Court Opinion

ID: 2972163
Source: CourtListenerOpinion
Date Created: 2015-09-22 16:45:12.127498+00
Date Added: 2024-06-11T15:30:33.574337
License: Public Domain

NOT RECOMMENDED FOR FULL-TEXT PUBLICATION
                            File Name: 05a0311n.06
                              Filed: April 25, 2005

                                           Case No. 03-3938

                           UNITED STATES COURT OF APPEALS
                                FOR THE SIXTH CIRCUIT

RANDALL K. BOWLES, ET AL.,                      )
                                                )
                Plaintiffs-Appellants,          )        ON APPEAL FROM THE
                                                )        UNITED STATES DISTRICT
                                                )        COURT FOR THE
                v.                              )        NORTHERN DISTRICT OF
                                                )        OHIO, EASTERN DIVISION
                                                )
CITY OF CLEVELAND, ET AL.                       )
                                                )
                Defendants-Appellees.           )

BEFORE: NELSON and COLE, Circuit Judges; and SARGUS, District Judge.*

                SARGUS, District Judge. Randall K. Bowles and Claudette Bowles, Plaintiffs-

Appellants, seek review and reversal of the lower court’s decision dismissing this action without

prejudice, following the failure of the Plaintiff’s counsel to attend the initial status conference

before the district court scheduled for March 18, 2003. The court rescheduled the same status

conference for April 16, 2003 and warned Plaintiff’s counsel that if he did not appear, the case

would be dismissed. Thereafter, Plaintiff’s counsel failed to appear and the district court

dismissed the action without prejudice. For the reasons that follow, we affirm.

        *
          The Honorable Edmund A. Sargus, Jr., United States District Judge for the Southern District of
Ohio, sitting by designation.
                                                      I.

                On March 4, 20021, Plaintiffs filed a twelve count Complaint against the City of

Cleveland, three police officers, and David Vallo, the owner of a construction company. The

Plaintiffs contend that Vallo unlawfully attempted to remove certain cabinets on business

premises owned by Plaintiff Randall Bowles. Vallo ultimately called the Cleveland Police

Department and alleged that Bowles had assaulted him. Bowles asserts that the police officers

who responded to the call acted with racial animus towards him, allowed Vallo to wrongfully

remove the property, and violated a number of Bowles’ constitutional rights. While the twelve

counts are not described with legal particularity, Count One sets forth a federal claim under 42

U.S.C. § 1983 for violation of the Plaintiff’s Fourth and Fifth Amendment rights. The additional

counts allege violations under state law for malicious prosecution, false arrest, assault and

battery, false imprisonment, tortious interference with contract, intentional infliction of

emotional distress and abuse of process. Plaintiff Claudette Bowles, as the wife of Randall

Bowles, brings a claim for loss of consortium.

                While the parties apparently had some disputes regarding timely discovery, the

        1
          The Appellees contend that the Plaintiffs missed the statute of limitations by filing this action on
March 5, 2002 for conduct which occurred on March 2, 2001. The Appellants vigorously dispute this
assertion and have included documents in the Joint Appendix from the Cuyahoga County Court of
Common Pleas, where the case was originally filed, indicating that this action was initiated on March 4,
2002. The Joint Appendix, at page 108, supports the Plaintiff’s position. March 2, 2002, exactly one
year after the incident, was a Saturday. Consequently, under Ohio Revised Code §1.14, together with
Ohio R. Civ. P. 6(a) , any document required to be filed on or before March 2, 2002, could be timely filed
on March 4, 2002. See also Ritz v. Brown, 572 N.E.2d 159 (Ohio App. Putnam Cty. 1989). Further, as
described, infra, the Appellees incorrectly contend that the one year statute of limitations which applies to
the state claims also applies to the federal claims asserted. This is incorrect. This Circuit holds that the
state statute of limitations most applicable to claims under 42 U.S.C. § 1983 is two years. Browning v.
Pendleton, 869 F.2d 989 (6th Cir. 1989) (en banc).

                                                      2
essential facts relevant to this appeal are quite basic. The district court scheduled a status

conference for March 18, 2003. Plaintiff’s counsel, James Alexander, Jr., failed to appear. The

district court expressly warned him that if he failed to appear at the rescheduled conference on

April 16, 2003, the court would issue sanctions, including an entry of Judgment against the

Plaintiffs. After Alexander missed the status conference which had been rescheduled, the district

court entered an Order of Dismissal which recited the fact that the court’s deputy clerk had

contacted Alexander and that he had not provided any excusable reason for nonattendance. The

court dismissed the case without prejudice on April 17, 2003 and directed the parties to bear

their own costs.

               Thereafter, the Plaintiffs filed a Motion to Alter or Amend the Judgment pursuant

to Fed. R. Civ. P. 59(e). Attached to the motion was a lengthy affidavit from Alexander. The

affidavit states that he was in Charlotte, North Carolina from April 5 through April 15, 2003

attending to needs of his elderly parents. According to the affidavit, his flight was delayed and

he did not return to Cleveland until approximately 8:00 p.m., rather than a 2:00 p.m. arrival. He

also contended that he did not realize the clocks in his house had not been adjusted to daylight

savings time. According to Alexander, he called the Court on the morning of April 16, 2002 to

indicate that he was late but on his way.

               In their motion, the Plaintiffs also argued that, even though the court’s dismissal

was without prejudice, the effect of the Order was to terminate the case, since the statute of

limitations had by then run on all the claims. This assertion is incorrect as to the state law

claims, as described, infra. The Plaintiffs also argued that other sanctions were available which

were less severe and more appropriate under the circumstances. The district court denied the

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Plaintiff’s Rule 59(e) motion. The court noted that the explanations given by Alexander

included no information that the court had not received at the time it issued the initial dismissal

order.

                                                  II.

                Pursuant to 28 U.S.C. § 1981, this Court has jurisdiction over the appeal of a final

judgment entered by the district court. Dismissals under Fed. R. Civ. P. 41(b) are reviewed for

clear error. Shepherd v. Wellman, 313 F.3d 963, 970 (6th Cir. 2002). Further, the decision of a

district court to dismiss with or without prejudice will not be reversed “absent a clear showing of

an abuse of discretion.” Sterling v. Velsicol Chem. Corp., 855 F.2d 1188, 1195 (6th Cir. 1988).

                With regard to the district court’s denial of the Motion to Alter or Amend the

Judgment, this Court reviews for abuse of discretion. Moore v. City of Paducah, 790 F.2d 557,

559 (6th Cir. 1986).

                                                  III.

A.       Whether the District Court Abused Its Discretion in Dismissing the Action

         The district court did not specify the precise civil rule or other basis upon which it

imposed sanctions and dismissed the case without prejudice. This Circuit has held that the

district court has three sources of authority upon which dismissal as a sanction may be imposed.

Coleman v. American Red Cross, 23 F.3d 1091 (6th Cir. 1994). The first is found in Fed. R. Civ.

P. 16(f) which permits sanctions consistent with Rule 37(b)(2)(B), (C), and (D). This includes

the failure of an attorney to appear at a scheduling or pretrial conference. In addition, Fed. R.

Civ. P. 41(b) grants the district court additional authority to dismiss a case for violation of an

order of the court. Finally, a district court has inherent power to “protect[] the due and orderly

                                                   4
administration of justice and . . . maintain[] the authority and dignity of the court . . . .” Cooke v.

United States, 267 U.S. 517, 539 (1925).

                Regardless of the basis for the district court’s dismissal, the analysis under all

three sources of authority is reducible to a single standard. As noted in Carter v. City of

Memphis, 636 F.2d 159, 161 (6th Cir. 1980), quoting J. F. Edwards Constr. Co. v. Anderson

Safeway Guardrail Corp., 542 F.2d 1318, 1323 (7th Cir. 1976), “the key is a failure to prosecute,

whether styled as a failure to appear at a pretrial conference, failure to file a pretrial statement,

failure to prepare for conference, or failure to comply with the pretrial order.” See also Little v.

Yeutter, 984 F.2d 160, 162 (6th Cir. 1993).

                This Circuit has also developed a four factor analysis for assessing the

appropriateness of a district court’s decision to dismiss a case for failure to prosecute, including

the failure to attend a status conference. See Mulbah v. Detroit Board of Education, 261 F.3d
586 (6th Cir. 2001); Tetro v. Elliott Popham Pontiac, Oldsmobile, Buick and GMC Trucks, Inc.,

173 F.3d 988 (6th Cir. 1999); Knoll v. American Tel. and Tel. Co., 176 F.3d 359 (6th Cir. 1999);

Stough v. Mayville Cmty. Schs., 138 F.3d 612 (6th Cir. 1998); Harmon v. CSX Transportation,

Inc., 110 F.3d 364 (6th Cir. 1997). The analysis includes consideration of the following:

                (1)     Whether the party’s failure is due to willfulness, bad faith or fault;

                (2)     Whether the adversary was prejudiced by the dismissed party’s conduct;

                (3)     Whether the dismissed party was warned that failure to cooperate could
                        lead to dismissal; and

                (4)     Whether less drastic sanctions were imposed or considered before
                        dismissal of the action.

As noted in Mulbah v. Detroit Board of Education, 261 F.3d at 591, “[w]hile none of these

                                                   5
factors is dispositive, a case may be dismissed by a district court where there is a clear record of

delay or contumacious conduct on the part of the plaintiff.”

               Before undertaking the four part analysis, however, the question arises as to

whether an attorney’s misconduct should result in legal harm to his or her client. In the context

of a Rule 41(b) dismissal, the Supreme Court has unequivocally stated:

               There is certainly no merit to the contention that dismissal of
               petitioner’s claim because of his counsel’s unexcused conduct
               imposes an unjust penalty on the client. Petitioner voluntarily
               chose this attorney as his representative in the action, and he
               cannot now avoid the consequences of the acts or omissions of this
               freely selected agent. Any other notion would be wholly
               inconsistent with our system of representative litigation, in which
               each party is deemed bound by the acts of his lawyer-agent and is
               considered to have “notice of all facts, notice of which can be
               charged upon the attorney.”

Link v. Walbash Railroad Co., 370 U.S. 626, 633-34 (1962), quoting Smith v. Ayer, 101 U.S.
320, 326 (1879).

               Notwithstanding this language from the Supreme Court, this Circuit has

repeatedly expressed “extreme reluctance to uphold the dismissal of a case merely to discipline a

party’s attorney.” Mulbah v. Detroit Board of Education, 261 F.3d at 590, citing Knoll v.

American Tel. and Tel. Co., 176 F.3d at 363. See also Harmon v. CSX Transportation, Inc., 110
F.3d at 367; Coleman v. American Red Cross, 23 F.3d at 1094; Buck v. United States Dept. of

Agriculture, 960 F.2d 603, 608 (6th Cir. 1992); Shepard Claims Serv., Inc. v. William Darrah

and Associates, 796 F.2d 190, 195 (6th Cir. 1986).

               An additional matter before applying the four part standard concerns the effect of

the district court’s dismissal without prejudice. The dismissal occurred on April 17, 2003, over

twenty-five months following the events giving rise to the Complaint. While this issue is not

                                                  6
before us on appeal, it does appear that under Ohio law, the Plaintiffs-Appellants filed their

Complaint on the last possible day before the statute of limitations was due to run. Although

there is no savings statute as to the federal claim asserted, Ohio law provides relief for the

Plaintiffs by permitting a refiling of the action as to the state claims within one year from

dismissal. Therefore, the dismissal order from the district court did not operate to prevent

refiling of the state claims.2 Plaintiff’s state law claims appear to be governed by a one year

statute of limitations set forth in O.R.C. § 2305.11. If the Plaintiffs were able to refile their

Complaint, the sanctions imposed by the district court are far less onerous than a final judgment

terminating any further litigation.

                With respect to the federal claim, the parties have mistakenly contended that a

one year statute of limitations also applies to Plaintiffs’ Section 1983 claim. In Browning v.

Pendleton, 869 F.2d 989 (6th Cir. 1989) (en banc), the Sixth Circuit held that the appropriate

statute of limitations for §1983 actions arising in Ohio is two years. Nevertheless, this Circuit

holds that absent a statute to the contrary, a party cannot deduct from the limitations period the

time during which the claim was pending. Bomer v. Ribicoff, 304 F.2d 427 (6th Cir. 1962).

Thus, since this federal claim was dismissed more than two years after the limitations period

began to run, the district court effectively dismissed the claim with prejudice.

                With respect to the four part analysis, this Court first looks to the character of the

party’s failure to determine whether such failure was premised upon willfulness, bad faith or

        2
          It seems apparent then that the district court issued its Order of Dismissal without prejudice
correctly believing that all claims could be saved by O.R.C. § 2305.19 for refiling. The Ohio Savings
Statute, O.R.C. § 2305.19, provides an extension of a statute of limitations following a dismissal of a
cause of action “within one year after the date of the reversal of the judgment or the plaintiff’s failure
otherwise and upon the merits.” Under this statute, if a case is dismissed for reasons other than the merits
of the claim, the plaintiff may recommence the action within one year from such date.

                                                     7
fault. In this case, the conduct of Appellants’ counsel can best be described as extreme neglect

or fault. While there is no evidence of willfulness or bad faith, there is certainly a basis to find

extreme fault so as to support the decision of the district court.

                  The next prong of the analysis directs our attention to whether the opposing party

was prejudiced by the dismissed party’s conduct. The record is silent on this issue. It would not

be unfair to assume that opposing counsel, if not the parties, were present and ready to proceed

on both occasions scheduled by the Court for a status conference. This type of prejudice can

easily be remedied by an imposition of monetary sanctions in an amount sufficient to

compensate opposing counsel for lost time.

                  The third prong of the analysis concerns whether the dismissed party had been

warned or given notice that failure to cooperate could lead to dismissal. On this point, the

district court was quite specific in informing Plaintiff’s counsel that failure to appear would

result in sanctions, which could include dismissal of the action.

                  The final consideration is whether the district court could have imposed or

considered less drastic sanctions before dismissal of the action. The sanctions imposed

terminated the Plaintiffs’ §1983 claim, but permitted refiling of all the state claims. The

dismissed §1983 claim was based upon what amounts to assertions of unlawful arrest, malicious

prosecution, and abuse of process. All of these assertions may be made in similar state law

claims which could be refiled. Because the sanctions imposed here were substantially less than

those involved in a dismissal of all claims with prejudice, this factor supports the decision of the

district court.

                  There are a substantial number of cases from this Circuit which either apply the

aforementioned four part analysis or otherwise review the propriety of an involuntary dismissal.

In at least four cases, this Circuit has reversed an involuntary dismissal based upon some

                                                   8
deficiency on the party or counsel in abiding by a court order or local rule. In these cases, this

Court has held that the district court failed to provide sufficient warning to place the party on

notice that a dismissal could follow if such conduct continued. For example, in Vinci v.

Consolidated Rail Corp., 927 F.2d 287 (6th Cir. 1991), this Court held that language set forth in

a court’s standing order indicating that failure to comply with any provision of the order could

result in dismissal was not sufficient notice to a party that failure to submit a joint pretrial

statement could result in a sanction which included dismissal. A similar lack of notice has been

found in several other cases from this Court sufficient to warrant reversal of a district court’s

involuntary dismissal. See e.g., Tetro v. Elliott Popham Pontiac, Oldsmobile, Buick and GMC

Trucks, 173 F.3d 988 (6th Cir. 1999); Stough v. Mayville Cmty Schs., 138 F.3d 612 (6th Cir.

1998); Carver v. Bunch, 946 F.2d 451 (6th Cir. 1991).

                Concomitantly, there are a substantial number of cases in which this Court has

upheld a district court’s involuntary dismissal for a failure to appear on the part of an attorney or

lack of prosecution on the part of a litigant, which, as explained supra, are reviewed under the

same standard. In Coston v. Detroit Edison Co., 789 F.2d 377 (6th Cir. 1986), this Court upheld

the trial court’s dismissal of the action after counsel failed to appear for two scheduled pretrial

conferences before a magistrate judge and one appearance before the district judge. This case is

factually similar to the case at bar, save for the fact that the attorney missed three, rather than

two, scheduled appearances. As a final nail in the coffin, the same counsel asked for an oral

argument before the Sixth Circuit, which was granted. On the morning of the oral argument, the

attorney notified the clerk that he was tied up in state court and could not attend. This Court

held that “[t]he sanction of dismissal is appropriate only if the attorney’s dilatory actions

                                                   9
amounted to failure to prosecute and no alternative sanction would protect the integrity of

pretrial procedures.” Id. at 379 (emphasis in original) citing Carter v. City of Memphis, 636 F.2d
159, 161 (6th Cir. 1980).

               In United States v. Reyes, 307 F.3d 451 (6th Cir. 2002), this Court upheld the

action of a district court in striking the defendant’s claim of ownership to certain real estate,

based upon his repeated failure to comply with discovery requests and deadlines. This Court

held that the defendant’s repeated failure to comply with reasonable requests and court-imposed

deadlines warranted a dismissal of the action. This Court noted that the fact that the district

court “did not articulate its consideration of lesser sanctions does not dictate a different result.”

Id. at 457. Furthermore, as noted in Harmon v. CSX Transp., Inc., supra, this Court has “never

held that a district court is without power to dismiss a complaint, as the first and only sanction,

solely on the basis of the plaintiff’s counsel’s neglect.” 110 F.3d at 368.

               In summary, prior decisions from this Court have emphasized that the district

court must first give an offending party or counsel specific notice that sanctions will issue if

certain conduct continues. While the cases also indicate a reluctance to penalize a party for the

misconduct of counsel, the cases recognize that authority to dismiss actions in the face of

contumacious conduct is a necessary authority for a district court to manage its docket. The

sanction of ultimate dismissal should be used sparingly, particularly when the action terminates

the case with no chance of refiling.

               In this case, the attorney’s conduct was inexcusable. The district court gave

ample warning to the Plaintiff and counsel that failure to attend the second status conference

could result in dismissal. The record is silent as to any prejudice suffered by the Appellee, other

                                                  10
than time wasted in attending a status conference for which Plaintiff’s counsel failed to appear.

Finally, the district court dismissed the action without prejudice, meaning that eleven of the

twelve asserted claims could be refiled. Only the federal § 1983 claim set forth in Count One

was barred by the statute of limitations following the dismissal. While there is no doubt a

serious consequence in the loss of the federal claim, the Plaintiffs were left with the opportunity

to refile in state court all remaining claims.

B.      Whether the District Court Abused Its Discretion in Denying Plaintiff’s Motion to
        Alter the Judgment

                As noted above, the standard of review on the grant or denial of a Motion to Alter

or Amend the Judgment is an abuse of discretion standard. Moore v. City of Paducah, 790 F.2d
557, 559 (6th Cir. 1986). Following the dismissal without prejudice for failure to appear, the

Appellants filed a Motion to Alter or Amend the Judgment under Fed. R. Civ. P. 59(e). On

appeal, the Appellants essentially reargue their assertions as to why the dismissal order should

not have issued. The only colorable issue under this assignment of error is whether the trial

court should have held a hearing to determine the precise reasons why Plaintiff’s counsel did not

attend the status conference.

                The original dismissal order indicated that the court’s deputy clerk spoke to

Attorney Alexander and inquired of him as to the reason he missed the status conference. When

Alexander subsequently filed the motion under Rule 59(e), he attached a lengthy affidavit

explaining his absence. The district court subsequently denied the motion and noted that all of

the information submitted by Alexander was known to the court when it issued the dismissal

order. Significantly, the Appellants do not dispute this assertion. Consequently, there can be no

serious claim that the denial of a hearing as to the reasons Alexander missed the second status

                                                 11
conference caused the Appellants any prejudice. Thus, there is no merit to Appellants’

contentions.

                                     IV. CONCLUSION

               Based upon the foregoing, the decision of the district court is AFFIRMED in all

respects.

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