IN THE SUPREME COURT OF TEXAS
444444444444
NO . 12-0620
444444444444
RAHUL K. NATH, M.D., PETITIONER,
v.
TEXAS CHILDREN’S HOSPITAL AND BAYLOR COLLEGE OF MEDICINE,
RESPONDENTS
4444444444444444444444444444444444444444444444444444
ON PETITION FOR REVIEW FROM THE
COURT OF APPEALS FOR THE FOURTEENTH DISTRICT OF TEXAS
4444444444444444444444444444444444444444444444444444
Argued February 5, 2014
JUSTICE GUZMAN delivered the opinion of the Court in which CHIEF JUSTICE HECHT , JUSTICE
JOHNSON , JUSTICE WILLETT , and JUSTICE DEVINE joined.
JUSTICE GREEN filed a dissenting opinion, in which JUSTICE LEHRMANN , JUSTICE BOYD , and
JUSTICE BROWN joined.
In a civil suit, few areas of trial court discretion implicate a party’s due process rights more
directly than sanctions. This proceeding involves one of the highest reported monetary sanctions
awards in Texas history stemming from baseless pleadings and one of the largest such awards in the
United States.1 Further, the award was levied against a party rather than an attorney. The Civil
1
See Peter Vieth, 2013: The Year in Review, V IR GIN IA L AW YERS W EEKLY , Dec. 9, 2013 ($881,000 sanction
award in a divorce proceeding was “the largest sanction ever imposed” in Virginia); Cheryl Millet, Divorcee Slapped
with Record-Setting $552K Sanction in Custody Case, D AILY B U S . R EV ., Feb. 7, 2012 (discussing record setting
sanctions award of $552,000 in a California divorce proceeding); Lisa Provence, Unusual outcome: $722K in sanctions,
juror judges judge, T H E H O O K , Nov. 4, 2011, available at www.readthehook.com/101759/final-order -plaintiffs
Practice and Remedies Code and our Rules of Civil Procedure allow for pleadings sanctions against
parties and attorneys when, among other things, a pleading was filed with an improper purpose or
was unlikely to receive evidentiary support. We have held that due process concerns impose
additional layers of protection on sanctions awards by requiring, among other things, that the awards
be just and not excessive.
In this suit between a physician and other medical providers, the trial court imposed sanctions
against the physician well in excess of one million dollars for filing groundless pleadings in bad faith
and with an improper purpose. We conclude the physician plaintiff’s pleadings asserted time-barred
claims and addressed matters wholly irrelevant to the lawsuit in an attempt to leverage a more
favorable settlement, and therefore are sanctionable. But in assessing the amount of sanctions, the
trial court failed to consider whether, by litigating for over four years before seeking sanctions, the
defendants bore some responsibility for the attorney’s fees they incurred. Accordingly, we reverse
the court of appeals’ judgment and remand to the trial court to reassess the amount of the sanctions
award.
I. Background
Dr. Rahul K. Nath is a plastic surgeon who was employed by Baylor College of Medicine and
affiliated with Texas Children’s Hospital (the Hospital). Nath reported to Dr. Saleh Shenaq, the
Chief of Baylor College of Medicine’s Division of Plastic Surgery, who also was Nath’s partner at
-sanctioned-722k-juror-judges-judge ($542,000 sanction against counsel and $180,000 sanction against litigant was “one
of the largest sanctions in Virginia legal history”); Hunton & Williams and Wachovia Obtain Largest Sanctions Award
by Tennessee C ourt, B U S. W IR E N E W S R E LE A S E S , N o v. 1 3 , 2 0 0 6 , a va ila b le a t
http://www.businesswire.com/news/home/20061113006140/en/Hunton-Williams-Wachovia-Obtain-Largest-Sanctions-
Award#.U6Q_W PldX0s ($1.2 million sanction against litigant was the “largest sanctions award ever granted by a
Tennessee court”).
2
the Hospital’s Obstetrical Brachial Plexus Clinic. Baylor received fifteen percent of the clinic’s
patient fees, and Nath and Shenaq evenly split the remainder of the fees.
Nath’s relationship with his colleagues turned acrimonious in 2003, when several doctors
complained that Nath billed excessively, performed unnecessary procedures, and treated fellow
colleagues in an unprofessional manner. A letter from his faculty supervisors states that, “there have
been several complaints pertaining to your billing practices, ethics, and professional conduct,” and
described his academic contributions as “minimal.” For these reasons, the letter announced that
Nath’s faculty appointment would not be renewed, and his employment with Baylor was terminated
effective June 30, 2004. Nath’s former office manager also claimed Nath had a history of making
racially-provocative statements and seemed to harbor delusions of grandeur.
Shortly after receiving the letter, Nath retained an attorney and notified Baylor that its
employees were making statements “potentially damaging to Dr. Nath’s reputation,” allegedly in an
effort to get Nath’s patients to remain at the clinic. In 2006, Nath sued Shenaq, Baylor, and the
Hospital. Nath and Shenaq settled two years later. Shenaq and another clinic doctor subsequently
died and the clinic never reopened.
In his original pleading in 2006, Nath asserted claims for defamation and tortious interference
with business relations against Baylor and the Hospital.2 Nath’s third amended petition added claims
for negligent supervision and training predicated on the previously alleged facts. Nath’s fourth
amended petition added allegations that Shenaq had been operating on patients despite impaired
vision. Similarly, Nath’s fifth amended petition added that Shenaq had been operating on patients
2
Nath subsequently sued Dr. Allan Belzberg and his employer, Johns Hopkins University, over an allegedly
defamatory statement Belzberg made regarding Nath in Belzberg’s capacity as a Johns Hopkins employee. After a battle
over whether the trial court possessed personal jurisdiction over Belzberg and Johns Hopkins, Nath nonsuited them.
3
while afflicted with hepatitis. The fifth amended petition also included a declaratory judgment claim
(that Nath could or should disclose to his patients that Shenaq was in poor health). The Hospital
counterclaimed for attorney’s fees pursuant to the declaratory judgment act, and in December 2009,
moved for summary judgment on all of the claims in Nath’s fifth amended petition. Baylor moved
for summary judgment in January 2010. In response, Nath moved to compel additional depositions,
extend the deadline to respond to the motions, and continue the summary judgment hearing—all of
which the trial court granted. In March 2010, Nath again moved to continue the summary judgment
hearing, which the trial court denied. Nath retained new counsel, Daniel Shea, who appeared at the
hearing and filed a motion to recuse the judge. Nath also moved to recuse the judge assigned to hear
the motion to recuse. Ultimately, the motions to recuse were denied.
Nath also filed a sixth amended petition in April 2010, in which he abandoned his
defamation, tortious interference, negligence, and declaratory judgment claims and brought a claim
for intentional infliction of emotional distress. The Hospital and Baylor moved for summary
judgment on the new claim. Nath failed to respond to the motions and instead objected to the notice
of hearing based on a technical defect. All parties appeared at a summary judgment hearing in June
2010, more than four years after the suit began, where the trial court dismissed Nath’s claims.3
Two months later, the Hospital nonsuited its declaratory judgment counterclaim. The
Hospital then moved to modify the judgment to assess attorney’s fees as sanctions against Nath.
Nath retained new counsel and filed special exceptions to the motion for sanctions in September.
After a hearing on the special exceptions and the Hospital’s sanctions motions, the trial court denied
3
The trial court dismissed all the claims in Nath’s fifth and sixth amended petitions, even though the sixth
amended petition was Nath’s only live pleading at the time of the hearing.
4
the special exceptions and granted the sanctions motion. The court issued findings of fact and
conclusions of law indicating the sanctions were based on: (1) “Nath’s improper purposes in filing
the pleadings in this case;” (2) “the bad faith that his actions manifest;” and (3) “the lack of any
factual predicate for his claims, as previously established by the Court’s orders granting the motions
for summary judgment.” The court explained that its finding of bad faith stemmed from Nath’s
conduct in seeking information regarding Shenaq’s health, conduct for which the court had
previously admonished Nath.4 Finally, the court concluded that Nath’s leveraging of this
information in an attempt to obtain a settlement constituted an improper purpose.
4
At a hearing on a motion to compel in July 2009 where Nath sought production of information regarding the
patients Shenaq had seen, the court responded:
I can’t do that. You can’t do that. The State Medical Board could do that. Hospital Board, someone
else. Somebody that’s not here can do that. . . .
You should be before some other board that has a different authority than me. It shouldn’t be used
as a tool in your litigation. . . .
I’m wondering why you’re asking me to uncover [Shenaq’s alleged health issues and patients allegedly
at risk] instead of the State Medical Board. That’s my big issue with your approach. . . .
You’re coming to me asking me to blow open this cover. W hen there is an agency out there that is
well situated to deal with all of the [privilege] issues that you are raising. . . .
At another hearing on a motion to compel in January 2010, the court stated:
I think— I answered that by saying Dr. Shenaq’s condition is not in this suit. . . .
I think I was very clear about it last time. If I wasn’t, I want to be clear now. . . .
I said it’s not relevant to this lawsuit. . . .
It’s irrelevant to your lawsuit so it’s not your job to do it. Your doctor has an obligation to report it
to his medical board and they have a job to do. W e don’t.
5
The trial court further found that Nath took “a personal, participatory role in this litigation.”
The court posited that Nath “is knowledgeable about the law and legal issues, having previously
studied the law,” for several semesters in the early 1980s in Canada. According to the trial court,
Nath insisted on delaying the summary judgment hearing so he could be present at two depositions.
Nath also filed an affidavit in response to the motion for summary judgment indicating he authorized
the facts and theories set forth in the petitions. The court further found that Nath met with one
deponent shortly before his deposition to discuss his testimony. And the trial court observed that
“Nath has used the court system to intimidate adversaries and to stifle dissent with baseless legal
allegations” by suing an alleged defamer, suing his former partner in a MRI business, suing two
individuals associated with the Texas Medical Board (which later dismissed its proceedings against
Nath), and asserting claims in federal court related to the sale of his home (on which he prevailed).5
Ultimately, the trial court found that the Hospital’s fees of $776,607 in defending the suit were
reasonable and awarded them as sanctions.
Before the hearing on the Hospital’s motion for sanctions, Nath moved to sever the claims
as to Baylor, and after severance, Baylor also moved to modify the judgment to assess fees as
sanctions. After a hearing on Baylor’s sanctions motion in November 2010, the trial court made
similar findings and awarded Baylor’s $644,500.16 in attorney’s fees as sanctions against Nath. The
court of appeals affirmed the awards, and we granted Nath’s petition for review. 375 S.W.3d 403,
415.
5
Nath was defending a suit the Fifth Circuit ultimately determined to be groundless. See Petrello v. Prucka,
484 Fed. Appx. 939, 942–43 (5th Cir. 2012).
6
II. Discussion
Nath primarily argues in this Court that the sanctions imposed against him as the client were
not visited on the true offender and were excessive. The Hospital and Baylor counter that Nath had
personal, active involvement in the litigation and that the fee award was appropriate given the
circumstances. We agree with the Hospital and Baylor that the trial court properly sanctioned Nath
because he pursued time-barred claims and irrelevant issues in order to leverage a more favorable
settlement. But concerning the excessiveness of the award, the Hospital and Baylor waited almost
four years into the litigation before moving for summary judgment on Nath’s claims and only moved
for sanctions after obtaining a final judgment. We previously advised courts to consider a variety
of factors when imposing sanctions, including the degree to which the non-sanctioned parties’
behavior caused their own expenses. The trial court failed to discuss this relevant factor, and we
reverse and remand for it to do so.
A. Standard of Review
We review the imposition of sanctions under an abuse of discretion standard. Low v. Henry,
221 S.W.3d 609, 614 (Tex. 2007). Both Chapter 10 of the Texas Civil Practice and Remedies Code
and Texas Rule of Civil Procedure 13 are applicable to this case, and sanctions imposed pursuant
to both are reviewed under this abuse of discretion standard. Id. A sanctions award will not
withstand appellate scrutiny if the trial court acted without reference to guiding rules and principles
to such an extent that its ruling was arbitrary or unreasonable. Cire v. Cummings, 134 S.W.3d 835,
838–39 (Tex. 2004). A sanctions award that fails to comply with due process constitutes an abuse
of discretion because a trial court has no discretion in determining what the law is or applying the
7
law to the facts. See TransAmerican Natural Gas Corp. v. Powell, 811 S.W.2d 913, 917 (Tex.
1991); Huie v. DeShazo, 922 S.W.2d 920, 927 (Tex. 1996). But we will not hold that a trial court
abused its discretion in levying sanctions if some evidence supports its decision. Unifund CCR
Partners v. Villa, 299 S.W.3d 92, 97 (Tex. 2009). Generally, courts presume pleadings and other
papers are filed in good faith. GTE Commc’ns Sys. Corp. v. Tanner, 856 S.W.2d 725, 730 (Tex.
1993). The party seeking sanctions bears the burden of overcoming this presumption of good faith.
Id. at 731.
B. Substantive Law Governing Sanctions
The sanction at issue here concerns pleadings, and its propriety is thus primarily governed
by Chapter 10 of the Texas Civil Practice and Remedies Code and Texas Rule of Civil Procedure
13.6 Chapter 10 allows sanctions for pleadings filed with an improper purpose or that lack legal or
factual support. It provides that upon signing a pleading or motion, a signatory attests that:
(1) the pleading or motion is not being presented for any improper purpose, including
to harass or to cause unnecessary delay or needless increase in the cost of litigation;
(2) each claim, defense, or other legal contention in the pleading or motion is
warranted by existing law or by a nonfrivolous argument for the extension,
modification, or reversal of existing law or the establishment of new law; [and]
6
Chapter 9 of the Texas Civil Practice and Remedies Code also addresses frivolous pleadings and claims, but
its application is limited to proceedings in which neither Rule 13 nor Chapter 10 applies. See T EX . C IV . P RAC . & R EM .
C O D E § 9.012(h); see also Low, 221 S.W .3d at 614 (noting “Chapter 9 of the Texas Civil Practice and Remedies Code
only applies in proceedings in which neither Rule 13 nor Chapter 10 applies”). Chapter 9 has largely been subsumed
by subsequent revisions to the code. See Cynthia Nguyen, An Ounce of Prevention is Worth a Pound of Cure?:
Frivolous Litigation Diagnosis Under Texas Government Code Chapters 9 and 10, and Texas Rule of Civil Procedure
13, 41 S. T EX . L. R EV . 1061, 1083–84 (2000) (theorizing “it would be difficult to conceive of a scenario in which
Chapter 9 would be applicable,” and noting that “there are only a handful of cases that even cite Chapter 9, and these
date from before the 1999 amendment to Section 9.012”).
8
(3) each allegation or other factual contention in the pleading or motion has
evidentiary support or, for a specifically identified allegation or factual contention,
is likely to have evidentiary support after a reasonable opportunity for further
investigation or discovery . . . .
TEX . CIV . PRAC. & REM . CODE § 10.001.7 Pleadings that violate these Chapter 10 requirements are
sanctionable. Id. § 10.004(a). But a court may not sanction a represented party under section 10.001
for unfounded legal contentions. Id. § 10.004(d).
Rule 13 provides that pleadings that are groundless and in bad faith, intended to harass, or
false when made are also sanctionable:
The signatures of attorneys or parties constitute a certificate by them that they have
read the pleading, motion, or other paper; that to the best of their knowledge,
information, and belief formed after reasonable inquiry the instrument is not
groundless and brought in bad faith or groundless and brought for the purpose of
harassment. Attorneys or parties who . . . make statements in pleading which they
know to be groundless and false, for the purpose of securing a delay of the trial of the
cause, shall be held guilty of a contempt . . . .
Courts shall presume that pleadings, motions, and other papers are filed in good faith.
No sanctions under this rule may be imposed except for good cause, the particulars
of which must be stated in the sanction order. “Groundless” for purposes of this rule
means no basis in law or fact and not warranted by good faith argument for the
extension, modification, or reversal of existing law . . . .
TEX . R. CIV . P. 13. Importantly, Rule 13 does not permit sanctions on the issue of groundlessness
alone. Rather, the filing in question must be groundless and also either brought in bad faith, brought
for the purpose of harassment, or false when made. Id.
We have held that in order to safeguard constitutional due process rights, a sanction must be
neither unjust nor excessive. We promulgated this standard most clearly in TransAmerican, 811
7
Section 10.001 of the Civil Practice and Remedies Code is worded similarly to Federal Rule of Civil Procedure
11(b). See Low, 221 S.W .3d at 615.
9
S.W.2d at 913. The underlying case in TransAmerican was complex and multi-partied. Id. at 914.
In brief, TransAmerican’s president was sanctioned for discovery abuse pursuant to Rule of Civil
Procedure 215 for failing to appear at a deposition. Id. at 915–16. In considering whether those
sanctions complied with due process, we established a two-part test.
The first prong of the TransAmerican test concerns the relationship between the conduct
evinced and the sanction imposed and requires a direct nexus between the offensive conduct, the
offender, and the sanction award. See id. at 917. A just sanction must be directed against the
abusive conduct with an eye toward remedying the prejudice caused to the innocent party, and the
sanction must be visited upon the true offender. Id. A court must attempt to determine whether the
offensive conduct is attributable to counsel only, to the party only, or to both. Id. Yet we warily
noted in TransAmerican that apportioning blame between an attorney and a represented party “will
not be an easy matter in many instances.” Id. Such caution is warranted. The closeness that
typically defines interaction between a litigant and his attorney not only binds their interests but may
lend an overall opacity to the relationship that renders it difficult to determine where a party’s input
ends and where an attorney’s counsel begins.
The second prong of the due process analysis under TransAmerican considers the
proportionality of the punishment relative to the misconduct and warns “just sanctions must not be
excessive.” Id. Not only should a punishment (i.e., sanctions) fit the crime (i.e., the triggering
offense), the sanction imposed should be no more severe than necessary to satisfy its legitimate
purposes. Id. Legitimate purposes may include securing compliance with the relevant rules of civil
10
procedure, punishing violators, and deterring other litigants from similar misconduct. Spohn Hosp.
v. Mayer, 104 S.W.3d 878, 882 (Tex. 2003).
We require courts to consider less stringent sanctions and weigh whether such lesser
sanctions would serve to promote compliance. TransAmerican, 811 S.W.2d at 917.8 Evidencing
our reticence to wield the heavy hammer of sanctions, we have cautioned: “[c]ase determinative
sanctions may be imposed in the first instance only in exceptional cases when they are clearly
justified and it is fully apparent that no lesser sanctions would promote compliance with the rules.”
Tanner, 856 S.W.2d at 729.
Historically, awards for groundless pleadings in Texas have been moderate, at least in
monetary terms. See id. at 730 (reversing a sanctions award of $150,000 in attorney’s fees for
groundlessness and discovery non-compliance); Dike v. Peltier Chevrolet, Inc., 343 S.W.3d 179, 183
(Tex. App.—Texarkana 2011, no pet.) (reversing a groundless pleadings sanction of $15,353);
Parker v. Walton, 233 S.W.3d 535, 538 (Tex. App.—Houston [14th Dist.] 2007, no pet.) (reversing
a groundless pleading sanction of $3,500 in attorney’s fees); Emmons v. Purser, 973 S.W.2d 696,
699 (Tex. App.—Austin 1998, no pet.) (reversing a groundless pleadings sanctions award of
$3,200); see also Robson v. Gilbreath, 267 S.W.3d 401, 405 (Tex. App.—Austin 2008, pet. denied)
(affirming a groundless pleadings sanction of $10,000 for failure to conduct a reasonable inquiry).
8
See also Chrysler Corp. v. Blackmon, 841 S.W .2d 844, 849 (Tex. 1992) (citing TransAmerican to note that
“[a] permissible sanction should, therefore, be no more severe than required to satisfy legitimate purposes. This means
that a court must consider relatively less stringent sanctions first to determine whether lesser sanctions will fully promote
compliance, deterrence, and discourage further abuse”).
11
While this tour d’horizon is not intended to be comprehensive, it is nonetheless representative of
what our reported cases suggest have been typical groundless pleadings awards in this state.9
Though we specifically addressed sanctions stemming from a charge of discovery abuse in
TransAmerican, we have previously held the due process requirements we established there apply
to pleadings sanctions as well. Low, 221 S.W.3d at 619–20.
C. Analysis
In the trial court, Nath brought claims for a declaratory judgment (regarding Shenaq’s health),
intentional infliction of emotional distress, defamation, tortious interference, and negligence. The
trial court sanctioned Nath for (1) bad faith in his pursuit of discovery on the irrelevant issue of
Shenaq’s health; (2) an improper purpose of leveraging information concerning Shenaq’s health to
favorably settle a baseless claim; and (3) bringing claims that lacked a factual predicate. Chapter 10
requires that we analyze an improper purpose pleading-by-pleading, but we assess claim-by-claim
whether a claim lacked a legal or factual basis.10
9
Although imposed pursuant to the federal groundless pleadings rule, see supra note 7, federal pleadings
sanctions may also provide a useful barometer to gauge the size of typical awards. See generally Maryann Jones, “Stop,
Think, & Investigate”: Should California Adopt Federal Rule 11?, 22 S W . U. L. R EV . 337, 354 (1993) (noting that
“[w]hile there are reported cases of awards exceeding $100,000, a recent comprehensive survey of Rule 11 sanctions
in the Fifth, Seventh, and Ninth Circuits shows that the median sanction imposed pursuant to Rule 11 [at that time was]
$2,500”).
10
See T EX . C IV . P RAC . & R EM . C O DE § 10.001 (providing that signing a pleading or motion certifies that “the
pleading or motion is not being presented for any improper purpose, . . . each claim, defense, or other legal contention
in the pleading or motion is warranted by existing law . . . [and] each allegation or other factual contention in the
pleading or motion has evidentiary support or, for a specifically identified allegation or factual contention, is likely to
have evidentiary support after a reasonable opportunity for further investigation or discovery”); see also Low, 221
S.W .3d at 615 (recognizing that Chapter 10 requires analysis of each claim against each defendant).
12
1. Waiver
As an initial matter, we address the claim of the Hospital and Baylor that Nath waived his
objection to the size of the sanctions award by failing to raise the issue of excessiveness at the trial
court level. The court of appeals agreed, finding that the issue had not been properly preserved for
review. 375 S.W.3d at 412. We disagree. The record plainly reveals Nath’s objections to the award,
including objections specifically predicated on the ground of excessiveness. On December 20, 2010,
Nath filed a motion for new trial and a motion to modify the trial court’s November judgment and
sanctions order, arguing the sanctions award “violates the Excessive Fines clause of the Constitution
of the United States of America—Eighth Amendment—and the Excessive Fines clause of the Texas
Constitution—Article I, section 13.” Additionally, Nath cited United States Supreme Court
precedent to bolster his contention that the trial court should consider “whether the penalties in
question were excessive.”11 We are generally loath to turn away a meritorious claim due to waiver;
where the party has clearly and timely registered its objection, we find a waiver argument particularly
unavailing. See Verburgt v. Dorner, 959 S.W.2d 615, 616–17 (Tex. 1997). We conclude Nath did
not waive his objection to the excessiveness of the sanctions award.
2. Nath’s Fourth, Fifth, and Sixth Amended Petitions
Central to its ultimate imposition of sanctions, the trial court found that Nath’s pursuit of
information relating to Shenaq’s health was in bad faith, and that Nath’s ostensible intent to use that
information to leverage a favorable settlement for a baseless claim constituted an improper purpose.
11
Austin v. United States, 509 U.S. 602, 622 (1993).
13
Nath originally included allegations relating to Shenaq’s health in his fourth amended petition, filed
in November 2008.12 Nath moved to compel discovery relating to Shenaq’s health and in July 2009
filed a fifth amended petition that included a request for declaratory judgment relating to Shenaq’s
health. The trial court admonished Nath’s counsel that the information was irrelevant to his lawsuit.
See supra note 4. Nath later filed a sixth amended petition that abandoned his prior claims and
added a claim for intentional infliction of emotional distress. But that petition retained allegations
regarding Shenaq’s health.13 For the reasons explained below, we agree with the court of appeals
that the trial court properly found Nath’s pleadings sanctionable.
The hallmarks of due process for sanctions awards are that they be just and not excessive.
TransAmerican, 811 S.W.2d at 917. Sanctioning Nath for pleadings relating to Shenaq’s health was
demonstrably just. First, there was a direct nexus between this portion of the trial court’s sanctions
and the offensive conduct. The trial court found such pleadings to be in bad faith (due to their
irrelevance) and filed for an improper purpose (leveraging a settlement). The trial court’s finding
is supported by some evidence and is therefore not an abuse of discretion. See Unifund, 299 S.W.3d
12
For example, the fourth amended petition claimed:
Defendants were further motivated to discredit Dr. Nath, damage his reputation, and remove him from
their facilities because Dr. Nath had discovered that Dr. Shenaq had become partially or completely
blind in one eye after suffering a detached retina in 2003. . . . On information and belief, Defendants
sought to protect their own interests when they failed to inform Dr. Shenaq’s patients about Dr.
Shenaq’s compromised medical condition. . . . Drs. Grossman and Brunicardi, along with Baylor and
[the Hospital], knew that Dr. Nath was concerned about, and was knowledgeable of, Dr. Shenaq’s
condition and were fearful that Dr. Nath would make Dr. Shenaq’s condition public.
13
For example, the sixth amended petition alleged “that many patients were operated on or treated by Dr.
Shenaq at Baylor and [the Hospital] after Dr. Shenaq had become partially or completely blind in one eye after suffering
a detached retina in November 2003 . . . .”
14
at 97. Nath admittedly was seeking information relating to Shenaq’s health so he could disclose it
to Shenaq’s patients. But such disclosures would not be relevant to triable issues related to Nath’s
then-contemporaneous claims for defamation, tortious interference, and negligence.
Moreover, there was some evidence supporting the trial court’s determination that Nath was
improperly seeking irrelevant information to leverage a favorable settlement. On the eve of a
mediation in June 2009, Nath’s counsel sent a letter to the Hospital indicating Nath was anxious to
conduct discovery regarding Shenaq’s health conditions, the results of which“would most certainly
require prompt actions to notify patients so that they can undergo immediate testing and obtain legal
counsel to advise them of their rights.” During Nath’s deposition, attorneys for Baylor and the
Hospital likened Nath’s use of legal process in this manner to extortion. The trial court agreed with
this assessment, characterizing Nath’s conduct in seeking information related to Shenaq’s health as
“an abuse of process” and “a form of extortion.” Accordingly, the improper purpose of Nath’s
pleadings regarding Shenaq’s health indicates the trial court appropriately levied sanctions regarding
this conduct.14
In addition to considerations described, the just-award prong of the due process analysis also
examines whether the sanction was visited on the true offender. The trial court made various
findings of fact regarding Nath’s direct involvement in the case, particularly noting his effort to seek
information relating to Shenaq’s health, and the record supports these findings. Relations between
Nath and Shenaq deteriorated to the point of acrimony in the time leading up to Nath’s departure
14
W hile bad faith must be coupled with groundless pleadings to support sanctions under Rule 13, T EX . R. C IV .
P. 13, an improper purpose alone is a sufficient predicate for sanctions under Chapter 10, T EX . C IV . P RAC . & R EM . C O DE
§ 10.001; see Low, 221 S.W .3d at 617 (discussing the disjunctive nature of Chapter 10’s bases for sanctions).
15
from Baylor, and they only worsened as litigation ensued. The affidavit Nath filed in response to
the motions for summary judgment claimed the relationship between Nath and Shenaq grew tense
when Nath confronted Shenaq for performing surgery with allegedly impaired vision. And Nath,
by his own admission, specifically sought information related to Shenaq’s health so that he could
inform former patients of Shenaq’s health problems. Nath’s affidavit also lists forty-five patient
surgeries Shenaq performed with allegedly impaired vision. Further, Nath personally attended two
depositions of Shenaq’s colleagues where his counsel asked questions concerning Shenaq’s health.
Ultimately, Nath’s conduct surrounding Shenaq’s health appears to be less about pursuing a legal
redress for an injury (the province of the attorney) and more about seeking irrelevant personal
information (an extrajudicial desire of the client). While litigation is contentious by definition and
often utilized to compel a desired end, we agree with the trial court that, on these facts, using a legal
mechanism to force damaging, irrelevant information into the public domain and thereby compel a
more favorable settlement constitutes an improper purpose. Against this backdrop and the logical
inferences that flow from it, we cannot say the trial court abused its discretion by imposing the
sanction against Nath personally.
Nath claims that even if some of the sanctions against him were proper, sanctions against him
for the sixth amended petition were improper because the lawyer who drafted that petition swore in
an affidavit that Nath had no involvement with the claim in that petition. Specifically, the attorney
indicated he “exercised [his] own legal judgment” when deciding what claims to file in the sixth
amended petition and asserted that Nath “had no involvement in the selection of what pleadings and
motions were filed in this case.” Nonetheless, the sixth amended petition contains facts regarding
16
Shenaq’s health from the prior petitions, and we have already determined that information likely
came from Nath himself. In addition, Nath almost certainly knew of the inclusion of those
allegations in the sixth amended petition because his attorney “kept Dr. Nath reasonably
informed”—as was his professional obligation.15 Accordingly, we reject Nath’s argument and
conclude the trial court did not abuse its discretion in labeling Nath the true offender, insofar as the
sixth amended petition continued to make issue of Shenaq’s health.
We note, however, that while Nath may be properly deemed the true offender, his attorneys
possess ethical obligations and may share in the blame for sanctionable conduct. An attorney has
ethical obligations to both his client and to the judicial system as an officer of the court.16 Though
zealous advocacy is expected of an attorney—indeed, it is a professional obligation—the attorney
must not permit client desires to supersede the attorney’s obligation to maintain confidence in our
judicial system.17 As our rules of professional conduct unambiguously require: “A lawyer should
use the law’s procedures only for legitimate purposes and not to harass or intimidate others.”18
Further, these rules of conduct require an attorney to “maintain the highest standards of ethical
conduct” throughout representation.19 Regardless, Baylor and the Hospital only moved to sanction
15
An attorney owes a client a duty to inform the client of matters material to the representation, provided such
matters are within the scope of representation. See, e.g., Joe v. Two Thirty Nine Joint Venture, 145 S.W .3d 150, 160
(Tex. 2004).
16
T EX . D ISCIPLIN ARY R. OF P RO F ’L C O N D U CT pmbl. ¶ 1.
17
Id. at ¶ 2.
18
Id. at ¶ 4.
19
Id. at ¶ 1.
17
Nath—not his lawyers—and the trial court declined to sanction the lawyers sua sponte.20 Thus,
under the true-offender inquiry, we must uphold the trial court’s decision to sanction Nath personally
because some evidence supports the sanction. See Unifund, 299 S.W.3d at 97.
We are mindful of course that due process analysis for sanctions must encompass analyzing
whether the award was excessive. But we will refrain from engaging in this analysis until we have
examined all pleadings and claims for which Nath may appropriately be sanctioned.
3. Defamation
Nath’s initial petitions included claims for defamation, tortious interference, and negligence.
We address them in turn. The trial court made discrete findings as to Nath’s defamation claim.
Specifically, the trial court found the defamation claim was time-barred by a one-year statute of
limitations21 and that some of the statements Nath claimed were defamatory were not actually
defamatory.22 But Chapter 10 expressly disallows sanctions against a party for improper legal
contentions when the party is represented by counsel. TEX . CIV . PRAC. & REM . CODE § 10.004(d).
The trial court did not find that the statements did not occur. Rather, it sanctioned Nath because of
legal impediments to recovering for the alleged statements.23 Thus, Chapter 10 precluded the trial
20
See T EX . C IV . P RAC . & R EM . C OD E § 10.002 (providing that court may sanction a party or attorney under
Chapter 10 “on its own initiative”); T EX . R. C IV . P. 13 (providing that court may sanction a party or attorney under Rule
13 “upon its own initiative”).
21
T EX . C IV . P RAC . & R EM . C O D E § 16.002(a).
22
“[A] defamatory statement is one that tends to injure a person’s reputation.” Hancock v. Variyam, 400
S.W .3d 59, 62 (Tex. 2013).
23
Cf. Dolenz v. Boundy, 197 S.W .3d 416, 421–22 (Tex. App.— Dallas 2006, pet. denied) (affirming pleadings
sanctions of $250 against a party when the party was a lawyer proceeding pro se and presumably aware that the claims
were time-barred).
18
court from sanctioning Nath for groundlessness based upon improper legal contentions when he was
represented by counsel.
However, the trial court also held that the time-barred status and nondefamatory nature of
some of the statements in his defamation claim indicated Nath filed the claim in bad faith and for
an improper purpose. Defamation claims are subject to a one-year limitations period, and Nath filed
suit in February 2006. The trial court found that most of the allegedly defamatory statements
occurred in June or July of 2004, and none occurred after the end of 2004, when the Hospital closed
the clinic. Nath’s affidavit opposing summary judgment detailed the allegedly defamatory
statements and claimed they damaged his medical practice and caused him financial harm. Further,
Nath’s affidavit admits he learned of eight of these allegedly defamatory statements in 2004—over
one year before he filed suit.24 As previously addressed, this matter involves legal
contentions—which Chapter 10 does not allow Nath to be sanctioned for on the basis of legally
groundless pleadings because he was represented by counsel. Id. But Chapter 10 offers no similar
stricture for sanctions based on improper purpose. And in any event, Nath was represented by
counsel no later than June 8, 2004, when he claimed the statements were “potentially damaging to
[his] reputation.” Because there is some evidence supporting the finding that Nath brought his
defamation claim with an improper purpose, the trial court did not abuse its discretion in sanctioning
Nath for this claim.
24
For example, on or about June 2, 2004, Nath learned his appointment at Baylor was not renewed because of
his billing practices and minimal academic contributions. Nath’s affidavit also indicates he learned of seven other
allegedly defamatory statements in 2004.
19
Nath nonetheless argues such sanctions violate the constitutional requirement that the
sanction be visited on the true offender. We disagree. The fact that Chapter 10 does not shelter
parties from sanctions for flawed legal contentions that demonstrate an improper purpose is simply
a reflection of our warning in TransAmerican that the attorney-client relationship is opaque by
default. Nath only diminished that opacity for his sixth amended petition, which contained a claim
for intentional infliction of emotional distress. The attorney who filed that claim indicated Nath had
no involvement in drafting the claim. But Nath presented no similar evidence with respect to the
pleadings containing Nath’s defamation claim. Accordingly, because some evidence supports the
trial court’s finding, and no evidence clarifies the respective roles of Nath and his attorneys in
regards to his defamation claim, we conclude the trial court did not abuse its discretion in
sanctioning Nath for that claim.
4. Tortious Interference
Nath’s remaining claims are for tortious interference and negligence. The trial court did not
find that Nath filed his tortious interference claim in bad faith or for an improper purpose. Rather,
the trial court generally found Nath’s claims to be sanctionable because they lacked merit, as
evidenced by the court’s summary judgment dismissal. The trial court also found Nath’s claim to
be groundless to the extent it relied on time-barred defamatory statements. As explained below, the
trial court’s first rationale violates the Legislature’s directive in Chapter 10, but some evidence
supports its second rationale.
Generally, groundless pleadings are sanctionable under either Rule 13 or Chapter 10. Under
Rule 13, groundlessness in and of itself is an insufficient basis for sanctions. A pleading must also
20
be in bad faith, intended to harass, or knowingly false to justify sanctions. TEX . R. CIV . P. 13.25 The
trial court made no findings of bad faith, improper purpose, or falsity regarding the tortious
interference claim. Accordingly, Rule 13 cannot support the sanctions as to this claim.
However, Chapter 10 provides that a claim that lacks a legal or factual basis—without
more—is sanctionable. TEX . CIV . PRAC. & REM . CODE § 10.001; see also Low, 221 S.W.3d at 617.
Legally, the claim must be warranted by existing law or a nonfrivolous argument to change existing
law. TEX . CIV . PRAC . & REM . CODE § 10.001(2). But Chapter 10 expressly prohibits monetary
sanctions against a represented party based on the legal contentions in a pleading. Id. § 10.004(d)
(“The court may not award monetary sanctions against a represented party for a violation of Section
10.001(2).”). Accordingly, the trial court could not have properly awarded sanctions against Nath
for groundless legal contentions in his tortious interference claim.
Chapter 10 requires that each factual contention must have evidentiary support or be likely
to receive it after a reasonable opportunity for discovery. Id. § 10.001(3); Low, 221 S.W.3d at
616–17. We held in Low that a pleading was sanctionable because it alleged two doctors prescribed
a drug that medical records in the attorney’s possession demonstrated they did not prescribe. 221
S.W.3d at 616. Thus, in holding the pleading was sanctionable, we held that the allegations did not
have, and were not likely to subsequently receive, evidentiary support in light of the evidence the
attorney possessed when filing the claim. Id.
25
See also Able Supply Co. v. Moye, 898 S.W .2d 766, 772 (Tex. 1995).
21
Unlike in Low, the trial court’s findings here only indicate it viewed the pleadings as
groundless as of the time it granted summary judgment. But the court’s findings miss the mark, as
the vantage point for assessing evidentiary support is at the time the pleading is filed.26 Establishing
a vantage point at the time of a merits adjudication four years or more into a proceeding would
unnecessarily chill litigation in cases where claimants in good faith believe they possess a claim, but
have not yet discovered sufficient evidence on every essential element of their claim. We cannot
endorse a view that runs so contrary to the Legislature’s chosen words in Chapter 10 and our
construction of them.
Nonetheless, a distinction between sanctions for groundless pleadings and sanctions for
discovery abuse is worth noting. A claim may be likely to receive evidentiary support when filed
and thus not be groundless under Chapter 10. But if a party later learns through discovery that no
factual support for the contention exists and still pursues litigation, such conduct might be
sanctionable. But the sanctionable conduct would likely be the abuse of the discovery process, not
the filing of pleadings, as our rules of civil procedure specify that a court may sanction a party or
counsel if the court “finds that any interrogatory or request for inspection or production is
unreasonably frivolous, oppressive, or harassing.” TEX . R. CIV . P. 215.3. While the ultimate penalty
26
For example, Chapter 10 specifies that anyone signing a pleading certifies that each allegation “has
evidentiary support or . . . is likely to have evidentiary support after a reasonable opportunity for further investigation
or discovery.” T EX . C IV . P RAC . & R EM . C O D E § 10.001(3). Likewise, the trial court’s sanctions order in Low indicated
that the factual contentions “did not, on January 31, 2002 [when the petition was filed], and do not now, have evidentiary
support; nor were they on January 31, 2002, likely to have evidentiary support after a reasonable opportunity for further
investigation.” 221 S.W .3d at 617.
22
may be similar in its effect on the sanctioned party, its application is predicated on a different
ground.27
But in addition to concluding that Nath’s claims ultimately lacked merit, the trial court also
specifically noted in a footnote in its findings of fact and conclusions of law that “Nath’s claims of
negligence and tortious interference are also groundless to the extent that those claims rely on
time-barred, allegedly defamatory statements.” Defamation is subject to a one-year statute of
limitations, TEX . CIV . PRAC. & REM . CODE § 16.002(a), while tortious interference is subject to at
least a two-year statute of limitations, First Nat’l Bank of Eagle Pass v. Levine, 721 S.W.2d 287, 289
(Tex. 1986). However, the Fifth Circuit and several Texas courts of appeals have held that, when
the sole basis for a tortious interference claim is defamatory statements, the one-year statute of
limitations for defamation applies.28 Likewise, we have applied a one-year statute of limitations to
business disparagement claims when the gravamen of the complaint is defamatory injury to
reputation and there is no evidence of special damages. See Hurlbut v. Gulf Atl. Life Ins. Co., 749
S.W.2d 762, 766 (Tex. 1987). We now similarly conclude that if a tortious interference claim is
based solely on defamatory statements, the one-year limitations period for defamation claims applies.
Nath’s tortious interference claim was predicated solely on the allegedly defamatory
27
This analysis need not detain us here. Nath engaged in questionable discovery conduct surrounding the
original setting for the summary judgment motions. But even if this conduct was sanctionable as discovery abuse, it
occurred during a time when Nath’s fourth, fifth, and sixth amended petitions were on file—which we have found to be
sanctionable pleadings. Thus, we need not assess whether such conduct was sanctionable for a second reason. And in
any event, the Hospital and Baylor did not move for discovery sanctions.
28
See Nationwide Bi-Weekly Admin., Inc. v. Belo Corp., 512 F.3d 137, 146–47 (5th Cir. 2007); Williamson
v. New Times, Inc., 980 S.W .2d 706, 710–11 (Tex. App.— Fort W orth 1998, no pet.); Martinez v. Hardy, 864 S.W .2d
767, 776 (Tex. App.— Houston [14th Dist.] 1993, no writ); Gulf Atl. Life Ins. Co. v. Hurlbut, 696 S.W .2d 83, 97–98
(Tex. App.— Dallas 1985), rev’d on other grounds, 749 S.W .2d 762 (Tex. 1987).
23
statement because it alleges the Hospital and Baylor tortiously interfered “by continuing to make
false statements regarding” Dr. Nath to third parties. Accordingly, Nath’s tortious interference claim
was subject to the one-year statute of limitations. The trial court correctly found the earliest of the
allegedly defamatory statements occurred in June 2004. Nath filed his tortious interference claim
in February 2006, after the one-year limitations period had run. Thus, some evidence supports the
trial court’s finding that Nath’s tortious interference claim (as with his defamation claim) was time-
barred and demonstrated an improper purpose.
5. Negligence
Nath’s final claim was for negligence, in which Nath claimed that Baylor and the Hospital’s
negligent training and supervision of its employees led them to defame him and tortiously interfere
with his practice. As with Nath’s tortious interference claim, the trial court (1) generally found
Nath’s claims to be sanctionable because they lacked merit due to their dismissal at summary
judgment, and (2) specifically found the negligence claim to be groundless to the extent it relied on
time-barred defamatory statements. As explained above, assessing groundlessness only at the time
of a merits dismissal over four years into the litigation contravenes the requirement in Chapter 10
that groundlessness is assessed as of the time of filing. Thus, the trial court’s first rationale cannot
support sanctions as to the negligence claim.
But the trial court’s second rationale—that the negligence claim relied on time-barred
statements—is a sufficient basis for sanctions. Nath filed his negligence claim in his third amended
petition in September 2008, over four years after learning of the first allegedly defamatory statements
in June 2004. Regardless of whether the two-year limitations window for negligence claims was
24
truncated to one year because Nath’s claim was predicated solely on defamatory statements (as with
the tortious interference claim), limitations barred the negligence claim. For the same reason
sanctions are appropriate for Nath’s defamation and tortious interference claims, they are appropriate
for his negligence claim.
D. Remand
In short, all of Nath’s petitions are sanctionable. But we must still assess whether the amount
of the award was excessive. A trial court abuses its discretion by failing to adhere to guiding rules
and principles. Cire, 134 S.W.3d at 838–39. We set forth these guiding rules and principles for
assessing the amount of pleadings sanctions in Low.29 221 S.W.3d at 620 n.5. This nonexclusive
29
The list of nonexclusive factors we enumerated was:
a. the good faith or bad faith of the offender;
b. the degree of willfulness, vindictiveness, negligence, or frivolousness involved in the offense;
c. the knowledge, experience, and expertise of the offender;
d. any prior history of sanctionable conduct on the part of the offender;
e. the reasonableness and necessity of the out-of-pocket expenses incurred by the offended
person as a result of the misconduct;
f. the nature and extent of prejudice, apart from out-of-pocket expenses, suffered by the
offended person as a result of the misconduct;
g. the relative culpability of client and counsel, and the impact on their privileged relationship
of an inquiry into that area;
h. the risk of chilling the specific type of litigation involved;
i. the impact of the sanction on the offender, including the offender’s ability to pay a monetary
sanction;
j. the impact of the sanction on the offended party, including the offended person’s need for
compensation;
25
list of factors is helpful in guiding the often intangible process of determining a penalty for
sanctionable behavior, and it provides context for our review of the trial court’s award. We advised
in Low that “[a]lthough we do not require a trial court to address all of the factors . . . to explain the
basis of a monetary sanction . . . it should consider relevant factors in assessing the amount of the
sanction.” Id. at 620–21 (emphasis added). In practice, this means that when a factor is relevant to
a party being sanctioned, that factor must inform the issuance of the award. To take just one
example, one factor we referenced in Low is “any prior history of sanctionable conduct on the part
of the offender.” Id. at 620 n.5. A court obviously need not consider prior sanctionable conduct in
calibrating a sanction award for a first-time litigant for the self-evident reason that no such conduct
exists. Yet, were the example reversed and a sanctioned litigant possessed a lengthy history of prior
sanctions, the court “should consider” that party’s checkered history in levying a sanction. Id. at
620–21 & 620 n.5.
Here, the trial court cited and then considered nearly all of the relevant Low factors. In the
context of this matter, however, one factor made relevant by the protracted nature of this litigation
k. the relative magnitude of sanction necessary to achieve the goal or goals of the sanction;
l. burdens on the court system attributable to the misconduct, including consumption of judicial
time and incurrence of juror fees and other court costs;
....
n. the degree to which the offended person’s own behavior caused the expenses for which
recovery is sought.
Low, 221 S.W .3d at 620 n.5 (quoting A M ERIC AN B AR A SSO CIA TIO N , S TAN D ARD S AN D G U ID ELIN ES FO R P RACTIC E U N D ER
R U LE 11 OF TH E F EDERAL R U LES O F C IV IL P RO CED U RE , reprinted in 121 F.R.D. 101, 104 (1988) (omission in original)).
26
is “the degree to which the offended person’s own behavior caused the expenses for which recovery
is sought.” Id. at 620 n.5 (quotation marks omitted). The trial court failed to address this factor,
though it is unquestionably relevant. The statements Nath addressed in his original petition were
made in 2004, and Nath filed suit well after the one-year limitations period had run. Yet, the record
indicates that all three parties litigated a host of merits issues for nearly a half-decade before the
Hospital and Baylor moved for summary judgment on such grounds as limitations. Thus, while Nath
was the initiator of this litigation, the degree to which the Hospital and Baylor caused their attorney’s
fees is a relevant inquiry.
A party is entitled to thoroughly and vigorously litigate a matter. But if issues asserted in
pleadings are revealed to be frivolous, and the defending party delays moving for summary judgment
and sanctions, the defending party adopts some responsibility for the overall increase in litigation
costs. Of course, placing the entire cost of litigation on a plaintiff may be proper and deserved if the
plaintiff was the party responsible for sustaining frivolous litigation over a prolonged period. Here,
the trial court found the defamation claims were friviolous ab initio because the statements were
alleged to have been made at least one year before suit was filed. Moreover, the time-barred
statements permeated subsequent pleadings. The defendants, however, did not file a summary
judgment for years after the allegations were first made. A defending party cannot arbitrarily shift
the entirety of its costs on its adversary simply because it ultimately prevails on a motion for
27
sanctions. Because the trial court did not discernibly examine this relevant Low factor, we remand
for it to do so.30
E. Response to the Dissent
The dissent tacitly agrees with our analysis, but would affirm the sanctions award rather than
remand for the trial court to assess the relevant Low factor. Specifically, the dissent argues that we
should outright affirm the award of sanctions because, among other things: (1) the findings of fact
and conclusions of law contained a typographical error, and (2) our direction that trial courts
“should” consider the relevant Low factors is permissive.
The dissent first contends the trial court made a typographical error in stating that it
considered the extent to which Nath caused the Hospital and Baylor’s fees. But viewing the findings
and conclusions as a whole belies the dissent’s position. The trial court was careful to detail its
rationale for the Low factors it found to be relevant—except the extent to which the Hospital and
Baylor caused their own injuries. For example, the findings and conclusions spent considerable time
discussing Nath’s bad faith, his degree of willfulness, and his knowledge and expertise. When a trial
court recites a relevant issue but fails to discuss it, we cannot automatically conclude that such
cursory mention is tantamount to compliance. This was true in the case of the $50,000 sanction we
reversed in Low, and it is equally as true of the $1.4 million sanction presented here.
Additionally, the dissent contends that our admonishment that trial courts “should” consider
the relevant Low factors is permissive. Notably, the dissent does not contend the extent to which the
30
W e are confident in the trial court’s ability to resolve this discrete issue on remand either on the existing
record or, at most, after a hearing examining briefing accompanied by affidavits regarding the degree to which the
Hospital and Baylor caused their attorney’s fees.
28
Hospital and Baylor caused their attorney’s fees is irrelevant. And regardless of whether
consideration of the relevant Low factors is permissive, the trial court went to great lengths to
examine all the relevant Low factors except for the extent to which the non-sanctioned parties caused
their own injuries. We do not believe the standard of review allows a trial court that dutifully
considers almost all of the relevant Low factors to essentially ignore a relevant factor. As noted,
failure to adhere to guiding rules and principles constitutes an abuse of discretion. Cire, 134 S.W.3d
at 838–39. Low offered these guiding rules and principles, the trial court failed to adhere to them,
and this amounted to an abuse of discretion.
III. Conclusion
Due process requires that sanctions be just, meaning that there be a direct nexus between the
sanction and the sanctionable conduct, and be visited on the true offender. Here, the trial court’s
sanctions award complied with these requirements because Nath’s petitions were filed for the
improper purpose of pursuing an unrelated issue and advancing time-barred claims. However, when
assessing the amount of sanctions, the trial court failed to examine the extent to which the Hospital
and Baylor caused the expenses they accrued in litigating a variety of issues over several years.
Accordingly, we remand for the trial court to reassess the amount of the sanctions award while
considering the omitted factor. See Low, 221 S.W.3d at 622.
____________________________________
Eva M. Guzman
Justice
OPINION DELIVERED: August 29, 2014
29