IN THE COURT OF APPEALS OF NORTH CAROLINA
No. COA18-925
Filed: 4 June 2019
Davidson County, No. 14 CVS 3289
THOMAS RAYMOND WALSH, M.D. and JAMES DASHER, M.D., Plaintiffs,
v.
CORNERSTONE HEALTH CARE, P.A., Defendant.
Appeal by defendant from order entered 21 March 2018 by Judge Jeffery K.
Carpenter in Davidson County Superior Court. Heard in the Court of Appeals 13
March 2019.
Nelson Mullins Riley & Scarborough LLP, by G. Gray Wilson and Lorin J.
Lapidus, for plaintiffs-appellees.
Bennett Guthrie Latham, PLLC, by Rodney A. Guthrie, Roberta King Latham,
and Mitchell H. Blankenship, for defendant-appellant.
ZACHARY, Judge.
Defendant Cornerstone Health Care, P.A. appeals from the trial court’s order
striking Defendant’s answer as a sanction for discovery violations. We vacate and
remand.
Background
Plaintiffs Thomas Raymond Walsh, M.D. and James Dasher, M.D. filed the
instant action against Defendant, their former employer, on 20 November 2014
asserting claims for breach of the implied covenant of good faith and fair dealing,
breach of contract, common law unfair competition, and quantum meruit. A
WALSH V. CORNERSTONE HEALTH CARE, P.A.
Opinion of the Court
protracted discovery dispute thereafter arose between the parties, which, for
purposes of the instant appeal, primarily involves Plaintiffs’ claim for breach of the
implied covenant of good faith and fair dealing.
As part of the basis of their claim for breach of the implied covenant of good
faith and fair dealing, Plaintiffs alleged that “[i]n recent years, defendant . . . became
fundamentally unprofitable, and was able to pay its business debts only by arbitrarily
reducing the compensation of certain disfavored physicians.” Plaintiffs maintain that
they were included among said group of “disfavored physicians,” and that when
Plaintiffs expressed dissatisfaction with their decreased compensation, Defendant
retaliated by essentially demoting Plaintiffs in an effort to further reduce their
compensation. On 20 September 2014, Plaintiffs voluntarily resigned from their
employment with Defendant. Plaintiffs maintained that “Defendant’s capricious,
malicious, and retaliatory actions” constituted a breach of the implied covenant of
good faith and fair dealing in their employment contracts.
Defendant served its initial response to Plaintiffs’ First Set of Interrogatories
and Request for Production of Documents on 4 May 2015. Interrogatory 7 directed
Defendant to “[i]dentify, with specificity, all relevant documents that you or your
attorney have which pertain to any issues or facts in this suit.” Plaintiffs’ Request 7
sought
[a]ll statements, summaries of statements,
correspondence, letters, memoranda, documents, records,
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notes, telephone logs, electronic mail, ms word documents,
pdf files, or other papers, whether in written, printed, or
electronic format, in your possession or control or to which
you, your counsel, or representatives have access regarding
or pertaining to the professional performance, competency,
or personal opinions or views of either or both plaintiffs by
[Defendant].
(Hereafter “professional and personal opinion documents”). Defendant objected to
Request 7 on the grounds of privilege,1 but nevertheless responded that it had nothing
to produce.2 Defendant’s CEO verified under oath that the response to Request 7 was
“true of her own knowledge and belief except those matters therein stated upon
information and belief, and, as to those, she believe[d] them to be true.”
On 26 July 2016, following the parties’ fourth discovery-related motion, the
Honorable Mark E. Klass entered an order requiring the parties to “confer and
select . . . a qualified and capable forensic e-discovery vendor for the purpose of
collecting and cataloging electronically stored communications, specifically e-mails,
generated by” six of Defendant’s corporate officers (“the e-discovery order”). According
to Plaintiffs, when Defendant’s e-discovery database became available to them in
August 2017, Plaintiffs learned that Defendant had “intentionally withheld a vast
number of highly relevant and damaging documents”—namely, e-mails between
1 Defendant indicated that it would provide a Privilege Log in its second supplemental
response.
2 Defendant answered “none” in its first supplemental response to Plaintiffs’ Request for
Production 7, to which Defendant had directed Plaintiffs in its answer to Interrogatory 7, pursuant to
Rule 33(c) of the North Carolina Rules of Civil Procedure.
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Defendant’s officers—“which squarely pertain” to Defendant’s professional and
personal opinions of Plaintiffs, despite the CEO having attested, under oath, that no
such documents existed. Accordingly, on 21 September 2017, Plaintiffs filed a motion
for mandatory sanctions “pursuant to Rule 26(g) of the North Carolina Rules of Civil
Procedure.” Plaintiffs maintained that “[t]he discovery responses signed and attested
to under oath by [Defendant’s CEO] were interposed for the improper purpose of
intentionally withholding a substantial cache of damaging documents, which has
served to harass plaintiffs, cause unnecessary delay, and has needlessly and
exponentially increased the cost of litigation.” Plaintiffs argued that “[a]t this
juncture, only the severe sanction of striking [Defendant’s] answer is appropriate.”
Plaintiffs’ motion came on for hearing on 2 October 2017. The professional and
personal opinion documents that Plaintiffs alleged were responsive to Interrogatory
7 and Request 7 were presented to the trial court for in camera review. Plaintiffs
argued:
Rule 26(g) is cited in our brief in full. . . . [It]
essentially addresses the issue of improper purpose and
that is to use the discovery process for a number of different
improper reasons, but in this case to use the discovery
process to wear down the opponent to needlessly increase
the cost of litigation so eventually the party collapses under
its weight.
We think that’s exactly what has occurred in this
case. . . . The discovery responses that were signed by the
defendant’s CEO, falsely, were for the clear purpose of
improperly withholding a substantial number of damaging
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Opinion of the Court
documents pertaining again to our claims for breach of
implied covenant of good faith and fair dealing.
....
They denied the existence of these documents under oath
twice . . . .
....
So what we say essentially is this; the defendant’s
discovery misconduct is one of the most egregious examples
that a Court will find to justify severe sanctions of striking
their answer; otherwise, this pattern of false swearing of
recalcitrants in discovery, it goes unpunished. That’s why
wisely Rule 26(g) was placed into effect in this
jurisdiction . . . .
In response, Defendant argued that it did not produce the e-mails that
Plaintiffs presented for in camera review because they were neither relevant nor
responsive to Interrogatory 7 or Request 7, in that they “have nothing to do, there’s
nothing regarding the professional competence of these doctors as surgeons. . . . We
commend those [e-mails] to your reading . . . . That will shed a lot of light on why we
did not consider those to be relevant and responsive to any issue in the case.”
“[N]evertheless,” Defendant noted, “they have now been produced.”
On 21 March 2018, more than five months after the hearing, the trial court
entered its order, finding that Plaintiffs’ motion was filed “specifically for failure to
supplement as required under Rule 26(e) of the N.C. Rules of Civil Procedure.” The
trial court found that the documents that Plaintiffs presented for in camera review
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were both relevant and responsive to Interrogatory 7 and Request 7,3 and concluded
that “Defendant’s failure to appropriately supplement its responses to the discovery
requests of the Plaintiffs [under Rule 26(e)] justifies the imposition of sanctions.” The
trial court further concluded that “no lesser sanction than” striking Defendant’s
answer “would be effective in correcting the Defendant’s conduct.” Accordingly, the
trial court struck Defendant’s answer, leaving only the issue of damages remaining
for consideration. Defendant filed written notice of appeal on 20 April 2018.
On appeal, Defendant argues, inter alia, that “the facts on which” the trial
court granted Plaintiffs’ motion to strike Defendant’s answer were “so clearly
erroneous” that the resulting sanctions constituted an abuse of discretion. We agree
with Defendant that the order should be vacated on this ground, and therefore we
need not address Defendant’s remaining challenges.
Grounds for Appellate Review
Although Defendant’s appeal is interlocutory, Defendant nevertheless
maintains that it is entitled to an immediate appeal from the trial court’s order
because it affects a substantial right, in that it strikes Defendant’s answer. See Adair
v. Adair, 62 N.C. App. 493, 495, 303 S.E.2d 190, 192 (“An interlocutory order is
appealable if it affects some substantial right claimed by the appellant and if it will
3 Defendant does not challenge this finding by the trial court, and it is thus binding on appeal.
Koufman v. Koufman, 330 N.C. 93, 97, 408 S.E.2d 729, 731 (1991) (“Where no exception is taken to a
finding of fact by the trial court, the finding is presumed to be supported by competent evidence and
is binding on appeal.”).
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work injury if not corrected before final judgment.”), disc. review denied, 309 N.C.
319, 307 S.E.2d 162 (1983). Indeed, “[o]rders of this type have been described as
affecting a substantial right.” Essex Grp., Inc. v. Express Wire Servs., Inc., 157 N.C.
App. 360, 362, 578 S.E.2d 705, 707 (2003); see also Adair, 62 N.C. App. at 495, 303
S.E.2d at 192. Accordingly, Defendant has a right to immediate appeal from the trial
court’s order.
Discussion
Defendant contends that the trial court’s order imposing sanctions was based
upon several erroneous findings, including that Plaintiffs’ motion sought to sanction
Defendant “specifically for failure to supplement as required under Rule 26(e).”
Defendant maintains that this finding is simply “not true,” and argues, among other
things, that the trial court erred when it “sua sponte[] made additional legal
arguments to grant [Plaintiffs] the relief sought.” Defendant contends that this
amounted to an abuse of discretion, and therefore, the order must be vacated. We
agree.
Rule 26(g) of the North Carolina Rules of Civil Procedure provides:
(g) Signing of discovery requests, responses, and
objections. — Every request for discovery or response or
objection thereto made by a party represented by an
attorney shall be signed by at least one attorney of record
in that attorney’s name, whose address shall be stated. A
party who is not represented by an attorney shall sign the
request, response, or objection and state that party’s
address. The signature of the attorney or party constitutes
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a certification that the attorney or party has read the
request, response, or objection and that to the best of the
knowledge, information, and belief of that attorney or
party formed after a reasonable inquiry it is: . . . (2) not
interposed for any improper purpose, such as to harass or
cause unnecessary delay or needless increase in the cost of
litigation . . . .
If a certification is made in violation of the rule, the
court, upon motion or upon its own initiative, shall impose
upon the person who made the certification, the party on
whose behalf the request, response, or objection is made, or
both, an appropriate sanction, which may include an order
to pay the amount of the reasonable expenses incurred
because of the violation, including a reasonable attorney’s
fee.
N.C. Gen. Stat. § 1A-1, Rule 26(g) (2017).
In other words, “Rule 26(g) provides that when an attorney or party signs a
discovery document, he certifies to the best of his knowledge that it has not been
served for an improper purpose and is not unreasonably burdensome or expensive.”
Turner v. Duke University, 325 N.C. 152, 163-64, 381 S.E.2d 706, 713 (1989). “Such
signature constitutes a certification parallel to that required by Rule 11,” Brooks v.
Giesey, 334 N.C. 303, 317, 432 S.E.2d 339, 347 (1993), and thus “sanctions under Rule
26(g) may be applied following Rule 11 case law.” Id. at 318, 432 S.E.2d at 347.
In the instant case, Plaintiffs moved for mandatory sanctions “pursuant to
Rule 26(g)” on the basis of Defendant’s initial discovery responses, in which Plaintiffs
contended that Defendant had “necessarily failed to identify all documents which
pertain to” Defendant’s professional and personal opinions of Plaintiffs. Plaintiffs
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Opinion of the Court
alleged that Defendant’s response that it had no such documents was “interposed for
the improper purpose of intentionally withholding a substantial cache of damaging
documents, which has served to harass plaintiffs, cause unnecessary delay, and has
needlessly and exponentially increased the cost of litigation.” Plaintiffs reiterated this
argument during the hearing on their motion, and Defendant defended against the
same.
However, the trial court imposed sanctions against Defendant more than five
months after the hearing, finding that Plaintiffs had filed their motion for sanctions
“specifically for failure to supplement as required under Rule 26(e).” (Emphasis
added). The trial court concluded that Defendant failed to supplement its discovery
responses as required under Rule 26(e), and struck Defendant’s answer on that basis.
The effect of the trial court’s erroneous finding is significant and requires that the
sanctions be vacated.
It is well established that “the [party] against whom sanctions are to be
imposed must be advised in advance of the charges against [it].” Griffin v. Griffin,
348 N.C. 278, 280, 500 S.E.2d 437, 439 (1998). While North Carolina does not require
notice of the precise type of sanctions sought, a party is nevertheless entitled to “(1)
notice of the bases of the sanctions and (2) an opportunity to be heard” thereon.
Egelhof v. Szulik, 193 N.C. App. 612, 616, 668 S.E.2d 367, 370 (2008).
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For example, in Griffin, “Charles Henderson had been given notice by the
Bullocks that they would seek to have sanctions imposed upon him for filing a petition
for an adoption.” Griffin, 348 N.C. at 279-80, 500 S.E.2d at 438. “After the hearing,
the court did not impose sanctions for the filing of the adoption petition”; instead, it
“impose[d] sanctions for the filing of pleadings for which Mr. Henderson had not
received notice that such sanctions would be sought.” Id. at 280, 500 S.E.2d at 438.
Our Supreme Court concluded that this was error:
It is not adequate for the notice to say only that sanctions
are proposed. The bases for the sanctions must be alleged.
In this case, the notice actually misled Mr. Henderson as
to what sanctions would be imposed. Mr. Henderson was
notified that sanctions were proposed for filing the
adoption proceeding, but sanctions were imposed for
something else. The fact that the court made detailed
findings of fact in the order for sanctions is not adequate.
In order to pass constitutional muster, the person against
whom sanctions are to be imposed must be advised in
advance of the charges against him.
Id. at 280, 500 S.E.2d at 439 (emphasis added) (citations omitted). Accordingly, our
Supreme Court ordered that the sanctions imposed without notice be vacated. Id.
Similarly, in this case, Defendant was not advised, prior to the hearing, that it
might be sanctioned for failure to supplement its discovery responses pursuant to
Rule 26(e); wholly absent from Plaintiffs’ motion was any contention that Defendant
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should be sanctioned on that basis.4 Plaintiffs’ motion instead sought sanctions for a
violation of Rule 26(g), and the substance of the parties’ arguments at the hearing
reflected the same. The mere fact that the parties made scattered references at the
hearing to Defendant’s “ongoing obligation” to supplement its discovery responses
under Rule 26(e) does not demonstrate that Defendant received proper notice that
sanctions might be imposed on that basis. See id. (“The fact that Mr. Henderson
participated in the hearing and did the best he could do without knowing in advance
the sanctions which might be imposed does not show a proper notice was given.”).
Accordingly, in light of the lack of notice provided, we agree with Defendant
that the trial court’s order imposing sanctions for a violation of Rule 26(e) must be
vacated and remanded for entry of an order that is consistent with the grounds upon
which Plaintiffs moved to strike Defendant’s answer.5
4 Plaintiffs’ Rule 9(b)(5) supplement filed with this Court contains what purports to be a two-
page excerpt from its “Brief in Support of Motion for Discovery Sanctions to Strike Answer,” in which
Plaintiffs argue that “[a]ssuming arguendo, that [Defendant’]s verifications about the existence of the
[professional and personal opinion documents] were accurate when made to the best of its knowledge
at the time,” Defendant still “failed to supplement its prior discovery responses pursuant to Rule
26(e)(2).” However, the excerpt indicates that the brief was signed on the same date as the hearing,
and there is no certificate of service or other indication that Defendant received notice of this basis for
sanctions prior to the hearing. Nor does the brief contain a file stamp demonstrating that it was filed
with the trial court. In fact, at the hearing, the presiding judge commented to Plaintiffs that he did
not have briefs.
5 During oral arguments before this Court, Plaintiffs contended that Defendant has abandoned
any argument concerning notice because it did not raise that issue in its brief. See N.C.R. App. P. 28(a)
(“Issues not presented and discussed in a party’s brief are deemed abandoned.”). Indeed, Defendant
did not specifically phrase its challenges to the trial court’s order in terms of “notice.” Defendant did,
however, argue the following:
[The trial court] found that [Defendant] had failed to
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Conclusion
For the foregoing reasons, we vacate the trial court’s 21 March 2018 order
sanctioning Defendant by striking its answer and remand for the trial court to
address the grounds for which the instant proceeding was initiated—that is, whether
the trial court is mandated pursuant to Rule 26(g) to impose sanctions against
Defendant for its initial certification that it possessed no documents pertaining to its
supplement its response to [Interrogatory] 7 under Rule 26(e) . . . and
therefore sanctioned it pursuant to Rule 37. [Plaintiffs], however, never
moved the Court to exercise its discretionary authority to sanction
[Defendant]. Instead, [Plaintiffs] moved for mandatory sanctions under
Rule 26(g). . . .
Instead of ruling on the appropriateness of [Plaintiffs’] motion
for mandatory sanctions under Rule 26(g), [the trial court] found as
fact that “[Plaintiffs] filed the 21 September 2017 Motion seeking to
sanction [Defendant] for discovery violations, specifically for failure to
supplement as required under Rule 26(e) . . . .” Nowhere in [Plaintiffs’
motion] is there any reference whatsoever to Rule 26(e). The only
reference to supplementation made by [Plaintiffs] was at [the hearing]
in relation to the argument for mandatory sanctions under Rule 26(g).
Rules 26(g) and 26(e) are fundamentally different from one another . . .
.
Thus, [the trial court] either (1) declined to grant [Plaintiffs]
relief on the grounds they requested and, sua sponte, made additional
legal arguments to grant them the relief sought[,] or (2) [the trial court]
fundamentally misunderstood the motion that [it] granted. Such a
grave overreach or misapprehension of the matters before the Court
cannot be considered anything but an abuse of discretion, particularly
in light of the drastic sanction it ultimately led to in this matter.
(Emphases added) (original alterations omitted). Despite the omission of the word “notice,” it is
nevertheless clear that the substance of Defendant’s argument is a challenge to the lack of notice of
the grounds upon which the trial court imposed sanctions, albeit phrased in terms of abuse of
discretion.
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professional or personal opinions of Plaintiffs, in response to Interrogatory 7 and
Request 7.
VACATED AND REMANDED.
Judges STROUD and INMAN concur.
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