject matter relevant to this lawsuit. Wing also verified the Complaint in this
action. As such, one would expect Wing to be a knowledgeable witness. Generally,
however, he could not answer a number of relevant questions and appears to have
received a substantial amount of his information solely from discussions with counsel, as
to which Plaintiffs claimed privilege.51
Having considered all the circumstances, I have decided to exclude the Fearon
Rescission from this case. Plaintiffs were aware of the Fearon Rescission when Morelli
testified about it on April 29, 2014, at the absolute latest. Plaintiffs also settled with
Fearon and Levine shortly thereafter. Notwithstanding these facts, O‟Shea could not
provide much, if any, relevant information about the tortious interference claims or
of a Rule 30(b)(6) witness and noting that a “designee under Rule 30(b)(6) is
expected to inform himself as to the entity‟s knowledge, and to testify to the limits
of the designation”).
49
O‟Shea Dep. 260-61; Wing Dep. 98.
50
Morelli v. Waite, Civ. A. No. 8001-VCP.
51
For example, Wing could not identify any facts about Paragraphs 16, 17, or 23 of
the Complaint beyond his communications with counsel, as to which Optimis‟s
counsel directed him not to answer on privilege or work product grounds. Wing
Dep. 64-68, 80.
20
identify the Fearon Rescission as a relevant contract in his capacity as a Rule 30(b)(6)
witness.52 Any relevant knowledge Wing may have had apparently came from the
lawyers and was not disclosed in his deposition. In addition, Plaintiffs did not list the
Fearon Rescission as an item of tortious interference in their interrogatory responses or
supplement those responses in that regard before they responded to Defendants‟ motion
for summary judgment in late August 2014. Under these circumstances, I find that
Defendants did not receive fair notice that Plaintiffs were pursuing a claim based on the
Fearon Rescission. Plaintiffs‟ effective concealment of the settlements Optimis entered
into with Fearon and Levine in May 2014, and the extent of Fearon‟s apparent firsthand
knowledge of the Fearon Rescission reflected in her belated affidavit, further supports
excluding that incident from this case.
3. What is the temporal scope of the alleged conspiracy?
Defendants, in their Motion in Limine and at argument, vigorously argued against
allowing claims that post-date Defendants‟ employment with Optimis, which had ended
52
See Highland Select Equity Fund, 906 A.2d at 166 n.47 (“„[P]roducing a person
who knows nothing about the subject matter of the litigation is the functional
equivalent of having spurned the deposition altogether. Consequently, Rule
30(b)(6) can be violated when a corporate party literally sends a human being to
the deposition but the person is unequipped to participate meaningfully in the
deposition.‟”) (quoting JAMES WM. MOORE ET AL., MOORE‟S FEDERAL PRACTICE
30.72 (3d ed. 2006)). O‟Shea may have been able to participate meaningfully in
other parts of his 30(b)(6) deposition, but that issue is not before me. The problem
here stems primarily from his testimony regarding the tortious interference claims.
21
by June 25, 2013.53 I conclude, however, that the original Complaint adequately alleged
ongoing interference with the Company and that Plaintiffs reiterated that position in their
responses to Defendants‟ interrogatories. Notwithstanding this conclusion, I grant
Defendants‟ Motion in Limine as it relates to striking the affidavits of Fearon, Levine,
and Catherine Gentry for purposes of Defendants‟ motion for summary judgment on the
ground that they amounted to unfair surprise and were not consistent with the rules of
discovery or this Court‟s scheduling orders.54 Plaintiffs produced all three of the
affidavits challenged in the Motion in Limine—Fearon, Levine, and Gentry—well after
the August 1, 2014 cutoff for fact discovery.55
The Complaint repeatedly references ongoing harm to Optimis. For example,
Paragraph 5 begins: “Therefore, in order to restrain defendants from continuing to harm
53
I note, for completeness, that Defendants appear to have accepted as fairly within
this case a brief period in May and June 2013 after Horne was terminated during
which the Director Defendants continued their employment.
54
Gentry is the Director of Marketing and Network Operations for Rancho, a
company related to Optimis. Thus, she appears to have been under the control of
Optimis at all relevant times. Nevertheless, Gentry was not identified in Plaintiffs‟
interrogatories as a person with knowledge of matters asserted in the Complaint.
See infra notes 62-64 and accompanying text.
55
A scheduling order is an order of the Court that serves important purposes. IQ
Hldgs., Inc. v. Am. Commercial Lines Inc., 2012 WL 3877790, at *2 (Del. Ch.
Aug. 30, 2012) (“Scheduling orders and discovery cutoffs further these important
purposes and policies [of discovery] by ensuring that parties provide discovery in
a timely fashion, thereby avoiding trial by surprise and the prejudice that results
from belated disclosure.”).
22
the Company . . .”56 Later in the same sentence, Plaintiffs request that the Court “restrain
any further misconduct by” Defendants.57 Additionally, the Complaint includes three
separate counts for injunctive relief—Counts I, III, and V—requesting that I enjoin
further breaches of fiduciary duty, breaches of the Stockholders Agreement, and tortious
interference, respectively.
As to Count I, I note that neither Horne nor the Director Defendants continued to
work for Optimis in a fiduciary capacity during the pendency of this lawsuit. As such,
the only basis for Count I appears to be a theory based on some sort of continuing wrong
to Optimis based on an action taken by one or more of the named Defendants while
employed. Here, Count I seems premised on alleged unfair competition by the Director
Defendants based on confidential information they obtained while still employed at
Rancho and took with them, or, at least, remembered and ultimately misused after they
left Rancho.58 Horne‟s Interrogatory 32 specifically asked whether breaches of fiduciary
duty by Horne were ongoing when the Complaint was filed and whether those alleged
breaches continued as of the date of Plaintiffs‟ response. Plaintiffs responded that
breaches were ongoing and cited “Defendants‟ ongoing efforts to interfere with the
56
Compl. ¶ 5.
57
Id.
58
See Triton Constr. Co. v. E. Shore Elec. Servs., Inc., 2009 WL 1387115, at *15
(Del. Ch. May 18, 2009) (“An agent has a duty not to use or communicate
confidential information of the principal for the agent‟s own purposes or those of a
third party. This duty includes a prohibition on the use of the principal‟s
confidential information in competition with the principal.”) (footnote omitted).
23
company‟s business and the efforts of OptimisCorp to obtain financing and settle the
false claims with Geller.”59 Similarly, Count III requests an injunction for continuing
breaches of the Stockholders Agreement, and Count V asks the Court to enjoin alleged
continuing tortious interference. Overall, the Complaint makes clear that Plaintiffs seek
relief for ongoing wrongs.
The depositions also included questions related to any evidence of continuing
violations by Defendants.60 On the second day of Morelli‟s deposition, for example, he
was asked: “What, if any, specific instances of interference occurred after [the Director
Defendants] were no longer officers or directors of OpimisCorp, or employees?”61
Morelli responded with a laundry list of interference by the Director Defendants relating
to practically everyone involved with Optimis or Rancho. Thus, based on the Complaint,
the interrogatories, and the depositions, I reject Defendants‟ argument that they did not
receive adequate notice that Plaintiffs are, and have been, alleging wrongs by Defendants
that post-date their employment with Optimis or Rancho.
The Gentry Affidavit is another matter entirely. Plaintiffs did not identify Gentry
in discovery as a person knowledgeable about the matters asserted in the Complaint.62
Unlike Levine, she is not listed anywhere else in the interrogatory responses either. In
59
H.I. Resp. 32.
60
E.g., Morelli Dep. 200-13, 288-99; O‟Shea Dep. 144-45.
61
Morelli Dep. 479.
62
DD.I. Resp. 14.
24
fact, Gentry‟s name surfaces only a handful of times in the depositions, all in the context
of a passing reference to her position as the Director of Marketing.63 Defendants
otherwise were not apprised of the fact that Gentry was a potential witness with relevant
knowledge. Based on the evidence they belatedly attempted to introduce through
Gentry‟s affidavit, I find that Plaintiffs failed to satisfy their obligation seasonably to
supplement their interrogatory responses under Rule 26(e)(1)(A).64 As a sanction for that
failure, the Gentry affidavit will be stricken from the record and Plaintiffs may be
precluded from calling Gentry as a witness at trial.
B. Additional Factors Influencing This Decision
1. It remains impossible to determine who all the alleged members of the
conspiracy are.
As previously mentioned, the number and identity of the members of a conspiracy
dramatically affect the scope and mechanics of a case. Between the Complaint and their
interrogatory responses, Plaintiffs fairly identified six members of the alleged conspiracy
here: the named Defendants (John Waite, William Atkins, Gregory Smith, and William
Horne), George Rohlinger, and Joe Godges. The proposed Amended Complaint seeks to
add as co-conspirators at least Helene Fearon, Stephen Levine, and Jeanine Gunn.
Granting the amendment, therefore, would make each of the named Defendants
potentially liable for the actions of these three new actors whether or not any of the
63
Atkins Dep. 84; Kreille Dep. 36; Waite Dep. 298, 331, 486.
64
Ct. Ch. R. 26(e)(1)(A) (“A party is under a duty seasonably to supplement the
response with respect to any question directly addressed to (A) the identity and
location of persons having knowledge of discoverable matters . . . .”).
25
named Defendants was involved in those actions. Moreover, if I were to grant the motion
to amend, it still would not be clear who else allegedly is a member of the conspiracy,
because the proposed Amended Complaint repeatedly refers generally to defendants “and
their co-conspirators,” and to the latter category as including “others.”
In the proposed Amended Complaint, the phrase “and others” appears at least six
times.65 Most troubling are the instances alleging acts in furtherance of the alleged
conspiracy and naming Defendants, the new actors, and then including the phrase “and
others,”66 or some similar variant.67 Plaintiffs‟ proposed amendments would leave open
the possibility of their adding new co-conspirators even after the trial date already has
been rescheduled three times. Plaintiffs‟ witnesses have been no more informative in
terms of pinning down the alleged participants in the conspiracy. Morelli identified
sixteen potential co-conspirators.68 O‟Shea made a blanket accusation with virtually no
supporting details that all twenty-four individuals listed in Plaintiffs‟ response to Horne‟s
Interrogatory 6 were members of the conspiracy, in addition to the named Defendants.69
65
Proposed Am. Compl. ¶¶ 4, 17, 20, 22, 64, 68.
66
Id. ¶ 17 (“They—along with Fearon, Levine, Rohlinger, Gunn, Godges and others
. . .”).
67
Id. ¶ 18 (“Waite and his co-conspirators . . .”); id. ¶ 20 (“ . . . defendants and their
co-conspirators . . .”).
68
Morelli Dep. 14-18, 29-35, 48-49, 150-51 (listing Defendants, Godges, Geller,
Laura Brys, Gunn, Jessica Eastman, Doherty, James Lynch, Chuck Speraza,
Ashraf Abdelhamid, Robert Johnson, Rohlinger, and Robert Wilbanks).
69
O‟Shea Dep. 80.
26
In sum, Defendants face a proposed eleventh-hour Amended Complaint asserting a
conspiracy composed of at least nine members and the possibility of “others,” sworn
statements by Morelli as to a sixteen-member conspiracy, and conclusory deposition
testimony from O‟Shea as to a twenty-eight-member conspiracy. At this late stage, it is
unreasonable and inexcusable that the conspiracy remains so amorphous and ill-defined.
I conclude, therefore, that granting Plaintiffs‟ motion to amend would be highly
prejudicial to Defendants and deprive them and this Court of the ability to try this case in
an orderly and fair way.70 For example, Defendants might assert new counterclaims in
conjunction with their answers to an amended complaint. The timing and other
circumstances that gave rise to Plaintiffs‟ Motion to Amend and Defendants‟ Motion in
Limine also persuade me that it would be inappropriate and inequitable to address these
problems by entertaining the possibility of yet another postponement of the trial.
2. Plaintiffs’ arguments that “Defendants knew all along” are unconvincing.
Plaintiffs argue that Defendants can claim no unfair surprise as to the matters
currently before me. According to Plaintiffs, because this was Defendants‟ conspiracy,
they knew all along the identities and actions of their co-conspirators. This argument is
circular and presumes what Plaintiffs must prove at trial. The burden is on Plaintiffs to
70
The proposed Amended Complaint also alleges breaches of the implied covenant
of good faith and fair dealing. I will permit those claims to be included in the trial
of this matter. As noted during the September 8, 2014 argument on the motions
for summary judgment, I consider the allegations regarding a breach of the
implied covenant to be fairly within the scope of the original Complaint. Mots. for
Summ. J. Arg. Tr. 51. Accordingly, an amendment to the Complaint is not
required on that issue.
27
support their claims and prove them by a preponderance of the evidence; the burden is
not on Defendants to prove they were not members of a conspiracy. Additionally,
Plaintiffs possess, and have possessed throughout this case, a significant amount of the
information at issue, largely because of the imaging of Optimis‟s computers that was
done in connection with the Section 225 Action.71 Thus, I reject Plaintiffs‟ argument that
Defendants have suffered no prejudice because they allegedly knew the disputed
information all along. To the contrary, Plaintiffs must prove at trial the existence and
composition of the alleged conspiracy, and they were required to provide Defendants fair
notice of the nature and scope of their conspiracy claims during the pre-trial proceedings.
3. Plaintiffs’ “supplementation” was untimely.
On September 5, 2014, Plaintiffs “supplemented” their interrogatory responses by
incorporating all information raised in their summary judgment opposition briefs and
supporting documents.72 Those supporting documents include the Fearon, Levine, and
Gentry affidavits. As noted, Rule 26(e) requires parties “seasonably” to amend or
supplement interrogatory responses in certain specified circumstances. Delaware case
law provides sparse guidance on the meaning of the term “seasonably.” Black‟s Law
71
See supra note 50.
72
Defs.‟ Mot. to Exclude Untimely Evidence and Previously Undisclosed Causes of
Action at Trial, Exs. C-D (“Plaintiffs amend and supplement their objections and
responses with the information contained in Plaintiffs‟ Brief in Opposition to [the
Director Defendants‟] Motion for Summary Judgment . . . Plaintiffs‟ Brief in
Opposition to Defendant William Horne‟s Motion for Summary Judgment, and all
documents filed therewith.”).
28
Dictionary defines “seasonable” as: “Within the time agreed on; within a reasonable
time.”73 Here, the parties did not agree on a time frame for supplementation. Thus, I
interpret “seasonably” to mean within a reasonable time.
Court of Chancery Rule 26(e)(2) requires amendment to a prior discovery
response if “the party knows that the response was incorrect when made” or “the party
knows that the response though correct when made is no longer true and the
circumstances are such that a failure to amend the response is in substance a knowing
concealment.” Horne‟s Interrogatory 5 requested that Plaintiffs: “Identify every fact that
you contend supports your allegations in paragraph 16 of the Verified Complaint that the
[Director] Defendants „began a campaign to undermine Morelli and his software
development strategy [and that] the [Director] Defendants also enlisted defendant Horne
. . . to join their unlawful conspiracy.‟” At the argument on the Motion to Amend and
various motions in limine on October 22, 2014, Plaintiffs pointed to this interrogatory as
evidence that Defendants understood that the Complaint alleged a conspiracy.74
Plaintiffs‟ lengthy response to Horne‟s Interrogatory 5 described generally a
broad-ranging conspiracy involving other unnamed individuals. Besides the named
Defendants, it identified only Rohlinger specifically. Throughout this Memorandum
Opinion, I have stressed the importance of timely identifying co-conspirators, because the
73
BLACK‟S LAW DICTIONARY 1470 (9th ed. 2009).
74
Mot. to Amend Arg. Tr. 30 (“That was his questioning. He wanted to know what
were the facts.”). As noted previously, Paragraph 16 of the Complaint contains
the only use of the term “conspiracy.”
29
addition of a new co-conspirator adds potential liability for all other co-conspirators for
actions taken by the new co-conspirator in furtherance of the conspiracy. Depending on
when Plaintiffs came into possession of the information specifically identifying the other
alleged co-conspirators addressed in this Memorandum Opinion, their response either
was “incorrect when made” or else became no longer correct. Accordingly, Plaintiffs had
a duty to seasonably supplement their interrogatory responses to disclose the identities of
all co-conspirators once Plaintiffs became aware of the identity of additional purported
co-conspirators. Because of the effect on liability of adding co-conspirators, I find that
Plaintiffs‟ failure to supplement their interrogatory responses with the identities of the
other alleged co-conspirators amounted in substance to a “knowing concealment” within
the meaning of Rule 26(e)(2).
Plaintiffs knew about the involvement of Fearon and Levine by at least April
2014, and settled with them in May 2014. From at least that point onward,75 Plaintiffs
had a duty to supplement their interrogatory responses within a reasonable time.
Pursuant to the third scheduling order entered on June 5, 2014, fact discovery closed on
August 1, 2014. There is no bright-line rule as to when supplementation is seasonable.
75
Plaintiffs may have been aware of Fearon and Levine‟s alleged co-conspirator
status much earlier. The Fearon Rescission occurred in December 2012. As
Plaintiffs repeatedly emphasized, Morelli noted the Fearon Rescission in his April
29, 2014 deposition, several days before Optimis settled with Fearon. In the case
of Plaintiffs‟ settlement with Tina Geller, another source of controversy in this
case, the negotiations appear to have lasted from roughly May 30, 2013, until
December 2, 2013. Even assuming the Company‟s negotiations with Fearon and
Levine were completed much more quickly, I conclude that Plaintiffs had a duty to
supplement promptly after the May 2014 settlements.
30
Given the crucial manner in which conspiracy law affects liability and the likely impact
of adding new co-conspirators on the scope of discovery, however, Plaintiffs had to have
supplemented their interrogatory responses before the close of discovery to meet the
“seasonably” requirement. Three full months of discovery remained after the May 2014
settlements. Wherever the outer limits of seasonable supplementation lay, Plaintiffs‟
September 5 supplementation falls significantly outside of those bounds. I consider the
Fearon, Levine, and Gentry affidavits equally untimely to the extent Plaintiffs might rely
on them or their summary judgment briefs as the equivalent of the required
supplementation.
4. Summary
The original Complaint adequately placed Defendants on notice of the existence of
an alleged conspiracy, wrongs that could amount to aiding and abetting, and breach of
contract claims that would include a breach of the implied covenant of good faith and fair
dealing. Those claims are in this case. During discovery, however, Plaintiffs did not
identify adequately the members of the conspiracy or all of the wrongful acts committed
as part of the conspiracy. Based on Plaintiffs‟ failure seasonably to supplement their
discovery responses and undue delay in revealing additional alleged members of the
conspiracy, the substantial prejudice those actions have caused to Defendants in terms of
time, expense, inconvenience, and the difficulty in preparing for trial, and the prejudice
Defendants will continue to suffer if I grant Plaintiffs leave to file their proposed
Amended Complaint, I hold as follows:
31
(1) The conspiracy, as originally pled and fairly disclosed in discovery, is
limited in terms of co-conspirators to John Waite, William Atkins, Gregory Smith,
William Horne, Joe Godges, and George Rohlinger. Any wrongful acts proven to have
been committed by one or more of those co-conspirators in furtherance of the conspiracy
may be attributed to the four named Defendants;
(2) Plaintiffs may not add additional co-conspirators to the alleged conspiracy
or seek to impose liability on Defendants on a theory of conspiracy or aiding and abetting
for any acts that are not currently disclosed in the record of this action or that do not
involve actions of one or more of the alleged co-conspirators identified in Paragraph (1)
above;
(3) Any and all claims based on the Fearon Rescission are excluded from this
case;
(4) Plaintiffs adequately have pled and disclosed claims relating to Defendants‟
conduct after their employment with Optimis ended to the extent indicated in this
Memorandum Opinion; and
(5) Catherine Gentry‟s affidavit is stricken from the record and, because of
Plaintiffs‟ failure to comply with the discovery rules with regard to Gentry, Plaintiffs may
be prohibited from calling her as a witness at trial.
32
IV. CONCLUSION
For the foregoing reasons, Plaintiffs‟ Motion to Amend is denied and Defendants‟
Motion in Limine is granted in part and denied in part to the extent indicated in this
Memorandum Opinion.
IT IS SO ORDERED.
33