NOT PRECEDENTIAL
UNITED STATES COURT OF APPEALS
FOR THE THIRD CIRCUIT
_____________
Nos. 22-2445, 22-2446, 22-2902, 22-2958, and 22-2959
_____________
PACE-O-MATIC, INC.
v.
ECKERT, SEAMANS CHERIN & MELLOTT, LLC; MARK S. STEWART; KEVIN
M. SKJOLDAL
Appellants in No. 22-2958
*HAWKE MCKEON & SNISCAK, LLP,
Appellant in Nos. 22-2445 and 22-2902
*GREENWOOD GAMING AND ENTERTAINMENT, INC.,
Appellant in Nos. 22-2446 and 22-2959
*(Pursuant to Rule 12(a), Fed. R. App. P.)
_____________________________________
On Appeal from the United States District Court for the
Middle District of Pennsylvania
(District Court No. 1-20-cv-00292)
District Judge: Honorable Jennifer P. Wilson
_____________________________________
Argued
September 20, 2023
(Filed November 13, 2023)
Before: RESTREPO, McKEE, RENDELL, Circuit Judges.
_________
O P I N I O N**
_________
RENDELL, Circuit Judge.
Eckert Seamans Cherin & Mellott, LLC (“Eckert”), Hawke McKeon & Sniscak, LLP
(“HMS”), and Greenwood Gaming and Entertainment, Inc., d/b/a Parx Casino (“Parx”) appeal
from the District Court’s order requiring disclosure of allegedly privileged material under the
doctrine of judicial estoppel. Because the District Court erred in implementing the standard for
application of judicial estoppel under our caselaw, we will vacate the order and remand.
I1
Pace-O-Matic, Inc. (“POM”) develops, produces, and licenses electronic games
sold, as relevant here, in Pennsylvania and Virginia. In 2016, Eckert began representing
POM solely in Virginia regarding certain regulatory matters. At that time, Eckert also
represented Parx, POM’s market competitor, in Pennsylvania.
In 2018, POM, through other counsel, filed two lawsuits in the Commonwealth
Court of Pennsylvania (the “Commonwealth Court Cases”) against state agencies,
challenging the seizure of some of its games in Pennsylvania.2 Parx, represented by counsel
of record HMS and Ballard Spahr, LLP, filed amicus briefs in opposition to POM’s
position and moved to intervene in the action.
**
This disposition is not an opinion of the full Court and pursuant to I.O.P. 5.7 does not
constitute binding precedent.
1
Because we write only for the parties, we will recite only the facts necessary to our decision.
2
See POM of Pa., LLC v. Pa. State Police, Bureau of Liquor Control Enforcement, No.
503 MD 2018 (Pa. Commw. Ct.); POM of Pa., LLC v. Commonwealth of Pa., Dep’t of
Revenue, No. 418 MD 2018 (Pa. Commw. Ct.).
2
In January 2020, POM learned that Eckert was involved in drafting Parx’s filings
in the Commonwealth Court Cases. POM requested that Eckert withdraw from
representing Parx in the Commonwealth Court Cases, but Eckert instead withdrew from
its representation of POM in Virginia.
In February 2020, POM brought the instant action against Eckert in federal court,
alleging a breach of fiduciary duties. POM served interrogatories and requests for
document production on Eckert and non-party subpoenas on Parx and HMS seeking
communications that Eckert had with Parx and HMS in the Commonwealth Court Cases.
Eckert, Parx, and HMS objected, asserting attorney–client and work-product privilege.
POM moved to compel production; Eckert, Parx, and HMS moved for a protective order.
The Magistrate Judge heard oral argument and conducted an in camera review of the
documents at issue. The Judge then issued a memorandum and order invoking the doctrine
of judicial estoppel to preclude Eckert’s assertion of an attorney–client relationship with
Parx. The Magistrate Judge concluded that Eckert, HMS, and Parx had each, explicitly or
implicitly, mischaracterized Eckert’s role in the Commonwealth Court Cases by asserting
that Eckert did not represent a party adverse to POM in the Commonwealth Court Cases.
Eckert, HMS, and Parx appealed to the District Court, which affirmed the
Magistrate Judge’s memorandum and order on July 5, 2022 (the “July 5 Order”) and
ordered the appellants to turn over the allegedly privileged documents and
communications. Eckert, HMS, and Parx filed motions for reconsideration and
permission to take an interlocutory appeal under § 1292(b). The District Court denied the
motions for reconsideration but granted permission for the interlocutory appeal to decide
3
whether judicial estoppel may be applied as an exception to or waiver of the attorney–
client privilege of a non-party for interlocutory appeal.3 The appellants timely filed
petitions for interlocutory review of the July 5 Order under § 1292(b). A motions panel of
this court granted the petition, and we consolidated the appeals.
II4
The appellants urge, first, that judicial estoppel cannot be applied as a waiver of,
or exception to, attorney–client privilege held by a non-party and, second, that the
District Court abused its discretion in applying the doctrine of judicial estoppel to the
facts before it. Because we agree that the District Court misapplied the law, we need not
address the first argument.5 We review the District Court order invoking judicial estoppel
“only for abuse of discretion,” inquiring whether its “ruling is founded on an error of law
3
The District Court stayed the order requiring production of discovery materials pending
this appeal.
4
The District Court has jurisdiction over this matter pursuant to 28 U.S.C. § 1332(a), and
we have appellate jurisdiction under 28 U.S.C. § 1292(b). The District Court determined
that the July 5 Order “(1) involve[s] a ‘controlling question of law,’ (2) offer[s]
‘substantial ground for difference of opinion’ as to its correctness, and (3) if appealed
immediately ‘materially advance[s] the ultimate termination of the litigation.’” Katz v.
Carte Blanche Corp., 496 F.2d 747, 754 (3d Cir. 1974) (quoting 28 U.S.C. § 1292(b)).
We will exercise our discretion in permitting this appeal to be taken from the July 5
Order, 29 U.S.C. § 1292(b), and do not address the appellants’ or appellee’s arguments
regarding the Perlman doctrine or the collateral order doctrine.
5
Although appellants’ first argument aligns with the question certified by the District
Court, when we exercise jurisdiction under § 1292(b), we “may address any issue fairly
included within the certified order because ‘it is the order that is appealable, and not the
controlling question identified by the district court.’” Yamaha Motor Corp., U.S.A. v.
Calhoun, 516 U.S. 199, 205 (1996) (quoting 9 J. Moore & B. Ward, Moore’s Federal
Practice ¶ 110.25[1] (2d ed. 1995)).
4
or a misapplication of law to the facts.” Montrose Med. Grp. Participating Sav. Plan v.
Bulger, 243 F.3d 773, 780 (3d Cir. 2001) (internal quotation marks omitted).
The concept of judicial estoppel stems from the courts’ intrinsic authority to
prevent parties from “playing fast and loose with the courts” by asserting inconsistent
positions to gain an unfair advantage. Scarano v. Cent. R. Co. of N.J., 203 F.2d 510, 513
(3d Cir. 1953). In order to apply judicial estoppel, a district court must satisfy itself that:
(1) the party to be estopped is asserting a position that is irreconcilably
inconsistent with one he or she asserted [previously]; (2) the party changed
his or her position in bad faith . . . ; and (3) the use of judicial estoppel is
tailored to address the affront to the court’s authority or integrity.
Montrose, 243 F.3d at 777–78. “[J]udicial estoppel is appropriately applied in a narrow
category of cases because it ‘is an extraordinary remedy that should be employed only
when a party’s inconsistent behavior would otherwise result in a miscarriage of justice.’”
Dam Things from Den. v. Russ Berrie & Co., 290 F.3d 548, 559–60 (3d Cir. 2002)
(quoting Montrose, 243 F.3d at 784).
The District Court reasoned that judicial estoppel was appropriate because the
appellants had presented fundamentally different positions in bad faith to obstruct
discovery and no lesser sanction would address the resulting harm. We conclude that the
requirements for applying judicial estoppel have not been met.
A
The Magistrate Judge viewed Eckert’s assertion that it did “not represent any party
adverse to POM in [the Commonwealth Court] litigation” as irreconcilably inconsistent
with its invocation of the attorney–client privilege to shield its communications with
5
Parx. JA 13–14. But Eckert’s counsel explained to the Magistrate Judge that Eckert has
maintained that it has a longstanding attorney–client relationship with Parx but did not
appear as counsel of record for Parx in the Commonwealth Court Cases. And Eckert did
not view itself as representing a party adverse to POM when Parx was not a party in
either Commonwealth Court Case but only had a motion to intervene pending. The
Magistrate Judge did not appear to appreciate Eckert’s nuanced view of its role. As we
read the record, Eckert’s position was perhaps “hyper-technical,” see In re Teleglobe
Commc’ns Corp., 493 F.3d 345, 378 (3d Cir. 2007), but it was not wholly incompatible
with its assertion of the attorney–client privilege. Eckert readily conceded that it
represented Parx in connection with the Commonwealth Court Cases, but Parx was not a
party and Eckert never entered an appearance in the case.
B
Second, even if there were irreconcilable tension between Eckert’s positions, the
District Court abused its discretion in finding that Eckert, HMS, and Parx acted in bad
faith. To satisfy the bad faith requirement, (1) a litigant must behave culpably (2) in a
way that “assault[s] the dignity or authority of the court.” Montrose, 243 F.3d at 781. In
other words, “judicial estoppel may not be used to punish litigants for how they treat
other litigants or third parties; its only legitimate purpose is to remedy an affront to the
court’s integrity.” Id. at 785 (footnote omitted).
Our focus is on whether the appellants’ conduct assaulted the District Court’s
authority. “[J]udicial estoppel is generally not appropriate where the defending party did
not convince the District Court to accept its earlier position,” G-I Holdings, Inc. v.
6
Reliance Ins. Co., 586 F.3d 247, 262 (3d Cir. 2009), because “[u]nlike the concept of
equitable estoppel, which focuses on the relationship between the parties, judicial
estoppel focuses on the relationship between the litigant and the judicial system.”
Delgrosso v. Spang & Co., 903 F.2d 234, 241 (3d Cir. 1990). Here, no court accepted
Eckert’s, HMS’s, or Parx’s allegedly inconsistent positions that Eckert was not
representing an entity adverse to POM in litigation. Absent that clear threat to judicial
authority, the District Court lacked “an integral factor justifying the application of
judicial estoppel.” United States v. Pelullo, 399 F.3d 197, 223 (3d Cir. 2005).
POM urges that judicial estoppel may apply even where no court accepted a
litigant’s prior position. See G-I Holdings, 586 F.3d at 262. But that exception was
applied in a bankruptcy case, Krystal Cadillac-Oldsmobile GMC Truck, Inc. v. General
Motors Corp., 337 F.3d 314 (3d Cir. 2003), and is quite limited. There, the Bankruptcy
Court had not accepted representations in the debtor’s disclosure statement, but the Court
cited “the reliance placed upon the [debtor’s] disclosure statement by the creditors and
the court” as justifying the application of judicial estoppel to bar the taking of a later
inconsistent position. Id. at 320–22 (quoting Oneida Motor Freight, Inc. v. United Jersey
Bank, 848 F.2d 414, 417 (3d Cir. 1988)). Nondisclosure there harmed creditors,
“undermining the bankruptcy process by weakening their bargaining position.” G-I
Holdings, 586 F.3d at 262 (discussing Krystal Cadillac, 337 F.3d at 324–25). No such
systemic threat lurks behind the appellants’ positions, so “applying judicial estoppel here
presents a greater threat to judicial integrity.” Id.
7
Moreover, in routine litigation, defendants are permitted flexibility in asserting
positions in early stages of litigation “because a defendant ought to have the opportunity to
put up the best possible defense in light of all the claims against it.” Id.; see also Fed. R.
Civ. P. 8(d)(2) (“A party may set out 2 or more statements of a claim or defense
alternatively or hypothetically . . . .”). Here, there really was no “earlier position” that the
District Court accepted or that was relied on. It was all part and parcel of the same
discovery proceeding, so there was no assault on the court’s authority.
C
Third, the remedy is not sufficiently tailored. Courts should not apply judicial
estoppel unless (1) “no sanction established by the Federal Rules or a pertinent statute is
‘up to the task’ of remedying the damage done by a litigant’s malfeasance,” Klein v. Stahl
GMBH & Co. Maschinefabrik, 185 F.3d 98, 108 (3d Cir. 1999) (quoting Chambers v.
NASCO, Inc., 501 U.S. 32, 50 (1991)), and (2) “the sanction is ‘tailored to address the
harm identified,’” Klein, 185 F.3d at 108 (quoting Republic of the Phil. v. Westinghouse
Elec. Corp., 43 F.3d 65, 73 (3d Cir. 1994)).
The Magistrate Judge concluded that only two alternative sanctions were
available, both of which were “categorically determinative of the outcome on the merits
of th[e] litigation”: (1) entering default judgment against Eckert or (2) judicially
estopping Eckert from denying its representation of a party adverse to POM in
litigation. JA 18 (internal quotation marks omitted). Neither the Magistrate Judge nor
the District Court appear to have contemplated the use of “Rule- or statute-based
sanctions” more proportionate to the misconduct alleged, which alone was error.
8
Montrose, 243 F.3d at 785. The sanction ultimately seized upon by the Magistrate
Judge was fundamentally inappropriate because it goes to the very heart of the
underlying suit—the nature of the relationships between Eckert and POM and Eckert
and Parx. The novel application of judicial estoppel to effectively eviscerate a
non-party’s privilege after the fact was unwarranted when the Magistrate Judge might
simply have ruled on the privilege issue on the merits and used more temperate
sanctions to deter counsel from any future gamesmanship.6
Finally, the District Court did not tailor the remedy because it focused its analysis
on the alleged bad faith of Eckert, discussing minimally any malfeasance by HMS or
Parx. But Parx, as holder of the attorney–client privilege, would suffer the brunt of the
penalty imposed by the July 5 Order. Cf. id. at 786 (concluding remedy was not tailored
where non-party plan participants, not plaintiff hospital and savings plan, were harmed
when district court invoked judicial estoppel to dismiss case). In sum, the District Court
sought to force a square peg into a round hole by selecting judicial estoppel as an
appropriate sanction for appellants. That was an abuse of discretion.
III
On remand, the District Court should consider whether the appellants’ perceived
misconduct merits sanctions and, if so, whether sanctions available under the Federal
6
Parties rely on the privilege as essential to open communications with counsel. To have
it denied after the fact, and with little evidence of the role of Parx, the client, in the
positions Eckert was taking, gives us serious pause.
9
Rules or pertinent statutes are appropriate. Accordingly, we will vacate the District
Court’s July 5 Order and remand for further proceedings consistent with this opinion.
10