UNITED STATES
ENVIRONMENTAL PROTECTION AGENCY
BEFORE THE ADMINISTRATOR
IN THE MATTER OF )
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1836 REALTY CORPORATION, ) DOCKET NO. CWA-2-I-98-1017
)
)
)
RESPONDENT )
ORDER GRANTING THE COMPLAINANT'S MOTION IN LIMINE
TO EXCLUDE WITNESSES AND DOCUMENTS LISTED
IN RESPONDENT'S PREHEARING EXCHANGE
ORDER GRANTING THE COMPLAINANT'S MOTION TO STRIKE
RESPONDENT'S DEFENSE OF ABILITY TO PAY
ORDER DENYING THE COMPLAINANT'S MOTION
FOR EXTENSION OF TIME ON HEARING
Introduction
This civil administrative penalty proceeding arises under
Section 311(b)(6)(B)(ii) of the Federal Water Pollution Control
Act, commonly referred to as the Clean Water Act, as amended, 33
U.S.C. § 1321(b)(6)(B)(ii). This proceeding is governed by the
Consolidated Rules of Practice Governing the Administrative
Assessment of Civil Penalties and the Revocation or Suspension of
Permits (the "Rules of Practice"), 40 C.F.R. §§ 22.01-22.32.
The United States Environmental Protection Agency ("EPA" or
"Complainant") has filed a Complaint against 1836 Realty Corporation
("Respondent"), charging the Respondent with three counts of
violating the Clean Water Act and its implementing regulations at
40 C.F.R. Parts 110 and 112.(1) The EPA proposes a civil
administrative penalty of $54,133 for these alleged violations.
On December 8, 1998, the Complainant filed a Motion In Limine
To Exclude Witnesses And Documents Listed In Respondent's
Prehearing Exchange. Specifically, the EPA objects to the
Respondent calling the EPA's Regional Administrator for New England
John DeVillars, EPA Media Specialist Peyton Fleming, and Rhode
Island Department of Environmental Protection ("RI DEM") attorney
Brian Wagner as witnesses. The EPA moves for exclusion of these
witnesses. In addition, the EPA objects to the Respondent's
proposed Exhibits numbers 8 through 19. The Respondent opposes the
motion in limine.(2) For the reasons discussed below, the
Complainant's motion in limine to exclude certain witnesses and
documents will be granted.
On February 11, 1999, the Complainant filed a Motion To Strike
Respondent's Defense of Ability To Pay. The Respondent opposes the
motion to strike. For the reasons discussed below, the
Complainant's motion to strike the Respondent's defense of ability
to pay will be granted.
The Complainant's unopposed Motion For Extension of Time On
Hearing filed on March 26, 1999, will be denied.
Motion in Limine to Exclude Certain Witnesses
Mr. DeVillars
The EPA notes that in its prehearing exchange the Respondent
lists John DeVillars as a proposed witness. The EPA states that
Mr. John DeVillars is the Regional Administrator of the EPA's New
England office. According to the EPA, Mr. DeVillars, as the
Regional Administrator, is responsible for overseeing the
implementation of the many environmental programs conducted under
federal law throughout New England. In addition, he is formally
delegated the authority to initiate administrative penalty actions
in New England under various federal environmental statutes,
including the Clean Water Act. Section 311 of the Clean Water Act;
EPA Headquarters Delegation No. 2-52-A. The EPA argues that as a
result of the large number of matters with which the Regional
Administrator is involved, he is not able to be familiar with the
details of each particular matter, including the instant action.
Rather, the EPA maintains that the Regional Administrator must, of
necessity, rely upon his staff in the Region.
The EPA argues that Mr. DeVillars should be excluded as a
witness because he lacks first hand knowledge of the instant case
and the Respondent has not presented any extraordinary
circumstances that would overcome a presumption against having the
Regional Administrator, a high level EPA official, testify at
hearing. In support of this proposition, the EPA cites the case of
Simplex Time Recorder Co. v. Secretary of Labor, 766 F. 2d 575,
586 (D.C. Cir. 1985), wherein the court upheld an Administrative
Law Judge's order to strike four top Department of Labor officials
from a witness list. Relying on U.S. v. Morgan, 313 U.S. 409, 422
(1941), the court in Simplex found that "top executive department
officials should not, absent extraordinary circumstances, be called
to testify regarding their reasons for taking official actions."
See also Peoples v. United States Department of Agriculture, 427 F.
2d 561, 567 (D.C. Cir. 1970).
The EPA also cites the case of StanChem, Inc., Docket No. CWA-2-I-95-1040 (October 14, 1998, Order Granting In Part Renewed
Motion for Discovery), wherein an Administrative Law Judge, citing
U.S. v. Morgan, supra, U.S. v. Wheeling-Pittsburgh Steel
Corporation, Civil No. 79-1194 (D.C.W.D. Pa., Nov. 1984), and U.S.
v. Tenneco Chemicals, Inc., Civil No. 80-4141 (D.N.J. 1981), found
that "there is a presumption that agency heads and other high level
government officials are immune from deposition."
In response, the Respondent argues that the Simplex case is
factually distinguishable from the matter at hand because the
Respondent has not listed Mr. DeVillars as a witness to inquire
into prosecutorial discretion but rather he is listed because he
has personal knowledge of the facts in this case. In support of
this position, the Respondent proffers a March 19, 1998, EPA press
release wherein Mr. DeVillars is quoted several times making
statements concerning developments that occurred at the
Respondent's facility. Further, the Respondent avers that the
statements made by Mr. DeVillars directly influenced his staff to
ignore the penalty factors listed in Section 311 of the Clean Water
Act and assess a penalty that would symbolize the sentiment
expressed by Mr. DeVillars. The Respondent argues that in order to
prove that the penalty was influenced by Mr. DeVillars and, thus,
improperly calculated, the Respondent must be allowed to elicit
testimony from Mr. DeVillars.
I disagree with the Respondent's position, and I find the
EPA's arguments to be persuasive. In particular, I do not find the
Simplex case to be significantly distinguishable from the facts in
the instant matter. The fact that Mr. DeVillars, in his official
capacity as the EPA Regional Administrator for New England, was
quoted in an EPA press release concerning the alleged violation in
this matter does not demonstrate that he has sufficient knowledge
of the facts to warrant calling him as a witness.
Moreover, the Respondent's stated purpose for calling
Mr. DeVillars as a witness is to show his alleged influence on the
proposed penalty, which is not material to the matter before me and
is not probative of the Respondent's defense. As correctly pointed
out by the EPA, the deliberative processes of high Government
officials generally are privileged, thereby excluding them as
witnesses at hearing. The Respondent's memorandum indicates that it
wishes to question this EPA official on purely discretionary
decisions concerning enforcement of the Clean Water Act. It is
emphasized to the Respondent that in order for the EPA to prevail
as to its proposed penalty, the EPA must carry its burden of
presentation and persuasion to establish that the proposed penalty
is appropriate and meet its statutory and regulatory mandates that
the penalty be determined in accordance with the penalty factors
set forth in Section 311(b)(8) of the Clean Water Act and the
penalty guidelines issued under the Act. Sections 22.14(c), 22.24,
22.27(b) of the Rules of Practice, 40 C.F.R. §§ 22.14(c), 22.24,
22.27(b).
Accordingly, the Complainant's motion to exclude Mr. DeVillars
as a witness is granted.
Mr. Fleming
The EPA objects to having Mr. Peyton Fleming testify in this
case on the grounds that any testimony he would provide would be
irrelevant, immaterial, and of little probative value within the
meaning of Section 22.22(a) of the Rules of Practice, 40 C.F.R. §
22.22(a), and would also unnecessarily prolong the hearing. The
EPA states that Mr. Fleming is an EPA Media Specialist assigned to
the New England Regional Press Office and his duties primarily
concern the preparation of press releases on EPA actions, including
the initiation of enforcement cases. The EPA maintains that
Mr. Fleming does not investigate violations and has no decision-
making authority concerning EPA enforcement actions. Previously,
Mr. Fleming worked for the RI DEM as a media specialist and acted
as the spokesperson for the spill event at the 1836 Realty
Corporation. The EPA asserts that Mr. Fleming had nothing to do
with the EPA's decision to initiate the instant case. In support
of the foregoing, the EPA has proffered the December 1, 1998,
affidavit of Mr. Fleming attesting to the above information.
In response, the Respondent contends that the testimony of
Mr. Fleming is imperative to its defense. Specifically, the
Respondent avers that Mr. Fleming "was more than a person who just
'developed a press release for the case'" but rather he "was a
conduit of misinformation between the RI DEM and the EPA." The
Respondent further claims that this misinformation had a direct
influence on the assessment of an exceptionally high penalty in
this case. In support of this position, the Respondent points to
the fact that Mr. Fleming sent a copy of the EPA's March 19, 1998,
press release concerning the EPA's issuance of a Complaint against
the Respondent to the prosecuting state attorney.
In Mr. Fleming's December 1, 1998, affidavit proffered by the
EPA in support of its motion in limine to exclude certain
witnesses, Mr. Fleming states that he sent a copy of the final
March 19, 1998, press release to Mr. Brian Wagner of the RI DEM
because he had been involved in the RI DEM's investigation of the
gasoline spill from the Respondent's facility.
The Respondent's insinuation of some improper and/or
conspiratorial relationship between the RI DEM and the EPA or
Mr. Fleming and Mr. Wagner, as allegedly demonstrated by the
forwarding of a press release, cannot reasonably provide the basis
for the Respondent calling Mr. Fleming or Mr. Wagner as witnesses.
Bald assertions concerning Government officials acting in their
capacities as officials cannot be used to unnecessarily delay the
hearing process or to obfuscate the issues to be adjudicated. The
information attested to by Mr. Fleming in his December 1, 1998,
affidavit supports the EPA's objection to the Respondent calling
Mr. Fleming as a witness on the grounds that his testimony would be
irrelevant, immaterial, and of little, if any, probative value. As
such, the EPA's objection is sustained.
Mr. Wagner
Third, the EPA objects to the Respondent calling Mr. Wagner as
a witness without further clarification on the Respondent's purpose
in calling him and the EPA reserves its right to seek an order
excluding his testimony at hearing. Again, I agree with the EPA's
position. As discussed above, the Respondent's speculative reason
for calling Mr. Wagner does not provide adequate reason to call him
as a witness. Thus, unless further elucidation on the Respondent's
reason for calling Mr. Wagner as a witness is provided, the EPA's
objection to Mr. Wagner's testimony would be sustained if renewed
at hearing.
Motion In Limine To Exclude Certain Documents
The EPA objects to several documents listed in the
Respondent's prehearing exchange being introduced into evidence on
the ground that these documents have no significant probative value
to this case. Specifically, the EPA objects to the Respondent's
proposed Exhibits Numbers 8 through 19 which are administrative
complaints and one consent agreement and final order that the EPA
previously filed in Clean Water Act Section 311 cases involving
parties unrelated to the Respondent.
First, the EPA points out that the Respondent has not included
all the Clean Water Act Section 311 administrative penalty actions
initiated by the EPA in the New England region. Second, the EPA
argues that the information about other Clean Water Act cases does
not have significant probative value and that it is inappropriate
to compare settled cases to adjudicated cases when determining
whether proposed penalties are excessive and contrary to Agency
policies and procedures. See Chautauqua Hardware Corporation, 3
EAD 616, 626-627 EPCRA Appeal No. 91-1 (CJO, June 24, 1991) (the
Chief Judicial Officer ("CJO") rejected a discovery request in a
Section 313 Emergency Planning and Community Right-To-Know Act
("EPCRA") case for settlement agreements, final orders, etc. on
ground that the requested materials as well as other EPCRA cases
can not be used to show that the penalty is inappropriate); Briggs
& Stratton Corporation, 1 EAD 653, 665 (JO, Feb. 4, 1981) (the
Judicial Officer ("JO") recited the Presiding Officer's rejection
of arguments that the proposed penalties were inconsistent with the
EPA's policy favoring uniform penalties for like violations as
evidenced by complaints filed in other cases and also found it
inappropriate to compare settled cases to adjudicated cases).
The Respondent counters that the two cases cited by the EPA do
not support its objection to the proposed exhibits concerning the
administrative complaints.(3) Asserting that the Chautauqua case
relies on the reasoning in the Briggs case, the Respondent then
goes on to argue that in Briggs the respondent attempted to compare
settled cases to adjudicated cases but the JO found that
comparisons based on penalties assessed after hearing with
penalties assessed after negotiation are difficult. In the instant
matter, the Respondent argues that it is attempting to introduce
complaints for the "exact same" violation to compare the penalties
sought in order to show that the penalty proposed in the instant
matter is excessive and inconsistent with the EPA's policy favoring
uniform penalties for like violations.
The Respondent's argument is unavailing. First, the
Respondent ignores that part of the JO's decision in the Briggs
case which quotes the Presiding Officer's reasoning for rejecting
the respondent's argument that penalties proposed and/or assessed
against other violators of the PCB regulations were relevant to the
PCB case before the Presiding Officer. The Presiding Officer
rejected the respondent's arguments in Briggs because it was found
that each case cited by the respondent varied extensively and that
the "criterion" for a similar case "defied definition." The JO, in
light of his prefatory comments concerning the Presiding Officer's
decision and by extensively quoting the Presiding Officer's
reasoning, impliedly adopts the Presiding Officer's reasoning as
his own. The JO then went on to add that comparisons of penalties
assessed by the Presiding Officer after a hearing with penalties
assessed after negotiation with the enforcement staff are
difficult, if not impossible, to make. In the instant matter, the
Respondent attempts to rely only on the additional reasoning
employed by the JO in rejecting the respondent's arguments in the
Briggs case, ignoring the thrust of the JO's ruling which is
contained in the quoted language of the Presiding Officer.
Moreover, I find that the CJO's and JO's rulings in the
Chautauqua and Briggs cases support the EPA's argument in the
instant case. The proposed exhibits consisting of the
administrative complaints filed by the EPA in other Section 311
Clean Water Act cases are of little, if any, probative value. As
observed by the Presiding Officer in the quoted language recited by
the JO in Briggs, "... if uniformity is to be achieved, it must be
reached by the consideration of the factors in the Act [Toxic
Substances Control Act] and each of them, in light of the record
evidence presented at a hearing. Placing a price tag on a
violation without adequate consideration of the factors pertaining
to the violation as well as the violator is not only contrary to
express provisions of the Act, but tends to defeat rather than
advance the purpose of the Act in prescribing the assessment of
civil penalties..." Briggs, supra, at 665-666. Penalties proposed
or assessed in other cases generally are not relevant to the
penalty proposed or assessed in the instant matter. See also Butz
v. Glover Livestock Commission Co., 411 U.S. 182, 187 (1973). As
such, pursuant to Section 22.22(a) of the Rules of Practice, 40
C.F.R. § 22.22(a), these proposed exhibits are inadmissible as
evidence. Accordingly, the Complainant's motion to exclude these
documents is granted.
Motion To Strike Respondent's Defense Of Ability To Pay
By motion filed on February 9, 1999, the EPA requests the
issuance of an order finding that the Respondent failed to comply
with the November 11, 1998, Order Granting Complainant's Motion for
Issuance of a Discovery Order ("Discovery Order") and precluding the
Respondent's defense of ability to pay a penalty. It is noted by
the EPA that the Discovery Order required the Respondent to answer
interrogatories and produce documents concerning the corporate and
financial status of the 1836 Realty Corporation and its related
entities. The EPA contends that the Respondent failed to comply
with the Discovery Order by submitting incomplete, inaccurate,
and/or contradictory answers. It is asserted by the EPA that there
are so many discrepancies in the Respondent's answers to the EPA's
interrogatories that the veracity of the entire response is called
into question. Based on the Respondent's alleged failure to comply
with the Discovery Order, the Respondent argues that the
undersigned should infer that the financial information requested
is adverse to the Respondent under the provisions of Section
22.19(f)(4) of the Rules of Practice, 40 C.F.R. § 22.19(f)(4).
Further, the EPA argues that pursuant to Section 22.04(c)(10) of
the Rules of Practice, 40 C.F.R. § 22.04(c)(10), the Respondent
should be sanctioned and barred from asserting any defense on the
ground of ability to pay.
In support of its motion, the EPA has proffered the
February 9, 1999, affidavit of Mr. John L. Shanahan, Jr., a
financial analyst for the EPA. In this affidavit, Mr. Shanahan
states that the majority of the Respondent's answers to the EPA's
interrogatories (attachment A) were incomplete, inaccurate, and/or
in contradiction to other answers that the Respondent provided in
its response or to other documents in the EPA's possession.
Mr. Shanahan details numerous examples of the alleged deficiencies
in the Respondent's answers.
For example, Mr. Shanahan points out that in response to
question 34 relating to the disposition of any real property owned
by 1836 Realty and related entities, the Respondent's response is
"none" which contradicts at least the one transaction between 1836
Realty and 1850 Realty referred to in the proposed Exhibits 5 and
6 of the Complainant's prehearing exchange. Mr. Shanahan notes
that the tax returns for the related entities of 1836 Realty
Corporation, including those for Mr. Robert S. Potter, Pro Oil Co.
for year 1998, Rosemere Realty, Inc. for years 1993 and 1994, and
Lyttle Realty, Inc. for year 1994, were not provided as requested
pursuant to the Discovery Order. Shanahan Affidavit, par. 26.
Mr. Shanahan states that another example of the Respondent's
failure to provide the information requested under the Discovery
Order is found in its response to Question 3(d) of the
Interrogatories concerning all inter-entity transactions between
1836 Realty and the Related Entities. The Respondent's answer to
Question 3(d) was that "1836 has no relationship with the 'related
entities' with respect to the question asked" even though the tax
returns provided show inter-company loans between 1836 Realty and
Pro Oil and Potter Oil. Mr. Shanahan notes that the tax returns
for 1850 Realty Corporation and Pro Oil, Inc. also list inter-company loans which may include 1836 Realty. Shanahan Affidavit
par. 13.
The Respondent opposes the Complainant's motion to strike its
defense of ability to pay.(4) First, the Respondent argues that the
Discovery Order "simply allowed the Complainant to send the
Respondent discovery questions" and that the Discovery Order did
not eliminate the Respondent's right to object to the scope of the
discovery questions. It is maintained that the Respondent should
not be denied its constitutional right to due process and privacy
based on the Complainant's determination that the answers were not
sufficient. According to the Respondent, the EPA has sought
financial information of private entities that are not named
respondents, are not liable for the assessed fines, and are private
independent corporations, and that such discovery is an "incredible
invasion of privacy."
Specifically, the Respondent asserts that the tax returns for
Mr. Robert S. Potter are irrelevant and immaterial as the EPA has
not provided evidence to pierce the corporate veil. The Respondent
further asserts that the EPA's request for Mr. Potter's tax returns
is another attempt to harass Mr. Potter and to delve into his
personal finances under the guise that the financial information is
"necessary to determine 1836 Realty Corporation's ability to pay."
The Respondent points out that it has provided the tax returns for
the other corporations as requested. The Respondent argues that
Mr. Shanahan's affidavit does not address the Respondent's filed
objections to the Discovery Order. Further, the Respondent argues
that the alleged deficiencies or inconsistencies noted in the
affidavit are trivial and do not relate to the Complainant's stated
purpose to determine whether 1836 Realty Corporation has the
ability to pay the assessed fine.(5)
Finally, the Respondent argues that there are no facts that
substantiate a finding that the Respondent willfully and
intentionally failed to respond to the Discovery Order and,
therefore, there is no justification for the remedy sought by the
EPA. Specifically, the Respondent maintains that First Circuit
case law requires willful or deliberate misconduct for the
preclusion of evidence. See Yang v. Brown University, 149 F.R.D.
440 (D.R.I. 1993); Jackson v. Harvard University, 900 F.2d 464 (1st
Cir. 1990); Freeman v. Package Machinery Co., 865 F.2d 1331 (1st
Cir. 1988).
When the Discovery Order was issued in this matter, the
Respondent's objections were noted and ruled upon. The Respondent
is not satisfied with the scope of discovery under the Discovery
Order and continues to object. As a result, the Respondent
knowingly and willfully has not fully complied with the Discovery
Order. This determination is made exclusive of the Respondent's
refusal to provide the tax returns for Mr. Potter. To date, the
EPA has not established its entitlement to Mr. Potter's individual
tax returns.
Pursuant to the governing Rules of Practice, at Section
22.19(f)(4), failure to comply with a discovery order issued under
Section 22.19, may lead to the inference that the information to be
discovered would be adverse to the party from whom the information
was sought. Such is the case here. The record before me,
including the affidavit of Mr. Shanahan and the Respondent's
objection to the EPA's motion to strike, supports a finding that
the Respondent has chosen not to comply fully with the Discovery
Order. Pursuant to the EPA's motion, I find that an adverse
inference may be drawn as to the information to be discovered
concerning the issue of the Respondent's ability to pay the
proposed penalty and, accordingly, that the Respondent is precluded
from raising the defense of ability to pay.
Motion For Extension Of Time On Hearing
The EPA moves for extension of time on hearing on the ground
that it would be difficult to prepare for hearing until its motion
in limine to exclude certain witnesses and documents listed in the
Respondent's prehearing exchange and motion to strike Respondent's
defense of ability to pay are ruled upon. The Respondent has not
responded to the motion for extension. In view of the foregoing
adjudication of the Complainant's two motions, the motion for
extension of time on hearing is denied. It is noted that the
hearing is scheduled to begin on June 8, 1999, which provides
sufficient time for the parties to prepare for hearing.
Order
The Complainant's Motion In Limine To Exclude Witnesses and
Documents Listed In Respondent's Prehearing Exchange is Granted.
The Complainant's Motion To Strike Respondent's Defense Of
Ability To Pay is Granted.
The Complainant's Motion For Extension Of Time On Hearing is
Denied.
Original signed by undersigned
________________________
Barbara A. Gunning
Administrative Law Judge
Dated: 4/8/99
Washington, DC
1. The Complaint was amended by Order on March 17, 1999, upon
motion by the EPA.
2. The Respondent's Motion for an Extension of Time to Respond
to Complainant's Motion in Limine to Exclude Witnesses and
Documents Listed in Respondent's Prehearing Exchange was granted by
Order entered on January 12, 1999.
3. The Respondent withdraws its proposed Exhibit Number 18 that
references a consent order and final order.
4. The Respondent's request for oral argument on this motion
is denied.
5. The Respondent states that it agrees with the EPA's
assertion that the Respondent's answer to question number 11 is
inaccurate and that the information sought will be forwarded to the
EPA as soon as practicable.
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