VACATED and RENDERED; and Opinion Filed August 26, 2014.
S In The
Court of Appeals
Fifth District of Texas at Dallas
No. 05-12-01559-CV
CHERRY PETERSEN LANDRY ALBERT LLP, Appellant
V.
ERWIN CRUZ, M.D., Appellee
On Appeal from the 101st Judicial District Court
Dallas County, Texas
Trial Court Cause No. 10-16274
OPINION
Before Justices Francis, Lang-Miers, and Lewis
Opinion by Justice Lang-Miers
The law firm Cherry Petersen Landry Albert LLP (CPLA) appeals the trial judge’s order
imposing sanctions against it in the underlying litigation between its clients Mehrdad Ghani,
Ghani Medical Investments, Inc. (GMI), MCG Group, Inc., North Dallas Medical Imaging, L.P.
(NDMI), and Plano AMI, LP (collectively, the Ghani defendants) and appellee Dr. Erwin Cruz.
The sanctions order stated that CPLA engaged in discovery abuse and filed counterclaims
against Cruz that were groundless and filed in bad faith for an improper purpose. For the
following reasons, we conclude that the trial judge abused his discretion by imposing sanctions
against CPLA, and we vacate the trial judge’s November 1, 2012 sanctions order.
BACKGROUND
The nature of the dispute. The litigation underlying this appeal arose from a business
dispute between Cruz, Ghani, and others concerning the operation and management of two
medical imaging facilities, NDMI and Plano AMI. A limited partner of NDMI sued Cruz and
Ghani for mismanaging the facility; Cruz and Ghani filed cross-claims against each other. After
some of the claims settled, the cross-claims were severed, Cruz was positioned as plaintiff, other
parties were joined, and Ghani’s cross-claims against Cruz became counterclaims.
The Ghani defendants filed a second amended counterclaim against Cruz alleging (1) that
Cruz breached and conspired to breach fiduciary duties owed to Ghani, MCG, NDMI, Plano
AMI, and GMI causing them damages and benefitting himself in the form of fees to his practice;
(2) business disparagement; and (3) defamation. Cruz filed no-evidence and traditional motions
for partial summary judgment seeking dismissal of many of the counterclaims; the trial judge
granted the motions in part. The Ghani defendants nonsuited several of the counterclaims before
trial.
Discovery. During the course of litigation, Ghani testified in several depositions either in
his individual capacity or as a corporate representative of NDMI and Plano AMI. When he
reviewed the transcripts of those depositions, he made changes to several answers and submitted
deposition errata sheets containing those changes. He made six changes to a 181-page
deposition, and nineteen changes to a 260-page deposition. In total, he made over forty changes
to all his depositions. The sanctions order is based in part on CPLA’s involvement in preparing
Ghani’s deposition errata sheets.
Pretrial proceedings regarding deposition errata. At a pretrial hearing on the Friday
before trial was set to begin on Monday, Cruz raised the issue of CPLA’s allegedly improper
involvement in preparing Ghani’s deposition errata sheets. Cruz’s counsel told the trial judge
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that he had reviewed CPLA’s attorney fee billings produced during discovery and saw where
CPLA “was counseling with a witness to change sworn testimony under oath.” He said CPLA’s
billings showed that the firm was “sending [Ghani] the errata changes,” and Cruz wanted to call
CPLA’s lawyers, Craig Albert and Sarah Shadonix, as witnesses during trial to question them
about their involvement in preparing the deposition errata sheets. Cruz admitted that it was
unusual to call opposing counsel as witnesses, but in this case he believed the lawyers’ testimony
was “material on errata changes.”
The judge said his “rule on errata is very simple. The errata comes in. And if there is
inconsistency, the original testimony comes in. And if it has been as extensive and substantive
as you are representing to me, you should be having a field day.” Cruz’s counsel asked for
permission to show the judge the errata sheets and CPLA’s billings, and the judge said he could.
On Monday before voir dire Cruz provided the judge with a notebook comparing Ghani’s
original deposition answers with his changes from the errata sheets. Cruz also provided the
judge copies of CPLA’s billings referring to deposition errata. The judge held an unrecorded
conference in chambers. Back on the record, the judge stated he had reviewed the billings
produced by CPLA to Cruz on April 18, 2012. He ordered CPLA to provide “any e-mail
exchanged between counsel and the defendants pertaining to deposition testimony changes or
errata . . . for in camera review” by the next morning, and CPLA did.
Trial proceedings. After voir dire was completed and the jury had been sent home, the
judge stated he “was not comforted by the e-mails” provided by CPLA but was “not to the point
yet of saying that the attorney-client privilege as to those communications has been waived or
forfeited under the crime fraud exception, but I’m troubled.” He said he had “more work to do”
to determine “to what extent the actual errata square up with what’s in those e-mails.” He said
that although he normally took “the position that any inconsistency between the original
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testimony and the errata tends to punish itself,” he would “certainly entertain” Cruz’s argument
“for the exclusion of the errata[.]” Cruz did not move to exclude the errata.
A week into the trial, Cruz asked the judge about the e-mails CPLA had provided to the
judge for in camera review. The judge said the e-mails “may reflect some level of discovery
abuse, which I believe will be addressed by my eventual ruling on whether the . . . errata will be
permitted to come into evidence . . . .” Cruz’s counsel told the judge that “there are other
sanctions other than not using the errata,” but the judge started talking before counsel concluded
his argument.
The next day the subject of the deposition errata arose again when Cruz told the judge
that he wanted to offer Ghani’s deposition errata sheets as exhibits and use them in his cross-
examination of Ghani. Ghani objected to the admission of the errata sheets as exhibits. The
judge said “how many changes were made and whether they were the witness’s words or were
they the lawyer’s words . . . goes to the credibility of the witnesses” to some degree and that he
was “seriously considering just excluding all of the errata.” Cruz did not move to exclude the
errata, but asked to be allowed to tell the jury the total number of changes to Ghani’s deposition
answers plus “go into” about “five or six or seven of them” on cross-examination of Ghani. He
said it was more effective and “shortens the testimony” than using the errata as impeachment.
The judge said he would allow it as long as he did not get into collateral matters.
On cross-examination of Ghani, a dispute arose over the proper use of the deposition
errata sheets, and the judge recessed the jury and held a hearing. In arguing for a departure from
the usual procedure for offering impeachment evidence, Cruz said “this is a case where lawyers’
involvement in changing witnesses’ testimony has been profuse . . . 48 errata changes and the
lawyer’s billing showing they got with him and sent him e-mails which appear to be telling him
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what to say – I mean, in this instance I would ask the Court for the indulgence based upon the
conduct of counsel and the witness previously.”
When the trial continued, the following exchange between Cruz’s lawyer and Ghani
occurred:
Q. Is it true that with the assistance of your attorneys directing changes to
your depositions, you had 48 corrections to your sworn testimony in this case?
A. I’m not sure about how many, but I know we had some changes, yes.
Q. Okay. And was the wording in those changes your wording or that of
your attorneys?
A. Mine.
At the end of the day’s testimony, the judge told counsel that he was having “a real
problem” with Ghani’s testimony that the changes to his deposition answers were his own. The
judge said he would review it more but that it may “be sufficient justification for me to hand over
a couple of those e-mails to plaintiff’s counsel for use in further cross-examination of this
witness.”
The next day before trial proceedings began, the judge stated that he compared Ghani’s
deposition errata sheets to an e-mail from CPLA and “found the congruence between the
language in the e-mail and the changes to the deposition to be virtually total.” He said he was
“forced to conclude that Mr. Ghani has attempted to perpetrate a fraud on this Court and this jury
and that the attorney-client privilege cannot be used to shield that conduct.” Over CPLA’s
objection, the trial judge gave Cruz the e-mail between CPLA and Ghani “for such use, if any, as
[Cruz] see[s] fit to make of it.”
Cruz asked to admit the deposition errata sheets, CPLA’s billings, and the e-mail between
CPLA and Ghani as exhibits. The judge admitted the errata sheets and the e-mail. He said he
was “deeply offended by some of what’s gone on here, [but] it’s not what this case is about. I’m
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giving you the e-mail. I’m going to let you impeach the answer that he gave yesterday and let
the jury see these two errata sheets. I think that’s probably enough to make the point.”
In front of the jury, Cruz read Ghani’s trial testimony about the wording in the deposition
errata being “mine” and asked him to “look at the jury and tell them if that’s a true answer.”
Ghani said the exact words were not his words, but “that’s what I express to my attorney. And
once they put it in, I looked at it and I accepted it, and I –.” Cruz showed the jury Ghani’s
deposition errata sheets alongside the e-mail from CPLA containing suggested revisions to
Ghani’s deposition answers. Several of Ghani’s changed answers on the deposition errata sheets
contained language identical to the suggested revisions in the e-mail. This questioning and
comparison continued for eleven pages of the trial transcript.
In closing argument, Cruz’s counsel argued:
Errors of the heart, you are going to have from time to time when you get excited.
. . . Misrepresentations to a jury cannot be done with a pure heart. When someone
knowingly tells you something that’s not true, . . . that’s not done with a pure
heart. Changing a sworn deposition 47 [sic] times is not done with a pure heart.
Having Mr. Ghani stand there and look you in the eye and say, oh, yeah, yeah, I
changed that deposition, and I changed my sworn testimony. Yeah, I did it a lot
of times, but it is my words. I saw the need to change it. I did it personally. And
then finding out that Mr. Albert’s firm had directed him to make those changes –
and you can see the e-mails, and you can see the language word for word for word
– that’s not done with a pure heart. . . . Lawyers can make mistakes, but you don’t
make mistakes involving integrity. . . . “Subject to the penalties of perjury” means
absolutely zero to the man, as best I can tell. . . . I can’t imagine sleeping, much
less getting up in the morning and looking at myself in the mirror, if I had
changed sworn testimony of mine once or twice – much less 47 [sic] times at the
direction of the lawyer. That’s the kind of integrity we are talking about.
The verdict. The jury returned a verdict in favor of Cruz and against Ghani for about $3
million. Then the judge began the second phase of trial on punitive damages. Cruz called Ghani
as a witness and questioned him about his net worth and other matters. He again questioned
Ghani’s integrity, his “respect of the rule of law,” and emphasized Ghani’s testimony that the
changes to his deposition were his words but the e-mail from his lawyers told him “exactly how
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to change it.” In closing argument in this phase of trial, Cruz told the jury it “can consider the
nature of the wrong. Now, this wrong goes every place from . . . changing your sworn testimony
46 [sic] times, to looking you all in the eye and saying, Oh, those are my words. The next
exhibit shows they were directly from the mouths of his attorneys.”
The jury awarded punitive damages against Ghani in the approximate amount of $7
million on all of Cruz’s claims. After applying damages caps, the trial court rendered judgment
against Ghani and in favor of Cruz for over $4 million plus prejudgment and postjudgment
interest.
Posttrial motion for sanctions. After the trial concluded, Cruz moved for sanctions
against CPLA for discovery abuse and filing groundless counterclaims. In the motion, Cruz
argued that Ghani and CPLA should be sanctioned under rule 215 of the Texas Rules of Civil
Procedure or the judge’s inherent authority for discovery abuse in connection with Ghani’s
deposition errata sheets. Cruz argued that the language used in the deposition errata sheets
“originated with [Ghani]’s counsel and was copied verbatim into the errata sheets,” and that
Ghani and CPLA “were attempting to improperly substitute the words of counsel in lieu of the
sworn, verbal testimony Ghani had already provided.” He argued that the “changes were meant
to provide self-serving testimony which Ghani did not supply in his original sworn testimony.”
Additionally, Cruz argued that the deposition changes did not comply with civil procedure rule
203 because they were submitted untimely and did not contain reasons for the changes.
Cruz also moved for sanctions on the ground that CPLA knew or should have known
there was no legal or factual bases for the counterclaims it filed against him on behalf of the
Ghani defendants. He argued that the counterclaims “were almost entirely baseless,” were a
“‘kitchen-sink’ style of pleading,” and the “Defendants paid little attention, if any, to whether
they could construct entire causes of actions [sic] which would include support for each of the
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various elements: duty – breach – causation – damages.” The motion gave one example from the
many counterclaims filed and argued that the Ghani defendants “never attempted to explain what
duty this allegedly breached, how it caused damages, or what those damages supposedly were.”
Cruz stated that he sent traditional discovery requests, conferred with counsel for the Ghani
defendants, and filed motions to compel disclosures and special exceptions, but the Ghani
defendants never “put any meat on the counterclaims’ bones.”
CPLA’s response to the motion for sanctions. CPLA responded arguing that Cruz’s
motion for sanctions for pretrial discovery abuse was untimely because it was not filed pretrial.
It also argued that the conduct was not sanctionable, Cruz did not seek to strike the changes, and
Ghani’s trial testimony as a whole showed he consulted with his lawyers before making the
changes and, consequently, did not mislead the jury about the origin of the changes. CPLA also
argued that allowing Cruz to cross-examine Ghani about the deposition changes using CPLA’s
privileged e-mail to its client was “the kind of non-excessive remedy that relates directly to the
conduct sought to be sanctioned . . . .”
With regard to the counterclaims, CPLA responded that it had a good faith basis for filing
the counterclaims against Cruz and made a reasonable inquiry into the factual bases for the
counterclaims. CPLA attached Albert’s affidavit to support these contentions and argued that
Cruz did not overcome the presumption that the counterclaims were filed in good faith.
The hearing on the motion for sanctions. At the hearing on the motion for sanctions,
Cruz argued that he had not waived his right to move for sanctions regarding discovery abuse
and reminded the judge about Ghani’s in-trial testimony, compared to his deposition testimony,
compared to the deposition errata sheets. He presented several exhibits to support the
comparisons. He argued for sanctions against Ghani and his lawyers.
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Cruz also argued he was entitled to sanctions based on the allegedly groundless
counterclaims. He grouped the counterclaims into three general categories: (1) barred by
limitations, (2) no cognizable duty, and (3) no connection to any damages the Ghani defendants
may have suffered. He generally argued that CPLA did not make a reasonable inquiry into the
legal and factual bases for the counterclaims. And although he presented several exhibits, he did
not refer to those exhibits during the hearing or argue their relevance. He referred to a chart that
he prepared showing the “legal and factual hurdles that [CPLA] should have overcome before
filing suit[.]”
CPLA presented the affidavit of its lawyer, Albert. Albert also testified in person at the
hearing. Either by affidavit or live testimony, Albert testified that before he filed the
counterclaims he interviewed Ghani and Ghani’s wife; requested, obtained, and reviewed the
Ghani defendants’ governance documents “to determine preliminarily that the factual allegations
were consistent with key provisions in those governing documents”; and “took the following
actions to determine that there was a valid basis in law and in fact” for the claims. The actions
he stated he took before filing the counterclaims included interviews with various people,
document subpoenas, research, depositions, and review of corporate and partnership minutes.
Albert also testified about specific claims and why he thought they were not groundless or
brought in bad faith. He testified that CPLA “endeavored to weed out claims not because of lack
of evidence or no legal duty, but because in our evaluation they would cloud the presentation and
just lengthen the trial” and, consequently, nonsuited several claims for that reason. Cruz did not
ask any questions of Albert.
The sanctions order. The trial judge concluded that sanctions against CPLA were
warranted. He imposed sanctions under rule 215 and his inherent authority against CPLA for
discovery abuse in connection with the deposition errata sheets in the amount of $45,000 plus
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$17,500 for appellate attorney fees. The judge did not sanction Ghani or hold him in contempt
for the deposition errata sheets.
Although the judge did not make separate findings of fact and conclusions of law, in his
order he stated that CPLA “wrongfully resisted proper discovery and/or abused the discovery
process and/or offended the dignity of the Court through the use of Ghani’s errata changes,
compared to his trial testimony, and compared to the September 9, 2011 email admitted into
evidence at trial”; the deposition errata sheets did not comply with rule 203 because the changes
were not made timely and Ghani did not give reasons for the changes; CPLA “was instrumental
in formulating the language to be used in the ‘revised,’ unexplained, sworn answers that Ghani
submitted in his untimely errata sheets”; and Ghani’s testimony “was part of a collective effort to
mislead the jury concerning the true character of those errata changes.”
The trial judge also imposed sanctions against CPLA with regard to the counterclaims it
filed against Cruz on behalf of the Ghani defendants. He stated in the sanctions order that CPLA
filed “its Second Amended Counterclaim” in November 2011 over “a year after its original
counterclaim was filed” and “repeated . . . a range of claims that were either legally or factually
unsupportable.” The order states:
By November 2011, [CPLA] had been made repeatedly aware of problems
regarding the legal and factual basis for these claims through Plaintiff’s special
exceptions, discovery requests, and related pre-trial proceedings. Nevertheless,
[CPLA] repeated these allegations without forming a belief in the validity of the
allegations following any reasonable inquiry into their legal and factual merit.
The order gave as examples
counterclaims that were barred, on their face, by the applicable statutes of
limitations without conducting a reasonable inquiry into whether the facts of the
case could justify tolling those limitations periods . . . [allegations that] Cruz
should pay damages for breaching his fiduciary duties for conduct that [CPLA]
did not have a reasonable basis for alleging . . . .
With respect to their claims for damages [CPLA] asserted counterclaims on
behalf of the various counterclaimants even though, at most, only one
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counterclaimant could have plausibly suffered the damages asserted. So, for
instance, [CPLA] asserted a claim that Ghani was improperly denied a salary
from NDMI. Even assuming that this would have given rise to some claim by
Ghani, there is no reasonable basis to allege that this conduct would have given
rise to a claim by either NDMI or MCG. Yet, [CPLA] still asserted counterclaims
on behalf of NDMI and MCG seeking to recover Ghani’s “unpaid” salary.
The lack of legal and factual support for these counterclaims is further reflected in
this Court’s Orders granting summary judgment against those claims which are
incorporated herein by reference.
The judge found that CPLA asserted these counterclaims for purposes of delay and to
increase the cost of litigation and imposed sanctions in the amount of $40,000 plus $17,500 in
appellate attorney fees against CPLA. He stated that he thought “these counterclaims should
have been taken off the table much sooner.” He also stated that the reason he denied Cruz’s
special exceptions was because he “expected the counterclaimant or counterclaimants to supply
the deficiency in their pleadings through discovery responses. And that never really happened
either.”
CPLA appeals the sanctions order.
STANDARD OF REVIEW
We review a trial judge’s imposition of sanctions for an abuse of discretion. Unifund
CCR Partners v. Villa, 299 S.W.3d 92, 97 (Tex. 2009) (citing Low v. Henry, 221 S.W.3d 609,
614 (Tex. 2007)). We will reverse the imposition of sanctions if the trial judge acted without
reference to guiding rules and principles, making his ruling arbitrary or unreasonable. Id. We
review the entire record to determine whether the imposition of sanctions was an abuse of
discretion. Shops at Legacy (Inland) Ltd. P’ship v. Fine Autographs & Memorabilia Retail
Stores, Inc., 418 S.W.3d 229, 232 (Tex. App.—Dallas 2013, no pet.) (citing Am. Flood
Research, Inc. v. Jones, 192 S.W.3d 581, 583 (Tex. 2006) (per curiam) and Tex. Integrated
Conveyor Sys., Inc. v. Innovative Conveyor Concepts, Inc., 300 S.W.3d 348, 384 (Tex. App.—
Dallas 2009, pet. denied)).
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DEPOSITION ERRATA
In issues one, two, and three, CPLA argues that the trial judge erred by sanctioning it in
connection with Ghani’s deposition errata sheets and testimony on cross-examination. CPLA
initially contends that Cruz waived his complaint about pretrial discovery conduct by not moving
for sanctions under rule 215 and getting a ruling before trial. It also argues that the sanctions
order may not be upheld under the judge’s inherent authority. Cruz argues that he was not aware
of CPLA’s “dominant role instigating the errata abuse” until the judge produced CPLA’s e-mail
to him during trial and, consequently, did not waive his right to seek sanctions posttrial. He
contends that “[a]t most, [he] knew from cryptic time entries that [CPLA] had consulted
somehow with Ghani about the errata.” We agree with CPLA.
Sanctions under Rule 215
A party who is aware of possible discovery abuse is required to move for sanctions and
obtain a ruling prior to trial. Remington Arms Co., Inc. v. Caldwell, 850 S.W.2d 167, 170 (Tex.
1993). “[T]he failure to obtain a pretrial ruling on discovery disputes that exist before
commencement of trial constitutes a waiver of any claim for sanctions based on that conduct.”
Id. The supreme court has stated that Remington Arms “bars a trial court from awarding posttrial
sanctions based on pretrial conduct of which a party ‘was aware’ before trial; lack of ‘conclusive
evidence’ is not an excuse.” Meyer v. Cathey, 167 S.W.3d 327, 333 (Tex. 2005).
The record shows that Cruz “was aware” of CPLA’s involvement in the deposition errata
before trial because he argued in a pretrial hearing that CPLA “was counseling with a witness to
change sworn testimony under oath.” But instead of moving to exclude the errata or for other
sanctions, Cruz asked to be permitted to call CPLA’s lawyers as witnesses in trial because their
testimony was “material on errata changes.” Cruz argues on appeal that he did not have “full
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knowledge” of CPLA’s “abuse” until he received the e-mail. But the supreme court has said that
a party only needs to be “aware.” Meyer, 167 S.W.3d at 333.
Additionally, Cruz argued for the admission of the deposition errata sheets as exhibits at
trial, stating CPLA’s “lawyers’ involvement in changing witnesses’ testimony has been profuse
. . . 48 errata changes and the lawyer’s billing showing they got with him and sent him e-mails
which appear to be telling him what to say[.]” This argument was made before the court gave
Cruz the e-mail from CPLA to Ghani and corroborates that Cruz “was aware” of the allegedly
sanctionable conduct before trial.
Cruz argues that he “appropriately raised pre-trial complaints about the errata (or what he
knew of the errata),” and “[t]he trial court’s “unilateral decision to defer a determination of
sanctions until after trial” does not constitute Cruz’s waiver of the complaint. He contends that
Remington Arms does not apply to circumstances like this, citing several cases to support his
argument. But those cases are distinguishable.
In Gaspard v. Beadle, 36 S.W.3d 229, 240 (Tex. App.—Houston [1st Dist.] 2001, pet.
denied), the trial court’s sanctions were based on rule 13, not rule 215. See TEX. R. CIV. P. 13
(regarding filing groundless pleadings and motions in bad faith or for purpose of harassment);
accord Finley v. Olive, 77 S.W.3d 520, 525–26 (Tex. App.—Houston [1st Dist.] 2002, no pet.)
(noting that in Gaspard a motion for sanctions was filed pretrial under rule 13 alleging that the
plaintiff’s petition was groundless and in bad faith). In Brantley v. Etter, 677 S.W.2d 503, 504
(Tex. 1984) (per curiam), the court did not address whether a motion for sanctions was filed
pretrial. And in Chevron Phillips Chemical Co. LP v. Kingwood Crossroads, L.P., 346 S.W.3d
37, 74–75 (Tex. App.—Houston [14th Dist.] 2011, pet. denied), the party complaining about
discovery abuse filed a pretrial motion for sanctions, and the conduct also violated a trial court’s
order regarding discovery.
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Additionally, when Cruz raised pretrial the matter of CPLA’s involvement with Ghani’s
deposition errata, he did so only in the context of wanting to call CPLA’s lawyers as witnesses at
trial. And when the trial judge said he would consider excluding all the errata, Cruz chose not to
move to exclude the errata. Instead, Cruz waited until trial and asked to offer the deposition
errata as exhibits. We view Cruz’s approach as trial strategy. See Cathey v. Meyer, 115 S.W.3d
644, 672–73 (Tex. App.—Waco 2003), rev’d in part on other grounds, 167 S.W.3d 327 (Tex.
2005) (per curiam). By choosing this strategy, Cruz waived his objection under rule 215. See id.
Based on this record, we conclude that Cruz had a reasonable evidentiary basis upon
which to file a pretrial motion for sanctions. See Meyer, 167 S.W.3d at 333; see also Cathey,
115 S.W.3d at 671–72 (party had evidence pretrial that opponent lied on resume based on
deposition testimony of other individuals contradicting opponent). Because Cruz waived his
right to seek pretrial discovery sanctions under rule 215, the trial judge abused his discretion by
imposing sanctions under rule 215.
Sanctions under the Judge’s Inherent Authority
CPLA also argues that the sanctions order cannot be upheld under the trial judge’s
inherent authority. We agree.
A trial judge has certain inherent power derived “from the very fact that the court has
been created and charged by the constitution with certain duties and responsibilities.” Dallas
Cnty. Constable Precinct 5 v. KingVision Pay-Per-View, Ltd., 219 S.W.3d 602, 610 (Tex.
App.—Dallas 2007, no pet.) (quoting Travelers Indem. Co. of Conn. v. Mayfield, 923 S.W.2d
590, 594 (Tex. 1996) (orig. proceeding)). A judge may call upon his inherent powers “to aid in
the exercise of [the court’s] jurisdiction, in the administration of justice, and in the preservation
of [the court’s] independence and integrity.” Id. (quoting Travelers Indem., 923 S.W.2d at 594).
The trial judge also has inherent power to sanction to the extent necessary to deter, alleviate, and
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counteract bad faith abuse of the judicial process, such as any significant interference with the
court’s administration of its core functions, including hearing evidence, deciding issues of fact
raised by the pleadings, deciding questions of law, rendering final judgment, and enforcing its
judgments. Id.; Union Carbide Corp. v. Martin, 349 S.W.3d 137, 147 (Tex. App.—Dallas 2011,
no pet.); Kennedy v. Kennedy, 125 S.W.3d 14, 19 (Tex. App.—Austin 2002, pet. denied) (“A
court cannot invoke its inherent power to sanction without some evidence and factual findings
that the conduct complained of significantly interfered with the court’s legitimate exercise of one
of its traditional core functions.”). However, when a statute or rule addresses particular conduct,
generally a trial judge may not exercise his inherent authority to make what the Texas Supreme
Court has described as “‘a judicial end-run’” around the statutory scheme. See KingVision, 219
S.W.3d at 610 (quoting Travelers Indem., 923 S.W.2d at 594).
We previously concluded that Cruz was aware of the alleged pretrial discovery abuse
before trial and could have moved for sanctions pretrial under rule 215. By not doing so, Cruz
waived his right to seek posttrial sanctions under rule 215. And the imposition of sanctions
under the judge’s inherent authority for alleged pretrial discovery abuse that was known pretrial
constitutes this type of a “judicial end-run” around rule 215. See id. Consequently, we conclude
that the trial judge abused his discretion by imposing sanctions under his inherent authority
against CPLA for pretrial discovery abuse.
To the extent the trial judge sanctioned CPLA under his inherent authority for Ghani’s
testimony about the deposition errata, as opposed to the alleged pretrial discovery abuse, we
conclude that the sanctions were not directly related to CPLA’s conduct and were excessive.
Sanctions serve the purposes of assuring compliance with the discovery rules, deterring
those who might be tempted to abuse the rules, and punishing those who violate the rules. Cire
v. Cummings, 134 S.W.3d 835, 839 (Tex. 2004); Union Carbide, 349 S.W.3d at 144. Sanctions
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must be just. Cire, 134 S.W.3d at 839. We look at two components to measure whether the
imposition of sanctions was just: (1) a direct relationship must exist between the offensive
conduct and the sanction imposed, and (2) the sanction must not be excessive. Id. A direct
relationship “means that a just sanction must be directed against the abuse and toward remedying
the prejudice caused the innocent party.” Id. (quoting TransAm. Natural Gas Corp. v. Powell,
811 S.W.2d 913, 917 (Tex. 1991)). A trial judge also must not impose any more severe sanction
than required to satisfy the legitimate purposes of discovery. Union Carbide, 349 S.W.3d at 145.
“This means a court must consider relatively less stringent sanctions first to determine whether
lesser sanctions will fully promote compliance, deterrence, and discourage further abuse.” Id.
During Cruz’s cross-examination of Ghani about his deposition answers and the errata
sheets, Ghani testified that the wording in the deposition errata was “mine.” Up until this
testimony, the trial judge had said he was going to consider the discovery conduct in his “game
time decision” about whether to admit or exclude the errata. After this testimony, however, the
trial judge questioned Ghani’s veracity and concluded that Ghani had attempted to perpetrate a
fraud on the court and mislead the jury about the source of the errata. The judge gave Cruz an
attorney-client e-mail from CPLA to Ghani for Cruz’s use in cross-examining Ghani and refused
to entertain CPLA’s objection to the production of privileged attorney-client communications.
Cruz used the e-mail to show the jury how CPLA’s suggested revisions were identical in
several instances to Ghani’s deposition errata sheets and imputed Ghani’s alleged lack of
integrity to CPLA based on its involvement in changing Ghani’s deposition answers. The judge
imposed sanctions against CPLA, not Ghani, for its “collective effort to mislead the jury
concerning the true character of those errata changes.” However, the record shows that during
CPLA’s examination of Ghani at trial, CPLA did not mention or allude to any of the changes
Ghani made to his depositions. It was Cruz who brought up the subject of the deposition errata,
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and it was Ghani who the judge said had tried to mislead the jury with his testimony in response
to Cruz’s questions. And in considering whether Ghani’s testimony rose “to the level of either
perjury or criminal contempt,” the trial judge stated that “on this record and keeping in mind that
the burden of proof is beyond a reasonable doubt, I’m unwilling to say that I am satisfied that I
would be acting properly to so confine Mr. Ghani. So the motion for contempt is denied.”
We conclude that the sanctions imposed against CPLA were not directly related to the
conduct of CPLA but, instead, were directly related to Ghani’s allegedly misleading testimony.
We further conclude that the purposes of discovery sanctions were accomplished when the judge
gave Cruz the attorney-client e-mail and allowed him to show the jury the deposition errata
sheets alongside the e-mail. As the judge stated after giving Cruz the e-mail and allowing him to
introduce the deposition errata sheets as exhibits, “I think that’s probably enough to make the
point.” Consequently, the additional imposition of monetary sanctions posttrial was excessive. 1
See Remington Arms, 850 S.W.2d at 171. We resolve issues one, two, and three in CPLA’s
favor.
COUNTERCLAIMS
In issues four and five, CPLA argues that the trial judge abused his discretion by
sanctioning CPLA for filing counterclaims on behalf of its clients. The judge stated that it was
imposing sanctions against CPLA under chapter 10 of the civil practice and remedies code and
rule 13.
Applicable Law
Under chapter 10 of the civil practice and remedies code, an attorney signing a pleading
or motion certifies that “to the signatory’s best knowledge, information, and belief, formed after
reasonable inquiry . . . the pleading or motion is not being presented for any improper
1
We do not decide whether CPLA’s conduct in connection with the deposition errata was subject to sanctions in the first place.
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purpose . . . and each allegation or other factual contention in the pleading or motion has
evidentiary support or . . . is likely to have evidentiary support after a reasonable opportunity for
further investigation or discovery[.]” TEX. CIV. PRAC. & REM. CODE ANN. § 10.001 (West 2002).
Under rule 13, an attorney signing a pleading or motion certifies 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.”
TEX. R. CIV. P. 13. “Groundless” means “no basis in law or fact and not warranted by good faith
argument for the extension, modification, or reversal of existing law.” Id. “Bad faith” means
“the conscious doing of a wrong for dishonest, discriminatory, or malicious purposes.” Campos
v. Ysleta Gen. Hosp., Inc., 879 S.W.2d 67, 71 (Tex. App.—El Paso 1994, writ denied).
We presume that pleadings are filed in good faith. TEX. R. CIV. P. 13; Villa, 229 S.W.3d
at 98 (citing Low, 221 S.W.3d at 617); Arnold v. Life Partners, Inc., 416 S.W.3d 577, 581 (Tex.
App.—Dallas 2013, pet. filed). The party seeking sanctions bears the burden to overcome this
general presumption. Villa, 229 S.W.3d at 98 (citing Low, 221 S.W.3d at 617).
Before imposing sanctions under either chapter 10 or rule 13, a trial judge “must examine
the circumstances existing when the litigant filed the pleadings[.]” Monroe v. Grider, 884
S.W.2d 811, 817 (Tex. App.—Dallas 1994, writ denied); accord Aquarium Env’ts, Inc. v.
Elgohary, No. 01-12-01169-CV, 2014 WL 1778266, at *8 (Tex. App.—Houston [1st Dist.] May
1, 2014, no pet. h.) (mem. op.). A judge may not impose sanctions based on the legal merit of a
pleading or motion. Dike v. Peltier Chevrolet, Inc., 343 S.W.3d 179, 193 (Tex. App.—
Texarkana 2011, no pet.); Monroe, 884 S.W.2d at 817. Instead, the focus is on the conduct of
the party or lawyer at the time the pleading was filed. Dike, 343 S.W.3d at 193; Monroe, 884
S.W.2d at 817. The question is whether, using an objective standard, the party and its counsel
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made a reasonable inquiry into the legal and factual basis of the claim before filing it. Harrison
v. Harrison, 363 S.W.3d 859, 863 (Tex. App.—Houston [14th Dist.] 2012, no pet.).
Analysis
The trial judge sanctioned CPLA for filing a second amended counterclaim because he
concluded that CPLA “repeated . . . a range of claims” that were legally and factually
insupportable and filed for the purposes of causing unnecessary delay and increased costs of
litigation. As the movant, Cruz bore the burden to show CPLA did not have a reasonable basis
for filing the second amended counterclaim. See TEX. CIV. PRAC. & REM. CODE ANN. § 10.001;
TEX. R. CIV. P. 13. To satisfy this burden, Cruz had to prove the counterclaims were groundless
when filed and that CPLA had an improper motive for filing them. Karagounis v. Prop. Co. of
Am., 970 S.W.2d 761, 765 (Tex. App.—Amarillo 1998, pet. denied); accord Alejandro v.
Robstown Indep. Sch. Dist., 131 S.W.3d 663, 670 (Tex. App.—Corpus Christi 2004, no pet.).
At the hearing, Cruz introduced into evidence CPLA’s clients’ discovery responses and
disclosures; letters Cruz sent to CPLA complaining that certain responses and disclosures were
inadequate and deficient; motions to compel and special exceptions that Cruz filed seeking
intervention from the judge; excerpts from Ghani’s deposition testimony in which Cruz claims
he asked specific questions about the factual support for the counterclaims; and a “summary” of
the counterclaims purporting to show the lack of evidence on each element of each counterclaim.
Cruz argued that the counterclaims fell into three general categories of “flaws”: those
that were barred by statutes of limitation on their face, those that did not assert the breach of a
cognizable duty, and those that did not have any connection to any damages suffered by the
counterclaimants. He argued that “for the vast majority of these [counter]claims, [the Ghani
defendants] could at best meet one of those elements [of duty, breach, and damages]. He argued
that it required over 100 hours of attorney time to investigate the factual bases of the
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counterclaims, review the partnership documents and other files, and analyze the various
defenses he might have. But he never connected any of the specific exhibits he introduced to any
of these arguments, and his arguments were focused on the fact that most of the counterclaims
were ultimately dismissed either through nonsuit, motion for summary judgment, or directed
verdict. See Dike, 343 S.W.3d at 192–93 (focus is not on ultimate merits of claim); Monroe, 884
S.W.2d at 817. The only witness Cruz presented at the sanctions hearing was his attorney who
testified about the amount of time his lawyers spent working on the counterclaims and deposition
errata.
With regard to CPLA’s motives in filing the counterclaims, Cruz argued that “[t]he fact
that [CPLA] let these things last so long before giving in like they should have given in a long
time ago, is evidence of bad faith which would support a Rule 13 sanction in addition to
whatever the Court might elect to do under Chapter 10 . . . .” But a plaintiff has a right to take a
nonsuit and may do so without regard to the merits of the litigation. Dike, 343 S.W.3d at 192.
And Cruz did not present any evidence of CPLA’s motive or the circumstances that existed at the
time CPLA filed the counterclaims to support his “bad faith” argument. See Fast Invs., LLC v.
Prosper Bank, No. 02-13-00026-CV, 2014 WL 888438, at *2 (Tex. App.—Fort Worth Mar. 6,
2014, no pet.) (mem. op.) (even assuming claims were groundless, movant presented no evidence
of motive or credibility in filing groundless claims or of circumstances that existed at the time
claims filed), implied overruling in part on other grounds recognized by In re J.R., 123 S.W.3d
669, 671 n.6 (Tex. App.—Houston [14th Dist.] 2003, no pet.).
The only evidence in the record of CPLA’s state of mind or the circumstances that
existed at the time they filed the second amended counterclaim were Albert’s own affidavit and
testimony supporting his contention that he made a reasonable inquiry into the legal and factual
bases of each counterclaim before he filed them. Albert testified about the reasonable inquiry he
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made before filing the counterclaims; the duties he alleged Cruz owed to the Ghani defendants
including the duties of loyalty, candor, good care, and scrupulous honesty; and the damages
suffered by the Ghani defendants. And he addressed Cruz’s arguments about limitations and
lack of a cognizable duty or damages and explained why those claims were not filed in bad faith.
After he concluded his testimony, he welcomed questions on each of the counterclaims, but Cruz
did not ask him any questions.
The trial judge concluded that the counterclaims were groundless and filed with an
improper motive. The sanctions order contained many conclusions about CPLA’s conduct in
filing the counterclaims, but did not include facts to justify those conclusions. See Mattly v.
Spiegel, Inc., 19 S.W.3d 890, 895–96 (Tex. App.—Houston [14th Dist.] 2000, no pet.) (order
required to be specific to show trial court properly weighed sanctions request and imposed
sanctions in appropriate manner when justified by circumstances). Despite the lack of evidence
controverting Albert’s testimony about his reasonable inquiry before filing the counterclaims, the
sanctions order stated that CPLA did not form a belief “in the validity of the allegations
following any reasonable inquiry into their legal and factual merit.” And although there was no
evidence about the statutes of limitation that applied to each counterclaim, the sanctions order
stated that CPLA “asserted counterclaims that were barred, on their face, by the applicable
statutes of limitations without conducting a reasonable inquiry into whether the facts of the case
could justify tolling those limitations periods.” The order states that “[t]he lack of legal and
factual support for these counterclaims is further reflected in this Court’s Orders granting
summary judgment against those claims which are incorporated herein by reference.” But a
claim does not lack merit merely because it was dismissed on summary judgment or nonsuit.
See Dike, 343 S.W.3d at 192.
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We conclude that Cruz did not satisfy his burden to show that CPLA filed groundless
counterclaims in bad faith or for an improper purpose. Consequently, we further conclude that
the trial judge abused his discretion by imposing sanctions against CPLA in connection with
filing those counterclaims. We resolve issues four and five in CPLA’s favor.
CONCLUSION
We resolve issues one, two, three, four, and five in CPLA’s favor and, as a result, do not
reach issue six. We vacate the trial judge’s November 1, 2012 sanctions order and render
judgment that Cruz take nothing by his motion for sanctions.
/Elizabeth Lang-Miers/
ELIZABETH LANG-MIERS
JUSTICE
121559F.P05
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S
Court of Appeals
Fifth District of Texas at Dallas
JUDGMENT
CHERRY PETERSEN LANDRY On Appeal from the 101st Judicial District
ALBERT LLP, Appellant Court, Dallas County, Texas
Trial Court Cause No. 10-16274.
No. 05-12-01559-CV V. Opinion delivered by Justice Lang-Miers,
Justices Francis and Lewis participating.
ERWIN CRUZ, M.D., Appellee
In accordance with this Court’s opinion of this date, the trial court’s November 1, 2012
sanctions order is VACATED and judgment is RENDERED that Erwin Cruz, M.D. take
nothing by his motion for sanctions.
It is ORDERED that appellant Cherry Petersen Landry Albert LLP recover its costs of
this appeal from appellee Erwin Cruz, M.D. The obligations of Travelers Insurance as surety on
appellant’s supersedeas bond are DISCHARGED.
Judgment entered this 26th day of August, 2014.
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