Opinion · Court of Appeals for the Second Circuit

In Re Pennie & Edmonds LLP

323 F.3d 86

Type
Opinion
Court
Court of Appeals for the Second Circuit
Jurisdiction
Federal
Date
2003-03-14
Topic
litigation

reasoning that in the absence of a “safe harbor” provision, a sanctions proceeding is more akin to a contempt proceeding and the higher standard of proof should apply | noting that “[t]he Advisory Committee on Civil Rules contemplated that Rule 11 motions would be deemed untimely if filed too late to permit correction or withdrawal” | “Noting that the conduct at issue was not ‘undertaken as part of [the lawyer’s] role in representing her client,’ ... we ruled [in Seltzer ] that in such circumstances a sanction may be justified ‘absent a finding of bad faith ... ’ ” | observing that when courts act sua sponte “to impose [Rule 11] sanctions upon attorneys,” they “must be reviewed with ‘particular stringency,’” and that “a finding of bad faith on the part of the attorney is essential to a finding of contempt” | noting the different standards for sanctions tied to an attorney’s dual roles, with citation to Seltzer and Wilder | listing cases and noting that “[t]he Advisory Committee on Civil Rules contemplated that Rule 11 motions would be deemed untimely if filed too late to permit correction or withdrawal” | discussing standard for imposition of Rule 11 sanctions by the court sua sponte | “At the very least, a party must serve its Rule 11 motion before the court has ruled on the pleading . . . .” | Motions under Fed. R. Civ. P. 11 – upon which Rule 9011 is based – are untimely if filed too late to permit correction | “A sanction proceeding may also be initiated by a court on its own motion by issuance of a show cause order.” | "If the sanction regime [on lawyers] is too severe, lawyers will sometimes be deterred from making legitimate submissions on behalf of clients out of apprehension that their conduct will erroneously be deemed improper." | “[M]otions have been disallowed as untimely when filed after a point in the litigation when the lawyer sought to be sanctioned lacked an opportunity to correct or withdraw the challenged submission.” | “[M]otions have been disallowed as untimely when filed after a point in the litigation when the lawyer sought to be sanctioned lacked an opportunity to correct or withdraw the challenged submission.” | “If the sanction regime [on lawyers] is too severe, lawyers will sometimes be deterred from making legitimate submis- sions on behalf of clients out of apprehension that their conduct will erroneously be deemed improper.” | Where the sanctions are “initiated by the District Court ... long after [the party] had an opportunity to correct or withdraw the challenged submission ... a ‘bad faith’ standard, applicable for contempt proceedings, is especially appropriate and is what the rule-makers contemplated.” | “At the very least, a party must serve its Rule 11 motion before the court has ruled on the pleading, and thus before the conclusion of the case. Otherwise, the purpose of the ‘safe harbor’ provision would be nullified.” | “[T]he ‘safe harbor’ provision functions as a practical time limit, and motions have been disallowed as untimely when filed after a point in the litigation when the lawyer sought to be sanctioned lacked an opportunity to correct or withdraw the challenged submission.” | “[Tjhe ‘safe harbor’ provision functions as a practical time limit, and motions have been disallowed as untimely when filed after a point in the litigation when the lawyer sought to be sanctioned lacked an opportunity to correct or withdraw the challenged submission.” | discussing Rule 11(c)(1)(A) and court-initiated post trial sanctions | dissent contending that objective reasonableness standard applied | dissent contending that objective reasonableness standard applied | employing the objective standard of Fed.R.Civ.P. 11(b) | discussing Rule ll’s safe harbor period | applying a contempt-like, mens rea standard

Citator

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