Title: Butler v. S&S P'ship

State: maryland

Issuer: Maryland Supreme Court

Document:

Hector Butler, Jr. v. S & S Partnership, et al., No. 1, September Term, 2013, Opinion by
Greene, J.
TORTS – LEAD PAINT – SCHEDULING ORDER – SANCTIONS
Absent a showing of an egregious violation or “willful or contemptuous or otherwise
opprobrious behavior,” a court may not exclude fundamental and essential evidence that
effectively dismisses a case for a violation of a scheduling order. 
DISCOVERY – EXPERT DISCLOSURES – SANCTIONS
A trial judge does not have the inherent authority to order discovery sanctions under Md.
Rule 2-433 without a party moving for such an action, either by a motion to compel or a
motion for discovery sanctions.  It is an abuse of discretion for the trial court to, sua sponte,
exclude an expert’s report based on discovery violations, without a party first filing a motion. 
Moreover, a sanction excluding evidence necessary to support a claim should be imposed
only for egregious violations of the discovery rules. 
MD CONSUMER PROTECTION ACT – LEAD PAINT – SUFFICIENCY OF THE
EVIDENCE
To prove a violation of the Maryland Consumer Protection Act (“CPA”), a plaintiff must
show that “the landlord made material misstatements or omissions, which either had a
tendency to or, in fact, did, mislead the tenant.”  Benik v. Hatcher, 358 Md. 507, 530-32, 750
A.2d 10, 23-24 (2000).  Failure to comply with a provision of the Baltimore City Housing
Code, which calls for removal of any peeling or flaking paint, may constitute a violation of
the CPA.  In the lead paint context, there must be loose or peeling paint at the inception of
a lease for the hazard to qualify as a CPA cause of action based on a violation of the Housing
Code.  A landlord’s active concealment or failure to disclose loose, peeling, or flaking paint
at the inception of the lease may constitute a violation of the CPA.
    IN THE COURT OF APPEALS
OF MARYLAND
No. 1
September Term, 2013
    HECTOR BUTLER, JR.
v.
     S & S PARTNERSHIP, et. al.
 
Barbera, C.J.
Harrell
Battaglia
Greene
Adkins 
McDonald
McAuliffe, John F. (Retired, Specially
Assigned),
JJ.
Opinion by Greene, J.
  Harrell, J., Concurs
Filed: November 26, 2013
This is a lead paint case involving two properties and multiple defendants, including
both current and previous property owners and managers.  The parties present issues
regarding the interpretation of a Lead Paint Scheduling Order  (“scheduling order”) filed in
1
the Circuit Court for Baltimore City, the court’s role in imposing sanctions for discovery
violations, and the proof required to establish a prima facie case for violation of the
Baltimore City Housing Code under Maryland’s Consumer Protection Act (“CPA”),
Maryland Code (1975, 2005 Repl. Vol.), § 13-301 of the Commercial Law Article. 
PROCEDURAL HISTORY
Petitioner Hector Butler, Jr., filed the instant Complaint on October 9, 2007, alleging
negligence and violations of the CPA, for injuries resulting from exposure to lead-based paint
during his residence at two properties in Baltimore City, 2238 Linden Avenue and 2308
Bryant Avenue, while Petitioner was an infant.  The defendants are: S & S General
Partnership (“S & S G.P.”), Lee Shpritz (“Shpritz”), Barbara Benjamin (“Benjamin”),  S &
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S Partnership (“S & S”), Stanley and Rhoda Rochkind (the “Rochkinds”), N.B.S., Inc.
(“N.B.S.”),  Dear Management & Construction Co., Inc. (“Dear Management”), and Charles
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Runkles (“Runkles”).  The Court of Special Appeals set forth the facts as to Petitioner’s
  A standard “Lead Paint Scheduling Order” comparable to the one used in this case
1
is filed in all lead paint cases pending in the Circuit Court for Baltimore City.
 Benjamin is not a party to this appeal as she was dismissed during the pendency of
2
the appeal in the intermediate appellate court.   
  The Court of Special Appeals addressed issues relating to whether N.B.S. was
3
considered an “owner,” and, holding that N.B.S. does not fall under the housing code
definition of “owner,” affirmed the trial court’s dismissal of N.B.S.  That issue is not before
this Court.  Nevertheless, N.B.S. filed Briefs with this Court.  
residence at the subject properties and the Respondents’ respective interests in those
properties as follows:
[Petitioner] was born on October 11, 1986.  From approximately August 7,
1987 through May of 1988, appellant resided with [his mother Yvonne]
Crosby in a third-floor apartment at [2238] Linden Avenue.  During the first
twelve days of Crosby and [Petitioner]’s tenancy, S & S G.P. owned the
Linden Avenue property.  Shpritz was a general partner in S & S G.P.  On or
about September 18, 1987, S & S G.P. sold the Linden Avenue property to Benjamin.
From approximately May of 1988 to August of 1991, [Petitioner] lived with
Crosby in a second-floor apartment at [2308] Bryant Avenue.  S & S owned
the Bryant Avenue property from 1978 through 2008.  The Rochkinds were
partners in S & S.  N.B.S., an entity related to S & S, did not own the Bryant
Avenue property but, at some point, obtained a two million dollar loan secured
by an indemnity deed of trust on the property.
Butler v. S & S P’ship, 207 Md. App. 60, 65, 51 A.3d 708, 710-11 (2012).  On April 21,
2009, the Circuit Court issued its final scheduling order, applicable at the time of the motions
at issue on this appeal.  The Order provided in relevant part: 
2. (a) All discovery including full resolution of all discovery disputes shall be
completed no later than 09/09/09.  Expert designations shall include all
information specified in Rule 2-402(f)(1)(A) and (B).[4]
. . . .
(c) Defendants who still own a subject property shall allow the Plaintiffs to
perform a non-destructive lead test upon the premises within 60 days of a
written request provided that the request in [sic] made no later than four
months prior to the discovery deadline in paragraph 2(a).  The defendants shall
be permitted to attend the lead test accompanied by a consultant(s) or
expert(s).
 This Rule was recodified in 2008, such that the “Trial Preparation–Experts” section
4
is now designated as Md. Rule 2-402(g)(1)(A) and (B) instead of 2-402(f)(1)(A) and (B). 
For clarity, hereinafter we shall refer to this section as Md. Rule 2-402(g)(1)(A) and (B).
2
After the close of discovery, Respondents filed a plethora of dispositive and evidentiary
motions.   The trial court ultimately granted all of Respondents’ motions, and Petitioner
5
appealed to the Court of Special Appeals, which affirmed the Circuit Court’s judgment. 
Butler, 207 Md. App. at 64-65, 51 A.3d at 710.  Thereafter, Petitioner filed a petition for
certiorari to this Court, which we granted on December 14, 2012.  Butler v. S & S P’ship, 429
Md. 528, 56 A.3d 1241 (2012).  
The issues before this Court relate to the exclusion of a lead test report prepared by
Arc Environmental, Inc. (the “Arc Report”), the exclusion of testimony by Petitioner’s
medical expert, Dr. Klein (“Dr. Klein’s Affidavit”), and the grant of summary judgment as
to Petitioner’s CPA cause of action.  For clarity, we shall separate and address the facts as
they relate to each issue below.  We have also rephrased the underlying questions posed by
the parties as follows:6
 In its opinion, the Court of Special Appeals included a detailed chart depicting the
5
disposition of each motion.  See Butler, 207 Md. at 70-73, 51 A.3d at 713-15.  We will
discuss only the motions relevant to the issues before us.
 The petition for certiorari raised the following questions: (1) In a lead paint case,
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where the plain language of the scheduling order provided that “Defendants who still own
a subject property” shall be permitted to attend the lead test of that property, did CSA err in
ruling that the Plaintiff was required to have notified the Defendants and to have permitted
attendance at a lead test conducted at a property which was not still owned by a defendant?
(2) Did the motions court err in imposing discovery sanctions on Plaintiff when no discovery
motion was ever made by the Defendant, no objection was ever made regarding the discovery
violations, and the court itself raised the discovery issues for the first time sua sponte in open
court at a hearing on an unrelated motion with no advance notice to the Plaintiff that a
sanctions motion was being considered by the court? (3) In a lead paint case located in
Baltimore City, where the cause of action is based on MD’s Consumer Protection Act, must
(continued...)
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1. In this lead paint case, did the scheduling order require that these Defendants, who
were not owners of the properties at the time Plaintiff conducted the lead tests at the
properties, be given notice and an opportunity to attend the testing?
2. Did the trial court err in imposing discovery sanctions on Plaintiff when no
discovery motion was made by Defendant, no objection was ever made regarding the
discovery violations, and the court itself raised the discovery issues sua sponte?
3. In a lead paint case located in Baltimore City, where the cause of action is based
on Maryland’s Consumer Protection Act, must Plaintiff prove the existence of
chipping, peeling and/or flaking paint at the inception of a lease to establish a prima
facie case for a violation of the CPA?
We shall hold that the Court of Special Appeals erred in holding that the trial judge 
did not abuse her discretion in excluding the Arc Report and Dr. Klein’s Affidavit, but was
correct in affirming the Circuit Court’s grant of summary judgment as to Petitioner’s cause
of action under the CPA.
DISCUSSION
I. Arc Report
A. Facts
Arc Environmental, Inc. (“Arc”) is an environmental testing firm, apparently
employed frequently by lead paint plaintiffs’ attorneys in Baltimore City.  On August 24,
2009, 16 days prior to the close of discovery, Arc conducted lead testing of the exterior of
(...continued)
a Plaintiff prove the existence of chipping, peeling and/or flaking paint at the inception of
a lease, or is proof of any violation of the Baltimore City Housing Code which is present at
lease inception and ultimately proximately causes an injury sufficient for a prima facie case
for violation of the misrepresentation provisions of the CPA? (4) Did the trial court correctly
grant summary judgment for Defendant because it was “unimpressed” with Plaintiff’s
evidence or did it thereby make an impermissible credibility determination?
4
both 2238 Linden Avenue and 2308 Bryant Avenue.  On the date of testing, 2238 Linden
Avenue was owned by then-Defendant Benjamin.  Also on the date of testing, 2308 Bryant
Avenue was owned by S & S Business Trust, which was at no time a defendant in this case,
and was managed by Respondent Runkles.  Prior to and at the time of testing, Petitioner
provided no notice of the testing to any party and no defendant was present during the test.
On October 8, 2009, Respondent Runkles, joined by Respondents Rochkinds, S & S,
and N.B.S., filed a Motion to Strike the Arc Report relating to 2308 Bryant Avenue, asserting
that Petitioner “did not submit any written request to the owner or the manager of the
property prior to having Arc Environmental conduct the lead paint survey,” and had “failed
in all respects to comply with the requirements of the [s]cheduling [o]rder.  Because
Petitioner had neither provided notice nor afforded any of the other parties the opportunity
to attend the test, Respondents argued, Petitioner did not comply with section 2(c) of the
scheduling order and the Arc Report must be excluded.  Petitioner responded that he had not
violated the scheduling order because section 2(c) only applies to “the rules for filing
Motions to Enter Upon Land to defendants who still hold title to a subject property,” and in
any event, Petitioner had filed a Request for Entry Upon Land along with the Complaint.   
7
Benjamin also objected to the Arc Report as it related to 2238 Linden Avenue.  She
 The record shows that Petitioner filed with the Complaint in 2007 a Request for
7
Entry Upon Land.  In his Brief to this Court, however, Petitioner concedes that, as to the
testing that occurred on August 24, 2009, “it is undisputed that . . . Petitioner did not provide
Respondents with notice that the testing was to occur.”
5
asserted in her Motion for Summary Judgment that, as owner of the property, she was entitled
to notice and the opportunity to have her own expert attend the test on her behalf.  Because
the test was completed without such notice or opportunity to attend, in contravention of the
scheduling order, she argued, the Arc Report resulting from that inspection could not be used
as evidence against her in the case.  In response, Petitioner contended that Benjamin had
received a Request for Entry Upon Land with the Complaint, but that Benjamin had ignored
the request.  Furthermore, Petitioner argued, the lead test was completed within the discovery
deadline.  Benjamin responded that “at no time whatsoever did [Petitioner’s counsel] ever
contact [Benjamin or Benjamin’s counsel] to request property testing, arrange for property
testing, or file a certificate of good faith effort to resolve a discovery dispute.”  
The trial judge heard arguments on these motions at the hearing on November 9, 2009. 
According to the judge, she excluded the Arc Report because it was disclosed “too late to do
anybody any good, reflecting no good faith compliance with the scheduling order; no notice
to the defendants to attend, participate, and afford their experts any realistic opportunity to
address and respond to the Arc reports.”  The Court of Special Appeals affirmed, agreeing
with the Circuit Court that the scheduling order was “clear enough” and holding that “[t]he
court was within its discretion to fashion an appropriate remedy for [Petitioner’s] violation.” 
207 Md. App. at 116, 51 A.3d at 740. 
B. Analysis
The first issue raises the question: who may attend a lead paint test?  Specifically, we
6
are called to decide whether the trial judge abused her discretion when she excluded the Arc
Report based on her conclusion that Petitioner violated the scheduling order by failing to
notify and allow all defendants the opportunity to attend the lead test of the subject
properties.  Our inquiry is twofold: first, whether the trial judge properly interpreted the
scheduling order, and second, whether the trial judge abused her discretion by excluding the
Arc Report.  We shall hold that the scheduling order requires that notice and an opportunity
to attend a lead test be given only to defendants who own the property at the time of testing,
and that the exclusion of the Arc Report under the circumstances was an abuse of the trial
judge’s discretion. 
1. Interpretation of the Scheduling Order
We review the trial court’s interpretation of the scheduling order for legal correctness. 
See Walter v. Gunter, 367 Md. 386, 392, 788 A.2d 609, 612 (2002) (“[W]here the order
involves an interpretation and application of Maryland statutory and case law, [the appellate]
[c]ourt must determine whether the lower court’s conclusions are legally correct . . . .”
(citation and quotation omitted)).  The rules of construction for Maryland’s Rules of
Procedure are well settled.  “To interpret rules of procedure, we use the same canons and
principles of construction used to interpret statutes.”  State v. Williams, 392 Md. 194, 206,
896 A.2d 973, 980 (2006) (quoting State ex rel. Lennon v. Strazzella, 331 Md. 270, 274, 627
A.2d 1055, 1057 (1993)).  We look first to the plain language of the rule.  See Williams, 392
Md. at 207, 896 A.2d at 980 (quoting Strazzella, 331 Md. at 274, 627 A.2d at 1057) (“When
7
the words are clear and unambiguous, ordinarily we need not go any further.”). 
Section 2(c) of the scheduling order provides: 
(c) Defendants who still own a subject property shall allow the Plaintiffs to
perform a non-destructive lead test upon the premises within 60 days of a
written request provided that the request in [sic] made no later than four
months prior to the discovery deadline in paragraph 2(a).  The defendants
shall be permitted to attend the lead test accompanied by a consultant(s) or
expert(s). 
This provision is divisible into two parts: Sentence 1 (“Defendants who still own a subject
property shall allow . . . .”) and Sentence 2 (“The defendants shall be permitted to attend . .
. .”).  The trial court found that the scheduling order was “clear enough” that Petitioner was
required to give notice to all defendants (now Respondents) and provide them with the
opportunity to attend the lead test.  The Court of Special Appeals agreed.
Petitioner argues that the scheduling order is “plain and unambiguous” in that only
defendants who own the subject property are entitled to notice of the lead test of the property,
because the reference to “the defendants” in Sentence 2 refers back to the “Defendants who
still own the subject property.”  Respondents, on the other hand, argue that notice and
opportunity to attend must be given to all defendants, because unlike Sentence 1, Sentence
2 does not qualify “defendants” as only those who own the property, and therefore Sentence
2 must refer to all defendants generally.  Moreover, Respondents contend that the plain
language of the scheduling order does not indicate any intention to limit “defendants” to a
single defendant with current ownership, and “if that had been the case, such an intention
could easily have been conferred by using the term ‘owner’ instead of ‘defendants.’”
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Given that reasonable minds may differ as to the meaning of “the defendants” as used
in Sentence 2, we disagree that the language is unambiguous, and therefore we look beyond
the plain meaning to guide our review.  See Williams, 392 Md. at 207, 896 A.2d at 980
(“Only when the language of the rule is ambiguous is it necessary that we look elsewhere to
ascertain legislative intent . . . .”).  As we are interpreting a trial court’s scheduling order that
has no recorded legislative history, we shall look to the context of section 2(c) within the
discovery rules.
Section 2(c) relates to the inspection and testing of a property for the presence of lead
paint.  Md. Rule 2-422(a) governs such testing, and provides in pertinent part, that “[a]ny
party may serve one or more requests to any other party . . . (2) to permit entry upon
designated land or other property in the possession or control of the party upon whom the
request is served for the purpose of inspection, measuring, surveying, photographing, testing,
or sampling the property . . . .”  Rule 2-422(c) further provides that the responding party may
either permit or refuse the request to enter property.  If there is a refusal, the requesting party
may file with the court a motion to compel discovery pursuant to Md. Rule 2-432(b).
As this Court has noted, scheduling orders are “important tools to minimize discovery
disputes and litigation delays.”  Rodriguez v. Clarke, 400 Md. 39, 59, 926 A.2d 736, 748
(2007).  Section 2(c) of the scheduling order is clearly intended to streamline the discovery
process outlined in Rule 2-422.  Namely, by requiring the defendant property owner to allow
the inspection upon receipt of a request, this provision “minimize[s] discovery disputes and
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litigation delays” by preventing the defendant property owner from refusing the request for
inspection and forcing the plaintiff to file a motion to compel, which the court would
eventually grant.
In this same vein, Petitioner and Amicus contend that the scheduling order was
“intended to govern the timing of inspections of properties still owned by defendants in a
lead paint case.”  They argue that the provision only applies to “still owning” defendants
because non-owner defendants “ha[ve] no power to arrange and allow inspections of
properties they no longer own[].”  Amicus further contend that the trial court’s interpretation
creates a new “unilateral, substantive legal right” of defendants to be present at inspections
of properties they no longer own.  On the other hand, Respondents S & S G.P. and Shpritz
argue that “there is no logical basis for construing the [s]cheduling [o]rder as being intended
to subject two defendants to different procedures with regard to the collection of evidence
intended to be introduced to support identical claims against each defendant relating to the
same property.”  Respondents S & S and N.B.S. also contend that “[a]llowing defendants to
bring independent experts implies that the purpose is for the validation of evidence gathering,
and therefore, it is applicable to all defendants, not just those who still own the property.”
It is important to note that a scheduling order “impacts on the discovery process but
does not directly expand or restrict the scope of it.”  Dorsey v. Nold, 362 Md. 241, 255, 765
A.2d 79, 87 (2001) (explaining that the purpose of scheduling orders is simply to facilitate
discovery, and “move the case efficiently through the litigation process by setting specific
10
dates or time limits for anticipated litigation events to occur”).  As such, a scheduling order
cannot give rights to defendants who do not own or control the properties in question.  In
addition, as to Respondent S & S’s assertion that the purpose of the provision is for
validation of evidence gathering, this argument lacks merit as there are adequate procedural
safeguards for defendants to test the validity of evidence, most notably through cross-
examination.  Therefore, we hold that the scheduling order, as written in the present case,
applied to tests of properties still owned by a named defendant, and that only the defendant
with ownership of the property has a right to attend the testing, consistent with the terms of
the scheduling order.8
In the instant case, at the time of Petitioner’s lead testing, 2238 Linden Avenue was
owned by Defendant Benjamin.  At the time of testing, 2308 Bryant Avenue was not owned
by a named defendant.  Because the scheduling order specifies “defendants who still own a
subject property,” we conclude that this provision only applied to the test of 2238 Linden
Avenue, owned at the time of testing by Defendant Benjamin.  The record reveals, however,
that Benjamin is no longer a party to this case.  It is undisputed that Respondents did not own
either property when Petitioner’s expert performed testing.  Thus, Respondents have no basis
  This conclusion is consistent with real property law with respect to a property
8
owner’s “bundle of rights.”  See Weems v. County Comm’rs of Calvert County, 397 Md. 606,
619, 919 A.2d 77, 85 (2007) (noting that “amongst a property owner’s ‘bundle of rights’ is
the right to exclude others”).  Moreover, as noted at oral argument in this case, based on the
right to exclude, a defendant property owner could also, at his or her will, invite other
defendants or anyone else onto the property during lead testing, which also would not be
inconsistent with the terms of the scheduling order.
11
to complain about any violation of the scheduling order as to Benjamin, who is no longer a
party to the case.  We next consider whether the trial judge abused her discretion when she
excluded the Arc Report based upon a perceived scheduling order violation by Petitioner as
it related to Benjamin and the remaining Respondents.
2. Exclusion of the Arc Report
“Just as there are sanctions for the violation of the discovery rules, sanctions are
available for the violation of directives in scheduling orders, although they are not specified
in any rule.”  Dorsey, 362 Md. at 256, 765 A.2d at 87 (citing Manzano v. Southern Md.
Hospital, 347 Md. 17, 29, 698 A.2d 531, 536 (1997)).  As to the type or severity of sanctions
applicable to a scheduling order violation, this Court has pointed to
the governing principle that the appropriate sanction for a discovery or
scheduling order violation is largely discretionary with the trial court, and that
the more draconian sanctions, of dismissing a claim or precluding the evidence
necessary to support a claim, are normally reserved for persistent and
deliberate violations that actually cause some prejudice, either to a party or to
the court.  
Admiral Mortgage, Inc. v. Cooper, 357 Md. 533, 545, 745 A.2d 1026, 1032 (2000).  We
therefore review the trial court’s exclusion of the Arc Report under an abuse of discretion
standard.
Although the abuse of discretion standard is highly deferential, a trial judge’s
discretion is not boundless.  See Nelson v. State, 315 Md. 62, 70, 553 A.2d 667, 671 (1989)
(“A trial judge is blessed with discretion in the exercise of many of his [or her] functions. 
12
The discretion is broad but it is not boundless.”).  This Court has explained that, in deciding
whether to exclude evidence, a court should consider several factors, commonly referred to
as the Taliaferro factors:
Principal among the relevant factors which recur in the opinions are whether
the disclosure violation was technical or substantial, the timing of the ultimate
disclosure, the reason, if any, for the violation, the degree of prejudice to the
parties respectively offering and opposing the evidence, whether any resulting
prejudice might be cured by a postponement and, if so, the overall desirability
of a continuance.  Frequently these factors overlap.  They do not lend
themselves to a compartmental analysis.
Taliaferro v. State, 295 Md. 376, 390-91, 456 A.2d 29, 37 (1983).  In addition, the Court of
Special Appeals has explained that a court must consider the parties’ good faith compliance
with the scheduling order.  See Naughton v. Bankier, 114 Md. App. 641, 653, 691 A.2d 712,
718 (1997) (“Indeed, while absolute compliance with scheduling orders is not always feasible
from a practical standpoint, we think it quite reasonable for Maryland courts to demand at
least substantial compliance, or at the barest minimum, a good faith and earnest effort toward
compliance.”) (emphasis in original).
In the instant case, the trial court granted Respondents’ Motion to Exclude the Arc
Report after finding that Petitioner failed to comply with the scheduling order by not
allowing defendants the opportunity to attend the lead test.  The trial court explained that its
ruling was based on the finding that the Report was disclosed “too late to do anybody any
good, reflecting no good faith compliance with the scheduling order; no notice to the
defendants to attend, participate, and afford their experts any realistic opportunity to address
13
and respond to the Arc reports.”  The Court of Special Appeals affirmed, stating that “[t]he
court was within its discretion to fashion an appropriate remedy for [Petitioner]’s violation[,]
[and] [t]he remedy, i.e., excluding the reports, was not excessive . . . .”  207 Md. App. at 116,
51 A.3d at 740.
Petitioner argues that the exclusion of the report was an abuse of discretion because
Petitioner provided the Arc Report within the discovery deadline, and Respondents could
have conducted their own tests had they so desired.  Moreover, Petitioner contends, the trial
court should have fashioned a remedy short of the “ultimate sanction” of dismissal, such as
extending discovery so that Respondents could conduct a belated test.  On the other hand,
Respondents S & S and N.B.S. argue that exclusion of the Arc Report was appropriate for
“Petitioner’s strategic attempt to subvert the [s]cheduling [o]rder.”  Additionally,
Respondents Rochkinds assert that the trial court did consider all of the Taliaferro factors
before excluding the Arc Report when it found that the failure to comply with the scheduling
order was a “substantial violation.”  Respondents S & S G.P. and Shpritz also note that the
trial court made an “express finding that Petitioner had failed to act in good faith,” and that
Respondents were prejudiced by the late production of the report, which “frustrated any
opportunity for the Respondents to obtain independent testing to confirm or rebut the
findings.”
Based on our holding that the trial court erred in its interpretation of the scheduling
order, we conclude that the trial judge abused her discretion in excluding the Arc Report,
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where that decision was based essentially on the judge’s finding that Petitioner failed to
comply with the scheduling order.  Moreover, considering the Taliaferro factors, the Arc
Report was disclosed within the time limits for discovery and the failure to provide notice
was a technical, rather than substantial, failure.  Lastly, there is not a high degree of prejudice
where the Arc Report was promptly disclosed, and, although perhaps not ideal where the case
had already been pending for approximately two years, any potential prejudice could have
been cured by a postponement or other less drastic sanction.
In addition, this Court is cognizant of the fact that a lead test constitutes a crucial
piece of evidence in a lead paint case, capable of making or breaking the plaintiff’s case.  As
the parties and the Court noted at oral argument, a lead paint test of the subject property is
typically the “most fundamental piece of evidence in a lead paint case.”  In this case, the
exclusion of the Arc Report played an important part in the trial court’s decision to grant
summary judgment.  Similarly, in Maddox v. Stone, 174 Md. App. 489, 921 A.2d 912 (2007),
the trial court excluded key expert testimony, where the expert’s report was disclosed 34 days
after the close of discovery in violation of the scheduling order, which led to a grant of
summary judgment.  The Court of Special Appeals stated that:
[T]he imposition of a sanction that precludes a material witness from
testifying, and, consequently, effectively dismisses a potentially meritorious
claim without a trial, should be reserved for egregious violations of the court’s
scheduling order, and should be supported by evidence of willful or
contemptuous or otherwise opprobrious behavior on the part of the party or
counsel.  
174 Md. App. at 507, 921 A.2d at 922 (holding that the trial court abused its discretion by
15
excluding the expert testimony); cf. Taliaferro, 295 Md. at 391, 456 A.2d at 37-38
(upholding the exclusion of a criminal defendant’s alibi witness disclosed only at the close
of the State’s case at trial, noting that “[i]n the case at hand the rule violation was a gross
one.  There was no attempt at compliance. . . . [n]or did [defendant] present any excuse
justifying the violation”).
This Court has also addressed the issue of case-ending sanctions.  In Manzano, we
stated that dismissing a claim “is among the gravest of sanctions, and as such, is warranted
only in cases of egregious misconduct . . . .”  347 Md. at 29, 698 A.2d at 537 (citations
omitted) (holding that the arbitration panel chair abused its discretion in dismissing the case
for violation of a scheduling order where there was “no evidence of willful or contumacious
behavior”); see also Admiral Mortgage, 357 Md. at 545, 745 A.2d at 1032 (affirming the trial
court’s denial of a motion to exclude, and stating that “the more draconian sanctions, of
dismissing a claim or precluding the evidence necessary to support a claim, are normally
reserved for persistent and deliberate violations that actually cause some prejudice, either to
a party or to the court”); Taliaferro, 295 Md. at 395, 456 A.2d at 40 (“[T]he exclusion
sanction should be one of last resort, to be invoked only in those cases where other less
stringent sanctions are not applicable to effect the ends of justice.” (citation and quotation
omitted)).  Accordingly, absent a showing of an egregious violation or “willful or
contemptuous or otherwise opprobrious behavior,” a court should not exclude fundamental
and essential evidence that effectively dismisses a case for a violation of a scheduling order.
16
In this case, particularly where Petitioner disclosed the report before the discovery
deadline, albeit shortly before, there is no “egregious violation” or “opprobrious behavior”
that would warrant the “draconian sanction” of “precluding the evidence necessary to support
[Petitioner’s] claim.”  Admiral Mortgage, 357 Md. at 545, 745 A.2d at 1032. 
Notwithstanding the trial judge’s finding of “no good faith compliance with the scheduling
order,” we hold that the trial court abused its discretion in excluding the Arc Report, a
sanction that “effectively dismisse[d] a potentially meritorious claim,” Maddox, 174 Md.
App. at 507, 921 A.2d at 922, where the scheduling order was ambiguous and the Report was
disclosed before the close of discovery, causing no real prejudice to the Respondents or the
court.
II. Affidavit of Dr. Klein
A. Facts
During discovery, Petitioner identified 18 experts whom he intended to call at trial,
including Dr. Klein.  In Petitioner’s Answers to Interrogatories dated April 28, 2009,
Petitioner set forth a generic description of each expert.  As to Dr. Klein, Petitioner disclosed
that Dr. Klein was an “expert in pediatric lead poisoning” and was expected to testify to the
extent and permanency of Petitioner’s injuries due to exposure to lead paint.  Petitioner also
provided that Dr. Klein would testify to the probable source of the lead exposure and that
exposure to lead-based paint at all of the Respondents’ subject premises, as stated in
Petitioner’s complaint, was a substantial factor in Petitioner’s injuries.  On July 2, 2009,
17
Petitioner sent a letter to Respondents supplementing his Answers to Interrogatories, and,
specifically, reiterating and expounding upon Dr. Klein’s expected opinion as follows: 
Specifically, Dr. Klein will opine that the [Petitioner] was exposed to lead at
all of the relevant addresses in this case, including the property owned and/or
managed by [Respondents].  He is also expected to opine that the exposure
took place during relevant time period(s) as alleged in the Complaint.  He also
is expected to opine that the [Petitioner’s] lead poisoning and resulting
learning disabilities, cognitive deficits, and other issues set forth in the
psychologist's report, as well as other injuries (including but not limited to
permanent brain damage, neurobehavioral deficits, math and reading
disabilities, mental anguish, failure to achieve academically, emotional overlay
and frustration) were caused by [Petitioner’s] exposure to lead at the
[Respondents’] properties.  He is also expected to opine that [Petitioner]
suffered a loss of IQ points as a result of exposure to lead.  He is also expected
to opine that all of [Petitioner’s] injuries are permanent and irreversible.  He
is also expected to testify that [Petitioner’s] exposure to lead at the subject
addresses, as alleged in the complaint was a substantial contributing factor to
[Petitioner’s] injuries.  He will also testify as to the [Petitioner’s] educational
and vocational abilities, or lack thereof.
. . . .
All of Dr. Klein’s opinions will be made to a reasonable degree of medical probability.
[Petitioner] reserve[s] the right to supplement this answer should Dr. Klein
develop any additional opinions during the course of this litigation.
If Dr. Klein produces a report, it will be provided.  Dr. Klein will be made
available for deposition at a mutually convenient time.
Pursuant to the scheduling order, the parties were required to “respond to all
interrogatory requests concerning the findings and opinions of experts,” as required under
Md. Rule 2-402(g)(1)(A), by August 10, 2009.  On October 9, 2009, Respondents S & S and
N.B.S. filed a Motion to Exclude Testimony of Dr. Klein on the grounds that he did not
conduct a physical examination of Petitioner, that there was no evidence of the existence of
18
lead-based paint at the property, and that his opinion was based on capillector tests,  which
9
Respondents argued are medically unreliable.  Respondents argued that Dr. Klein had no
reliable factual basis to assert that Petitioner had an elevated blood lead level while residing
at 2308 Bryant Avenue, and that therefore, Dr. Klein lacked an adequate basis for his opinion
and should be precluded from testifying.  On October 27, 2009, Petitioner filed his Response
to Respondents’ Motion to Exclude Dr. Klein’s Testimony, and attached Dr. Klein’s affidavit
to that Response.  This was the first instance that Respondents received Dr. Klein’s affidavit. 
The affidavit, in particular, elaborated on the causation of Petitioner’s condition. 
Respondents thereafter filed replies to Petitioner’s Response regarding Dr. Klein’s affidavit,
and Petitioner moved to strike the replies as untimely.
At the motions hearing on November 9, 2009, the trial judge excluded Dr. Klein’s
report based on Petitioner’s failure to adhere to Md. Rule 2-402, because Dr. Klein’s
affidavit, which supplemented the “boilerplate” answers to interrogatories, was untimely. 
The trial judge reasoned that the interrogatory and letter responses were generic, and that the
“belated opinions from experts . . . have absolutely and decisively changed the legal
landscape of this case.”  She further opined that she “agree[s] that it would have been the
better practice for [Respondents] to file motions for sanctions or to exclude experts or to
 Capillector tests, also referred to as capillary tests, are medical diagnostic tests of
9
blood samples taken from a finger prick, as distinguished from venipuncture tests, which
test blood samples taken directly from the vein.  Respondents asserted in their motion that
the medical community considers venipuncture tests to have a greater degree of reliability 
than capillector tests. 
19
compel further expert disclosures prior to the scheduled close of discovery . . . [b]ut the issue
did not fully reveal itself until Dr. Klein disclosed the nature and manner [of his opinion].”
The Court of Special Appeals affirmed, concluding that the Circuit Court did not err
in excluding the report, even though the court raised the issue sua sponte, because not only
does the “court ha[ve] the right to enforce its own orders . . . [and] may raise compliance
issues sua sponte” but also where Petitioner moved to strike the Respondents’ replies, “the
court was entitled to raise the issue of [Petitioner’s] compliance with the scheduling order
because of [Respondents’] assertion that the reason for their replies was the late information
supplied by [Petitioner].”  207 Md. App. at 120-21, 51 A.3d at 743.
B. Analysis
The issue before this Court is whether the Court of Special Appeals erred in affirming
the exclusion of Dr. Klein’s affidavit when Respondents failed to file a motion to compel or
a motion for discovery sanctions, and when the trial judge sua sponte raised the discovery
violation for the first time at the November 9, 2009 motions hearing.  We disagree with the
Court of Special Appeals and shall hold that the trial court’s exclusion of Dr. Klein’s
affidavit was reversible error.
The trial judge based her decision to exclude Dr. Klein’s report on the fact that
Petitioner did not comply with Md. Rule 2-402(g)(1)(A).  That rule states:
(A) Generally.  A party by interrogatories may require any other party to
identify each person, other than a party, whom the other party expects to call
as an expert witness at trial; to state the subject matter on which the expert is
expected to testify; to state the substance of the findings and the opinions to
20
which the expert is expected to testify and a summary of the grounds for each
opinion; and to produce any written report made by the expert concerning
those findings and opinions.  A party also may take the deposition of the
expert.
Because the trial judge excluded Dr. Klein’s affidavit on discovery grounds and because
Respondents did not file any discovery motions, the relevant inquiry is the appropriate
procedure to bring a discovery dispute before the trial court.
The intermediate appellate court has explained that “Maryland Rules 2-432 and 2-433
are interconnected; Rule 2-432 sets forth the available motions, and Rule 2-433 provides the
applicable sanctions.”  Hossainkhail v. Gebrehiwot, 143 Md. App. 716, 730, 795 A.2d 816,
824 (2002).  Under Md. Rule 2-432(a), “[a] discovering party may move for sanctions under
Rule 2-433(a) without first obtaining an order compelling discovery” for certain complete
failures to comply with discovery.  Rule 2-432(b), on the other hand, calls for first moving
for an order to compel discovery, if, among other situations, “(F) a party fails to supplement
a response under [the general provisions governing discovery, which includes answers to
interrogatories.]”  The authors of the Maryland Rules Commentary explain:
When a party fails to provide discovery altogether, the party seeking discovery
has two choices: to file a motion for immediate sanctions under section (a) of
[Rule 2-432] or, in the alternative, to file a motion for a court order that
compels the discovery under section (b) [of Rule 2-432].  The immediate
sanctions available are those contained in section (a) of Rule 2-433. . . . With
respect to any other failure of discovery, such as an incomplete or inadequate
answer or a contested objection properly raised, the party may only file a
motion to compel discovery under section (b).  An order compelling the
discovery must be obtained prior to the impositions of certain sanctions . . . .
Paul V. Niemeyer and Linda M. Shuett, Maryland Rules Commentary 341 (3d ed. 2003)
21
(emphasis added) [hereinafter Md. Rules Commentary]; see also Hossainkhail, 143 Md. App.
at 732, 795 A.2d at 825 (“[I]f there has been incomplete discovery, a party may seek an order
compelling discovery under Rule 2-432(b).  When a motion to compel discovery is granted
and then violated, a court may award sanctions pursuant to Rule 2-433(b) ‘upon motion of
a party.’”).
The last sentence from the above excerpt is critical here.  A trial court may not, sua
sponte, exclude an expert’s report based on discovery violations found under Md. Rule 2-
432, without a party first moving for an order to compel or filing a motion for discovery
sanctions.   When a discovery violation under that Rule has occurred, the issue must be
10
before the trial judge before he or she may rule on it.  “A court may award sanctions for
failure of discovery, therefore, only when there is a discovering and moving party.” 
Hossainkhail, 143 Md. App. at 730, 795 A.2d at 824; see Fisher v. McCrary Crescent City,
LLC, 186 Md. App. 86, 123, 972 A.2d 954, 976 (2009) (“After receiving a motion for
sanctions produced by either method . . . the court may enter such orders ‘as are just[.]’”). 
  In Broadwater v. Arch, 267 Md. 329, 297 A.2d 671 (1972), this Court held that (1)
10
summary judgment was an improper sanction for a failure to comply with the discovery rules;
and (2) within the course of a summary judgment hearing, the trial judge has the discretion
to “impos[e] sanctions sua sponte within the framework of the discovery rules.”  Broadwater,
267 Md. at 335-36, 297 A.2d at 674.  The second holding is consistent with this opinion, so
long as the issue of violation of discovery is properly before the court.  Indeed, Maryland
case law supports the notion that a trial judge has the discretion to impose the discovery
sanctions he or she deems appropriate, Rodriguez v. Clarke, 400 Md. 39, 56, 926 A.2d 736,
746 (2007), but a party must raise the discovery violation by motion to compel or motion for
discovery sanctions before that may occur. 
22
Other jurisdictions have come to the same conclusion.  See Triffin v. Janssen, 455 Pa. Super.
513, 688 A.2d 1212 (Pa. Super. Ct. 1997) (holding that a sua sponte order by the trial judge
was improper when a motion for exclusion under the appropriate discovery rule had not been
filed); Zep Mfg. Co. v. Anthony, 752 S.W.2d 687 (Tex. App. 1988) (“We have found no
authority for the proposition that a trial court may impose sanctions sua sponte[]” when
“[t]here were no motions before the court seeking any type of sanctions.”); Sheppard v.
Johnson, 255 Ga. App. 165, 165, 564 S.E.2d 729, 730 (Ga. Ct. App. 2002) (“Before a
complaint may be dismissed as a sanction for discovery abuse under [the Georgia Code], the
trial court should engage in a two-step process: First, a motion to compel must be filed and
granted; second, after the party seeking sanctions notifies the court and the obstinate party
of the latter’s failure to comply with the order granting the motion to compel and of the
moving party’s desire for the imposition of sanctions, the trial court may apply sanctions after
giving the obstinate party an opportunity to be heard and determining that the obstinate
party’s failure to obey was wilful.”).
Here, Respondents’ Motion to Exclude Testimony of Dr. Klein alleged substantive
and evidentiary violations, but did not contain any reference to a Rule 2-402 discovery
violation.  Respondents contended that Dr. Klein’s opinions were unreliable and inadequate,
not that his opinions did not comply with the discovery rules.  Thus, there was no moving
party in the present case and Petitioner’s Rule 2-402 violation was not properly before the
court.  Accordingly, the trial court abused its discretion in excluding Dr. Klein’s affidavit on
23
the grounds that its admission violates the discovery rules.
Moreover, any discovery dispute apparently was waived by the parties, and the trial
judge abused her discretion when she raised the issue for the first time at the November 9,
2009 motions hearing.  We have held that “[a] party who answers a discovery request timely
and does not receive any indication from the other party that the answers are inadequate or
otherwise deficient should be able to rely, for discovery purposes, on the absence of a
challenge as an indication that those answers are in compliance, and, thus not later subject
to challenge as inadequate and deficient when offered at trial.”  Food Lion, Inc. v. McNeill,
393 Md. 715, 736, 904 A.2d 464, 477 (2006).  Because Respondents never filed a Motion
to Compel or a Motion for Sanctions, Petitioners “should be able to rely, for discovery
purposes, on the absence of a challenge as an indication that those answers are in
compliance[.]”  Id.
It is important to the analysis in this case and to the bar to reconcile the difference
between a discovery rule violation under Md. Rule 2-432 and a scheduling order violation,
which is relevant to both Sections I and II of this discussion.  While discovery rule and
scheduling order violations are inherently linked, the method to properly bring such issues
before the court are very different.  As Respondents point out, a trial court has inherent
authority to issue sanctions for a violation of a scheduling order by a party.  Station
Maintenance Solutions, Inc. v. Two Farms, Inc., 209 Md. App. 464, 485, 60 A.3d 72, 84
(2011).  This is true; a trial court has the discretion to control its docket and enforce its own
24
orders.  Wynn v. State, 388 Md. 423, 437, 879 A.2d 1097, 1105 (2005).  Because a
scheduling order is a court order, a trial judge has the authority to issue sanctions when the
scheduling order is not followed.
On the other hand, discovery is a process between the parties, a process under which
disputes may be waived or raised by the parties without court intervention.  See Sindler v.
Litman, 166 Md. App. 90, 127, 887 A.2d 97, 118 (2005) (“Ordinarily, a discovering party
must pursue available remedies to obtain discovery or the party will not be heard to
complain.  It is also true, however, that courts encourage parties to resolve discovery issues
without court intervention.”); see also Hallman v. Gross, 190 Md. 563, 574, 59 A.2d 304,
308-09 (1948) (“The various instruments of discovery now serve . . . to narrow and clarify
the basic issues between the parties . . . .”); Md. Rule 2-431 (“A dispute pertaining to
discovery need not be considered by the court unless the attorney seeking action by the court
has filed a certificate describing the good faith attempts to discuss with the opposing attorney
the resolution of the dispute and certifying that they are unable to reach agreement on the
disputed issues.”); Md. Rules Commentary at 268, 269, 271 (“[D]iscovery material is not
routinely filed [with the court],” and “[d]isputes concerning discovery should be worked out
among counsel.”  Also, “the parties are encouraged to develop a discovery plan to comply
with the court schedule [but] if they are unable to reach agreement on a plan, they may seek
court assistance.”).  Thus, a trial judge does not have the inherent authority to order discovery
sanctions under Md. Rule 2-433 without a party moving for such an action, either by a
25
motion to compel or a motion for discovery sanctions.  See Hossainkhail, 143 Md. App. at
730, 795 A.2d at 825.11
Not only was it an abuse of discretion to raise the potential discovery violation without
a party moving to do so, but the sanction imposed is inconsistent with our case law with
regards to sanctions for non-egregious activity.   This Court has explained that “the more
12
draconian sanctions, of dismissing a claim or precluding the evidence necessary to support
a claim, are normally reserved for persistent and deliberate violations that actually cause
some prejudice, either to a party or to the court.”  Admiral Mortgage, 357 Md. at 545, 745
A.2d at 1032; cf. Thomas v. State, 397 Md. 557, 572, 919 A.2d 49, 58 (2007) (“Exclusion of
evidence for a discovery violation is not a favored sanction and is one of the most drastic
measures that can be imposed.”).  Here, the trial judge excluded the testimony of the expert
who was opining as to the causation of Petitioner’s injuries.  This evidence is crucial to
support Petitioner’s causes of action, and ultimately resulted in the trial court granting
 This is the inherent difference between the trial judge’s exclusion of the Arc Report
11
and Dr. Klein’s Affidavit.  The Respondents alleged that the untimely admission of the Arc
Report violated the scheduling order, therefore that issue was properly before the trial court. 
Dr. Klein’s expert designation, on the other hand, was raised by the trial court as a potential
discovery violation, which was waived when Respondents failed to file a motion to compel,
and was therefore not properly before the trial court. 
 The authors of the Maryland Rules Commentary have pointed out that “[i]n cases
12
involving the important interests of children, a court must exercise heightened scrutiny before
finding a default or dismissing a case against a child’s interests for failure to comply with
discovery requests.”  Md. Rules Commentary at 345 (citing Berrain v. Katzen, 331 Md. 693,
711, 629 A.2d 707, 715 (1992) (holding that a trial court abused its discretion in dismissing
the case when the plaintiff was a minor represented by a next friend because “the trial court
has a special duty to protect the rights and interests of the minor . . .”)).
26
Respondents’ motions for summary judgment. 
Additionally, in the interest of fairness, “[a]ll parties and any persons affected must
be given notice of a motion to compel discovery, for a protective order, or for sanctions.”
Md. Rules Commentary at 344; see Zep Mfg., 752 S.W.2d at 690 (“Without a motion before
the trial court that asked for sanctions for discovery abuse, the relator had no notice that the
hearing scheduled on other discovery motions would result in respondent’s spontaneous
striking of its pleadings.  Notice is essential for the proper imposition of sanctions.”). 
Because Petitioner was not afforded the prerequisite notice that his alleged discovery failure
would be at issue at the November 9, 2009 motions hearing, he was unduly prejudiced, and
the exclusion of Dr. Klein’s report was unreasonable under the circumstances.  Therefore,
the Court of Special Appeals erred in affirming the trial court’s exclusion of Dr. Klein’s
affidavit on discovery violation grounds.13
III. Consumer Protection Act
A. Facts
In his Complaint, Petitioner alleged that at the time each Respondent leased their
respective properties to Yvonne Crosby, Respondents “knew that the dwelling was not of
 We note that the trial judge granted summary judgment based in large part on the
13
exclusion of the Arc Report and Dr. Klein’s affidavit, two key pieces of evidence.  “In
appeals from grants of summary judgment, Maryland appellate courts, as a general rule, will
consider only the grounds upon which the lower court relied in granting summary judgment.” 
PaineWebber Inc. v. East, 363 Md. 408, 422, 768 A.2d 1029, 1036 (2001).  Accordingly, we
do not consider whether the trial court’s grant of summary judgment could have been
sustained on other grounds.
27
such quality and contained flaking, loose or peeling paint or plaster or lead[-]based paint
accessible to children,” in violation of the Baltimore City Housing Code.  Petitioner alleged
that Respondents “impliedly represented that the dwelling was in compliance with the
Housing Code . . . and thus was fit for human habitation and contained no flaking, loose or
peeling paint or plaster, or lead based paint accessible to children,” that such implicit
representation is an unfair or deceptive trade practice and, therefore, Respondents violated
the CPA.
Yvonne Crosby was deposed on August 26, 2009.  She testified as to the condition
of both properties and to Petitioner’s activities in and around both properties.  With regard
to 2308 Bryant Avenue, Crosby testified that she and Petitioner occupied the second and
third floors of the property.  According to Crosby, Petitioner played either inside the house
or at a park across the street, but he never played outside in the front or the rear of the
property.  She stated that the property had been freshly painted when she moved in, but the
paint subsequently began to chip around the baseboards, the doors, and the windowsills.
With regard to 2238 Linden Avenue, Crosby testified that she resided on the third
floor of the building.  As before, she stated that Petitioner also did not play outside at this
property.  She testified further that when she first moved into the property, it was clean and
painted.  Crosby did not recall any deteriorated paint in the apartment at the beginning of her
tenancy.  Over time, however, Crosby stated that she noticed chipping paint around the
windowsills.  Finally, she testified that she did not remember observing Petitioner put paint
28
chips into his mouth during either of these tenancies, but that he was tested for lead two or
three times.14
Based in part on this testimony, Respondents N.B.S. and S & S, joined by the
Rochkinds, filed a Motion for Partial Summary Judgment, asserting that Crosby’s testimony
that there was no chipping, peeling, or flaking paint at 2308 Bryant Avenue at the inception
of the lease negated any alleged violation of the CPA.  In addition, Respondents argued that
there existed no negligent or intentional misrepresentation and that Petitioner’s claims were
based on a non-existent agreement.  Respondents thus claimed that there existed no dispute
of material fact with regard to Petitioner’s cause of action under the CPA.15
During argument on the summary judgment motion at the November 9, 2009 hearing,
Petitioner argued that there was a dispute of fact based on Petitioner’s Answer to
Interrogatory indicating that Respondents improperly repaired surfaces before painting over
old paint.  The relevant question and answer read as follows:
INTERROGATORY NO. 17: State all facts and identify all documents,
including but not limited to all dates when you allege these events occurred
 Petitioner’s medical records revealed that capillector tests were conducted on June
14
9, 1988, September 7, 1988, and April 4, 1990.  The September 7, 1988 and April 4, 1990
tests indicated elevated blood lead levels.  In addition, according to Department of Health &
Mental Hygiene (“DHMH”) records, a single venipuncture test, taken on November 10,
1987, indicated an elevated blood lead level.  
 Respondents Shpritz and S & S G.P., the manager and owner, respectively, of 2238
15
Linden Avenue at the time Crosby entered the lease for that property, also filed a Motion for
Summary Judgment, but did not specifically address whether Petitioner had established the
elements required to prove a cause of action under the CPA.  Their Motion, nevertheless, was
granted at the November 9, 2009 hearing. 
29
and all witnesses to these alleged events, upon which you base your allegations
[of a CPA violation] against [Respondents].
ANSWER: [Respondents] violated the Maryland Consumer Protection Act by
offering a home for rent that was not in compliance with the Baltimore City
Code. [Respondents] negligently repaired and painted the premises prior
to the inception of the lease, painting over old paint without properly
preparing the surfaces as required by the Housing Code. [Respondents]
allowed chipping, peeling and flaking lead[-]based paint to remain on the
premises in violation of Sections 702, 703 and 706 or [sic] the Baltimore City
Housing Code.  At the inception of the tenancy, the house had chipping,
flaking and peeling paint throughout, especially around the windows, on sills,
baseboards, doors, on bathroom walls and bedroom walls. 
 
(Emphasis added).  Respondents countered with Crosby’s testimony that 2308 Bryant
Avenue had been freshly painted when she moved into the property, and chipping paint was
not observed until well after her tenancy began.  The trial court, concluding that “there is no
way that a reasonable person could conclude or infer that there was flaking, chipping, peeling
paint at the inception of the lease at [2308] Bryant [Avenue] at the relevant time,” and stating
that she was “unimpressed with the interrogatory answer by Hector Butler intended to be to
the contrary,” granted the Motion for Partial Summary Judgment and dismissed Petitioner’s
alleged CPA violation.
The Court of Special Appeals affirmed, holding that “[t]he undisputed facts in the
record indicate that the walls were painted and repaired and there was no peeling or flaking
paint at the time [Petitioner] entered into the lease and moved into the property. . . .
[therefore,] [t]here was simply no admissible evidence to support a CPA claim against
[Respondents].”  207 Md. App. at 119, 51 A.2d at 742.  The intermediate appellate court also
30
“disagree[d] that the [trial] court made a credibility determination” when the trial judge stated
that she was “unimpressed” by Petitioner’s answers to interrogatories.  Id. 
B. Analysis
The question of whether a trial court’s grant of summary judgment was proper is a
question of law.  D’Aoust v. Diamond, 424 Md. 549, 574, 36 A.3d 941, 955 (2012).  Pursuant
to Md. Rule 2-501(f), summary judgment is proper where there is no genuine dispute as to
any material fact and the party in whose favor judgment is entered is entitled to judgment as
a matter of law.  120 W. Fayette St., LLLP v. Mayor of Baltimore, 413 Md. 309, 329, 992
A.2d 459, 471 (2010).  To establish a genuine issue of material fact, a “party opposing
summary judgment must do more than simply show there is some metaphysical doubt as to
the material facts.  In other words, the mere existence of a scintilla of evidence in support of
the plaintiff’s claim is insufficient to preclude the grant of summary judgment; there must
be evidence upon which the jury could reasonably find for the plaintiff.”  Beatty v.
Trailmaster Products, Inc., 330 Md. 726, 738-39, 625 A.2d 1005, 1011 (1993) (citations and
quotations omitted).  Here, we conclude that there existed no genuine dispute of material fact
and therefore, the trial court’s grant of summary judgment was proper as a matter of law.
Our analysis as to whether the trial court’s grant of summary judgment was proper as
a matter of law begins with whether Petitioner was required to prove the existence of
chipping, peeling, or flaking lead-based paint at the lease’s inception to establish a CPA
violation.  Petitioner asks this Court to consider whether peeling, chipping, or flaking lead-
31
based paint is the only means by which a person can establish a violation of the CPA.
We first look to the relationship between the CPA and the Baltimore City Code for
clarity.  “The purpose of the CPA is to protect consumers from unfair or deceptive trade
practices that induces prospective tenants to enter into a lease.”  Butler, 207 Md. App. at 118,
51 A.3d at 741; Richwind Joint Venture 4 v. Brunson, 335 Md. 661, 682-83, 645 A.2d 1147,
1157 (1994), overruled on other grounds by Brooks v. Lewin Realty III, Inc., 378 Md. 70,
835 A.2d 616 (2003).  This Court has explained:
As we have seen, a landlord leasing or agreeing to rent a dwelling intended for
human habitation is deemed to covenant and warrant that it is fit for human
habitation. . . . To prove a violation of the CPA premised on the breach of the
implied warranty of habitability, it must be shown that, at the inception of the
lease, the landlord made material misstatements or omissions, which either had
the tendency to or, in fact, did, mislead the tenant.  Thus, the landlord must
have knowledge, constructive or actual, of the condition of the premises at the
time of the lease.  The implied warranty provisions establish a threshold for the
lease of premises and that threshold is based on the purpose of the Baltimore
City Housing Code, to make dwellings safe, sanitary and fit for human
habitation, for the benefit of the health and safety of the people. . . . Here,
sections 702, 703 and 706 of the City Code prescribe the standard for the lease
of premises for human habitability[.]
Benik v. Hatcher, 358 Md. 507, 530-32, 750 A.2d 10, 23-24 (2000) (citations omitted).
Baltimore City Code (1983 Repl. Vol.), Art. 13 §§ 702, 703, and 706 are the threshold
warranties of lead-based paint CPA violations.  Section 702 provides in pertinent part:
“Every building and all parts thereof used or occupied as a dwelling shall . . . be kept in good
repair, in safe condition, and fit for human habitation.”  Sections 703 and 706 more
specifically apply to lead-based paint, and state in pertinent part: “All walls, ceilings,
32
woodwork, doors and windows shall be kept clean and free of any flaking, loose or peeling
paint and paper. . . . All interior loose or peeling wall covering or paint shall be removed and
the exposed surface shall be placed in a smooth and sanitary condition.”  
Petitioner is correct when he argues that a violation of the Baltimore City Housing
Code could constitute a violation of the CPA.  In order for a CPA violation to occur, the
Housing Code violation must exist at the inception of the lease.  This Court has made clear
that if  “[a]t the time the lease . . . was entered into, there was no chipping or peeling paint
on the premises . . . [then] the landlord could not be said to have engaged in a deceptive trade
practice under the CPA.”  Scroggins v. Dahne, 335 Md. 688, 696, 645 A.2d 1160, 1164
(1994).  This Court explained this point in more detail that same day:
Although the premises leased in the instant case obviously contained
lead-based paint, that alone would not have rendered them uninhabitable or in
violation of the CPA.  Renting a premises with intact, lead-based paint is not
in itself a violation of the CPA.  The plaintiff’s CPA claims were based on the
landlords’ failure to disclose that there was peeling, chipping, or flaking
lead-based paint which constituted an unsafe condition.  There was no
evidence that at the time the lease was entered into there was any peeling or
chipping paint.  As we have indicated, mere silence about a condition that
arises during the term of this lease, rather than prior to or at the time the lease
is entered into, is not a violation of the CPA.
Richwind, 335 Md. at 686, 645 A.2d at 1159.  Under established Maryland precedent,
therefore, it is clear that there must be loose or peeling paint at the inception of a lease for
the hazard to qualify as a basis for a CPA violation; the Baltimore City Code calls for
removal of any peeling or loose paint, and this Court clarified that “intact, lead-based paint
is not in itself a violation of the CPA.”  Id.
33
Next, we must determine whether Petitioner demonstrated the existence of “a genuine
dispute as to a material fact by proffering facts which would be admissible in evidence” to
survive summary judgment on his CPA claim.  Beatty, 330 Md. at 737, 625 A.2d at 1011. 
As we have noted, the party opposing summary judgment must provide more than “general
allegations which do not show facts in detail and with precision.”  Rite Aid Corp. v. Hagley,
374 Md. 665, 684, 824 A.2d 107, 118 (2003) (citation omitted).  Moreover, “a party must
provide the court with more than a different theory of how the events transpired[, and]
conclusory statements, conjecture, or speculation by the party resisting the motion will not
defeat summary judgment[.]”  Benway v. Md. Port Admin., 191 Md. App. 22, 46, 989 A.2d
1239, 1253 (2010) (citations and quotations omitted). 
At the November 9, 2009 hearing on Respondents’ Motion for Summary Judgment,
Petitioner argued that there existed a genuine dispute of material fact based on his Answer
to Interrogatories, in which he asserted that Respondents “negligently repaired and painted
the premises prior to the inception of the lease, painting over old paint without properly
preparing the surfaces as required by the Housing Code.”   If supported by a sufficient
16
factual basis, we agree that an assertion that Respondents actively concealed or disguised
loose or flaking paint at the inception of the lease could potentially raise a question of
material fact.  If that were the case, peeling or loose paint would still exist in the property,
  In essence, Petitioner attempts to establish a cause of action under the CPA by
16
alleging negligence.  The CPA, however, requires a showing of misrepresentation, deceit,
or falsities, all of which have sound bases in fraud.
34
whether the paint is chipping at the surface or under a fresh coat of paint intended to conceal
the housing code violation.
We conclude, however, that Petitioner’s Answer to Interrogatory is no more than
“mere general allegations which do not show facts in detail and with precision [and
therefore] are insufficient to prevent summary judgment.”  Beatty, 330 Md. at 738, 625 A.2d
at 1011.  As we have recognized, although “a court must resolve all inferences in favor of
the party opposing summary judgment, ‘those inferences . . . must be reasonable ones.’” 
Beatty, 330 Md. at 739, 625 A.2d at 1011 (citing Clea v. City of Baltimore, 312 Md. 662,
678, 541 A.2d 1303, 1311 (1988)) (emphasis in original).  The assumptions made by
Petitioner as written in the interrogatory response lack any basis of knowledge or factual
predicate to support Petitioner’s conclusions.  Rather, it is a “conclusory statement[],
conjecture, or speculation,” which, without any supporting facts based on personal
knowledge, is insufficient to demonstrate a genuine dispute of material fact and defeat
summary judgment.  Benway, 191 Md. App. at 46, 989 A.2d at 1253.  See also Lowman v.
Consolidated Rail Corp., 68 Md. App. 64, 73-74, 509 A.2d 1239, 1244 (1986) (holding that
plaintiffs did not establish a genuine dispute of material fact to prevent summary judgment
where plaintiffs relied on “a bald assertion completely unsupported by facts” found in
plaintiffs’ responses to interrogatories and where plaintiffs “failed to support any of their
allegations with facts based on personal knowledge”).  In this case, Petitioner presented no
admissible factual evidence for a trier of fact to reasonably infer that Respondents concealed
35
or disguised peeling or flaking paint that existed at the inception of the lease.  The undisputed
facts are that Petitioner’s mother testified that there was no evidence of chipping or peeling
paint at the inception of either lease and that the Petitioner, who made the allegations of
improperly prepared surfaces in his Answer to Interrogatories, was an infant at the time of
the tenancy.  Accordingly, there is no reasonable basis for a trier of fact to conclude that
chipping or peeling paint existed at the inception of the lease.  Therefore, we affirm the grant
of summary judgment as a matter of law.17
JUDGMENT OF THE COURT OF
SPECIAL APPEALS REVERSED IN
PART AND AFFIRMED IN PART. 
CASE 
REMANDED 
TO 
THAT
COURT WITH DIRECTIONS TO
REMAND THE CASE TO THE
CIRCUIT COURT FOR BALTIMORE
C I T Y  
F O R  
F U R T H E R
PROCEEDINGS CONSISTENT WITH
THIS OPINION.  COSTS IN THIS
COURT AND THE COURT OF
SPECIAL APPEALS TO BE DIVIDED 
EQUALLY BY THE PARTIES.
 Petitioner also submits to this Court that the trial court erred when it made a
17
credibility determination by stating that it was “unimpressed” by the evidence put forth under
the CPA cause of action.  While the use of the term “unimpressed” may have suggested an
evaluation of the merits of the evidence, we do not believe that the trial court was making a
credibility determination.  Rather, as this Court concludes, the trial judge determined that
Petitioner offered no evidence to establish that there was chipping or peeling paint at the
inception of the lease, as required by Maryland law when establishing a lead-based paint
cause of action under the CPA.  The lack of any material evidence to establish Petitioner’s
claim is what is “unimpressive,” and this Court affirms the trial court’s judgment in granting
summary judgment as to the cause of action under the CPA.
36
IN THE COURT OF APPEALS OF
MARYLAND
No. 1
September Term, 2013
HECTOR BUTLER, JR.
v.
S&S PARTNERSHIP ET AL.
Barbera, C.J.,
Harrell,
Battaglia,
Greene,
Adkins,
McDonald,
McAuliffe, John F. (Retired, 
Specially Assigned),
JJ.
Concurring Opinion by Harrell, J.
Filed: November 26, 2013
I join the judgment in this case, for the reasons explained in Parts II and III of the
majority opinion (Maj. slip op. at 17-36).  I do not subscribe, however, to much of the
analysis or the holding of the Majority opinion in its Part I (Maj. slip op. at 4-18). 
Although I agree that Section 2(c) of the Scheduling Order is, on its face, ambiguous
(Maj. slip op. at 8-9) and that there has been offered to us naught but anecdotal
recollections from select participants of the “lead paint Bar” of their perception of how
and why the language of that Section came to be as it exists in the present case (Maj. slip
op. at 9), my view of the correct interpretation of “[t]he defendants [to be] permitted to
attend the lead test accompanied by a consultant(s) or expert(s)” differs in a material way
from the Majority.
Section 2(c) intended (quite clearly) to address more than the problem of assuring
to plaintiffs the right to enter upon “a subject property . . . to perform a non-destructive
lead test,” although that appears to be the main thrust of the Section.  Of course, it is the
legal right of a present owner or owners of a subject property to control who enters upon
his/her/its property that must be overcome to assure that a test may occur.  Past owners
are irrelevant to the question of securing contemporary entry upon the property.  Even
less relevant for this purpose are other defendants who never had an ownership or
management interest in a subject property during the time the plaintiff(s) resided in the
dwelling.
As regards construing which defendants are entitled to notice of when a lead test of
a dwelling is to be made by a plaintiff, however, the interests of present defendants, who
were past owners or managers of the affected rental property at times when the plaintiff(s)
resided there, are implicated demonstrably.  The application of the lead test results to
them may be (and usually are) just as significant in determining their liability as the
results would be to the present owner/manager defendants whose permission is given
(implicitly) for the test to be conducted.  For the Majority opinion to conclude, as it does
(Majority slip op. at 7 and 10-11), that only present owner/manager defendants of the
property are entitled to notice and an opportunity to attend (with their consultant(s) or
expert(s)) to observe how the test is conducted is wrong and prejudicial manifestly.1
The only rational way, in my view, to interpret Section 2(c) of the Scheduling
Order is that it is an assurance to the present-owner/manager defendant of a property to be
tested, and to any former-owner/manager defendant of the property, of notice and
opportunity to attend the testing.  Failure to give the notice to, or other frustration of the
right to attend by, each of these categories of defendants is a rational and appropriate
basis upon which to have excluded the Arc Report in this case.
At the time of the 24 August 2009 Arc testing of 2238 Linden Avenue and 2308
Bryant Avenue, the former property was owned by the defendant Benjamin  and the latter
2
property by a non-defendant (S&S Business Trust) (Maj. Slip op. at 4).  At the time of
testing, the defendant Runkles managed the latter property.  Runkles remains in the case
 I agree with the Majority opinion that a defendant who never owned or managed the subject
1
property (during the plaintiffs’ occupancy) is not entitled to notice or the opportunity to
attend the testing.  See footnote 3 infra.
 As the Majority opinion notes, Benjamin ceased to be a party defendant sometime while the
2
case was on appeal in the Court of Special Appeals (Maj. slip op. at 11).  Contrary to the
Majority’s attribution of significance to that fact, what is important for present purposes is
that Benjamin was a defendant/present-owner at the time of testing (and entitled to notice and
an opportunity to attend testing, under my view of Section 2(c)) and at the time the trial judge
excluded the Arc Report and entered judgment in favor of all defendants.
-2-
as a Respondent in this Court.  Moreover, as to the Linden Avenue property, it was
alleged by Petitioners in their complaint that S&S General Partnership owned the
property during part of Petitioners’ relevant occupancy (Shpritz, another defendant and
Respondent here, was the Partnership’s general partner).  As regards the Bryant Avenue
property, S&S Partnership (composed of the Rochkinds, defendants and Respondents),
owned the property at all times that Petitioners resided there.  The remaining defendants/
Respondents, Runkles and Dear Management & Construction Co., Inc., managed
allegedly the properties during relevant times.  It is conceded that no notice or
opportunity to attend Petitioners’ lead testing of either property was afforded the
respective defendant owners or managers (whether former or as of the date of the tests) of
the respective properties.   Under these circumstances, the trial judge was justified
3
entirely to exclude the Arc Report as to both properties.
It is not a cure for the bald failure to give notice and an opportunity to attend
testing that the affected defendants may cross-examine at trial presumably any witness
offered by Petitioners in the course of trying to gain admission of the Arc Report or its
contents.  The handicap of not being able to verify with the defendants’ (or their
consultants’ or experts’) own eyes how and where the lead testing was conducted by
Petitioners’ Arc expert places them, to a large degree, at the mercy of whatever the
witness chooses to say, whether true, false, or merely overly generous in its slant toward
what may be in plaintiffs’ best interests.
 I do not contend that the defendant owner(s)/manager(s) of 2238 Linden Avenue were
3
entitled to notice and opportunity to attend the lead test administered to 2308 Bryant Avenue,
or vice versa.
-3-