Marquez v. Larrabee

1 IN THE COURT OF APPEALS OF THE STATE OF NEW MEXICO 2 Opinion Number: _______________ 3 Filing Date: July 21, 2016 4 NO. 33,370 5 HENRY P. MARQUEZ, 6 Plaintiff-Appellee, 7 v. 8 FRANK LARRABEE and 9 LARRABEE, INC., a New Mexico 10 Corporation, G&D CONSTRUCTION, INC., 11 a New Mexico Corporation, and 12 MELVILLE HEDGES, and JUANITA 13 GAIL HEDGES, husband and wife, 14 GALEN LARRABEE, 15 Defendants-Appellants. 16 APPEAL FROM THE DISTRICT COURT OF SANDOVAL COUNTY 17 George P. Eichwald, District Judge 18 Barnett Law Firm 19 David A. Garcia 20 Albuquerque, NM 21 for Appellee 1 Law Offices of Nancy L. Simmons, P.C. 2 Nancy L. Simmons 3 Amanda Lavin 4 Albuquerque, NM 5 for Appellants 1 OPINION 2 HANISEE, Judge. 3 {1} Defendants-Appellants G & D Construction, Inc., Melville Hedges, Juanita 4 Gail Hedges, Frank Larrabee and Larrabee Inc. appeal from the district court’s denial 5 of their motion to set aside a default judgment under Rule 1-060(B)(6) NMRA. The 6 district court entered the default judgment as a sanction pursuant to Rule 1- 7 037(B)(2)(c) NMRA and awarded Plaintiff compensatory and punitive damages as 8 well as attorney fees and costs. Although the conduct of Defendants’ attorney may 9 have warranted the district court’s sanction, we hold that the district court abused its 10 discretion in denying Defendant’s motion to set aside the default judgment without 11 making findings of fact as to Defendants’ own diligence in pursuing their defenses 12 and awareness of their attorney’s conduct. We therefore vacate the district court’s 13 default judgment and remand this case for further proceedings. 14 BACKGROUND 15 {2} Plaintiff’s lawsuit alleges that Defendants sold a house to Plaintiff that suffered 16 from numerous construction defects in violation of various warranties that Defendants 17 had made to Plaintiff in the purchase agreement and other documents. Shortly after 18 discovery began, it became apparent that Defendants’ attorney, Peter Everett IV, was 19 incapable of discharging his responsibilities as Defendants’ representative and an 1 officer of the court. 2 {3} From September 2012 and throughout the duration of the underlying litigation, 3 Mr. Everett underwent several major surgeries and was under the influence of 4 narcotic pain killers at the direction of his physician. Mr. Everett also explained that 5 he represented Defendants Gail and Melville Hedges (the Hedges) during the 6 negotiations with Plaintiff for the purchase of the home that became the subject of the 7 litigation. As Mr. Everett acknowledged, this rendered him a fact witness, prohibiting 8 him from representing any of the parties named as Defendants in Plaintiff’s lawsuit. 9 The record thus reflects Mr. Everett’s own concern that his status as a fact witness 10 and his use of narcotic pain killers undermined his ability to adequately discharge his 11 duties as an advocate on all of his clients’ behalf. 12 {4} Despite his concerns, however, Mr. Everett did not withdraw from representing 13 Defendants or seek to obtain substitute counsel. Mr. Everett went on to file numerous 14 frivolous motions and other pleadings, refused to participate in discovery, and failed 15 to appear for scheduled hearings on important pretrial motions and discovery matters. 16 Mr. Everett also verbally abused and threatened Plaintiff’s attorney in open court, 17 attacked the integrity of the district court, and otherwise acted in a matter unbecoming 18 of a licensed attorney, who is an officer of the court as well as his clients’ advocate. 19 See In re Chavez, 2013-NMSC-008, ¶ 26, 299 P.3d 403. 2 1 {5} The district court’s decision to enter a default judgment against Defendants was 2 ultimately occasioned by Plaintiff’s inability to obtain discovery. Repeatedly, 3 Defendants had failed to appear for depositions and failed to produce documents 4 requested by Plaintiff. This gave rise to several motions to compel, which the district 5 court granted.1 Still, Defendants failed to appear at depositions or produce documents 6 that the district court ordered, and eventually Plaintiff moved the district court to 7 enter a default judgment against Defendants for failing to comply with an order 8 compelling discovery. See Rule 1-037(B)(2)(c) (“If a party . . . fails to obey an order 9 to provide or permit discovery, . . . the court in which the action is pending may make 10 . . . an order . . . rendering a judgment by default against the disobedient party[.]”). 11 The district court scheduled a hearing on the motion, notice of which was sent both 12 to Mr. Everett and Defendants personally. Neither Defendants nor Mr. Everett 13 appeared at the hearing, and the district court granted Plaintiff’s motion for a default 14 judgment. The court scheduled another hearing on the amount of damages that 15 Plaintiff ought to be awarded, notice of which was again served on both Mr. Everett 16 and Defendants personally. Neither Defendants nor Mr. Everett appeared at the 17 damages hearing. On May 30, 2013, the district court entered a default judgment 1 18 The record is unclear as to whether Defendants were ever personally served 19 with the subpoenas or the district court’s order granting Plaintiff’s motions to compel. 3 1 against Defendants in Plaintiff’s favor and awarded Plaintiff $648,124.27 in 2 compensatory damages, unpaid court sanctions in the amount of $3,150, attorney fees 3 of $48,255.87, and punitive damages in the amount of $300,000 for “willfully and 4 intentionally thwarting every effort by the Plaintiff in its discovery process.” 5 {6} On June 7, 2013, Defendants filed a motion to set aside the default judgment. 6 The district court held a hearing on the motion on September 20, 2013. At the 7 hearing, Mr. Everett explained that he was in intensive care when the district court 8 heard arguments on Plaintiff’s motion for a default judgment. Mr. Everett also 9 appeared to dispute Plaintiff’s claim that he had not participated in discovery, saying 10 that Defendants had “responded to every bit of discovery[,]” but that “Mr. Larrabee 11 had no other documents to give.” The district court did not accept Mr. Everett’s 12 explanation, and refused to set aside its default judgment against Defendants. 13 Defendants now appeal the district court’s denial of their motion to set aside the 14 default judgment. 15 DISCUSSION 16 {7} Defendants raise four issues on appeal: (1) whether a default judgment was an 17 appropriate sanction under Rule 1-037; (2) whether the district court abused its 18 discretion in refusing to grant Defendants’ motion to set aside the default judgment 19 under Rule 1-060(B)(6); (3) whether Rule 1-037 permits the assessment of punitive 4 1 damages as a sanction for discovery violations; and (4) whether the district court 2 abused its discretion in awarding Plaintiff attorney fees and costs as a sanction under 3 Rule 1-037. 4 {8} As an initial matter, we note that Rule 12-201(A)(2) NMRA requires a party 5 to file a notice of appeal in the district court “within thirty (30) days after the 6 judgment or order appealed from.” But the filing of a motion to set aside a judgment 7 under Rule 1-060 does not toll the period of time for filing a notice of appeal. See 8 Rule 1-060(B)(6); see also Capco Acquisub, Inc. v. Greka Energy Corp., 2007- 9 NMCA-011, ¶ 14, 140 N.M. 920, 149 P.3d 1017 (noting that motions under Rule 1- 10 060(B)(6) do not fall within the enumerated exceptions in Rule 12-201(D) and (E)(4) 11 to Rule 12-201(A)(2)’s thirty day deadline for filing a notice of appeal).2 12 {9} In this case, Defendants filed a notice of appeal on November 8, 2013, nearly 13 five months after the district court entered its default judgment. Thus, Defendants’ 14 notice of appeal was timely only as to the district court’s denial of their motion to set 15 aside the default judgment under Rule 1-060, not the district court’s order granting 2 16 We note that under the current version of Rule 12-201(D), a motion under 17 Rule 1-060(B) filed within 30 days of a judgment extends the time for filing a notice 18 of appeal until the motion is withdrawn or denied. Given the amendments to Rule 12- 19 201(D), it appears that Capco Acquisub, Inc. is no longer a correct statement of the 20 law. However, because the judgment in this case and the district court’s denial of 21 Defendants’ Rule 1-060(B) motion occurred before current Rule 12-201(D) came into 22 effect, the rule in Capco Acquisub, Inc. applies. 5 1 Plaintiff’s motion for a default judgment. Because the first, third, and fourth issues 2 raised by Defendants relate to the merits of Plaintiff’s motion for a default judgment 3 as a sanction for discovery violations under Rule 1-037, we conclude that Defendants 4 failed to timely appeal those issues. Accordingly, we address only the question of 5 whether the district court correctly denied Defendants’ motion under Rule 1-060. 6 {10} We now turn to the merits of Defendants’ contention that the district court 7 erred in denying their motion to set aside the default judgment. Rule 1-060(B) 8 provides that a district court may relieve a party or his legal representative from a 9 final judgment, order, or proceeding for the following reasons: 10 (1) mistake, inadvertence, surprise, or excusable neglect; 11 (2) newly discovered evidence which by due diligence could 12 not have been discovered in time to move for a new trial under Rule 13 1-059 NMRA; 14 (3) fraud (whether heretofore denominated intrinsic or 15 extrinsic), misrepresentation, or other misconduct of an adverse party; 16 (4) the judgment is void; 17 (5) the judgment has been satisfied, released, or discharged, or 18 a prior judgment upon which it is based has been reversed or otherwise 19 vacated, or it is no longer equitable that the judgment should have 20 prospective application; or 21 (6) any other reason justifying relief from the operation of the 22 judgment. 23 Rule 1-060(B)(6) further provides that a motion to set aside a judgment under Rule 6 1 1-060 “shall be made within a reasonable time, and for reasons (1), (2), and (3) not 2 more than one (1) year after the judgment, order, or proceeding was entered or taken.” 3 Our Supreme Court has interpreted Rule 1-060(B)(6) to require “[the] party seeking 4 to set aside a default judgment under Rule 1-060(B)(6) [to] show the existence of 5 exceptional circumstances and reasons for relief other than those set out in Rules 1- 6 060(B)(1) through (5).” Rodriguez v. Conant, 1987-NMSC-040, ¶ 22, 105 N.M. 746, 7 737 P.2d 527 (emphasis added). We review the district court’s decision to grant or 8 deny a motion under Rule 1-060(B)(6) for an abuse of discretion. Rodriguez, 1987- 9 NMSC-040, ¶ 18. 10 {11} Defendants contend that Mr. Everett’s gross negligence as their attorney is an 11 exceptional circumstance that entitles them to relief from the default judgment 12 entered against them as a result of his misconduct. Generally, “mere attorney 13 negligence [does] not constitute exceptional circumstances for purposes of applying 14 [Rule] 1-060(B)(6), and a claimant’s proper recourse would be to bring a malpractice 15 suit against the negligent attorney.” Resolution Tr. Corp. v. Ferri, 1995-NMSC-055, 16 ¶ 17, 120 N.M. 320, 902 P.2d 738 (citing Inryco, Inc. v. Metro. Eng’g Co., 708 F.2d 17 1225, 1235 (7th Cir. 1983)). “However, when an attorney’s failure rises to the level 18 of gross negligence, the trial court may find exceptional circumstances warranting 19 reopening a default judgment under [Rule] 1-060(B)(6).” Ferri, 1995-NMSC-055, 7 1 ¶ 18 (citing Jackson v. Washington Monthly Co., 569 F.2d 119, 122 (D.C. Cir. 1977); 2 L.P. Steuart, Inc. v. Matthews, 329 F.2d 234, 235 (D.C. Cir. 1964)). 3 {12} “The New Mexico Rules of Civil Procedure are modeled after the Federal 4 Rules of Civil Procedure, and the substance of Rule 1-060(B) is virtually identical to 5 its federal counterpart, Federal Rule of Civil Procedure 60(b).” Kinder Morgan CO2 6 Co. v. N.M. Taxation & Revenue Dep’t, 2009-NMCA-019, ¶ 11, 145 N.M. 579, 203 7 P.3d 110. “Because our rule closely tracks this language, the federal construction of 8 Rule 60(b) is persuasive authority for the construction of Rule 1-060(B).” Kinder 9 Morgan CO2 Co., 2009-NMCA-019, ¶ 11. In the following paragraphs, we analyze 10 federal circuit courts of appeal’s differing approaches to the question of whether an 11 attorney’s gross negligence justifies reopening a judgment under Federal Rule 12 60(b)(6) in order to provide a helpful grounding to our application of New Mexico’s 13 rule to this case. 14 {13} The minority approach, adopted by the Seventh and Eighth Circuit Courts of 15 Appeal, is that gross attorney negligence never constitutes an “exceptional 16 circumstance” justifying reopening of a judgment under Federal Rule 60(b)(6). See 17 United States v. 8136 S. Dobson St., Chicago, Ill., 125 F.3d 1076, 1083 (7th Cir. 18 1997); accord Heim v. Comm’r of Internal Revenue Serv., 872 F.2d 245, 248 (8th Cir. 19 1989). The minority approach is based on three rationales: first, “[h]olding the client 8 1 responsible for the lawyer’s deeds ensures that both clients and lawyers take care to 2 comply. If the lawyer’s neglect protected the client from ill consequences, neglect 3 would become all too common. It would be a free good—the neglect would protect 4 the client, and because the client could not suffer the lawyer would not suffer either.” 5 8136 S. Dobson St., 125 F.3d at 1084. Second, preventing a party from obtaining 6 relief from a judgment entered as a result of his attorney’s gross negligence does not 7 leave the party without a remedy: the party may seek recourse for the damages caused 8 by the execution of the judgment in a malpractice action. Id. Finally, the acts of an 9 attorney on behalf of his client are imputed to the client under common law principles 10 of agency. See Ferri, 1995-NMSC-055, ¶ 17 (stating that “all parties are deemed 11 bound by the acts and failures of their lawyers. Indeed, to set aside the default merely 12 because the defendant should not be penalized for the omissions of the attorney 13 would be visiting the sins of the defendant’s lawyer upon the plaintiff.” (alterations, 14 internal quotation marks, and citations omitted)). Under this rationale, it would seem 15 incongruous to hold a client responsible for the ordinary negligence of his attorney 16 as well as his attorney’s willful misconduct, but not for conduct that falls between 17 these two extremes. See United States v. 7108 W. Grand Ave., Chicago, Ill., 15 F.3d 18 632, 634 (7th Cir. 1994) (stating in the context of attorney error that liability for both 19 negligence and intentional misconduct is inclusive of an attorney’s gross negligence). 9 1 {14} A majority of federal circuit courts of appeal have held that a showing of gross 2 negligence by an attorney is an exceptional circumstance sufficient to set aside a 3 default judgment. See Carter v. Albert Einstein Med. Ctr., 804 F.2d 805, 806 (3d Cir. 4 1986); Shepard Claims Serv., Inc. v. William Darrah & Assocs., 796 F.2d 190, 195 5 (6th Cir. 1986); Cmty. Dental Servs. v. Tani, 282 F.3d 1164, 1170 (9th Cir. 2002); 6 L.P. Steuart, Inc., 329 F.2d at 235; Primbs v. United States, 4 Cl. Ct. 366, 370 (1984). 7 There are two apparent rationales for this rule: (1) Federal Rule 60 is remedial, and 8 judgment by default “is an extreme measure and a case should, whenever possible, 9 be decided on the merits[;]” and (2) “[w]hen an attorney is grossly negligent, . . . the 10 judicial system loses credibility as well as the appearance of fairness, if the result 11 [was] that an innocent party is forced to suffer drastic consequences.” Cmty. Dental 12 Servs., 282 F.3d at 1170 (internal quotation marks and citation omitted). 13 {15} Our Supreme Court’s decision in Ferri falls somewhere between these two 14 approaches. On the one hand, Ferri recognizes the “general rule of attorney-as-agent” 15 principle underlying the Seventh and Eighth Circuits’ approach. 1995-NMSC-055, 16 ¶¶ 17, 19. But on the other hand, Ferri acknowledges “the harsh result of penalizing 17 diligent clients who were affirmatively misled by their attorneys into unintentionally 18 allowing their legitimate claims or defenses to be lost.” Id. ¶ 19. Our Supreme Court 19 has modified Ferri’s rule by requiring a party seeking to reopen a judgment based on 10 1 allegations of gross attorney negligence or misconduct to make two additional 2 showings: (1) that “the moving party had a legitimate claim or defense” and (2) “there 3 is little, if any, likelihood of prejudice to the non-moving party should there be a 4 vacation of the judgment[.]” Meiboom v. Watson, 2000-NMSC-004, ¶ 32, 128 N.M. 5 536, 994 P.2d 1154 (citation omitted).3 These two factors appear to be equity-driven, 6 requiring the district court to weigh one party’s loss of a legitimate claim or defense 7 against the prejudice that reopening the judgment would visit on the judgment 8 creditor. See Jackson v. Wash. Monthly Co., 569 F.2d 119, 122 n.19 (D.C. Cir. 1977) 9 (“[I]f [the] appellant is correct in his claims that [the] appellees contributed to the 10 delay in effectuating the purported settlement, and that for almost a year they allowed 11 him to believe that his suit was in good standing although they knew that it was not, 12 [the appellant] could not fairly be charged with any prejudice that [the] appellees 3 13 Meiboom cites Ferri, requiring a moving party seeking to reopen a judgment 14 under Rule 1-060(B)(6) on grounds of gross attorney negligence to show that “the 15 moving party had a legitimate claim or defense[,]” Meiboom, 2000-NMSC-004, ¶ 32, 16 but the cited portion of Ferri concluded that a judgment based on a mistake of law 17 could only be reopened under Rule 1-060(B)(1), which provides for setting aside a 18 judgment based on a “mistake.” See Ferri, 1995-NMSC-055, ¶¶ 8-9. It is hard to 19 square Meiboom’s citation of Ferri as requiring a showing that a party has a 20 meritorious claim or defense in order to reopen a judgment under Rule 1-060(B)(6) 21 with the well-established rule that the grounds for reopening a judgment under Rule 22 1-060(B)(1) and Rule 1-060(B)(6) are mutually exclusive. See Ferri, 1995-NMSC- 23 055, ¶ 10 (stating that “we have long held that [Rule] 1-060(B)(6) provides relief only 24 for reasons other than those enumerated in [Rule] 1-060(B)(1) through (5)”). 11 1 might have suffered”), cited in Ferri, 1995-NMSC-055, ¶ 18. 2 {16} Ferri and Meiboom give district courts latitude when asked to reopen a default 3 judgment based on allegations of gross attorney negligence. This approach 4 acknowledges that application of Rule 1-060(B)(6) in this context entails application 5 of equitable considerations that led our Supreme Court to adopt Rule 1-060(B)(6) in 6 the first place. See Meiboom, 2000-NMSC-004, ¶ 31 (“Rule 60([B])(6) provides a 7 reservoir of equitable power to do justice in a given case[.]” (quoting Battersby v. Bell 8 Aircraft Corp., 1958-NMSC-135, ¶ 7, 65 N.M. 114, 332 P.2d 1028)). But this 9 approach requires courts to make a somewhat probing inquiry into the defaulting 10 party’s own diligence in pursuing a claim or preparing a defense. 11 {17} Ferri itself demonstrates the importance of creating a record in order to allow 12 meaningful appellate review of a district court’s decision to grant or deny a motion 13 to reopen a judgment under Rule 1-060(B)(6) for gross attorney negligence; in that 14 case, the Court reversed the district court’s denial of the appellants’ Rule 1-060(B)(6) 15 motion without inquiring into whether the record supported the district court’s 16 ultimate decision based on the district court’s failure to make findings of fact as to the 17 defaulting party’s diligence in pursuing her defenses. Ferri, 1995-NMSC-055, ¶ 20. 18 The Court remanded the case to the district court to conduct an evidentiary hearing 19 into these issues. Id. ¶ 20. The Court also stated that the district court could properly 12 1 consider evidence that the appellant herself had been given notice of various 2 important procedural developments in evaluating her diligence. Id. 3 {18} We conclude that this appeal requires a similar outcome. Although the record 4 supports a finding of gross attorney negligence, there is little if any evidence of 5 Defendants’ personal acquiescence in their attorney’s conduct. In neither its oral 6 decision to grant Plaintiff’s motion for a default judgment nor its written default 7 judgment does the district court make any findings of fact as to whether Defendants 8 were aware of their attorney’s gross negligence. This alone requires us to reverse the 9 district court and remand for an evidentiary hearing for inquiry into Defendants’ 10 complicity, if any, in their attorney’s intransigence and obstruction of the discovery 11 process. See id. (reversing the district court for failing to make a finding of fact as to 12 the defaulting party’s diligence in pursuing her defense and remanding for an 13 evidentiary hearing on that issue).4 As well, our own review of the record produces 4 14 Ferri sets out the following list of non-exclusive facts that are relevant in 15 evaluating the defaulting party’s diligence: whether the party seeking to reopen the 16 judgment “actively and repeatedly attempted to communicate with her attorney; 17 [whether] her attorney misrepresented the status or nature of the case; [whether] she 18 relied on her attorney’s representations in good faith; and [whether] a reasonably 19 prudent person involved in such litigation similarly would have relied on those 20 representations and would not have made further inquiries or efforts to advance his 21 or her position.” Id., ¶ 20. The district court should consider these and other factors 22 it deems relevant in determining Defendants’ diligence in pursuing their case upon 23 remand. 13 1 inconsistency regarding the provision of notice to Defendants themselves and their 2 awareness of Mr. Everett’s conduct. 3 {19} On remand, Defendants bear the burden of proving that they were diligent in 4 pursuing their claims and that Mr. Everett affirmatively caused their default. See id. 5 ¶ 19 (“On remand, [the appellant] has the burden of demonstrating her diligence in 6 pursuing her case.”). We recognize that this inquiry is all the more difficult in cases 7 like this one where the attorney who brought about his client’s default continues to 8 represent the client past the entry of the default judgment. However, on appeal 9 Defendants have obtained substitute counsel; after remand, the district court can 10 properly consider any continued failure by the Defendants to participate in this 11 litigation in determining whether Defendants should be charged personally with their 12 previous attorney’s egregious conduct, and also make its own evaluation in the first 13 instance about the merits of Defendants’ defenses. 14 {20} The district court also failed to make a necessary inquiry into the prejudice that 15 Plaintiff would suffer if the default judgment were reopened. For example, 16 Defendants have asserted that Defendants Melville and Juanita Hedges filed for 17 bankruptcy after entry of the district court’s default judgment. On remand, the district 18 court should inquire into whether this or other developments subsequent to the district 19 court’s entry of default have increased or decreased the prejudice that Plaintiff would 14 1 suffer if the judgment were reopened. The district court should also consider the 2 extent to which Plaintiff’s own conduct brought about Defendants’ default (the 3 district court suggested to counsel for Plaintiff that he move to disqualify Mr. Everett 4 from representing Defendants; whether Plaintiff’s decision not to file such a motion 5 contributed to Defendants’ failure to participate in the litigation is thus also a valid 6 avenue of inquiry). 7 {21} The district court’s denial of Plaintiff’s motion to set aside its default judgment 8 is reversed and this case is remanded for further proceedings. 9 {22} IT IS SO ORDERED. 10 _________________________________ 11 J. MILES HANISEE, Judge 12 WE CONCUR: 13 _________________________________ 14 MICHAEL E. VIGIL, Chief Judge 15 _________________________________ 16 JAMES J. WECHSLER, Judge 15