                           UNITED STATES DISTRICT COURT
                           FOR THE DISTRICT OF COLUMBIA

GREGORY SMITH,

            Plaintiff,

      v.                                                         Civil Action No. 15-161
                                                                        ABJ/DAR
DISTRICT OF COLUMBIA, et al.,

            Defendants.


                                 MEMORANDUM OPINION

       Plaintiff, Gregory Smith, brought this civil rights action in the Superior Court of the

District of Columbia alleging that the District of Columbia Department of Corrections (“DOC”)

unlawfully detained him for 23 days after he was ordered to be released from custody. Amended

Complaint (ECF No. 36) at 1. Defendants subsequently removed the case to this court. Notice

of Removal (ECF No. 1). Plaintiff dismissed the DOC as a defendant on February 27, 2015,

leaving the District of Columbia (“the District”), and DOC employees Jack Jones and Jeanette

Myrick as the remaining defendants. This case was referred to the undersigned for determination

of Plaintiff’s Motion for Costs and Fees (ECF No. 39), wherein Plaintiff alleges various

discovery violations by the District and seeks sanctions pursuant to Federal Rule of Civil

Procedure 37. See Plaintiff’s Statement of Points and Authorities in Support of Plaintiff’s

Motion for Costs and Fees (“Plaintiff’s P&A”) (ECF No. 39-1).


BACKGROUND

       The Court (Jackson, J.), entered a scheduling order on March 10, 2015, establishing the

deadlines governing the course of discovery in this proceeding. See Scheduling Order (ECF No.

13). During the discovery period, Plaintiff sought, inter alia, two main types of materials
Smith v. District of Columbia, et al.                                                                             2


pertaining to the instant motion: data from the District’s electronic transaction management

system (“TMS”), and “over-detention reports” compiled by the DOC. Plaintiff’s P&A at 1–2. 1


         Over-Detention Reports

         Plaintiff served Defendants with his first request for production of documents on March

27, 2015. Plaintiff’s P&A at 4. In that request, Plaintiff sought “all reports prepared by the

District of Columbia relating to overdetention of inmates at the D.C. Jail between March 1, 2007

and April 10, 2014.” Id. at 5. The District responded to this request on September 1, 2015,

pointing Plaintiff toward its prior response to Plaintiff’s Interrogatory No. 2, which had provided

a table listing the number of over-detentions by month. Id.; Exhibit 6, District’s Responses to

Plaintiff’s Request for Production of Documents and Interrogatories (ECF No. 39-7). On

September 25, 2015, Plaintiff served a second request for the production of documents, slightly

rephrasing his request for “[a]ll release discrepancy reports from March 2009 through April

2014.” Exhibit 8, Response to Plaintiff’s Second Set of Requests for Production of Documents

(ECF No. 39-9) at 2. Plaintiff followed up on October 7, 2015, noting that Plaintiff was seeking

“all reports prepared by the District of Columbia relating to the over-detention of inmates,” and

that “[d]espite the acknowledgement of the existence of the monthly reports . . . the monthly

reports have not been produced.” Exhibit 7, Plaintiff Letter to District of Columbia (ECF No.

39-8) at 1. In response, the District directed Plaintiff to a website for the District of Columbia’s

Judiciary and Public Safety on November 22, 2015. Exhibit 8 at 2.

         Plaintiff subsequently noticed a deposition pursuant to Federal Rule of Civil Procedure

30(b)(6) outlining, inter alia, the following topics:


1
 The term “over-detention reports” refers to reports authored by DOC personnel following “each incident of an
overdetention[.]” See Exhibit 11, Jeanette Myrick Deposition I (Relating to Overdetention Reports) (ECF No. 39-
12) at 5.
Smith v. District of Columbia, et al.                                                                3


         10.      Prisoner overdetention at the DC Jail between March 18, 2009 and April
                  10, 2014.
                  a)     All sources of information relied upon in answering Plaintiff’s
                         Interrogatory No. 2.
                  b)     The definition of “overdetention” used in responding to Plaintiff’s
                         Interrogatory No. 2.
                  c)     All policies to decrease the instances overdetention of prisoners
                         between March 18, 2009 and April 10, 2014.
                  d)     All policies to prevent the overdetention of prisoners in place on
                         March 2014.
                  e)     All reports and/or written statements made by the Department of
                         Corrections relating to prisoner overdetention between March 18,
                         2009 and April 10, 2014.

Rule 30(b)(6) Deposition Notice (ECF No. 39-10) at 4–5. In addition to noticing those topics,

Plaintiff requested that the deponent designated by the District provide “[a]ll reports published

by the Department of Corrections relating to prisoner overdetention between March 18, 2009 and

April 10, 2014.” The 30(b)(6) deposition was held on November 23, 2015, and the District’s

designee, Defendant Jeanette Myrick, appeared and testified as to the over-detention reports, but

did not bring the requested documents with her to the deposition. Exhibit 11, Jeanette Myrick

Deposition I (Relating to Overdetention Reports) (ECF No. 39-12) at 2–3. Ms. Myrick testified

that she authors over-detention reports and keeps electronic versions of said reports in a folder on

her computer. Id. at 4.

         On December 6, 2015, Plaintiff submitted to the District his third request for documents,

specifically identifying the reports contained on Ms. Myrick’s computer. Plaintiff’s P&A at 8.

On January 27, 2016, the District produced said reports. Id.


         TMS Data

         Plaintiff first learned of the existence of the TMS data during the December 14, 2015

deposition of Defendant Jack Jones, an employee of the DOC. Plaintiff’s P&A at 3. Mr. Jones

testified that when the Records Office receives documents such as release orders from the D.C.
Smith v. District of Columbia, et al.                                                                4


Superior Court, such documents are uploaded into the TMS system. Id. The TMS system also

indicates the time at which such documents are uploaded. Id. Plaintiff made his first request for

the TMS data during the deposition. Id. Plaintiff followed up his initial request for the TMS

data with an email request to the District on January 4, 2016. Exhibit 2, Plaintiff Email to

District of Columbia (ECF No. 39-3) at 1. In this email, Plaintiff requested “screenshots of the

TMS system indicating when the release orders (for cases 2014 CMD 452 and 2012 CMD 7806)

were uploaded for [Plaintiff] into the TMS system.” Id. Alternatively, Plaintiff requested access

to inspect the TMS system with regard to the cases pertaining to each of Plaintiff’s releases. Id.

         On January 29, 2016, the parties filed a Joint Status Report with the Court, wherein the

District stated that it “anticipates . . . full compliance with the requested discovery [of TMS data]

in two (2) weeks.” Joint Status Report (ECF No. 27) at 2. The Joint Status Report also

requested an extension of fact discovery until February 12, 2016. Id. at 2. On the final day of

the fact discovery period, the District sent Plaintiff an email stating “[w]e have been advised that

the TMI [sic] information you requested does not exist.” Exhibit 1, District Email to Plaintiff

(ECF No. 39-2) at 1. The parties held a teleconference that same day, after which the Court

(Jackson, J.) extended fact discovery until February 26, 2016. 01/12/2016 Minute Order.

         Plaintiff noticed a second deposition pursuant to Rule 30(b)(6) in relation to the retention

and preservation of the TMS data. Exhibit 5, Deposition Notice Regarding TMS Data (ECF No.

39-6). This notice included, inter alia, the following topics: “[t]he existence of data and/or

information in the TMS system as it related to [Plaintiff] (for cases 2014 CMD 452 and 2012

CMD 7806)”; “[t]he retention policy for data contained in the TMS system during March and

April 2014”; “[t]he search performed by DOC to obtain data and/or information from the TMS

system as it relates to [Plaintiff] (for cases 2014 CMD 452 and 2012 CMD 7806)”; and “[t]he
Smith v. District of Columbia, et al.                                                                   5


existence of backup data from the TMS system.” Id. at 2. On March 4, 2016, the day of the

deposition, the District provided Plaintiff with TMS data pertaining to 2014 CMD 452, but not

2012 CMD 7806. Plaintiff’s P&A at 4. Fact discovery subsequently closed on March 11, 2016.


CONTENTIONS OF THE PARTIES

         Rule 37(c)(1) Violations

         Plaintiff argues that the District violated Federal Rule of Civil Procedure 26(a)(1) when it

failed to initially disclose the TMS data, id. at 9, and the over-detention reports, id. at 15.

According to Plaintiff, “the District’s only purported defense in this matter is the claim that it did

not receive the release order relating to [Plaintiff],” and therefore “the District was required to

disclose all information relating to the TMS system under Fed. R. Civ. P. 26(a)(1).” Id. at 9.

Additionally, Plaintiff alleges that the District went further than simply failing to disclose the

TMS data—it made a “false representation” regarding its existence. Id.

         Plaintiff also argues that the District violated Rule 28(e) when it failed to supplement its

response to Interrogatory No. 2 with the actual over-detention reports that were eventually

produced in January 2016. See id. at 14. Plaintiff notes that Defendant Myrick answered

Interrogatory No. 2 with a table containing the number of over-detentions, which was “data that

directly contradicted the ‘overdetention reports’ she authored and [which] were contained on her

computer.” See id. at 12, 14; District’s Responses to Plaintiff’s Request for Production of

Documents and Interrogatories, Exhibit 6, at 5–8. Plaintiff points out that Ms. Myrick was both

the author of the actual reports, and the person who “signed the interrogatory responses under

oath.” Id. at 14. As such, there is “no good faith basis for the District’s failure to disclose the

overdetention reports contained on Ms. Myrick’s computer for the ten months Plaintiff

repeatedly requested the reports.” Id. Plaintiff argues that these failures to disclose under Rule
Smith v. District of Columbia, et al.                                                                   6


26(a)(1) and failures to supplement under Rule 28(e) amount to violations of Rule 37(c)(1) and

therefore require that sanctions be levied against the District.

         The District argues that sanctions under Rule 37(c)(1) are inappropriate because Plaintiff

“has not shown that the District violated any discovery rule under Rule 26(a) or 26(e).”

Defendant District of Columbia’s Memorandum of Points and Authorities in Opposition to

Plaintiff’s Motion for Costs and Fees (“Defendant’s Opposition”) (ECF No. 40) at 6. Because

the District eventually provided all the requested material to Plaintiff, there is no cause for the

Court to order sanctions. See id.


         Rule 37(d) Violations

         In addition to sanctions for the alleged violations of Rule 37(c) for failure to disclose or

supplement, Plaintiff also seeks sanctions based on the District’s purported violation of Rule

37(d) for “failure to prepare its 30(b)(6) witness” with regard to both the over-detention reports,

Plaintiff’s P&A at 13, and the TMS data, id. at 4; Plaintiff’s Reply Brief in Support of Plaintiff’s

Motion for Costs and Fees (“Plaintiff’s Reply”) (ECF No. 41) at 6–7. Plaintiff argues that Ms.

Myrick was unprepared for both Rule 30(b)(6) depositions because: (1) Ms. Myrick “did not

bring any documents responsive to the deposition notice,” nor did she “perform any search for

documents responsive to this request”; Plaintiff’s P&A at 13, and (2) Ms. Myrick “did not

produce, or even search for any documents relating to the deposition on TMS system data as it

related to case no. 2012 CMD 7806”; Plaintiff’s Reply at 6.

         The District contends that Rule 37(d) sanctions are not appropriate in this case because

“the District’s 30(b)(6) witnesses appeared at deposition, and Ms. Myrick appeared twice.”

Defendant’s Opposition at 8. Therefore, since the designated witness was present for the

30(b)(6) deposition, there is no underlying violation sufficient to warrant Rule 37(d) sanction.
Smith v. District of Columbia, et al.                                                                     7


         Scope of Sanctions

         Based on these allegations, Plaintiff contends that he is entitled to sanctions against the

District in three forms: (1) costs and fees related to the additional discovery and Plaintiff’s

bringing of the instant motion, (2) an order precluding Defendants from using the TMS data in a

motion, hearing, or at trial, and (3) an order informing the jury that the District failed to disclose

the TMS data and over-detention reports in a timely manner. See Proposed Order (ECF No. 39-

16) at 1.

         The District, while still denying that Plaintiff is entitled to any sanction, takes particular

issue with Plaintiff’s request for attorneys’ fees. Defendant’s Opposition at 9–15. The District

argues that if Plaintiff is to be awarded any attorneys’ fees, the rates should be determined by the

United States Attorney Office (“USAO”) Laffey Matrix rather than Plaintiff’s Legal Services

Index (“LSI”) Laffey rates. Id. at 12–13. Additionally, the District contends that any fee award

should be reduced due to inaccurate entries in the records that Plaintiff’s counsel has provided.

Id. at 14–15.

         Plaintiff replies that the LSI-Laffey Matrix is a “better measure of the change in prices for

legal services in Washington D.C.” than the USAO Laffey Matrix. Plaintiff’s Reply at 12.

Plaintiff also explained that any inaccuracies in counsel’s records was a result of typographical

error. Id. at 11.


APPLICABLE STANDARDS

         Federal Rule of Civil Procedure 37(c)(1) states:

            (1) Failure to Disclose or Supplement. If a party fails to provide information
            or identify a witness as required by Rule 26(a) or (e), the party is not allowed
            to use that information or witness to supply evidence on a motion, at a
            hearing, or at a trial, unless the failure was substantially justified or is
            harmless. In addition to or instead of this sanction, the court, on motion and
            after giving an opportunity to be heard:
Smith v. District of Columbia, et al.                                                               8


                  (A) may order payment of the reasonable expenses, including attorney’s
                  fees, caused by the failure;

                  (B) may inform the jury of the party’s failure; and

                  (C) may impose other appropriate sanctions, including any of the orders
                  listed in Rule 37(b)(2)(A)(i)-(vi).

Fed. R. Civ. P. 37(c)(1). “Rule 37(c)(1) is a self-executing sanction, and the motive or reason for

the failure is irrelevant. It therefore is unnecessary to decide whether the [Defendant] acted in

bad faith . . . or was simply sloppy in its search for relevant documents and in assisting its

litigation counsel in responding to interrogatories.” Norden v. Samper, 544 F. Supp. 2d 43, 49–

50 (D.D.C. 2008) (quoting Elion v. Jackson, No. 05-0992, 2006 WL 2583694, at *1 (D.D.C.

Sept. 8, 2006)). Additionally, “[t]he burden of showing substantial justification and special

circumstances is on the party being sanctioned.” Banks v. Vilsack, 292 F.R.D. 158, 160 (D.D.C.

2013) (citation omitted). Before the sanctioned party is required to provide such justification,

however, “the initial burden is on the movant to show that the [evidence] was undisclosed.”

Romero v. ITW Food Equipment Group LLC, 289 F.R.D. 387, 388 (D.D.C. 2013) (citation

omitted); see also DL v. District of Columbia, 274 F.R.D. 320, 325 (D.D.C. 2011) (“[O]nce the

party seeking sanctions has shown a violation of Rule 26(e), the party facing possible sanctions

must prove that its failure to comply with the rule was substantially justified or is harmless.”)

(internal quotation marks omitted).

         Federal Rule of Civil Procedure 37(d)(1) states:

            (A) Motion; Grounds for Sanctions. The court where the action is pending
                may, on motion, order sanctions if:
                (i)    a party or a party’s officer, director, or managing agent—or a
                       person designated under Rule 30(b)(6) or 31(a)(4)—fails, after
                       being served with proper notice, to appear for that person’s
                       deposition.
Smith v. District of Columbia, et al.                                                                     9


Fed. R. Civ. P. 37(d)(1). This court has held that a party’s “failure to educate its Rule 30(b)(6)

witness with respect to . . . every one of the . . . deposition topics was significant, conscious and

material to plaintiff’s discovery of their case and, therefore . . . [the defendant] effectively failed

to appear for the purposes of Rule 37(d).” In re Vitamins Antitrust Litigation, 216 F.R.D. 168,

174 (D.D.C. 2003).

         Once a court decides to sanction a party, it must then calibrate the extent of the sanction

“guided by the concept of proportionality between the offense and sanction” such that any

sanction is just. See DL, 274 F.R.D. at 325 (citing Bonds v. District of Columbia, 93 F.3d 801,

808 (D.C. Cir. 1996)). Deterrence is a legitimate aim for the court’s use of sanctions “not merely

to penalize those whose conduct may be deemed to warrant such a sanction, but to deter those

who might be tempted to such conduct in the absence of such a deterrent.” National Hockey

League v. Metropolitan Hockey Club, Inc., 427 U.S. 639, 643 (1976).


ANALYSIS

         The undersigned finds that the District’s conduct constituted a violation of both Rule

26(e) and Rule 37(d) sufficient to warrant the imposition of sanctions against it. An analysis of

each violation and the appropriate sanction is outlined below.


         Rule 37(c)(1) Violations

         Plaintiff argues that the District’s failure to supplement its disclosure with regard to the

TMS data and the actual over-detention reports amount to a violation of Rule 26(e). The Court

agrees. Under Rule 26, a party who has already made a disclosure, either by means of an

interrogatory response or a request for production, must “supplement or correct its disclosure or

response . . . in a timely manner if the party learns that in some material respect the disclosure or

response is incomplete or incorrect.” Fed. R. Civ. P. 26(e)(1)(A) (emphasis added). The District
Smith v. District of Columbia, et al.                                                                10


responded to Plaintiff’s request for TMS by sending an email to Plaintiff’s counsel that stated,

“We have been advised that the TMI [sic] information you requested does not exist.” Exhibit 1,

District Email to Plaintiff (ECF No. 39-2) at 1. Assuming that the District was acting on an

incorrect, but sincerely held belief that the TMS data did not actually exist, it was still under an

obligation to supplement its response in a timely manner once the actual existence of the TMS

data became known.

         Plaintiff, acting on the assertion that the TMS data did not exist, noticed a 30(b)(6)

deposition on the spoliation of that data. It was only on the day of the deposition that a portion

of the TMS data was provided to Plaintiff. Even if, as Defendant contends, the District received

the TMS data on the morning of the deposition and “provided it as soon as it could do so,”

Defendant’s Opposition at 5, n.1, Plaintiff is entitled to the costs associated with taking the

deposition. The deposition was predicated on the inaccurate representation from the District that

the TMS data did not exist, and would not have been necessary had Defendant provided accurate

disclosure at the outset of discovery.

         Additionally, Rule 37(c)(1) allows for a party to avoid sanctions relating to the failure to

disclose or supplement by showing that “the failure was substantially justified or is harmless.”

Fed. R. Civ. P. 37(c)(1). Plaintiff asserted at the hearing on this motion that there was no

justification provided for the District’s misstatement regarding the purported non-existence of

the TMS data. Rather than argue that the misstatement or the delay in supplementing the TMS

data was justified in any way, counsel for Defendant raised for the first time at the hearing the

argument that it was under no obligation to provide the TMS data to Plaintiff prior to the

30(b)(6) deposition because Plaintiff had not submitted an official document request.
Smith v. District of Columbia, et al.                                                                             11


         The undersigned finds that this argument is unpersuasive for several reasons. In the first

instance, the District was on notice that Plaintiff was seeking the TMS data in December 2015

when Plaintiff deposed Mr. Jones and first learned of the TMS system. Exhibit 10, Deposition of

Jack Jones (ECF No. 39-11) at 8 (“Plaintiff will be requesting the TMS, the native data format

which indicates, as the testimony indicated, that it shows the upload date for each document

when it’s uploaded.”). Most dissuasive, however, is the fact that the District had agreed to

provide TMS data to Plaintiff within “two (2) weeks” of the Joint Status Report submitted to the

Court on January 29, 2016. See Joint Status Report (ECF No. 27) at 2. The District cannot

simultaneously hold that it has complied with its disclosure requirement by informing Plaintiff

that the TMS data did not exist on February 12, 2016, while at the same time contend that it was

under no obligation to provide any TMS data until it received the notice of the second 30(b)(6)

deposition. Because the District previously informed the Court that it would comply with a

recognized request for TMS data in January, its argument that it was under no such obligation

until February is without merit.

         Accordingly, the undersigned finds that the District has violated its discovery obligations

under Rule 26(e) in failing to timely supplement its misrepresentation that the TMS data did not

exist and will, therefore, award Plaintiff fees and costs associated with his pursuit of the TMS

data. The District’s argument that its disclosure of the TMS data “before the deposition”

fulfilled its obligation is similarly unpersuasive. Defendant’s Opposition at 6 (emphasis in

original). Plaintiff received some of the TMS data on the morning of the deposition, and—as the

District conceded at the hearing on this motion—would have already expended both the costs of

holding the deposition and the fees associated with counsels’ preparation for the deposition. 2


2
 Plaintiff maintains that he has still not been provided “any TMS data with regard to case no. 2014 CMD 7806.”
Plaintiff’s Reply at 7. The undersigned views this statement as one containing a typographical error that should read
Smith v. District of Columbia, et al.                                                                      12


         Plaintiff’s second allegation revolves around a ten-month delay in the production of over-

detention reports. The District argues that it comported with the requirements of Rule 26(e)

when it supplemented its disclosure several times throughout the discovery period. See

Defendant’s Opposition at 6. The undersigned finds, however, that such supplementation was

insufficient to comply with Rule 26. Plaintiff has been consistent in seeking over-detention

reports. Plaintiff’s first response for production of documents in March 2015 sought “all reports

prepared by the District of Columbia relating to overdetention of inmates at the D.C. Jail

between March 1, 2007 and April 10, 2014.” Plaintiff’s P&A at 5; Defendant’s Opposition at 6.

The District admits that, in response, it did not provide the reports themselves, but instead

pointed to the answer to Interrogatory No. 2, which contained “a table purporting to identify the

number of overdetentions occurring by month between March 2009 through April 2014.”

Defendant’s Opposition at 6.

         Plaintiff then tried again in his second request for production of documents in September

2015, seeking “discrepancy reports from March 2009 through April 2014.” Plaintiff’s P&A at 5;

Defendant’s Opposition at 6. While the wording is slightly different, counsel for the District

conceded at the hearing that when Plaintiff requested “discrepancy reports,” counsel understood

that to mean that Plaintiff was requesting over-detention reports. Still, the District failed to

produce the actual reports, even though such reports were authored and stored by the same

designated 30(b)(6) witness who had provided the answer to Interrogatory No. 2—namely Ms.

Myrick. It was only at the 30(b)(6) deposition that Plaintiff learned that actual over-detention

reports existed and propounded a third request for the production of documents listing the actual

reports contained on Ms. Myrick’s computer. Only then did the District produce the reports.


“2012 CMD 7806” so as to adequately differentiate it from any TMS data relating to case number 2014 CMD 452,
which has been provided to Plaintiff.
Smith v. District of Columbia, et al.                                                                   13


         As in the case of the TMS data, the District offers no explanation or attempted

justification for why it failed to produce the over-detention reports that Plaintiff requested.

Rather, the District argues that it adequately supplemented its disclosures. Defendant’s

Opposition at 6. The undersigned finds that while the District did attempt to supplement its

disclosure, it failed to provide the actual reports as Plaintiff repeatedly requested. Accordingly,

the District did not satisfy its obligations under Rule 26(e), and therefore Plaintiff is entitled to a

sanction of costs and fees associated with the extended discovery needed to obtain the over-

detention reports.


         Rule 37(d) Violations

         Plaintiff alleges that the District, in addition to violating Rule 37(c), failed to properly

educate a designated 30(b)(6) witness in violation of Rule 37(d). Plaintiff noticed two 30(b)(6)

deposition and the District designated Ms. Myrick as the witness for both depositions. Plaintiff

argues that Ms. Myrick’s failure to search for or bring the over-detention reports to the first

deposition, and her failure to search for or bring TMS data related to case number 2012 CMD

7806 to the second deposition, amount to violations of Rule 37(d).

         With regard to the first deposition regarding over-detention reports, the undersigned does

not agree that Ms. Myrick was a “woefully unprepared” designated witness – i.e. one who

“knows nothing about the topics and does nothing to inform [herself] about them.” See Covad

Communications Co. v. Revonet, Inc., 267 F.R.D. 14, 25 (D.D.C. 2010). Indeed, Plaintiff has

reduced his request for fees and costs associated with the first 30(b)(6) deposition because

“although Ms. Myrick was not prepared to testify on the overdetention reports, she did testify on

topics other than the overdetention reports.” Declaration in Support of Plaintiff’s Motion for

Costs and Fees (“Klaproth Declaration”) (ECF No. 39-14) at 5, n.2. This court has held that
Smith v. District of Columbia, et al.                                                                            14


“[i]gnorance in one area, provided it is professed in good faith, may lead to additional 30(b)(6)

witnesses, but it should not lead to sanctions that should be reserved for the ‘bandying’ that the

courts have found unacceptable. Covad, 267 F.R.D. at 25–26. Plaintiff’s main concern appears

to be the failure by the District to disclose the over-detention reports themselves, rather than Ms.

Myrick’s failure to testify about them. The undersigned notes that since sanctions will be

awarded based on the District’s violation of Rule 37(c)(1), Ms. Myrick’s failure to bring the

over-detention reports with her to the first 30(b)(6) deposition does not, in and of itself, warrant

the imposition of additional sanctions against the District.

         The District’s conduct regarding the second 30(b)(6) deposition, however, is more

troubling. Once again Ms. Myrick was the designated witness on the subject of the TMS data,

and once again, Ms. Myrick failed to bring, or even search for, the TMS data related to case

number 2012 CMD 7806. When asked why she did not review the requested material Ms.

Myrick stated “I had no reason to.” Exhibit 12, Jeanette Myrick Deposition II (ECF No. 39-13)

at 4. Ms. Myrick stated that she was aware of the documents that Plaintiff had requested in his

deposition notice, but failed to provide any explanation for her failure to review or bring those

documents with her. Id. at 3–4.

         As the court has noted, “[m]onetary sanctions are mandatory under Rule 37(d) for failure

to appear by means of wholly failing to educate a Rule 30(b)(6) witness, unless the conduct was

substantially justified.” In re Vitamins Antitrust Litigation, 216 F.R.D. at 174. In its written

filings, the District offers no justification for Ms. Myrick’s failure to adequately prepare, stating

simply “the District’s 30(b)(6) witnesses appeared at the deposition, and Ms. Myrick appeared

twice.” Defendant’s Opposition at 8. 3 In this case, some justification is required. Plaintiff


3
 At the hearing on this motion, the District argued that Ms. Myrick was in fact prepared for the deposition because
she helped prepare the requested discovery material for disclosure. This does not, however, address Ms. Myrick’s
Smith v. District of Columbia, et al.                                                                         15


deposition notice include only two topic areas, see Exhibit 5, Deposition Notice Regarding TMS

Data (ECF No. 39-6), and yet Ms. Myrick failed to review one of the two documents pertaining

to Plaintiff. Accordingly, the undersigned finds that sanctions pursuant to Rule 37(d) are

appropriate.


         Scope of Sanctions

         Plaintiff seeks sanctions in three forms: (1) costs and fees related to the additional

discovery and Plaintiff’s bringing of the instant motion, (2) an order precluding the District from

using the TMS data in a motion, hearing, or at trial, and (3) an order informing the jury that the

District failed to disclose the TMS data and over-detention reports in a timely manner. “District

courts are entrusted with broad discretion regarding whether to impose sanctions under Rule 37

and the nature of any sanctions to be imposed.” Banks v. Office of the Senate Sergeant-At-Arms,

241 F.R.D. 370 (D.D.C. 2007).

         Here, the undersigned finds that an order informing the jury about the District’s discovery

failures is reserved for cases in which violations are more extreme than the present instance.

Additionally, an order precluding the use of all TMS data would not be appropriate since TMS

data regarding case number 2014 CMD 452 was provided to Plaintiff, albeit belatedly.

Therefore, since the District has not provided Plaintiff with the TMS data relating to case number

2012 CMD 7806, the District shall be precluded only from using TMS data related to case

number 2012 CMD 7806 in any motion, at a hearing, or at trial. Finally, the undersigned finds

that in the interest of deterrence, the District shall pay Plaintiff’s costs and fees associated with




admitted failure to search for and review the TMS data with regard to 2012 CMD 7806 prior to her second 30(b)(6)
deposition.
Smith v. District of Columbia, et al.                                                                16


the additional discovery required, and Plaintiff’s efforts to recover those costs and fees in this

action.


          Attorneys’ Fees and Costs

          The final dispute in this matter regards Plaintiff’s requested attorney fee award. The

District challenges both the applicable rate, as well as the number of hours claimed in Plaintiff’s

Motion. The undersigned notes that “a district court has broad discretion in determining the size

of an expenses award under Rule 37.” Beck v. Test Masters Educational Services, Inc., 289

F.R.D. 374, 382 (D.D.C. 2013) (citing Tequila Centinela, S.A. de C.V. v. Bacardi & Co., 248

F.R.D. 64, 68 (D.D.C. 2008)). When determining the proper size of the award, “the Court uses

the lodestar method, multiplying a reasonably hourly rate by the reasonable number of hours

expended.” Id.

          With regard to the reasonableness of the hourly rate, the District argues that the rates

Plaintiff has requested “are excessive, unreasonable and would constitute a windfall for

Plaintiff’s counsel.” Defendant’s Opposition at 11. “Reasonable rates are those in line with

those prevailing in the community for similar services by lawyers of reasonably comparable

skill, experience, and reputation.” Beck, 289 F.R.D. at 383 (quoting Covington v. District of

Columbia, 57 F.3d 1101, 1109 (D.C. Cir. 1995)) (internal quotation marks omitted). While the

burden is on the moving party to demonstrate the reasonableness of the rates requested, Plaintiff

may satisfy that burden by “point[ing] to such evidence as an updated version of the Laffey

matrix—a schedule of charges based on an attorney’s experience developed in Laffey v.

Northwest Airlines, Inc., 572 F. Supp. 354 (D.D.C. 1983)—or the U.S. Attorney’s Office matrix,

or their own survey of prevailing market rates in the community.” Id.
Smith v. District of Columbia, et al.                                                               17


          Plaintiff notes that the LSI-Laffey rates were recently affirmed by this Circuit in another

case involving federal civil rights litigation. Klaproth Declaration at 5; Declaration of David

Akulian in Support of Plaintiff’s Motion for Costs and Fees (ECF No. 39-15) at 1. The D.C.

Circuit held that an award of LSI-Laffey rates in a civil rights action was not an abuse of the

District Court’s discretion. Salazar ex rel. Salazar v. District of Columbia, 809 F.3d 58, 64

(D.C. Cir. 2015). While the District argues that the USAO Laffey rates are more appropriate, it

fails to present sufficient evidence to rebut the reasonableness of the LSI-Laffey rates requested

by Plaintiff.

          The District cites several cases wherein courts in this district have awarded USAO Laffey

rates rather than LSI-Laffey rates. In addition, the District presents a Statement of Interest from

the United States, which argues that USAO Laffey rates should be the highest rates awarded for

attorney fees. See Statement of Interest of the United States (ECF No. 40-2). The undersigned,

notes, however, that this document was first filed in an unrelated case, Eley v. District of

Columbia, No. 11-0309, 2106 WL 4435187 (D.D.C. Aug. 22, 2016), prior to the Circuit’s ruling

in Salazar. While the Statement contends that LSI-Laffey rates are never appropriate in any type

of federal litigation, the document deals primarily with Individuals with Disabilities Education

Act (“IDEA”) cases. Id. As it predates Salazar, and deals mainly with rates for fees subject to a

fee-shifting statute rather than Rule 37 sanctions, the undersigned affords it relatively little

weight.

          Because Plaintiff has presented evidence that LSI-Laffey rates are the prevailing rates for

this type of complex federal litigation, and because the District has not provided sufficient

evidence to rebut this assertion, the Court will utilize its discretion to award Plaintiff attorneys’

fees corresponding to the hourly rate set forth in the LSI-Laffey matrix.
Smith v. District of Columbia, et al.                                                                          18


         Lastly, the District challenges the number of Plaintiff’s requested hours, arguing that

Plaintiff’s counsel has failed to keep accurate records. Defendant’s Opposition at 14–15. The

District cites to two specific entries as evidence of Plaintiff’s counsel’s inaccurate record

keeping. Id. at 15. 4 Plaintiff argues that any inaccuracies were based on typographical errors

and that Plaintiff’s counsel kept contemporaneously recorded time records. Plaintiff’s Reply at

11–12. The undersigned accepts that Plaintiff’s submitted records may contain typographical

errors that would not preclude reimbursement. As the District notes, however, some of

Plaintiff’s entries reflect activity that Plaintiff’s counsel would be required to perform regardless

of any misconduct by the District. Defendant’s Opposition at 15. Upon review of the records

submitted by Plaintiff, the undersigned has identified four entries that are not directly related to

the District’s discovery violations. See Cobell v. Babbitt, 188 F.R.D. 122, 127 (D.D.C. 1999)

(citing Westmoreland v. CBS, Inc., 770 F.2d 1168, 1179 (D.C. Cir. 1985)) (“A near ‘but for’

relationship must exist between the Rule 37 violation and the activity for which fees and

expenses are awarded.”). On the chart labeled “Time Incurred Obtaining TMS Data” the

undersigned will excise both entries on 1/4/2016 for a total reduction of 1.1 hours. Both entries

predate the District’s failure to supplement TMS data under Rule 26(e). Additionally, on the

chart labeled “Time Incurred Obtaining Overdetention Reports” the undersigned will excise the

3/27/2015 entry and the 1/27/2015 entry for a total reduction of 1.8 hours. Both entries reflect

activity that Plaintiff’s counsel would have been required to perform regardless of the District’s

failure to supplement under Rule 26(e).




4
 “[T]he table labeled ‘Time Incurred Obtaining Overdetention Reports’ contains the two following notable entries:
1/12/2015 – email re overdetention report – 0.2; and 1/27/2015 – review overdetention reports – 0.5.” Defendant’s
Opposition at 15.
Smith v. District of Columbia, et al.                                                                 19


         In total, the undersigned will reduce the applicable number of hours for Mr. Klaproth by

2.9. Accordingly, the Court will award Plaintiff attorneys’ fees accordingly:

                                           Rate      Hours Fee Award
                            Mr. Klaproth    $ 406.00   30.9 $ 12,545.40
                            Ms. Akulian     $ 661.00    8.9  $ 5,882.90
                            Total                           $ 18,428.30

In addition to fees, the Court will award Plaintiff the costs associated with both 30(b)(6)

depositions as requested by Plaintiff.


CONCLUSION

          Upon consideration of Plaintiff’s Motion, Defendant’s Opposition thereto, Plaintiff’s

Reply in support thereof, the arguments of the parties at the hearing held on September 14, 2016,

the entire record, and for the reasons outlined above, the undersigned finds that the District has

violated Federal Rule of Civil Procedure 37(c) and (d), and that Plaintiff is entitled to sanctions

against the District in the form of limited preclusion, as well as costs and fees. Plaintiff is not

entitled to sanctions in the form of an order informing the jury of the violations. Accordingly,

Plaintiff’s Motion for Costs and Fees (ECF No. 39) will be GRANTED IN PART and DENIED

IN PART.

         The Court, exercising its discretion in this matter, holds that the District will be precluded

from using TMS data relating to case number 2012 CMD 7806 in any motion, at a hearing, or at

trial. In addition, the District shall reimburse Plaintiff for attorneys’ fees in the amount of

$18,428.30, and costs in the amount of $454.93. An Order accompanying this Memorandum

Opinion will be issued contemporaneously.

                                                                             /s/
                                                               DEBORAH A. ROBINSON
                                                               United States Magistrate Judge
Date: December 6, 2016
