                                STATE OF VERMONT

                              ENVIRONMENTAL COURT

                                               }
In re Appeal of                                }      Docket No. 183-11-97 Vtec
       James D. Sparkman, Jr., et al.          }
                                               }

          Decision and Order on Scope of Discovery on Motions for Sanctions
                                    1
       A group of interested persons (the Appellant Group) appealed from a decision on a
Town of Manchester permit issued to Appellee-Applicant H.B. Partners for the so-called
Walker II project. The Appellant Group is represented by David Putter, Esq. and Appellee
H.B. Partners is represented by A.Jay Kenlan, Esq. The Town of Manchester was
represented by Robert E. Woolmington, Esq., but takes no role in the remaining motions
for sanctions.
       In October of 1998, Appellee H.B. Partners had moved for a protective order which
sought a limitation on the Appellant Group=s discovery related to its seeking sanctions
against Appellee. The Court had issued an order on November 12, 1998 (Athe November
1998 Order@) with respect to that motion. Issues regarding sanctions, and discovery on
those issues, were postponed pending the hearing and decision on the merits of the
appeal.


1 In an exchange of correspondence in December 1999, the parties discussed the
question of whether Mr. Sparkman may also qualify for party status as an individual,
under 24 V.S.A. '4464(b)(3). The Court understands the status of this question to be
as addressed in its November 12, 1998 order, at page 2: AShould that group ever fall
below ten members, the Court would then entertain an application from any remaining
members for individual party status, at which time any additional discovery directed at
their standing under '4464(b)(3) would be considered by the Court.@




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      The merits of the appeal were resolved by a consent order filed in February of 1999.
In October and November of 1999, the Court held telephone conferences with the parties
to determine if the issues regarding sanctions had been abandoned by the parties as the
underlying merits of the case had been resolved. The parties determined to proceed with
their sanctions motions, and have sought further discovery or protective orders in that
regard, including a request for clarification of the Court=s November 1998 Order.
      The Appellant Group sought to take the depositions of Mr. Kirk Moore and Mr. Ben
Hauben on the following topics, as outlined in its letter filed November 17, 1999:
      1.    The use and timing of deposition notices and subpoenas directed at present
      and past members of the Appellant group in this litigation.

      2.       The acquisition, evaluation and use, by applicant and its agents, for this
      litigation, of personal credit reports of Sparkman and the telephone calling records
      of Sparkman, attorneys and others they believed to be working with him to oppose a
      permit for the Walker II Project.

      3.      The Applicant=s use, during this litigation, of the media for purposes of trying
      to influence the outcome of the Walker II Project permit litigation.

      4.    The delivery of discovery requests and other communication from Applicant=s
      counsel directly to individual members of the Appellant group without the consent or
      permission of the latter=s counsel.

Appellee did not oppose discovery on topics 12 and 4; the present order addresses the
availability and scope of discovery on the remaining two issues.


The Scope of the November 1998 Order
      The Appellant Group argues that the November 1998 Order addressed these
discovery issues and already allowed the Appellant Group to conduct depositions on these
issues. However, that order did not do so. The November 1998 Order ruled that discovery

2 Topic 1 may involve Appellee=s former counsel, rather than its present counsel, and
the Court assumes that the parties are keeping Appellee=s former counsel advised of
this issue.




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was not limited to the incident in which discovery was sent to the individual members of the
Appellant Group, as Appellee had then argued, but it did not define the incidents or actions
which would be ruled to be discoverable. Rather, it merely stated the standard that the
Court would apply in determining what actions or incidents would be discoverable, if the
parties could not agree, and set out a mechanism by which the parties could apply to the
Court for further definition if necessary.
       The November 1998 Order stated the context of the then-pending motions as
follows:
              The Court granted Appellant Group=s motion for an expedited protective
       order to assure that the individual members of the group are protected from what
       the motion characterized as harassment. The incident which prompted the motion
       was that Appellee served a ninety-page set of interrogatories and requests to admit
       on each of the individual members of the Appellant Group, rather than serving it on
       their attorney, Mr. Putter. The Court reserved ruling on the request for sanctions
       pending Appellant Group=s completion of discovery related to the motion for
       sanctions. The motion for sanctions requests sanctions not only for the Aindividual
       discovery@ incident, but also for an asserted Apattern and practice@ of using civil
       procedure and Aother devices@ to induce the members of the Appellant Group to
       abandon their claims in this case.
As to Appellee=s Motion for a Protective Order limiting the Appellant Group=s discovery, the
Court ruled in the November 1998 Order as follows:
               This Court can only act on matters within its jurisdiction. Therefore, Appellant
       Group may only have discovery in this Court of Appellee=s or its agents= actions
       respecting litigation before this Court. The discovery may extend beyond
       investigation of the Aindividual discovery@ incident and may extend to the patterns
       and practices of discovery and other devices used by Appellee in this appeal
       (whether represented by present or by former counsel) and, if there are any, in any
       prior cases in this Court involving both this Appellee and any of the members of this
       Appellant Group. If any of the discovery relates to claims which may be cognizable
       instead in Superior Court, the Appellant Group and its attorney may have available
       to them V.R.C.P. 27(a) if such claim cannot now be brought, but any application or
       motion must be made to the Superior Court.
               If the parties remain concerned that at the deposition they will not be able to


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       agree on the scope of the deposition of Mr. Hauben, even with the guidance of the
       above ruling, then they may schedule the deposition for a day on which Judge
       Wright is available . . . to rule on any such disputes.
Because the November 1998 Order did not resolve the scope of discovery on the two
issues now before the Court, they are addressed in the present order.


Discovery Topics 2 and 3
       A court can only direct discovery into allegedly sanctionable acts if the court would
have the authority to impose sanctions for the conduct. A trial court has authority to
impose sanctions on attorneys and parties pursuant to at least V.R.C.P. 11 and 37, in
addition to the court=s inherent power. See Chambers v. NASCO, Inc., 501 U.S. 32 (1991).
       Vermont Rule of Civil Procedure 11 governs the submissions of pleadings, motions
and other papers in court proceedings. It states that the attorney (or unrepresented party)
filing the papers certifies that they are not being presented to the court for any improper
purpose, such as to harass the other parties or to delay the litigation. Rule 11 allows the
court to Aimpose an appropriate sanction upon the attorneys, law firms, or parties@ filing
the papers, if the court determines that the filings were frivolous or were submitted for an
improper purpose. Rule 11 may apply to discovery topics 1 and 4, but it does not apply to
discovery topics 2 and 3 because the allegedly sanctionable conduct does not involve the
submission of any pleadings, motions or other papers in any court-related proceedings.
       Vermont Rule of Civil Procedure 37 provides that a court may impose sanctions on
a party or the attorney advising that party for failure to obey a court order requiring the
party to provide discovery. Rule 37 does not apply to discovery topics 2 and 3 because the
allegedly sanctionable conduct was not the subject of a court discovery order.
       Courts also may exercise an inherent power to impose sanctions for acts which
abuse the judicial process and thereby degrade the judicial system, but which are beyond
the scope of the rules. These inherent powers include the power to discipline attorneys, to
punish for contempt, to vacate an order procured by fraud, to bar a disruptive person from
the courtroom, to dismiss a suit for failure to prosecute, and, in appropriate cases, to
assess attorney=s fees against a party or against counsel. See discussion of these powers

                                              4
in Chambers v. NASCO, Inc., 501 U.S. 32, at 43-46. However, A[b]ecause of their very
potency, inherent powers must be exercised with restraint and discretion.@ Id. at 444. And
see, In re Sherman Hollow, Inc., 160 Vt. 627 (1993); Van Eps v. Johnston, 150 Vt. 553
(1988).
       The conduct which was the subject of the sanctions in Chambers v. NASCO, Inc.
included a party=s actions to deprive the court of jurisdiction by fraudulent transfers of
property, and tactics of Adelay, oppression, harassment and massive expense@ by which a
party attempted to reduce the other Ato exhausted compliance.@ NASCO, Inc. v. Calcasieu
Television & Radio, Inc., 124 F.R.D. 120, 138 (1989).
       By contrast, the conduct about which the Appellant Group seeks the contested
discovery would not support sanctions under the inherent power in the present case,
unless it was conducted by Appellee=s counsel in violation of a disciplinary rule, although
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we leave open the possibility that it might support an independent civil or even criminal
cause of action. That is, the asserted conduct, even if conducted with the asserted motive
of discouraging members of the Appellant Group from persisting with their appeal, does not
implicate either disrespect for the authority of the Court or disobedience to its orders,
except to the extent that it may have been conducted by or directed by Appellee=s counsel
at the time.

3 This decision specifically takes no position and makes no ruling as to whether any of
the asserted conduct could support an independent civil claim for defamation, abuse of
process, intentional infliction of emotional distress, or any other tort; whether it could
support a criminal prosecution for witness intimidation under 13 V.S.A. '3015; or even
whether evidence of it could have been admissible in the trial on the merits of the
appeal in this court. E.g., Chatfield v. Morgan, 99 Vt. 337 (1926) (in tort action,
defendant=s letter threatening plaintiff with dire consequences unless suit was
discontinued, held admissible over objection of immateriality).




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       The Appellant Group seeks discovery regarding Appellee=s use of the media,
                                                                    4
including the issuance of press releases, to Ainfluence the litigation @ (then pending before
this Court) and to influence the Appellant Group. A litigant=s airing of issues regarding
pending litigation in a civil non-jury case such as this one may be intended to influence
public opinion, and may have been intended to discourage individuals from joining in the
Appellant Group, but such conduct is not prohibited by any statute or court rule, unless it
was done or directed to be done by the litigant=s attorney. Nor did this Court issue any
protective orders to prevent anyone from discussing any aspects of this case.
       A litigant=s attorney in a civil action is somewhat more constrained, by Disciplinary
Rule 7-107(G). That Rule requires that
              A lawyer or law firm associated with a civil action shall not during its
       investigation or litigation make or participate in making an extrajudicial statement,
       other than a quotation from or reference to public records, that a reasonable person
       would expect to be disseminated by means of public communication and that
       relates to:
       (1) Evidence regarding the occurrence or transaction involved.
       (2) The character, credibility, or criminal record of a party, witness, or prospective
       witness.
       (3) The performance or results of any examinations or tests or the refusal or failure
       of a party to submit to such.
       (4) [The lawyer=s] opinion as to the merits of the claims or defenses of a party,
       except as required by law or administrative rule.
       (5) Any other matter reasonably likely to interfere with a fair trial of the action.

Accordingly, the Appellant Group may conduct discovery under topic 3 limited to
determining Appellee=s former or present counsel=s actions in making or participating in
making the contested extrajudicial statements.
       The Appellant Group also seeks discovery to ascertain the facts surrounding the
acquisition and use of credit reports of Mr. Sparkman and telephone records of Mr.
Sparkman, attorneys and others they believed to be working with him to oppose the permit
at issue in the underlying appeal. Again, this asserted conduct, even if conducted by


4 We assume that the Appellant Group is referring to efforts to influence public opinion
or the willingness of the members of the Appellant Group to participate in this litigation,
and not to any expectation that media reports would have any influence upon the Court.


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Appellee=s agents with the asserted motive of preparing to challenge statements
anticipated to be made by Mr. Sparkman at his deposition, does not implicate either
disrespect for the authority of the Court or disobedience to its orders.
       However, again, Appellee=s attorneys are held to the standards of the disciplinary
rules, both in publicizing this information as discussed above, and in gathering and using
the information. Disciplinary Rule 7-102(A) provides that, in representing a client, a lawyer
shall not:
       (1) File a suit, assert a position, conduct a defense, delay a trial, or take other action
       on behalf of [the] client when [the lawyer] knows or when it is obvious that such
       action would serve merely to harass or maliciously injure another.
       *       *        *
       (5) Knowingly make a false statement of . . . fact.
       *       *        *
       (7) Counsel or assist [the] client in conduct that the lawyer knows to be illegal or
       fraudulent.
Accordingly, the Appellant Group may conduct discovery under topic 3 limited to the
following three areas: 1) to determine the legality of Appellee=s agents= acquisition of the
contested records and the accuracy of those records, 2) if illegal, to determine Appellee=s
former or present counsel=s actions, if any, in counseling or assisting the client and 3) if
inaccurate, to determine Appellee=s former or present counsel=s actions, if any,               in
asserting any position, making any statement, or taking any other action based on those
records.


       On or before April 10, 2000, the parties shall file with the Court either a stipulated
schedule for discovery on and briefing of the motions for sanctions, or shall each file with
the Court their proposed schedules for discovery and briefing of their respective motions
for sanctions.


       Done at Barre, Vermont, this 29th day of March, 2000.



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Merideth Wright
Environmental Judge




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