- 1 UNITED STATES DISTRICT COURT 2 DISTRICT OF NEVADA 3 * * * 4 Joseph Caywood, Case No. 2:23-cv-00884-GMN-BNW 5 Plaintiff, ORDER and 6 v. REPORT AND RECOMMENDATION 7 Mitchell Hovendick, et al., 8 Defendants. 9 10 The issues before this Court, in one way or another, stem from Plaintiff Joseph 11 Caywood’s failure to properly participate in his case. Mr. Caywood asserted ten factually 12 deficient claims against Defendants Mitchell Hovendick and Kyle Gerber—and then, once 13 Defendants filed their motions to dismiss and motions for sanctions, Mr. Caywood neither timely 14 nor sufficiently responded. Now, the Court must decide five pending motions with little 15 substantive briefing before it: a motion to dismiss and motion for sanctions by Mr. Gerber, a 16 motion to dismiss and motion for sanctions by Mr. Hovendick, and a motion to withdraw by Mr. 17 Caywood’s counsel, Calder Gabroy. ECF Nos. 15, 19, 20, 27, 34. 18 Mr. Hovendick and Mr. Gerber urge this Court to grant their motions under Local Rule 7- 19 2(d) for Mr. Caywood’s failure to oppose them. While the Court refrains from automatically 20 granting the motions under this local rule, it does consider it. As discussed below, the Court 21 recommends that the motions to dismiss be granted in part and denied in part, that the motions for 22 sanctions be denied without prejudice, and grants the motion to withdraw. The Court also 23 recommends that Mr. Caywood be given leave to amend his complaint1 as to Mr. Hovendick. 24 I. BACKGROUND 25 Mr. Hovendick and Mr. Gerber frame this case as a retaliatory one. They allege that Mr. 26 Caywood seeks revenge because Mr. Hovendick and Mr. Gerber each sued him in state court for 27 1 The Court uses the term “complaint” throughout this Order and Report and Recommendation to 1 fraud—and won. Both victories were based on Mr. Caywood’s failure to participate in that case. 2 ECF No. 35 at 3; ECF No. 27 at 4. 3 In the present suit, Mr. Caywood alleges wrongdoing based on the state-court actions and 4 his business relationship with Mr. Hovendick and Mr. Gerber. ECF No. 1 at 2. His complaint 5 consists of conclusory and vague assertions that lack any specific factual basis. The claims 6 include defamation, malicious prosecution, civil conspiracy, and fraudulent misrepresentation, 7 among others. ECF No. 19 at 3. Mr. Hovendick and Mr. Gerber generally argue that these claims 8 are baseless. Id. at 4; ECF No. 27 at 12. Each moved to dismiss the case and for sanctions. ECF 9 Nos. 15, 19, 20, 27. 10 Mr. Caywood did not timely respond to any of the motions. ECF Nos. 22, 26, 36. 11 Subsequently, Mr. Hovendick and Mr. Gerber filed notices of non-opposition,2 and asked the 12 Court to grant their motions under Local Rule 7-2(d). Mr. Caywood eventually filed late 13 responses, but none of them meaningfully opposed the motions. See ECF Nos. 22, 26, 36. One of 14 his documents was a multi-function “reply to response” that served as: (a) surreplies to the two 15 motions for sanctions and to Mr. Hovendick’s motion to dismiss, (b) a response to Mr. Gerber’s 16 motion to dismiss, and (c) a reply in support of the motion to withdraw. See ECF No. 36. In light 17 of the deficient complaint and late and non-substantive oppositions, the Court details how it will 18 resolve each motion below. 19 II. ANALYSIS 20 Before turning to each motion, the Court addresses Mr. Caywood’s improper filing at ECF 21 No. 36. Local Rule IC 2-2 explains that parties must file separate documents for “each type of 22 relief requested or purpose of the document.” LR IC 2-2(b). Rule 7-2(b) states that “[s]urreplies 23 are not permitted without leave of court.” LR 7-2(b). Additionally, the court “may strike 24 documents that do not comply with these rules.” LR IC 7-1; see, e.g., Ready Transp., Inc. v. AAR 25 Mfg., Inc., 627 F.3d 402, 404 (9th Cir. 2010) (holding that district courts have inherent power to 26 control their own dockets). First, the Court strikes Mr. Caywood’s document at ECF No. 36 to the 27 2 Mr. Gerber did not file a notice of non-opposition to his motion for sanctions. See ECF Nos. 20, 1 extent it constitutes surreplies. However, the Court does not strike this document to the extent it 2 serves as a response to Mr. Gerber’s motion to dismiss or a reply in support of Mr. Gabroy’s 3 motion to withdraw. The Court now turns to the five motions before it. ECF Nos. 15, 19, 20, 27, 4 34. 5 A. Mr. Gerber’s motion to dismiss 6 Mr. Gerber argues that the Court should dismiss the complaint against him under Federal 7 Rules of Civil Procedure 4(m) and 12(b)(5) because Mr. Caywood served him four months after 8 the service deadline. ECF No. 27 at 10–11. Mr. Gerber asks the Court to dismiss the case with 9 prejudice and to award him attorney’s fees and costs for filing the motion. Id. Mr. Caywood 10 responded to this motion more than three months after the deadline. ECF No. 36. 11 Mr. Gerber filed a notice of non-opposition, which asked the Court to grant his motion as 12 unopposed under Local Rule 7-2(d). ECF No. 29. Under this rule, “[t]he failure of an opposing 13 party to file points and authorities in response to any motion . . . constitutes a consent to the 14 granting of the motion.” LR 7-2(d). Filing a late response comprises a failure “to file points and 15 authorities in response” to a motion. U.S. Bank Nat’l Ass’n v. SFR Invs. Pool 1, LLC, No. 2:17- 16 CV-1319-JCM-GWF, 2017 WL 2990852, at *2 (D. Nev. July 13, 2017). Courts may resolve 17 motions to dismiss under LR 7-2(d). Camp v. LexisNexis Consumer Ctr., No. 2:21-CV-01188- 18 CDS-EJY, 2022 WL 3370139, at *1 (D. Nev. Aug. 15, 2022). “[A] district court is not required to 19 examine the merits of an unopposed motion to dismiss before granting it [under a local rule].” Id. 20 (citing Ghazali v. Moran, 46 F.3d 52, 54 (9th Cir. 1995)). 21 Here, the Court construes Mr. Caywood’s late filing as consent to the granting of this 22 motion because his response was over three months late. See U.S. Bank Nat’l Ass’n, 2017 WL 23 2990852, at *2; see also ECF No. 36. Even if the Court were to consider the response, it would 24 find that the contents do not meaningfully respond to Mr. Gerber’s motion. The response, which 25 also served as replies to four other motions, hardly mentions the service issue. See ECF No. 36. 26 Mr. Caywood only offers that Mr. Gerber refused to accept service to oppose the arguments made 27 regarding dismissal. Id. at 5. 1 In determining whether to dismiss a claim under LR 7-2(d), courts must weigh the 2 following factors: (1) the public’s interest in expeditious resolution of litigation; (2) the court’s 3 need to manage its docket; (3) the risk of prejudice to the defendant; (4) the public policy 4 favoring disposition of cases on their merits; and (5) the availability of less drastic sanctions. 5 Andreaccio v. Nye Cnty., No. 2:23-CV-00635-CDS-EJY, 2023 WL 4747406, at *1 (D. Nev. July 6 25, 2023) (citing Ghazali, 46 F.3d at 53). Here, the first two factors weigh in favor of dismissing 7 Mr. Caywood’s claims because dismissal may resolve this litigation and will aid the Court in 8 managing its caseload. The third factor also weighs in favor of dismissal because a presumption 9 of injury arises when a party unreasonably delays in filing a pleading ordered by the court or 10 prosecuting an action. See Anderson v. Air West, 542 F.2d 522, 524 (9th Cir. 1976). This 11 presumption applies here because Mr. Caywood filed his response to this motion over three 12 months late, and because he has consistently filed late and non-responsive oppositions in this 13 case. ECF No. 36. 14 The fourth factor (favoring disposition of cases on their merits) seems to weigh against 15 dismissal because the Court is not evaluating the merits of the motion. However, this district has 16 found that when “dismissal is without prejudice, a disposition on the merits is still possible.” 17 State Farm Mut. Auto. Ins. Co. v. Ireland, No. 2:07-CV-01541-RCJ-RJJ, 2009 WL 4280282, at 18 *3 (D. Nev. Nov. 30, 2009). Because the Court seeks to dismiss the case against Mr. Gerber 19 without prejudice, this factor remains neutral. Lastly, the fifth factor requires the court to consider 20 whether less drastic alternatives can be used to correct the party’s failure that brought about the 21 court’s need to consider dismissal. Courts “need not exhaust every sanction short of dismissal 22 before finally dismissing a case, but must explore possible and meaningful alternatives.” 23 Henderson v. Duncan, 779 F.2d 1421, 1424 (9th Cir. 1986). Here, Mr. Caywood has neither 24 shown that he properly served Mr. Gerber, nor has he attempted to re-serve him. Mr. Caywood 25 has repeatedly failed to timely respond to Mr. Hovendick and Mr. Gerber’s motions, and his 26 oppositions do not address their arguments in any meaningful way. Any sanction short of 27 dismissal without prejudice would not correct Mr. Caywood’s behavior because he has had ample 1 In sum, factors one, two, three, and five weigh in favor of dismissal. Factor four, at the 2 very least, does not weigh against dismissal. In balance, the factors favor a recommendation of 3 dismissal. See Hernandez v. City of El Monte, 138 F.3d 393 (9th Cir. 1998) (holdings dismissal is 4 proper where at least four factors support dismissal or where at least three factors “strongly” 5 support dismissal). Therefore, the Court recommends that Mr. Gerber’s motion be granted in part. 6 While the Court recommends dismissal, it does so without prejudice based on the language in 7 Rule 4(m), discussed above. Additionally, the Court does not recommend an award of attorney’s 8 fees and costs for filing this motion because Mr. Gerber did not put forth a legal ground for the 9 Court to do so. 10 B. Mr. Gerber’s motion for sanctions 11 Mr. Gerber seeks to sanction Mr. Caywood under Federal Rule of Civil Procedure 11(c) 12 for filing his complaint for an improper purpose, for presenting claims and other legal contentions 13 that are not warranted by existing law or by nonfrivolous argument, and for making factual 14 contentions that lack evidentiary support. ECF No. 20 at 10–11. He asks this Court to award 15 “appropriate” sanctions against Mr. Caywood and Mr. Gabroy, including monetary sanctions. Id. 16 at 12. Mr. Caywood opposed this motion three days after the deadline. ECF No. 22. Given the 17 marginally late opposition, the Court does not recommend granting the motion under Local Rule 18 7-2(d). 19 The Court declines to entertain sanctions at this point. Courts have wide discretion in 20 determining sanctions under Rule 11. See Golden Eagle Distrib. Corp. v. Burroughs Corp., 801 21 F.2d 1531, 1538 (9th Cir. 1986). “The time when sanctions are to be imposed rests in the 22 discretion of the trial judge. However, it is anticipated that in the case of pleadings the sanctions 23 issue under Rule 11 normally will be determined at the end of the litigation.” Fed. R. Civ. P. 11, 24 Advisory Committee Notes (1983). “Courts within the Ninth Circuit routinely defer Rule 11 25 motions regarding the pleadings until the case is resolved on its merits.” MI-94, LLC v. Chemetall 26 US, Inc., No. 2:23-CV-00647-CDS-DJA, 2023 WL 8186618, at *5 (D. Nev. Nov. 27, 2023). 27 Because the Court recommends dismissal of the claims against Mr. Gerber without 1 not be at the end of litigation. For example, Mr. Caywood may re-assert these claims and properly 2 serve Mr. Gerber. At that point, Mr. Gerber may re-file his motion for sanctions with supporting 3 evidence. Finally, the Court warns Mr. Caywood that, should he bring these claims again, he must 4 cure the deficiencies in his complaint as discussed in detail below. If Mr. Caywood re-files his 5 deficient complaint or continues to not participate in his case, the Court may find that severe 6 sanctions are necessary. 7 C. Mr. Hovendick’s motion to dismiss 8 Mr. Hovendick seeks to dismiss the complaint against him on numerous legal bases. Mr. 9 Caywood filed his response five days after the deadline. See ECF No. 22. His response lacked 10 points and authorities that opposed Mr. Hovendick’s motion. See id. Still, the Court does not 11 recommend granting Mr. Hovendick’s motion under LR 7-2(d) because the response was only 12 five days late and granting the motion would require dismissal with prejudice and an award of 13 attorney’s fees under his anti-SLAPP argument. See Rebel Commc’ns, LLC v. Virgin Valley 14 Water Dist., No. 2:10-CV-0513-LRH-GWF, 2012 WL 3135683, at *1 (D. Nev. Aug. 1, 2012) 15 (finding that any dismissal under Nevada’s anti–SLAPP statute operates as an adjudication on the 16 merits and requires dismissal with prejudice). Additionally, because the Court must give Mr. 17 Caywood leave to amend, as discussed below, it considers each ground for dismissal so that Mr. 18 Caywood is aware of the numerous deficiencies in his complaint. Thus, the Court evaluates the 19 merits of Mr. Hovendick’s motion to dismiss. 20 1. Anti-Slapp 21 First, the Court considers Mr. Hovendick’s argument that the Court should dismiss the 22 complaint with prejudice and award him attorney’s fees and costs under Nevada’s anti-SLAPP 23 statute. ECF No. 19 at 4–5. This statute, codified at §§ 41.635–41.670, sets forth a two-part, 24 burden-shifting test. First, the Court must determine “whether the moving party has established, 25 by a preponderance of the evidence, that the claim is based upon a good faith communication in 26 furtherance of the right to petition or the right to free speech in direct connection with an issue of 27 public concern.” Nev. Rev. Stat. § 41.670(3)(a). A good-faith communication is defined as any: 1 1. Communication that is aimed at procuring any governmental or electoral action, result or outcome; 2 2. Communication of information or a complaint to a Legislator, officer or employee of the Federal Government, this state or a political subdivision of this state, regarding 3 a matter reasonably of concern to the respective governmental entity; 3. Written or oral statement made in direct connection with an issue under 4 consideration by a legislative, executive or judicial body, or any other official proceeding authorized by law; or 5 4. Communication made in direct connection with an issue of public interest in a place open to the public or in a public forum, 6 which is truthful or is made without knowledge of its falsehood. 7 Nev. Rev. Stat. § 41.637 (emphasis added). When examining whether the defendant has met its 8 burden under the first step of this test, courts consider whether (a) the communication falls into 9 one of the four categories under NRS § 41.637 and (b) was truthful or made without knowledge 10 of its falsity. Moreira-Brown v. Las Vegas Rev. J., Inc., 648 F. Supp. 3d 1278, 1284 (D. Nev. 11 2023), aff’d, No. 23-15143, 2024 WL 1596456 (9th Cir. Apr. 12, 2024). Under the second step, 12 the burden shifts to the plaintiff to demonstrate, with prima facie evidence, a probability of 13 prevailing on the claim. Nev. Rev. Stat. § 41.670(3)(b). 14 Considering the first step Mr. Hovendick must meet, the Court acknowledges the 15 difficulty of meeting his burden of proof given the factual deficiencies in Mr. Caywood’s 16 complaint. Still, the Court must find that Mr. Hovendick has not met his burden. To start, Mr. 17 Hovendick does not identify what good-faith communications underly his anti-SLAPP motion. 18 He implies that the supposed good-faith communications fall under NRS § 41.637(3) (above) by 19 citing this specific section of the statute and noting that Mr. Caywood’s claims stem from legal 20 proceedings in state court. ECF No. 19 at 4–5. The Court presumes Mr. Hovendick is arguing that 21 the good-faith communications arose from the state-court suit and fall under NRS § 41.637(3) 22 because they were “made in direct connection with an issue under . . . a judicial body . . . .” 23 Even assuming such presumptions, Mr. Hovendick does not prove by a preponderance of 24 the evidence that the good-faith communications fall under NRS § 41.637(3) because he does not 25 explain what specific good-faith communications are at issue. Thus, the Court cannot determine 26 whether such communications meet the requirements of NRS § 41.637 or which are the claims 27 that must be dismissed pursuant to the anti-SLAPP motion. While the Court may conclude that 1 unclear how this argument applies to other claims, such as intentional interference with 2 contractual relations or prospective economic advantage. 3 Further considering the first step, Mr. Hovendick does not address the latter part of NRS 4 § 41.637, which goes on to define a good-faith communication as one that is truthful or made 5 without knowledge of its falsehood. When evaluating this part of the statute, courts may consider 6 attached affidavits or other evidence. Coker v. Sassone, 432 P.3d 746, 749 (2019); Rosen v. 7 Tarkanian, 453 P.3d 1220, 1223 (2019) (citing Coker, 432 P.3d at 750) (stating that courts “must 8 look to the evidence that [the party] provided” if the defendant does not attach an affidavit). Here, 9 Mr. Hovendick provides neither. See ECF No. 19 at 5. The exhibit attached to his motion, an 10 order from the state court that sanctioned Mr. Caywood for his failure to participate in the case, 11 does not prove that Mr. Hovendick’s communications in the legal proceeding were truthful. See 12 ECF No. 19-2. 13 Therefore, the Court cannot conclude that Mr. Hovendick has met his burden to show, “by 14 a preponderance of the evidence, that the claim is based upon a good faith communication,” as 15 defined by NRS § 41.637. Given this finding, the Court need not evaluate the second prong. See 16 Rosen, 453 P.3d at 1223 (“Only after the movant has shown that he or she made the protected 17 statement in good faith do we move to prong two . . . .”). Accordingly, the Court recommends 18 that Mr. Hovendick’s motion to dismiss be denied on anti-SLAPP grounds because he has not 19 met his burden as to the first step. 20 2. Subject-matter jurisdiction 21 Second, Mr. Hovendick argues that the Court should dismiss the complaint because Mr. 22 Caywood does not allege sufficient facts to establish subject-matter jurisdiction. ECF No. 19 at 6. 23 In particular, Mr. Hovendick contends that Mr. Caywood has not sufficiently alleged that his 24 damages exceed $75,000 to meet diversity-jurisdiction requirements. Id. at 7; 28 U.S.C. 1332(a) 25 (stating that subject-matter jurisdiction based on diversity of citizenship requires an amount in 26 controversy in excess of $75,000). Where a plaintiff first brings their claims in federal court, “the 27 amount in controversy is determined from the face of the pleadings.” Crum v. Circus Circus 1 long as the claim is made in good faith. Id. “To justify dismissal, it must appear to a legal 2 certainty that the claim is really for less than the jurisdictional amount.” Id. (internal quotation 3 omitted). 4 This legal certainty test makes it difficult for courts to dismiss cases due to not satisfying 5 the jurisdictional amount. Naffe v. Frey, 789 F.3d 1030, 1039–40 (9th Cir. 2015). “Only three 6 situations clearly meet the legal certainty standard: 1) when the terms of a contract limit the 7 plaintiff’s possible recovery; 2) when a specific rule of law or measure of damages limits the 8 amount of damages recoverable; and 3) when independent facts show that the amount of damages 9 was claimed merely to obtain federal court jurisdiction.” Id. (citing Pachinger v. MGM Grand 10 Hotel-Las Vegas, Inc., 802 F.2d 362, 364 (9th Cir. 1986)). 11 Here, neither Mr. Hovendick nor Mr. Caywood address any of the factors. See ECF Nos. 12 19, 22. Given the Court’s review of the limited facts, it finds that factors one and two do not 13 apply here. While it is possible that some undisclosed facts could show that Mr. Caywood’s 14 claimed amount was merely to obtain federal court jurisdiction (factor three), such facts are not 15 currently before the Court. Therefore, the Court cannot say—to a legal certainty—that Mr. 16 Caywood’s claims are for $75,000 or less. It recommends that Mr. Hovendick’s motion to dismiss 17 be denied on this ground. 18 3. Claim preclusion 19 Third, Mr. Hovendick argues that this Court lacks subject-matter jurisdiction over Mr. 20 Caywood’s claims because they arise from the underlying state-court suits, and therefore, Mr. 21 Caywood is precluded from bringing them here. ECF No. 19 at 7. Nevada law concerning claim 22 preclusion applies here. Holcombe v. Hosmer, 477 F.3d 1094, 1097 (9th Cir. 2007). In Nevada, 23 courts consider a three-part test to determine if a claim is precluded: “(1) the parties or their 24 privies are the same, (2) the final judgment is valid, and (3) the subsequent action is based on the 25 same claims or any part of them that were or could have been brought in the first case.” 26 Carstarphen v. Milsner, 594 F. Supp. 2d 1201, 1208 (D. Nev. 2009) (quoting Five Star Capital 27 Corp. v. Ruby, 194 P.3d 709, 713 (Nev. 2008)). The party seeking to preclude a claim has the 1 P.3d 709, 718 (2009), holding modified by Garcia v. Prudential Ins. Co. of Am., 293 P.3d 869 2 (2013). 3 Here, Mr. Hovendick cites the above three-factor test but does not address each factor. 4 ECF No. 19 at 7. He does not explain whether the parties are the same (factor one) or whether the 5 order granting sanctions in the underlying case was a final and valid judgment (factor two). See 6 id. Mr. Hovendick does state that “the basis of Plaintiff’s claims are matters related to lawsuits 7 filed in the Eighth Judicial District Court” (factor three) but not much more. It is difficult to 8 determine what conduct forms the basis of the present action given Mr. Caywood’s deficient 9 complaint, and thus whether he could have brought the claims in the underlying lawsuit. In sum, 10 the Court recommends that Mr. Hovendick’s motion be denied on this ground because he failed 11 to meet his burden to prove that claim preclusion applies here. 12 4. Personal jurisdiction 13 Fourth, Mr. Hovendick argues that Mr. Caywood failed to allege sufficient facts to 14 establish that this Court has personal jurisdiction over him. ECF No. 19 at 7. A defendant may 15 move to dismiss for lack of personal jurisdiction under Federal Rule of Civil Procedure 12(b)(2). 16 “In opposition to a defendant’s motion to dismiss for lack of personal jurisdiction, the plaintiff 17 bears the burden of establishing that jurisdiction is proper.” Boschetto v. Hansing, 539 F.3d 1011, 18 1015 (9th Cir. 2008). A plaintiff need only make “a prima facie showing of jurisdictional facts.” 19 Menken v. Emm, 503 F.3d 1050, 1056 (9th Cir. 2007). 20 To carry his burden, the plaintiff must show that (1) personal jurisdiction is proper under 21 the laws of the state in which jurisdiction is asserted; and (2) the exercise of jurisdiction does not 22 violate the defendant’s due process rights. Chan v. Soc’y Expeditions, Inc., 39 F.3d 1398, 1404– 23 05 (9th Cir. 1994). Because Nevada’s long-arm statute is co-extensive with the limits of due 24 process, courts need only evaluate a single inquiry: whether jurisdiction is constitutional, i.e., 25 whether it comports with the federal due process requirements. See Burger King Corp. v. 26 Rudzewicz, 471 U.S. 462, 464 (1985). 27 A court’s exercise of jurisdiction over a defendant is constitutional when he has “certain 1 fair play and substantial justice.” International Shoe v. State of Washington. 326 U.S. 310, 316 2 (1945). There are two types of personal jurisdiction: general and specific. See Schwarzenegger v. 3 Fred Martin Motor Co., 374 F.3d 797, 801–02 (9th Cir. 2004). For general jurisdiction to exist 4 over a nonresident defendant like Mr. Hovendick, the defendant must engage in “continuous and 5 systematic general business contacts” that amount to a physical presence in the forum state. 6 Helicopteros Nacionales de Colombia, S.A. v. Hall, 466 U.S. 408, 416 (1984) (citing Perkins v. 7 Benguet Consol. Mining Co., 342 U.S. 437 (1952)). For specific jurisdiction to exist, three 8 requirements must be met: (1) the nonresident defendant must purposefully direct his activities at, 9 or purposefully avail himself of, the forum state; (2) the claim must relate to the defendant’s 10 forum-related activities; and (3) jurisdiction must be reasonable. Schwarzenegger, 374 F.3d at 11 802. 12 Here, Mr. Caywood, in both his complaint and opposition, fails to plead personal 13 jurisdiction. Indeed, Mr. Caywood’s opposition includes only one sentence to address this issue. 14 He states that his complaint and claims “are not subject to dismissal by way of Federal Rules of 15 Civil Procedure, Rule 12.” ECF No. 22 at 2. This sentence contains a footnote, but neither the 16 footnote nor the rest of the opposition contain any analysis. Id. at 2 n.3 17 Turning to his complaint, he states that Mr. Hovendick “is a resident and/or domiciled in 18 Texas or conducted business in the County of Clark, State of Nevada,” that the Court has 19 “personal jurisdiction over the litigation as commenced,” and that “contracts were alleged to be 20 entered into by the Parties.” Id. at 2. But none of these allegations, even taken as true, establish 21 that Mr. Hovendick had “continuous and systematic general business contacts” in Nevada 22 (general jurisdiction). Moreover, the statement “or conducted business in . . . Nevada” is not a 23 prima facie showing of specific jurisdiction because it does not affirmatively state that Mr. 24 Hovendick conducted business here given the “or” clause. Additionally, Mr. Caywood does not 25 explain in which state the parties entered into the contracts or what law governs. Thus, the Court 26 cannot determine that Mr. Hovendick purposefully availed himself of the state of Nevada (prong 27 one of the specific-jurisdiction test) based on vague assertions regarding contracts. Mr. Caywood 1 In sum, Mr. Caywood has not met his burden to show that personal jurisdiction exists 2 because his complaint lacks sufficient facts, and his opposition is devoid of facts and law on the 3 matter. The Court recommends that Mr. Hovendick’s motion to dismiss be granted on this ground 4 but recommends he be given leave to amend. See Graham v. Noom, Inc., 533 F. Supp. 3d 823, 5 838 (N.D. Cal. 2021) (dismissing complaint for lack of personal jurisdiction, among other 6 grounds, but allowing leave to amend); see also Scanlon v. Curtis Int’l Ltd., 465 F. Supp. 3d 7 1054, 1068 (E.D. Cal. 2020) (“For the reasons set forth above, Defendant Technicolor SA’s 8 motion to dismiss under Rule 12(b)(2) for lack of personal jurisdiction (Doc. No. 18) is 9 GRANTED with leave to amend.”). 10 5. Venue 11 Fifth, Mr. Hovendick argues that Mr. Caywood has not sufficiently alleged that this 12 district is the proper venue. ECF No. 19 at 10. “Once a defendant moves to dismiss, it is the 13 plaintiff’s burden to establish that venue is properly in this district.” Nat’l Fitness Co. v. Procore 14 Labs., LLC, No. 2:10-CV-2168-JCM-RJJ, 2011 WL 2463296, *1 (D. Nev. June 20, 2011) (citing 15 Piedmont Label Co. v. Sun Garden Packing Co., 598 F.2d 491, 496 (9th Cir. 1979)). “[T]he 16 pleadings need not be accepted as true, and the court may consider facts outside of the pleadings.” 17 Murphy v. Schneider National, Inc., 362 F.3d 1133, 1137 (9th Cir. 2004) (citations omitted). 18 Venue in a civil action is proper in: 19 (1) a judicial district where any defendant resides, if all defendants reside in the same State, (2) a judicial district in which a substantial part of the events or omissions giving 20 rise to the claim occurred, or a substantial part of property that is the subject of the action is situated, or (3) a judicial district in which any defendant may be found, if there is no 21 district in which the action may otherwise be brought. 22 28 U.S.C. § 1391(b). 23 Here, the first factor does not apply because Mr. Hovendick and Mr. Gerber reside in 24 different states. ECF No. 16 at 2. Further, Mr. Caywood has not met his burden to show that the 25 second factor applies here. He makes no mention of venue in his opposition. The one statement 26 regarding venue in his complaint is vague: “Some or all the events or omissions giving rise to the 27 Plaintiff’s claim(s) occurred within the State of Nevada, and as alleged herein, and [sic] are 1 his claims took place in Nevada does not establish that a “substantial part” of such events took 2 place here, particularly when Mr. Caywood has provided nothing else for the Court to consider. 3 See id. As to factor three, it is true that Mr. Gerber resides in Nevada, but Mr. Caywood does not 4 allege facts that show that this action can be brought nowhere else. Additionally, given that the 5 complaint is so factually deficient, and the briefings are similarly factually devoid, there are no 6 applicable facts outside of the pleadings for the Court to consider. 7 Altogether, Mr. Caywood has not met his burden to show that venue is proper here. 8 Typically, if a court finds that venue is improper, then it must either dismiss the action or transfer 9 the case to a different district, in its discretion. See King v. Russell, 963 F.2d 1301, 1304 (9th Cir. 10 1992). This district may very well be the proper venue, but Mr. Caywood has not alleged 11 sufficient facts to prove so. Courts in the Ninth Circuit in similar situations have given the 12 plaintiff leave to amend. See Munns v. Clinton, 822 F. Supp. 2d 1048, 1079 (E.D. Cal. 2011); see 13 also Sanders v. Experian Info. Sols., Inc., No. 16-CV-04650-BLF, 2017 WL 1425918 (N.D. Cal. 14 Apr. 21, 2017) (finding that the plaintiff did not offer sufficient argument as to the venue factors 15 and therefore granting the motion to dismiss but giving the plaintiff leave to amend). Therefore, 16 the Court recommends that Mr. Hovendick’s motion to dismiss be granted on this ground but that 17 he be given leave to amend. 18 6. Rule 12(b)(6) - failure to state a claim upon which relief can be granted 19 Federal Rule of Civil Procedure 8 requires every complaint to contain a “short and plain 20 statement of the claim” demonstrating that the plaintiff is entitled to relief. Fed. R. Civ. P. 8(a)(2); 21 Bell Atl. Corp. v. Twombly, 550 U.S. 544, 555 (2007); Ashcroft v. Iqbal, 556 U.S. 662, 678–79 22 (2009). Although Rule 8 does not demand detailed factual allegations, a properly pled claim must 23 include enough facts to state a claim that is plausible on its face. Twombly, 550 U.S. at 570. This 24 standard means that the alleged facts must rise “above the speculative level.” Essentially, the law 25 strikes a balance between allowing meritorious lawsuits and protecting against frivolous ones. 26 District courts use a two-step approach when evaluating a complaint’s sufficiency on a 27 Rule 12(b)(6) motion to dismiss. First, the court must accept all well-pled factual allegations in 1 true. Id. Simply reciting the elements of a claim with only conclusory statements is insufficient. 2 Id. Second, the court considers whether the well-pled factual allegations state a plausible claim 3 for relief. Id. at 679. A claim is facially plausible when the complaint alleges facts that allow the 4 court to reasonably infer the defendant’s liability for the alleged misconduct. Id. 5 Here, the Court first examines Mr. Caywood’s complaint and accepts any well-pled 6 factual—but not legal—allegations as true. Below are examples of some of the facts that Mr. 7 Caywood alleges: 8 • “Contracts were alleged to be entered into by the Parties, the basis of which 9 became the subject of two or more lawsuits initiated by Defendants . . . .” 10 • “Certain projects and causes subject to those contracts lead [sic] to the unjust 11 enrichment of Defendants . . . .” 12 • “Defendants misappropriated profits, and otherwise inflated profits to the 13 detriment of Plaintiff.” 14 • “Defendants rescinded or caused to be rescinded entire transactions and 15 invalidated shares and considerations to Plaintiff.” 16 ECF No. 16 at 3. The remaining allegations are equally devoid of substantive facts, and Mr. 17 Caywood’s causes-of-action section suffers from the same infirmities. See id. This complaint is 18 precisely the type of insufficient pleading that the law warns against because it is filled with 19 conclusory statements that lack any factual substance. For example, Mr. Caywood mentions 20 “contracts” but does not explain when or where the parties entered into the contracts, or what the 21 terms of the contract were. Id. Additionally, his contentions that “Defendants misappropriated 22 profits” and “acted with negligence” lack supporting facts and merely recite Mr. Caywood’s 23 causes of action. 24 Next, the Court considers whether the factual allegations state a plausible claim for relief. 25 Even accepting the pled facts as true, the Court cannot find that they state a plausible claim for 26 relief because the complaint is almost completely devoid of facts. Mentions of “contracts,” 27 “certain projects,” and “inflated profits,” without more, only allow this Court to speculate as to 1 5. At most, the complaint creates a “mere possibility” that Mr. Hovendick and Mr. Gerber are 2 liable. Accordingly, the Court must recommend that the complaint be dismissed under Rule 3 12(b)(6). See United States v. U.S. Telecom Long Distance, Inc., No. 2:17-CV-02917-JAD-NJK, 4 2018 WL 4566673, at *1 (D. Nev. Sept. 24, 2018) (quoting Bell Atl. Corp. v. Twombly, 550 U.S. 5 544, 570 (2007)) (“A complaint that does not permit the court to infer more than the mere 6 possibility of misconduct has ‘alleged—but not shown—that the pleader is entitled to relief,’ and 7 it must be dismissed.”). 8 Federal Rule of Civil Procedure 15 permits courts to “freely give leave [to amend] when 9 justice so requires.” Fed. R. Civ. P. 15(a)(2). The Ninth Circuit “ha[s] held that in dismissing for 10 failure to state a claim under Rule 12(b)(6), ‘a district court should grant leave to amend even if 11 no request to amend the pleading was made, unless it determines that the pleading could not 12 possibly be cured by the allegation of other facts.’” Lopez v. Smith, 203 F.3d 1122, 1127 (9th Cir. 13 2000) (quoting Doe v. United States, 58 F.3d 494, 497 (9th Cir. 1995)). This district has granted 14 leave to amend when the plaintiff “may be able to plead additional facts to support” its causes of 15 action. Patel v. Am. Nat’l Prop. & Cas. Co., 367 F. Supp. 3d 1186, 1194–95 (D. Nev. 2019). 16 Similarly here, Mr. Caywood may be able to plead additional facts to cure the deficiencies in his 17 complaint. Therefore, the Court recommends that Mr. Caywood be granted leave to amend his 18 complaint as to Mr. Hovendick. The Court instructs Mr. Caywood that, should he choose to file 19 an amended complaint, it must cure all the deficiencies outlined in this Order and Report and 20 Recommendation. 21 7. Remaining Legal Grounds: Rules 9(b) and 41(b) 22 Mr. Hovendick also argues that Mr. Caywood’s fraud claim should be dismissed under 23 Rule 9(b) because it is not pled with particularity and that the complaint should be dismissed 24 under Rule 41(b) because it does not comply with other Federal Rules of Civil Procedure. ECF 25 No. 19 at 6, 12. As discussed above, the Court recommends that all of Mr. Hovendick’s claims be 26 dismissed because they lack sufficient facts and fail to state claims upon which relief can be 27 granted. Therefore, any further dismissal under Rules 9(b) and 41(b) would be moot and the 1 Court recommends they be denied on that ground. The Court warns Mr. Caywood that, should he 2 amend his complaint, his fraud claim must be plead in accordance with Rule 9(b). 3 D. Mr. Hovendick’s motion for sanctions 4 Mr. Hovendick argues that the Court should sanction Mr. Caywood under Federal Rule of 5 Civil Procedure 11(c) because he filed his complaint for an improper purpose and because his 6 claims and other legal contentions are not warranted by existing law. ECF No. 15 at 3–6. Plaintiff 7 responded almost four months late. See ECF No. 26. 8 Though the Court could grant the motion under Local Rule 7-2(d), it declines to entertain 9 sanctions at this point. Because the Court recommends that Mr. Caywood be given leave to 10 amend, this case may not be at the end of litigation. See Fed. R. Civ. P. 11, Advisory Committee 11 Notes (1983). Additionally, based on the limited facts before the Court, it cannot conclude that 12 Mr. Caywood brought this case for an improper purpose. This is not to say that the Court could 13 never find so. Thus, it recommends that Mr. Hovendick’s motion be denied without prejudice. 14 The Court reiterates that should Mr. Caywood file an amended complaint that is factually 15 deficient or continue to fail to participate in this case, Mr. Hovendick may re-file his motion for 16 sanctions. 17 E. Mr. Gabroy’s motion to withdraw as counsel 18 Mr. Gabroy moves to withdraw as counsel under Local Rule IA 11-6 because Mr. 19 Caywood discharged him. ECF No. 34 at 2–3. This local rules states that an attorney who seeks to 20 withdraw by motion must serve it on the client and opposing counsel. LR IA 11-6(b). It also 21 states that no withdrawal “will be approved if it will result in delay” of the case, unless the 22 attorney shows good cause. LR IA 11-6(e). Mr. Gabroy’s certificate of service shows that he 23 served the motion on Mr. Caywood and opposing counsel, and Mr. Gabroy contends that a delay 24 will not result from his withdrawal. ECF No. 34 at 4–5. Mr. Hovendick and Mr. Gerber filed a 25 joint opposition, in which they generally contend that the Court should not allow Mr. Gabroy to 26 withdraw because they want him to remain liable for potential sanctions. ECF No. 35 at 6. Based 27 on this concern, Mr. Hovendick and Mr. Gerber argue that Mr. Gabroy’s withdrawal would 1 “An attorney may withdraw from a case unless there is a compelling reason for continued 2 representation.” Sec. & Exch. Comm’n v. Beasley, No. 2:22-CV-0612-CDS-EJY, 2022 WL 3 16823311, at *1 (D. Nev. Aug. 9, 2022) (citing Hepple v. Kulge, 104 Cal. Ap. 2d 461, 462 4 (1951)). When evaluating a motion to withdraw, the Court may consider (1) the reasons why 5 withdrawal is sought; (2) the prejudice withdrawal may cause to other litigants; (3) the harm 6 withdrawal might cause to the administration of justice; and (4) the degree to which withdrawal 7 will delay the resolution of a case. Id. 8 Here, Mr. Gabroy contends that he seeks withdrawal because Mr. Caywood terminated 9 him (factor one), that his withdrawal will not harm the other parties because discovery is stayed 10 (factor two), that his withdrawal will not harm the administration of justice because he gave Mr. 11 Caywood reasonable notice and returned all papers and client property (factor three), and that no 12 delay will result from withdrawal because it will not adversely impact Mr. Caywood (factor four). 13 ECF No. 34 at 3–4. Mr. Hovendick and Mr. Gerber only seem to dispute factor two, prejudice, 14 because they want Mr. Gabroy to be held responsible for his alleged impermissible conduct. ECF 15 No. 35 at 5. 16 Considering each of the parties’ arguments, there is no compelling reason to deny the 17 motion. See Beasley, 2022 WL 16823311, at *1 (citing Hepple, 104 Cal. Ap. 2d at 462). The 18 Court focuses on factor two, prejudice, because it is the only factor the parties seem to dispute. 19 The Court finds that defendants’ concern regarding Mr. Gabroy evading sanctions is unfounded. 20 First, because the Court is not imposing sanctions at this point, there are no sanctions for Mr. 21 Gabroy to evade. Second, the Ninth Circuit has found that attorneys remain liable for Rule 11 22 sanctions even after they withdraw from a case. Holgate v. Baldwin, 425 F.3d 671, 677 (9th Cir. 23 2005). “The signing requirement in Rule 11 makes clear that any attorney who, at any time, 24 certified to the court that a pleading complies with Rule 11 is subject to the rule, even if the 25 attorney later withdraws from the case.” Id. And third, district courts retain jurisdiction to 26 consider collateral matters, such as Rule 11 sanctions or motions for attorney’s fees, even after 27 dismissal. See Cooter & Gell v. Hartmarx Corp., 496 U.S. 384, 395 (1990). Accordingly, the 1 Hil. Conclusion 2 IT IS THEREFORE RECOMMENDED that Mr. Gerber’s motion to dismiss (ECF No. 3 || 27) be granted in part and denied in part. The Court recommends dismissal against him without 4 || prejudice and not to award attorney’s fees. 5 IT IS FURTHER RECOMMENDED that Mr. Gerber’s motion for sanctions (ECF No. 6 || 20) be denied without prejudice. 7 IT IS FURTHER RECOMMENDED that Mr. Hovendick’s motion to dismiss (ECF No. 8 || 19) be granted in part and denied in part. The Court recommends that Mr. Hovendick’s motion be 9 || granted on the basis that Mr. Caywood’s complaint does not sufficiently allege personal 10 || jurisdiction, venue, or claims upon which relief may be granted. However, the Court recommends 11 || that Mr. Caywood be granted leave to amend his complaint as to Mr. Hovendick to remedy these 12 || deficiencies. Given that Mr. Caywood will need to find new counsel should he wish to amend his 13 || complaint, the Court gives him 45 days from the date of this Order and Report and 14 || Recommendation to amend. 15 IT IS FURTHER RECOMMENDED that Mr. Hovendick’s motion for sanctions (ECF 16 || No. 15) be denied without prejudice. 17 IT IS ORDERED that Mr. Gabroy’s motion to withdraw (ECF No. 34) is granted. 18 NOTICE 19 This report and recommendation is submitted to the United States district judge assigned 20 || to this case under 28 U.S.C. § 636(b)(1). A party who objects to this report and recommendation 21 || may file a written objection supported by points and authorities within fourteen days of being 22 || served with this report and recommendation. Local Rule IB 3-2(a). Failure to file a timely 23 || objection may waive the right to appeal the district court’s order. Martinez v. Yist, 951 F.2d 1153, 24 || 1157 (9th Cir. 1991). 25 26 DATED: July 23, 2024 27 Zr gon Les LAr? enw BR A WEKSLER 28 UNITED STATES MAGISTRATE JUDGE
Document Info
Docket Number: 2:23-cv-00884
Filed Date: 7/23/2024
Precedential Status: Precedential
Modified Date: 11/20/2024